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2019, 08-20 Study SessionAGENDA SPOKANE VALLEY CITY COUNCIL STUDY SESSION FORMAT Tuesday, August 20, 2019 6:00 p.m. CITY HALL COUNCIL CHAMBERS 10210 E Sprague Avenue (Please Silence Your Cell Phones During the Meeting) CALL TO ORDER ROLL CALL APPROVAL OF AGENDA DISCUSSION LEADER SUBJECT/ACTIVITY GOAL 1. Mark Calhoun Council Draft 2020 Budget Goals Discussion/Information 2. Chelsie Taylor Potential and Pending Projects Discussion/Information 3. Chelsie Taylor 2020 Budget Estimated Revenues Discussion/Information and Expenditures 4. Mayor Higgins Advance Agenda Discussion/Information 5. Mayor Higgins Council Check in Discussion/Information 6. Mark Calhoun City Manager Comments Discussion/Information 7. Executive Session: [RCW 42.30.110(1)(b)] Acquisition of Real Estate ADJOURN Shady Session Agenda, August 20, 2019 Page 1 of 1 CITY OF SPOKANE VALLEY Request for Council Action Meeting Date: August 20, 2019 Item: Check all that apply: ❑ consent ❑ information Department Director Approval: ❑ old business ❑ new business ❑ public hearing ® admin. report ❑ pending legislation AGENDA ITEM TITLE: 2020 Budget — Draft Council Goals GOVERNING LEGISLATION: n/a PREVIOUS COUNCIL ACTION TAKEN: During the 2020 Budget Workshop held on June 11, 2019, Council discussed a variety of topics including an update to Council goals. BACKGROUND: Each year the City prepares an annual budget, and in the 2020 Budget development cycle, Council will ultimately have an opportunity to discuss the 2020 Budget on eight separate occasions beginning with the June 11, 2019 Budget Workshop and ending with the scheduled November 12, 2019 meeting to adopt the 2020 budget. As part of the process, each department establishes goals for the upcoming year. At the June 11, 2019 Budget workshop Council developed the following goals: Work with state and federal legislators towards advancing the concepts outlined in the Bridging the Valley study including obtaining financial assistance for the Pines, Sullivan, and Park Grade Separation Projects. Continue to pursue a plan to sustain the City's Pavement Preservation Program, to include sustained financing in Street Fund #101 and Pavement Preservation Fund #311. Pursue state and federal financial assistance to address transportation concerns along the entire Barker Corridor. Continue with and expand where possible, economic development efforts including the retention and expansion of existing businesses and recruitment of new businesses. Continue to foster relationships with federal, state, county and local legislators. Pursue financing for Balfour Park and Appleway Trail amenities, and continue acquisition of park land 7. Pursue financing for connections between the Appleway Trail, Balfour Park, Dishman Hills and the Centennial Trail creating where possible, a continuous loop for users. 8. Maximize the law enforcement contract to address staffing levels by enhancing recruiting efforts, minimizing out of service days, increasing retention, and taking steps to make the officer positions and the Spokane Valley Police Department more increasingly appealing as a career path for younger generations. 9. Pursue opportunities to increase community interactions, share information, and obtain feedback on current and future projects and priorities. 10. Prioritize involvement in public safety, in particular discussions regarding the jail, in order to maintain an understanding of options to keep our costs under control. OPTIONS: Council discretion. RECOMMENDED ACTION OR MOTION: Staff is seeking consensus from Council on whether the goals noted above are reflective of what Council collectively wish to pursue in 2020 as well as include in the 2020 Budget document. BUDGET/FINANCIAL IMPACTS: This is one of the multitude of decisions that are part of the budget development process that will conclude with Council's scheduled November 12, 2019 adoption of the 2020 Budget. STAFF CONTACT: Mark Calhoun ATTACHMENTS: None CITY OF SPOKANE VALLEY Request for Council Action Meeting Date: August 20, 2019 Department Director Approval: Check all that apply: ❑ consent ❑ old business ❑ new business ❑ public hearing ❑ information ® admin. report ❑ pending legislation ❑ executive session AGENDA ITEM TITLE: Review of Potential and Pending Projects Worksheet and allocation of Capital Reserve Fund #312 reserves. GOVERNING LEGISLATION: n/a PREVIOUS COUNCIL ACTION TAKEN: During the 2019 Budget Workshop held on June 11, 2019, Council discussed a variety of topics that included a review of the Potential and Pending Projects worksheet. An administrative report was also given on this topic at the July 16, 2019 Council meeting. BACKGROUND: Each year the City prepares an annual budget and in the 2020 Budget development cycle Council will ultimately have an opportunity to discuss the budget on eight separate occasions beginning with the June 11, 2019 Budget Workshop and ending with the scheduled November 12, 2019 budget adoption. As part of this process Council discusses the Potential and Pending Projects worksheet and prioritizes how money in Capital Reserve Fund #312 should be allocated. Discussion on the allocation of Fund #312 reserves occurred at the June 11, 2019 Budget Workshop and the July 16, 2019 Council meeting and yielded a number of suggestions but no Council consensus. OPTIONS: Council discretion. RECOMMENDED ACTION OR MOTION: Staff is seeking a consensus from Council on how Capital Reserve Fund #312 reserves should be allocated. BUDGET/FINANCIAL IMPACTS: This is one of the multitude of decisions that are part of the budget development process that will conclude with Council's scheduled November 12, 2019 adoption of the 2020 Budget STAFF CONTACT: Mark Calhoun, City Manager, and Chelsie Taylor, Finance Director ATTACHMENTS: First draft allocation of Capital Reserve Fund #312 from the July 16, 2019 meeting Updated draft allocation of Capital Reserve Fund #312 Potential and Pending Project Worksheet H:\Misc RCAs\2019\2019 0716 Potential and Pending Projects\allocation of 2019 transfer to Fund 312.xlsx OF SPOKANE VALLEY, WA ation of 2019 General Fund Transfer to Capital Reserve Fund #312 GeneralVnd - 2019 transfer of 2017 fund balance >50% 7,119,300 - Garland A ue Construction 1,500,000 - Barker Rd. - clid to Trent 1,238,983 - Barker Rd. - E\thus okane River 310,000 - Adjustments teserve Fund #312 financed projects thatiously underway 78,264 Total allocar 127,247 Remaining to be Allocated% / 3,992,053 - Street O&M Fund #101 subsidy - Pines Grade Separation Project - Park Land Acquisition - Balfour Park - Sullivan and Trent Interchange - Earmarked to address surprises / challenge 44 750 500 500 500 497 3,992,053 0 These were previously earmarked by CZuncil in the Spn7kof 2019 1 6/13/201PI P:\City Clerk\Agenda Packets for We b\2019\2019. 08-20\allocation of 2019 transfer to Fund 312 CITY OF SPOKANE VALLEY, WA 8/14/2019 Allocation of 2019 General Fund Transfer to Capital Reserve Fund #312 General Fund - 2019 transfer of 2017 fund balance >50% Excess fund balance from Civic Facilities Capital Projects Fund #310 Excess fund balance from City Hall Fund #313 Total 2019 transfers in Less 2019 Allocations and Adjustment to Date: - Garland Avenue Construction - Barker Rd. - Euclid to Trent - Barker Rd. - Euclid to Spokane River - Adjustments to Capital Reserve Fund #312 financed projects that were previously underway Total allocated thus far Remaining to be Allocated Potential Allocation Concepts Discussed by Council at the June 11, 2019 Budget Workshop. - Street O&M Fund #101 subsidy - Pines Grade Separation Project - Park Land Acquisition - Balfour Park - Sullivan and Trent Interchange - Earmarked to address surprises / challenges 7,119,300 18,452 88,590 7,226,342 * 1,000,000 * 1,238,983 * 310,000 31,444 2,580,427 4,645,915 1,364,706 750,000 500,000 500,000 500,000 497,847 4,112,553 533,362 * These were previously earmarked by Council in the Spring of 2019 CIN OF SPOKANE VALLEY, WA Pending / Potential Projects Worksheet Completed or In-prodress: - Projects completed in prior years (see attached list on pg 2) - Pavement Pres Program Fund #311 (through 2017) - Appleway Trail - amenities - University to Pines (CN 2019) - Appleway Trail - Sullivan to Corbin (CN 2018) - Appleway Trail - Evergreen to Sullivan (CN 2019) Bridging the Vallev -Barker Road / BNSF Grade Separation' -Pines Road Underpass' Q i 0a'aaa) - Transfer to Street O&M Fund #101 for 2019 operating deficit Barker Road corridor improvements -Euclid to Trent -Additional in 2019 to complete Euclid to Barker GSP - Garland Ave Construction Future Construction: - Balfour Park development - Improvements at proposed SCLD Balfour site - Phase 2 & 3 - Appleway Landscaping (Park to University) - Park land acquisition - Railroad Quiet Zones study - Bus stops and pedestrian crossings on Indiana Ave. - Sullivan Park land acquisition - Sullivan Park water line installation - Appleway Trail - Balfour to University Barker Road corridor improvements -Euclid to Spokane River -Additional in 2019 to complete PE for Euclid to Spokane Rive -1-90 to Appleway -Applewayto South City Limits - SVPD land acquisition Total of Capital Projects ' included in 6 -year TIP General Fund transfers- 2013 through 2017 General Fund - 2018 transfer for misc. cap projects General Fund - 2018 transfer of 2016 fund bal > 50 General Fund - 2019 transfer of 2017 fund bal > 50 Developer contribution (Library District) - 2013 Developer contribution (Library District) - 2014 Net proceeds on sale of Carnahan properties - 2018 Transfer in - #310 (excess fund balance) Transfer in - #313 (excess fund balance) Uses Projects Completed in Prior Years Appleway Trail - Sullivan to Corbin Appleway Trail - Evergreen to Sullivan Barker Road / BNSF Grade Separation Pines Road Underpass Bus stops & ped crossings on Indiana Ave. Sullivan Park land acquisition Sullivan Park water line installation Barker Road corridor improvements Additional Barker- Euclid to Trent Additional Barker- Euclid to Spokane River Balfour Park development Improvements at proposed SCLD Balfour site Transfer to Street O&M Fund #101 Garland Ave Construction SVPD land acquisition Difference Estimated Total Project Cost P:\l. General Governance\Budget\2020 Budget\Finance\Potential and Pending Projects.xlsx 8/14/2019 37,270,309 River 14,742,522 0 0 Project Financing 59,300 0 0 1,157,368 11,383,353 469,106 Grant Financed 1,609,087 37,270,309 0 City Financed 4,657,738 0 6,835,707 905,302 0 '2,402,656 9 Potential / 0 Fund 101 Fund 103 Fund 123 Fund 309 Fund 310 Fund 312 Fund 301/302 Secured Anticipated General Street Paths & Civic Facilities Parks Capital Civic Buildings Capital 0 Bond 664,320 0 2,362,503 Grants Grants Fund Fund Trails Replacement Project apical Project Reserve REET Financed Other Total Unfunded 37,270,309 River 14,742,522 0 0 0 59,300 0 0 1,157,368 11,383,353 469,106 7,849,573 1,609,087 37,270,309 0 N/A 4,657,738 0 6,835,707 905,302 0 '2,402,656 9 0 0 3,222,572 0 36,448 18,066,423 N/A 664,320 539,320 0 0 0 0 0 125,000 0 0 0 0 0 664,320 0 2,362,503 1,783,000 0 0 0 50,000 0 182,503 0 347,000 0 0 0 2,362,503 0 2,395,000 2,071,675 0 0 0 0 0 0 0 323,325 0 0 0 2,395,000 0 24,671,321 21,041,000 0 0 0 0 0 0 0 1,421,321 2,209,000 0 0 24,671,321 0 28,776,000 1,890,000 24,200,583 1,200,000 0 0 0 0 0 1,485,417 0 0 0 28,776,000 0 , 0 9 9 9 9 9 9 9 9 500;000 9 9 9 500;000 9 907,000 0 0 0 0 0 0 0 0 907,000 0 0 0 907,000 0 3,400,000 675,600 0 0 0 0 0 0 0 1,485,417 0 0 0 2,161,017 1,238,983 0 0 0 0 0 0 0 0 0 1,238,983 0 0 0 1,238,983 (1,238,983) 2,000,000 0 0 0 0 0 0 0 0 1,000,000 0 0 1,000,000 2,000,000 0 3,866,000 0 0 0 0 0 0 0 0 1,485,417 0 0 0 1,485,417 2,380,583 1,300,000 0 0 0 0 0 0 0 839,285 460,715 0 0 0 1,300,000 0 3,000,000 0 0 0 0 0 0 0 0 0 0 0 0 0 3,000,000 1,000,000 0 0 0 0 0 0 0 0 0 0 0 0 0 1,000,000 85,000 0 0 0 0 0 0 0 0 0 0 0 0 0 85,000 71,500 0 0 0 0 0 0 0 0 71,500 0 0 0 71,500 0 844,000 0 0 0 0 0 0 0 0 844,000 0 0 0 844,000 0 152,858 0 0 0 0 0 0 0 0 152,858 0 0 0 152,858 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 4,190,000 3,181,400 0 0 0 0 0 0 0 0 0 0 29,000 3,210,400 979,600 310,000 0 0 0 0 0 0 0 0 310,000 0 0 0 310,000 0 3,629,000 0 3,138,000 0 0 0 0 0 0 0 0 0 0 3,138,000 491,000 2,854,000 0 2,468,000 0 0 0 0 0 0 0 0 0 0 2,468,000 386,000 226,680 0 0 0 0 0 0 0 0 226,680 0 0 0 226,680 0 124,475,491 50,582,255 29,806,583 8,035,707 905,302 109,300 2,408,656 307,503 1,996,653 23,642,986 5,900,678 7,849,573 2,674,535 134,219,731 8,322,183 16,885,878 1,000,000 2,795,429 7,119,300 3,180 4,675 373,397 18,452 88,590 28,288,901 11,383,353 347,000 323,325 1,421,321 1,985,417 71,500 844,000 152,858 1,485,417 1,238,983 310,000 1,485,417 460,715 907,000 1,000,000 226,680 23,642,986 Page 1 of 2 P:\l. General Governance\Budget\2020 Budget\Finance\Potential and Pending Projects.xlsx CIN OF SPOKANE VALLEY, WA 8/14/2019 Pending / Potential Projects Worksheet Capital Projects Completed in Prior Years: - Phase 1- Appleway Landscaping (Dora to Park) 261,993 0 0 0 0 0 0 0 0 261,993 0 0 0 261,993 0 - Business Route Signage 21,139 0 0 0 0 0 0 0 0 21,139 0 0 0 21,139 0 - Joint Site Design - Balfour Park/Library 57,601 0 0 0 0 0 0 0 0 57,601 0 0 0 57,601 0 - Sullivan Road West Bridge replacement 15,493,248 13,046,330 0 0 0 0 0 0 0 1,713,284 365,803 0 367,831 15,493,248 0 -CityHall 14,104,025 0 0 0 0 0 0 0 1,157,368 5,097,084 0 7,849,573 0 14,104,025 0 - Sculpture siting at City Hall 46,760 0 0 0 0 0 0 0 0 46,760 0 0 0 46,760 0 - Appleway Trail - University to Pines (Completed) 1,614,679 0 0 0 0 59,300 0 0 0 1,452,026 103,303 0 50 1,614,679 0 - Appleway Trail - Pines to Evergreen (Completed) 1,970,654 1,696,192 0 0 0 0 0 0 0 274,462 0 0 0 1,970,654 0 - Carnahan & 8th - ROW acquisition 659,004 0 0 0 0 0 0 0 0 659,004 0 0 0 659,004 0 - Remove & reconstruct Euclid Ave (Flora to Barker) after County installation of sewer 3,041,206 0 0 0 0 0 0 0 0 1,800,000 0 0 1,241,206 3,041,206 0 37,270,309 14,742,522 0 0 0 59,300 0 0 1,157,368 11,383,353 469,106 7,849,573 1,609,087 37,270,309 0 Page 2 of 2 CITY OF SPOKANE VALLEY Request for Council Action Meeting Date: August 20, 2019 Department Director Approval: Check all that apply: ❑ consent ❑ old business ❑ new business ❑ public hearing ❑ information ® admin. report ❑ pending legislation ❑ executive session AGENDA ITEM TITLE: Estimated 2020 revenues and expenditures. GOVERNING LEGISLATION: State budget law. PREVIOUS COUNCIL ACTION TAKEN: No formal Council action has been taken on the 2020 Budget. A proposed budget is currently under review by the City Manager who will present his Preliminary 2020 Budget to the Council on September 24, 2019. BACKGROUND: This marks the second occasion where the Council will discuss the 2020 Budget. The first occurred during the June 11, 2019, Council Workshop where the Council reviewed 2020 Budget worksheets prepared by staff. By the time the Council is scheduled to adopt the 2020 Budget on November 12, 2019, Council will have had an opportunity to discuss it on eight separate occasions, including three public hearings to gather input from citizens: • June 11 Council Budget Workshop • August 20 Admin report: Estimated 2020 revenues and expenditures • September 10 Public hearing #1 on 2020 revenues and expenditures • September 24 City Manager's presentation of preliminary 2020 Budget • October 8 Public hearing #2 on 2020 Budget • October 22 First reading on ordinance adopting the 2020 Budget • November 12 Public hearing #3 on 2020 Budget • November 12 Second reading on ordinance adopting the 2020 Budget State law requires that the City hold a public hearing on revenue sources for the upcoming year's budget in order to consider input from the public. This hearing is scheduled to take place on September 10th. The presentation this evening is an administrative report leading up to the public hearing. Until City Council's adoption, all figures currently included in the 2020 Budget worksheets are preliminary and subject to change by the City Manager. 2020 Budget Overview: • The 2020 Budget currently includes appropriations of $86,887,202 including $25,705,977 in capital expenditures, comprised in -part of: o $5,426,462 in Fund #303 Street Capital Projects. o $1,510,000 in Fund #309 Park Capital Projects. o $4,217,523 in Fund #311 Pavement Preservation including $972,300 financed by the General Fund. o $13,037,792 in Fund #314 Railroad Grade Separation Projects. o $1,000,000 in Stormwater Management Fund #402 and Aquifer Protection Area Fund #403 projects. • To partially offset the $25,705,977 in capital costs we anticipate $17,061,448 in grant revenues which results in 66.37% of capital expenditures being covered with State and Federal money. • Budgets will be adopted across 24 separate funds. The full time equivalent employee (FTE) count will increase by 1.50 from 93.75 in 2019 to 95.25 in 2020. This includes the addition of a second Code Enforcement Officer in the Community and Public Works Building Division, which necessitates increasing the part-time 0.5 FTE Attorney position to fulltime due to increased workload. Pertaining Specifically to the General Fund: • The 2020 recurring revenue estimate of $48,181,800 is $2,684,400 or 5.90% greater than the 2019 amended budget of $45,497,400. • The 2020 recurring expenditure proposal of $43,121,986 is $1,160,515 or 2.77% greater than the 2019 amended appropriation of $41,961,471. • Budgeted recurring revenues currently exceed recurring expenditures by $5,059,814 or 10.50% of recurring revenues. Nonrecurring expenditures total $1,758,200 and include: o $190,000 for Information Technology expenditures including: • $20,000 to replace outdated copiers • $70,000 to upgrade storage devices at City Hall • $100,000 for replace and upgrade the video security system at CenterPlace o $15,000 for carpet replacement at the police precinct o $13,700 for furniture and equipment for the additional code enforcement officer o $9,500 for carpet replacement at CenterPlace o $1,500,000 transfer out to the Parks Capital Projects Fund #309 to complete improvements to the CenterPlace west lawn o $30,000 transfer out to the Equipment Rental and Replacement Fund #501 to acquire a new vehicle for the additional code enforcement officer • The total of 2020 recurring and nonrecurring revenues exceeds total expenditures by $3,301,614. The projected ending fund balance for the General Fund at the end of 2020 is currently $34,221,468 or 79.36% of recurring expenditures. Crisis Co -Response Team Funding: • The cost of implementing the crisis co -response team would be approximately $100,000 to pay for the payroll costs of a behavioral health specialist. This cost is not currently included in the 2020 Budget worksheets and would represent an additional increase of $100,000 to recurring Public Safety expenditures in the General Fund #001 beyond what is currently shown. • The recurring expenditures could potentially be offset by nonrecurring Trueblood grant money for a limited time. If we are successful in obtaining grant money for a team we might consider using a portion of the $100,000 for mental health and/or homelessness efforts including contracts for transportation and outreach teams to engage with the homeless in Spokane Valley. Other Funds: 2020 Budget appropriations (expenditures) in the other funds total $42,007,016 as follows: FundFund Number Name = 2020 Appropriation 101 Street Fund 5,160,906 103 Paths and Trails Fund 0 104 Hotel / Motel Tax - Tourism Facilities Fund 0 105 Hotel / Motel Tax Fund 825,000 106 Solid Waste Fund 1,737,000 107 PEG Fund 85,000 120 CenterPlace Operating Reserve Fund 0 121 Service Level Stabilization Reserve Fund 0 122 Winter Weather Reserve Fund 500,000 204 Debt Service Fund 1,021,700 301 REET 1 Capital Projects Fund 1,907,919 302 REET 2 Capital Projects Fund 1,257,331 303 Street Capital Projects Fund 5,426,462 309 Parks Capital Projects Fund 1,510,000 310 Civic Facilities Capital Projects Fund 0 311 Pavement Preservation Fund 4,267,523 312 Capital Reserve Fund 1,511,398 313 City Hall Construction Fund 0 314 Railroad Grade Separation Projects Fund 13,037,792 402 Stormwater Management Fund 2,563,985 403 Aquifer Protection Area Fund 500,000 501 Equipment Rental and Replacement Fund 285,000 502 Risk Management Fund 410,000 Primary sources of revenues in these other funds include: • Motor Vehicle Fuel Tax revenue that is collected by the State and remitted to the Street Fund is anticipated to be $2,046,700. • Telephone Tax revenues remitted to the City that supports Street Fund operations and maintenance are anticipated to be $1,521,000. • Real Estate Excise Tax (REET) revenues that are in large part used to match grant financed street projects are anticipated to total $2,000,000. • Hotel / Motel Tax revenues that are dedicated to the promotion of visitors and tourism are anticipated to be $1,070,000 ($650,000 in the Hotel/Motel Tax Fund #105 and $420,000 in the Hotel/Motel Tax — Tourism Facilities Fund #104). • Stormwater Management Fees that are estimated at $1,900,000. • Aquifer Protection Area Fees are estimated at $460,000. Funding Challenges: • Declining revenues in the Street O&M Fund #101 that will impact our ability to deliver historic levels of service. Fund #101 is dependent upon motor vehicle fuel tax revenues and telephone utility tax revenues. o Motor vehicle fuel taxes have increased slightly due to recent State legislation; however, they are generally flat or declining in recent years due to improvements in vehicle fuel mileage. Telephone utility taxes have been declining at an average of 5.37% per year from 2009 through 2018. We believe the decline is primarily due to the elimination of land lines by individual households. The revenues from this tax reached a high of $3.1 million in 2009 (the year the tax was implemented) and is currently estimated to generate $1.5 million in 2020. • Balancing the cost of pavement preservation against other transportation and infrastructure needs. o Pavement Preservation Fund #311 is relying more heavily on REET revenues due to an elimination of the contribution from the Street Fund #101 related to declining revenues and an elimination of contributions from the Civic Facility Replacement Fund #123. The fund balance in Fund #123 was entirely depleted at the end of 2016, and the fund was closed during 2017. o Reliance on REET revenues to fund pavement preservation in Fund #311 limits the City's ability to provide match funding for State and Federal grants received for other street projects. o Railroad grade separation projects (overpasses and underpasses) are exceptionally expensive endeavors and are largely beyond the City's ability to finance through existing sources of revenue. The City has secured funding for the Barker Rd. Grade Separation project; however, funding is still needed for other grade separation projects within the City. OPTIONS: State law requires a public hearing on 2020 estimated revenues and expenditures. A hearing is scheduled for September 10, 2019. RECOMMENDED ACTION OR MOTION: No action is requested at this time. BUDGET/FINANCIAL IMPACTS: Given that the budget will not be adopted by the Council until November 12, 2019, it is possible the figures may be modified as we refine estimates of revenues and expenditures. STAFF CONTACT: Chelsie Taylor, Finance Director ATTACHMENTS: Power Point presentation. Assorted 2020 Budget information: o Pages 1-12 Budget summary information with detail by fund. o Page 13-14 General Fund budget change from June 11 to August 20. o Page 15-16 General Fund revenue and expenditure line -item changes. o Page 17-19 General Fund department changes from 2019 to 2020. o Page 20 Full-time equivalent employees (FTEs). City of Spokane Valley 2020 Budget Discussion Administrative Report on 2020 Revenues and Expenditures August 20, 2019 2020 Budget Summary All Funds Total appropriations across all City Funds of $86.9 million including: $44.9 million in the General Fund which is comprised of $43.1 million recurring and $1.8 million nonrecurring ■ $42 million spread across 23 additional funds ■ $25.7 million in capital expenditures 2 2020 Budget Summary All Funds FTE count proposed to be 95.25 employees in 2020. This is an increase of 1.5 FTEs for an additional Code Enforcement Officer and the increase of the part-time 0.5 FTE Attorney position to full-time. 3 General Fund REVENUES: Total recurring 2020 revenues of $48,181,800 as compared to $45,497,400 in 2019 for an increase of $2,684,400 or 5.90%. All revenue estimates are based upon a combination of historical collections and future projections with some increasing and others decreasing. 2 largest sources are Sales Tax and Property Tax which are collectively estimated to account for $40,180,200 or 83.39% of 2020 General Fund recurring revenues. 4 General Fund General sales tax collections are estimated at $24,632,900, an increase of $1,715,900 or 7.49% over the 2019 Budget. Property Tax levy is not proposed to include the 1 % increase authorized by State law. 2020 Levy is estimated at $12,332,400 Levy assumes we start with the 2019 levy of $12,182,436 + estimated new construction of $150,000 5 General Fund EXPENDITURES: 2020 recurring expenditure proposal of $43,121,986 as compared to $41,961,471 in 2019 for an increase of $1,160,515 or 2.77%. Recurring revenues currently exceed recurring expenditures by $5,059,814 or 10.50% of recurring revenues. 0 General Fund Nonrecurring expenditures total $1,758,200 and include: $190,000 of IT related capital replacements $15,000 for carpet replacement at the police precinct $13,700 for furniture and equipment for the additional code enforcement officer $9,500 for carpet replacement at CenterPlace $1,500,000 transfer out to the Parks Capital Projects Fund #309 _ to complete improvements to the CenterPlace west lawn $30,000 transfer out to the Equipment Rental and Replacement Fund #501 to acquire a new vehicle for the additional code enforcement officer General Fund The total of 2020 recurring and nonrecurring revenues exceeds total expenditures by $3,301,614. Projected fund balance at the end of 2020 is currently $34,221,468 or 79.36% of recurring expenditures. 0 General Fund — Crisis Co -Response Team Cost to implement the crisis co -response team would be approximately $100, 000. This cost is not currently included in the 2020 Budget. It would increase recurring Public Safety expenditures by $100,000 beyond what is currently shown. 9 General Fund — Crisis Co -Response Team The recurring expenditures could potentially be offset by nonrecurring Trueblood grant money for a limited time. If we are successful in obtaining grant money for a team, we might consider using a portion of the $100,000 for mental health and/or homelessness efforts including contracts for transportation and outreach teams to engage with the homeless in Spokane Valley. 10 Other Funds Motor Vehicle Fuel Tax revenue that is collected by the State and remitted to the Street Fund is anticipated to be $2)046)700 Telephone Taxes that are remitted to the City and support Street Fund operations and maintenance are anticipated to be $1,521,000 Real Estate Excise Tax (REET) revenues that are in large part used to match grant financed street projects are anticipated to total $2,000,000 11 Other Funds Hotel/Motel Tax revenues that are dedicated to the promotion of visitors and tourism are anticipated to be $1)070)000 Stormwater Management Fees of $1,900,000 Aquifer Protection Area fees of $460,000 12 Other Funds — Challenges Declining revenues in the Street O&M Fund #101 that will impact our ability to deliver historic levels of service. Telephone utility tax revenues Balancing the cost of pavement preservation against other transportation and infrastructure needs. Use of REET for pavement preservation limits availability of funds for grant matching Railroad grade separation projects 13 Future Council Budget Discussions Sept. 10 — Public Hearing #1 on revenues and expenditures Sept. 24 — City Manager presentation of Preliminary 2020 Budget Oct. 8 — Public hearing #2 on 2020 Budget Oct. 22 — First reading of ordinance adopting 2020 Budget. Nov. 12 — Public hearing #3 and second reading of ordinance adopting 2020 Budget. 14 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx #001 -GENERAL FUND RECURRING ACTIVITY Revenues Property Tax Sales Tax Sales Tax - Public Safety Sales Tax - Criminal Justice Gambling Tax and Leasehold Excise Tax Franchise Fees/Business Registration State Shared Revenues Fines and Forfeitures/Public Safety Community and Public Works Recreation Program Revenues Miscellaneous Department Revenue Miscellaneous & Investment Interest Transfers in - #105 (h/m tax -CP advertising) Total Recurring Revenues Expenditures City Council City Manager City Attorney Public Safety Deputy City Manager Finance/IT Human Resources City Hall Operations and Maintenance Community& Public Works- Engineering Community& Public Works- Economic Dev Community & Public Works- Building & Plannirn Parks & Rec- Administration Parks & Rec - Maintenance Parks & Rec- Recreation Parks & Rec - Aquatics Parks & Rec - Senior Center Parks & Rec - Centerpiece General Government Transfers out- #204 (2016 LTGO debtservice) Transfers out - #309 (park capital projects) Transfers out- #311 (pavement preservation) Transfers out- #501 (CenterPlace kitchen reserve) Transfers out- #502 (insurance premium) Total Recurring Expenditures Recurring Revenues Over (Under) Recurring Expenditures CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd I Amendment 3rtl Amentlment As Amended Proposed Budget $ 12,054,400 0 0 0 12,054,400 12,332,400 278,000 2.31% 22,917,000 0 0 0 22,917,000 24,632,900 1,715,900 7.49% 1,081,900 0 0 0 1,081,900 1,162,600 80,700 7.46% 1,944,000 0 0 0 1,944,000 2,052,300 108,300 5.57% 387,000 0 0 0 387,000 384,000 (3,000) (0.78%) 1,224,000 0 0 0 1,224,000 1,220,000 (4,000) (0.33%) 1,909,800 0 0 0 1,909,800 1,688,200 (221,600) (11.60%) 1,078,500 0 0 0 1,078,500 1,077,700 (800) (0.07%) 1,882,300 0 0 0 1,882,300 2,129,800 247,500 13.15% 628,800 0 0 0 628,800 659,200 30,400 4.83% 1,000 500 0 0 1,500 21,000 19,500 1300.00% 358,200 0 0 0 358,200 791,700 433,500 121.02% 30,000 0 0 0 30,000 30,000 0 0.00% 45,496,900 500 0 0 45,497,400 48,181,800 2,684,400 5.90% 545,903 66,456 0 10,102 622,461 622,187 (274) (0.04%) 948,835 15,692 0 0 964,527 997,882 33,355 3.46% 610,549 8,207 0 30,000 648,756 707,942 59,186 9.12% 25,927,304 184 0 0 25,927,488 26,499,214 571,726 2.21% 267,044 4,000 0 0 271,044 277,187 6,143 2.27% 1,402,497 25,203 0 0 1,427,700 1,478,523 50,823 3.56% 297,421 8,422 0 0 305,843 313,316 7,473 2.44% 290,543 1,351 0 0 291,894 296,270 4,376 1.50% 1,816,141 25,476 0 0 1,841,617 1,971,731 130,114 7.07% 1,018,772 11,965 0 0 1,030,737 1,119,829 89,092 8.64% 2,248,698 32,776 0 0 2,281,474 2,420,414 138,940 6.09% 335,958 4,162 0 0 340,120 352,227 12,107 3.56% 893,500 0 0 0 893,500 917,500 24,000 2.69% 253,622 1,196 0 0 254,818 325,921 71,103 27.90% 491,153 0 0 0 491,153 501,853 10,700 2.18% 101,215 1,692 0 0 102,907 43,447 (59,460) (57.78%) 949,414 6,918 0 0 956,332 965,359 9,027 0.94% 1,332,650 16,300 0 0 1,348,950 1,321,111 (27,839) (2.06%) 401,250 0 0 0 401,250 401,450 200 0.05% 160,000 0 0 0 160,000 160,000 0 0.00% 972,300 0 0 0 972,300 982,023 9,723 1.00% 36,600 0 0 0 36,600 36,600 0 0.00% 390,000 0 0 0 390,000 410,000 20,000 5.13% 41,691,369 230,000 0 40,102 41,961,471 43,121,986 1,160,515 2.77% X31 (229,500) 0 (40,102) 3,535,929 5,059,814 Page 1 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd Amendment 3rtl Amentlment As Amended Proposed Budget $ NONRECURRING ACTIVIT Revenues Transfers in - #106 (solid waste repayment) 40,422 0 0 0 40,422 0 (40,422) (100.00%) Miscellaneous 0 0 0 0 0 0 0 0.00% Total Nonrecurring Revenues 40,422 0 0 0 40,422 0 (40,422) (100.00%) Expenditures General Government- IT capital replacements 107,000 0 0 0 107,000 190,000 83,000 77.57% Public Safety(fullfacliygenerator) 0 0 200,000 0 200,000 0 (200,000) (100.00%) Public Safety(carpet& workstation replacement) 50,000 0 0 0 50,000 15,000 (35,000) (70.00%) Economic Development (as tail racmitment) 25,000 0 0 0 25,000 0 (25,000) (100.00%) Building(egmpment for new Code Ent Or;cer) 0 0 0 0 0 13,700 13,700 0.00% Parks & Rec (carpe tat CenterPlace) 0 0 0 0 0 9,500 9,500 0.00% General Governmant (City Hall genera tor) 0 0 203,000 0 203,000 0 (203,000) (100.00%) Transfers out- #122 (replenish reserve) 0 120,000 0 0 120,000 0 (120,000) (100.00%) Transfers out -#309(Br owns Park restroom) 160,000 0 0 0 160,000 0 (160,000) (100.00%) Transfers out - #309 (Browns Park other) 1,000,000 0 0 0 1,000,000 0 (1,000,000) (100.00%) Transfers out -#309(CentarPlace west lawn) 0 0 0 500,000 500,000 1,500,000 1,000,000 200.00% Transfers out -#312('15 fund bar 150%) 0 7,109,300 0 0 7,109,300 0 (7,109,300) (100.00%) Transfers out- #501 (new Code Ent Vehicle) 0 0 0 0 0 30,000 30,000 0.00% Total Nonrecurring Expenditures 1,342,000 7,229,300 403,000 500,000 9,474,300 1,758,200 (7,716,100) (81.44%) Nonrecurring Revenues Over (Under) Nonrecurring Expenditures (1,301,578) (7,229,300) (403,000) (500,000) (9,433,878) (1,758,200) Excess (Deficit) of Total Revenues Over (Under) Total Expenditures 2,503,953 (7,458,800) (403,000) (540,102) (5,897,949) 3,301,614 Beginning unrestricted fund balance 36,817,803 36,817,803 30,919,854 Ending unrestricted fund balance 39,321,756 30,919,854 34,221,468 Fund balance as a percent of recurring expenddures 94.32% 73.69% 79.36% Page 2 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx SPECIAL REVENUE FUNDS #101 -STREET FUND RECURRING ACTIVITY Revenues Utility Tax Motor Vehicle Fuel (Gas) Tax Multimodal Transportation Revenue Right -of -Way Maintenance Fee Investment Interest Miscellaneous Total Recurring Revenues Expenditures Wages / Benefits/ Payroll Taxes Supplies Services & Charges Snow Operations Intergovernmental Payments Vehicle rentals - #501 (non plow vehicle cental) Vehicle rentals - #501 (p/ow replace) Total Recurring Expenditures Recurring Revenues Over (Under) Recurring Expenditures NONRECURRING ACTIVITY Revenues Transfers in - #122 Transfers in - #312 Total Nonrecurring Revenues Expenditures Spare traffic signal equipment Total Nonrecurring Expenditures Nonrecurring Revenues Over (Under) Nonrecurring Expenditures Excess (Deficit) of Total Revenues Over (Under) Total Expenditures Beginning fund balance Ending fund balance #103 - PATHS & TRAILS FUND Revenues Motor Vehicle Fuel (Gas) Tax Investment Interest Total revenues Expenditures Transfers out Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd I Amendment 3rtl Amentlment As Amended Proposed Budget $ 1,700,000 0 0 (100,000) 1,600,000 1,521,000 (79,000) (4.94%) 2,092,300 0 0 (61,400) 2,030,900 2,046,700 15,800 0.78% 132,200 0 0 0 132,200 131,500 (700) (0.53%) 70,000 0 0 0 70,000 70,000 0 0.00% 6,000 0 0 0 6,000 17,000 11,000 183.33% 10,000 0 0 0 10,000 10,000 0 0.00% 4,010,500 0 0 (161,400) 3,849,100 3,796,200 (52,900) (1.37% 1,044,547 13,197 0 0 1,057,744 1,059,613 1,869 0.18% 113,300 0 0 0 113,300 146,050 32,750 28.91% 2,308,818 18,156 0 0 2,326,974 2,426,467 99,493 4.28% 497,200 0 0 0 497,200 543,776 46,576 9.37% 855,000 0 0 0 855,000 922,000 67,000 7.84% 21,250 0 0 0 21,250 14,500 (6,750) (31.76%) 77,929 0 0 0 77,929 48,500 (29,429) (37.76%) 4,918,044 31,353 0 0 4,949,397 5,160,906 211,509 4.27% (907,544) (31,353) 0 (161,400) (1,100,297) (1,364,706) 0 120,000 0 0 120,000 0 (120,000) (100.00%) 907,544 0 0 0 907,544 1,364,706 457,162 50.37% 907,544 120,000 0 0 1,027,544 1,364,706 337,162 32.81% 0 0 68,000 0 68,000 0 (68,000) (100.00%) 0 0 68,000 0 68,000 0 (68,000) (100.00%) 907,544 120,000 (68,000) 0 959,544 1,364,706 0 88,647 (68,000) (161,400) (140,753) 0 784,972 784,972 644,219 784,972 644,219 644,219 8,800 400 8,800 8,600 (200) (2.27%) 400 400 0 0.00% 9,200 0 0 0 9,200 9,000 (200) (2.17%) 0 0 0 0 0 0 0 0.00% 0 0 0 0 0 0 0 0.00% 9,200 9,200 9,000 5,417 5,417 14,617 14,617 14,617 23,617 Page 3 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 SPECIAL REVENUE FUNDS - continuetl #104 - HOTEL 1 MOTEL TAX - TOURISM FACILITIES FUND Revenues Hotel/Motel Tax 2019 2020 Differe en 2019 and 2020 As1s[ Adopted AmentlmeM 2nd AmentlmeM 3rtl AmentlmeM As Amended Proposed Budget $ SPECIAL REVENUE FUNDS - continuetl #104 - HOTEL 1 MOTEL TAX - TOURISM FACILITIES FUND Revenues Hotel/Motel Tax 390,000 0 0 0 390,000 420,000 30,000 7.69% Investment Interest 7,000 0 0 0 7,000 24,000 17,000 242.86% Transfers in -#105 0 275,000 0 0 275,000 0 (275,000) (100.00%) Total revenues 397,000 275,000 0 0 672,000 444,000 (228,000) (33.93%) Expenditures (169,000) 277,929 277,929 Capital Outlay 0 0 0 0 0 0 0 0.00% Total expenditures 0 0 0 0 0 0 0 0.00% Revenues over (under) expenditures 397,000 672,000 444,000 Beginning fund balance 1,918,072 1,918,072 2,590,072 Ending fund balance 2,315,072 2,590,072 3,034,072 #105 -HOTEL I MOTEL TAX FUND Revenues Hotel/Motel Tax Investment Interest Total revenues Expenditures Transfers out- #001 Transfers out- #104 Tourism Promotion Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance #106 - SOLID WASTE FUND Revenues Solid Waste Administrative Fee Solid Waste Road Wear Fee Investment Interest Total revenues Expenditures Education/Contract Admin Transfers out- #001 Transfers out- #311 Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance #107 - PEG FUND Revenues Comcast PEG contribution Investment Interest Total revenues Expenditures PEG Reimbursement - CMTV Capital Outlay Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance 600,000 0 0 0 600,000 650,000 50,000 8.33% 2,000 0 0 0 2,000 6,000 4,000 200.00% 602,000 0 0 0 602,000 656,000 54,000 8.97% 30,000 0 0 0 30,000 30,000 0 0.00% 0 275,000 0 0 275,000 0 (275,000) (100.00%) 625,000 (275,000) 0 (108,000) 242,000 795,000 553,000 228.51% 655,000 0 0 (108,000) 547,000 825,000 278,000 50.82% (53,000) 55,000 (169,000) 277,929 277,929 332,929 224,929 332,929 163,929 225,000 0 0 0 225,000 225,000 0 0.00% 1,500,000 0 0 0 1,500,000 1,500,000 0 0.00% 1,300 0 0 0 1,300 12,000 10,700 823.08% 1,726,300 0 0 0 1,726,300 1,737,000 10,700 0.62% 185,878 0 0 0 185,878 237,000 51,122 27.50% 40,422 0 0 0 40,422 0 (40,422) (100.00%) 1,500,000 0 0 108,028 1,608,028 1,500,000 (108,028) (6.72%) 1,726,300 0 0 108,028 1,834,328 1,737,000 (97,328) (5.31%) 0 431,359 431,359 (108,028) 0 431,359 323,331 323,331 323,331 76,000 0 0 0 76,000 79,000 3,000 3.95% 0 0 0 0 0 0 0 0.00% 76,000 0 0 0 76,000 79,000 3,000 3.95% 40,100 0 0 0 40,100 39,500 (600) (1.50%) 31,000 0 0 0 31,000 45,500 14,500 46.77% 71,100 0 0 0 71,100 85,000 13,900 19.55% 4,900 4,900 (6,000) 84,831 84,831 89,731 89,731 89,731 83,731 Page 4 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd Amendment 3rtl Amentlment As Amended Proposed Budget $ SPECIAL REVENUE FUNDS - continuetl 0 Operations 0 Total expenditures 0 Revenues over (under) expenditures 0 Beginning fund balance #120 - CENTER PLACE OPERATING RESERVE FUND Ending fund balance 300,000 0 0 0 0 0 0.00% Revenues 0 0 0 0 0 0 0 0.00% Investment Interest 0 0 0 0 0 0 0 0.00% Miscellaneous 0 0 0 0 0 0 0 0.00% Total revenues 0 0 0 0 0 0 0 0.00% Expenditures 0 Operations 0 Total expenditures 0 Revenues over (under) expenditures 0 Beginning fund balance 300,000 Ending fund balance 300,000 #121 - SERVICE LEVEL STABILIZATION RESERVE FUND Revenues 0 0 0 0 0 0 0.00% 0 0 0 0 0 0 0.00% 0 0 300,000 300,000 300,000 300,000 Investment Interest 0 0 0 0 0 0 0 0.00% Miscellaneous 0 0 0 0 0 0 0 0.00% Total revenues 0 0 0 0 0 0 0 0.00% Expenditures Operations 0 0 0 0 0 0 0 0.00% Total expenditures 0 0 0 0 0 0 0 0.00% Revenues over (under) expenditures 0 0 0 Beginning fund balance 5,500,000 5,500,000 5,500,000 Ending fund balance 5,500,000 5,500,000 5,500,000 #122 - WINTER WEATHER RESERVE FUND Revenues Investment Interest Transfers in - #001 Total revenues Expenditures Street maintenance expenditures Transfers out- #101 Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance 5,000 0 0 0 5,000 5,400 400 8.00% 0 120,000 0 0 120,000 0 (120,000) (100.00%) 5,000 120,000 0 0 125,000 5,400 (119,600) (95.68%) 500,000 0 0 0 500,000 500,000 0 0.00% 0 120,000 0 0 120,000 0 (120,000) (100.00%) 500,000 120,000 0 0 620,000 500,000 (120,000) (19.35%) (495,000) (495,000) (494,600) 503,070 503,070 508,070 8,070 8,070 13,470 Page 5 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx DEBT SERVICE FUNDS #204 - LTGO BOND DEBT SERVICE FUND Revenues Spokane Public Facilities District Transfers in - #001 Transfers in - #301 Transfers in - #302 Total revenues Expenditures Debt Service Payments - Centerpiece Debt Service Payments - Roads Debt Service Payments - City Hall Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd I Amendment 3rtl Amentlment As Amended Proposed Budget $ 432,150 0 0 0 432,150 459,500 27,350 6.33% 401,250 0 0 0 401,250 401,450 200 0.05% 82,475 0 0 0 82,475 80,375 (2,100) (2.55%) 82,475 0 0 0 82,475 80,375 (2,100) (2.55%) 998,350 0 0 0 998,350 1,021,700 23,350 2.34% 432,150 0 0 0 432,150 459,500 27,350 6.33% 164,950 0 0 0 164,950 160,750 (4,200) (2.55%) 401,250 0 0 0 401,250 401,450 200 0.05% 998,350 0 0 0 998,350 1,021,700 23,350 2.34% 0 0 0 0 0 0 0 0 0 Page 6 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 8/14/2019 2020 Budget Expenditures 2019 2020 Differe en As 1st 2nd 3rd As Proposed 2 2020 (2.55%) Adopted Amendment Amendment Amendment Amended Budget 1 $ 355,587 CAPITAL PROJECTS FUNDS 48,731 13.70% Transfers out -#311 (pavement preservation) 734,300 0 0 0 734,300 #301 - REET 1 CAPITAL PROJECTS FUND 38,338 5.22% Total expenditures 984,209 0 0 188,153 1,172,362 Revenues 84,969 7.25% Revenues war (under) expenditures 40,791 252,638 REET 1 - Taxes 1,000,000 0 0 400,000 1,400,000 1,000,000 (400,000) (28.57%) Investment Interest 22,000 0 0 0 22,000 35,000 13,000 59.09% Total revenues 1,022,000 0 0 400,000 1,422,000 1,035,000 (387,000) (27.22%) Expenditures Transfers out -#204 82,475 0 0 0 82,475 80,375 (2,100) (2.55%) Transfers out -#303 504,172 0 0 (24,422) 479,750 1,005,864 526,114 109.66% Transfers out -#311(pavement presarvaran) 734,300 0 0 0 734,300 772,639 38,339 5.22% Transfers out- #314 (Barker Gale Separkran) 50,000 0 0 401,053 451,053 49,041 (402,012) (89.13%) Total expenditures 1,370,947 0 0 376,631 1,747,578 1,907,919 160,341 9.18% Revenues over (under) expenditures (348,947) (325,578) (872,919) Beginning fund balance 2,480,268 2,480,268 2,154,690 Ending fund balance 2,131,321 2,154,690 1,281,771 #302 - REET 2 CAPITAL PROJECTS FUND Revenues REET 2 -Taxes 1,000,000 0 0 400,000 1,400,000 1,000,000 (400,000) (28.57%) Investment Interest 25,000 0 0 0 25,000 35,000 10,000 40.00% Total revenues 1,025,000 0 0 400,000 1,425,000 1,035,000 (390,000) (27.37%) Expenditures Transfers out -#204 82,475 0 0 0 82,475 80,375 (2,100) (2.55%) Transfers out- #303 167,434 0 0 188,153 355,587 404,318 48,731 13.70% Transfers out -#311 (pavement preservation) 734,300 0 0 0 734,300 772,638 38,338 5.22% Total expenditures 984,209 0 0 188,153 1,172,362 1,257,331 84,969 7.25% Revenues war (under) expenditures 40,791 252,638 (222,331) Beginning fund balance 3,240,220 3,240,220 3,492,858 Ending fund balance 3,281,011 3,492,858 3,270,527 Page 7 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx Revenues Grant Proceeds Developer Transfers in - #301 Transfers in - #302 Transfers in - #312 Transfers in - #312 Transfers in - #312 Transfers in - #312 Total revenues CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted Amentlment 2nd I Amendment 3rtl Amentlment As Amended Proposed Budget $ Expenditures 123 Mission Ave.- Flora to Barker 142 Broadway @ Argonne/Mullan PCC intersection 166 Pines Rd (SR27) & Grace Ave. Intersect Safety 201 ITS Infill Project Phase 1 205 Sprague/Barker Intersections Improvement 247 8th & Carnahan Intersection Improvements 249 Sullivan/Wellesley Intersection 251 Euclid Ave.- Flora to Barker 258 32nd Ave Sidewalk - SR27 to Evergreen 259 N. Sullivan Corridor ITS Project 265 Wellesley Sidewalk Project 267 Mission Ave Sidewalk 273 Barker/1-90 Interchange 275 Barker Rd Widening- River to Euclid 276 Barker Rd Widening- Euclid to Garland 277 Barker Rd Widening - Garland to Trent 278 Wilbur Rd Sidewalk - Boone to Broadway 279 Knox Ave Sidewalk- Hutchinson to Sargent 281 Highland Estates Connector 285 Indiana Ave Pres - Evergreen to Sullivan 287 University Pres-Dishman-Mica to 16th 291 Adams Sidewalk Infill 293 2018 CSS Citywide Reflective Signal BP 294 Citywide Reflective Signal Post Panels 295 Garland Ave Construction 299 Argonne Rd Concrete Pvmt Indiana to Mont 300 Pines and Mission Intersection Improvement Ella Sidewalk - Broadway to Alki Park and Mission Intersection Improvements S. Conklin Sidewalk 069 Park Rd Reconstruction #2 (Repay Grant Funds Contingency Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance 5,000 4,408,681 675,600 0 (1,076,237) 4,008,044 0 35,700 1,500,000 0 (547,479) 988,221 0 504,172 0 0 (24,422) 479,750 0 167,434 0 0 188,153 355,587 Euclid Ave - Flora to Barker 5,000 0 0 0 5,000 8th & Carnahan Intersection 45,000 0 0 (45,000) 0 Barker Corridor 267,000 2,767,400 0 (722,852) 2,311,548 Garland Ave 0 1,500,000 0 (484,750) 1,015,250 (666,302) 5,432,987 6,443,000 0 (2,712,587) 9,163,400 Expenditures 123 Mission Ave.- Flora to Barker 142 Broadway @ Argonne/Mullan PCC intersection 166 Pines Rd (SR27) & Grace Ave. Intersect Safety 201 ITS Infill Project Phase 1 205 Sprague/Barker Intersections Improvement 247 8th & Carnahan Intersection Improvements 249 Sullivan/Wellesley Intersection 251 Euclid Ave.- Flora to Barker 258 32nd Ave Sidewalk - SR27 to Evergreen 259 N. Sullivan Corridor ITS Project 265 Wellesley Sidewalk Project 267 Mission Ave Sidewalk 273 Barker/1-90 Interchange 275 Barker Rd Widening- River to Euclid 276 Barker Rd Widening- Euclid to Garland 277 Barker Rd Widening - Garland to Trent 278 Wilbur Rd Sidewalk - Boone to Broadway 279 Knox Ave Sidewalk- Hutchinson to Sargent 281 Highland Estates Connector 285 Indiana Ave Pres - Evergreen to Sullivan 287 University Pres-Dishman-Mica to 16th 291 Adams Sidewalk Infill 293 2018 CSS Citywide Reflective Signal BP 294 Citywide Reflective Signal Post Panels 295 Garland Ave Construction 299 Argonne Rd Concrete Pvmt Indiana to Mont 300 Pines and Mission Intersection Improvement Ella Sidewalk - Broadway to Alki Park and Mission Intersection Improvements S. Conklin Sidewalk 069 Park Rd Reconstruction #2 (Repay Grant Funds Contingency Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance 5,000 0 0 23,791 28,791 12,500 0 0 (11,915) 585 5,000 0 0 0 5,000 5,000 0 0 0 5,000 35,700 0 0 17,402 53,102 45,000 0 0 (45,000) 0 1,167,287 0 0 (1,057,557) 109,730 5,000 0 0 0 5,000 5,000 0 0 (5,000) 0 730,000 0 0 (666,302) 63,698 382,000 0 0 209,125 591,125 420,000 0 0 (13,119) 406,881 500,000 0 0 310,000 810,000 132,000 178,000 0 (39,143) 270,857 81,000 3,265,000 0 (754,940) 2,591,060 54,000 0 0 (54,000) 0 354,500 0 0 60,867 415,367 294,000 0 0 67,619 361,619 200,000 0 0 (154,000) 46,000 0 0 0 0 0 0 0 0 79,000 79,000 0 0 0 62,406 62,406 0 0 0 23,250 23,250 0 0 0 5,200 5,200 0 3,000,000 0 (1,050,000) 1,950,000 0 0 0 48,000 48,000 0 0 0 72,000 72,000 0 0 0 30,979 30,979 0 0 0 112,750 112,750 0 0 0 16,000 16,000 0 0 0 0 0 1,000,000 0 0 0 1,000,000 5,432,987 6,443,000 0 (2,712,587) 9,163,400 0 0 67,041 67,041 67,041 67,041 3,830,781 110,499 1,005,864 404,318 0 0 0 75,000 5,426,462 0 0 0 0 195,499 0 940,410 0 0 810,232 0 19,852 90,000 0 0 0 0 0 0 300,000 0 444,645 99,000 47,775 150,000 32,000 516,000 371,760 0 124,125 285,164 1,000,000 5,426,462 0 67,041 67,041 Note: Workpedormed for pavement preservation projects outafthe Sheet Capital Projects Fund isloritems such as sidewalk upgrades that the were bid with the pavementpreservaran work Page 8 of 20 (177,263) (877,722) 526,114 48,731 (5,000) 0 (2,311,548) (940,250) (28,791) (585) (5,000) (5,000) 142,397 0 830,680 (5,000) 0 746,534 (591,125) (387,029) (720,000) (270,857) (2,591,060) 0 (415,367) (361,619) (46,000) 300,000 (79,000) 382,239 75,750 42,575 (1,800,000) (16,000) 444,000 340,781 (112,750) 108,125 285,164 0 (4.42%) (88.82%) 109.66% 13.70% (100.00%) 0.00% (100.00%) (92.61%) (100.00%) (100.00%) (100.00%) (100.00%) 268.16% 0.00% 757.02% (100.00%) 0.00% 1171.99% (100.00%) (95.12%) (88.89%) (100.00%) (100.00%) 0.00% (100.00%) (100.00%) (100.00%) 0.00% (100.00%) 612.50% 325.81% 818.75% (92.31%) (33.33%) 616.67% 1100.04% (100.00%) 675.78% 0.00% 0.00% P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CAPITAL PROJECTS FUNDS - coMinuetl #309 - PARK CAPITAL PROJECTS FUND Revenues Grant Proceeds Transfers in - #001 Transfers in - #312 Total revenues Expenditures 237 Appleway Trail (Sullivan to Corbin) 268 Appleway Trail (Evergreen to Sullivan) 280 Appleway Trail Amenities (Univ -Pines) 282 Browns Park volleyball courts 293 Browns Park improvements Swingsets Resurface Discovery Park Centerpiece west lawn improvements - Ph. 2 Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differ; 20 2020 As Adopted 1s[ AmentlmeM 2nd Amendment 3rtl Amen tlmeM As Amended Proposed Budget /en $ EI 572,308 0 0 2,132,152 2,704,460 2,500 (2,701,960) (99.91%) 2,293,021 1,320,000 0 0 500,000 1,820,000 1,660,000 (160,000) (8.79%) 0 14,788 0 0 296,450 311,238 7,500 (303,738) (97.59%) 0 1,907,096 0 0 2,928,602 4,835,698 1,670,000 (3,165,698) (65.47%) 0 5,000 0 0 11,791 16,791 72,500 0 0 2,293,021 2,365,521 509,595 0 0 177,920 687,515 0 0 0 1,249 1,249 1,160,000 0 0 0 1,160,000 25,000 0 0 0 25,000 40,000 0 0 0 40,000 0 0 0 500,000 500,000 1,812,095 0 0 2,983,981 4,796,076 95,001 39,622 39,294 39,294 134,295 Revenues 78,916 #310 - CIVIC FACILITIES CAPITAL PROJECTS FUND Revenues Investment Interest 9,000 0 0 0 9,000 17,000 8,000 88.89% 9,000 0 0 0 9,000 17,000 8,000 88.89% 0 (16,791) (100.00%) 5,000 (2,360,521) (99.79%) 0 (687,515) (100.00%) 0 (1,249) (100.00%) 5,000 (1,155,000) (99.57%) 0 (25,000) (100.00%) 0 (40,000) (100.00%) 1,500,000 1,000,000 200.00% 1,510,000 (3,286,076) (68.52%) 160,000 78,916 238,916 Total revenues Expenditures Miscellaneous Transfers out- #312 Total expenditures 0 0 0 0 0 0 0 0.00% 0 0 0 18,452 18,452 0 (18,452) (100.00%) 0 0 0 18,452 18,452 0 (18,452) (100.00%) Revenues over (under) expenditures 9,000 Pavement preservation (9,452) 17,000 4,217,523 (5,042,298) (54.45%) Pre -project GeoTech Beginning fund balance 857,737 50,000 0 0.00% Total expenditures 7,288,200 0 857,737 848,285 Revenues over (under) expenditures (1,527,300) Ending fund balance 866,737 Beginning fund balance 4,637,315 4,637,315 848,285 865,285 3,110,015 3,385,649 Note: The fund balance in#310 includes $839,281 10 paid by the Library District for 282 acresatthe Balfour Parksite. if the District does notsucceed in getting e voted bond approved by October2017 then the City may repurchase this land atthe onginaisaie price of $839,285 10 #311- PAVEMENT PRESERVATION Revenues Transfers in -#001 972,300 0 0 0 972,300 982,023 9,723 1.00% Transfers in -#106 1,500,000 0 0 108,028 1,608,028 1,500,000 (108,028) (6.72%) Transfers in -#301 734,300 0 0 0 734,300 772,639 38,339 5.22% Transfers in -#302 734,300 0 0 0 734,300 772,638 38,338 5.22% Grant Proceeds 1,820,000 0 0 1,049,227 2,869,227 10,588 (2,858,639) (99.63%) Developer 0 0 0 1,140,000 1,140,000 0 (1,140,000) (100.00%) Total revenues 5,760,900 0 0 2,297,255 8,058,155 4,037,888 (4,020,267) (49.89%) Expenditures Pavement preservation 7,238,200 0 0 2,021,621 9,259,821 4,217,523 (5,042,298) (54.45%) Pre -project GeoTech 50,000 0 0 0 50,000 50,000 0 0.00% Total expenditures 7,288,200 0 0 2,021,621 9,309,821 4,267,523 (5,042,298) (54.16%) Revenues over (under) expenditures (1,527,300) (1,251,666) (229,635) Beginning fund balance 4,637,315 4,637,315 3,385,649 Ending fund balance 3,110,015 3,385,649 3,156,014 Page 9 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 8/14/2019 2020 Budget Expenditures 2019 3,800,000 0 0 (394,024) 3,405,976 2020 Differ en Transfers out- #101 907,544 As1s[ 0 2nd 3rd As Proposed 50.37% 2020 5,000 0 Adopted Amentlment Amendment Amendment Amended Budget (100.00%) Transfers out- #303 (8th & Carnahan intersection) CAPITAL PROJECTS FUNDS - continuetl 0 0 (45,000) 0 0 0 0.00% Transfers out - #303 (Barker Road CorrMor) #312- CAPITAL RESERVE FUND 2,767,400 0 (722,852) 2,311,548 0 (2,311,548) (100.00%) Transfers out -#303(Garland Ave.) Revenues 1,500,000 0 (484,750) 1,015,250 75,000 (940,250) (92.61%) Transfers out -#309(Appieway Traii- SuiiivanCork Transfers in -#001 0 7,109,300 0 0 7,109,300 0 (7,109,300) (100.00%) Transfers in -#310 0 0 0 18,452 18,452 0 (18,452) (100.00%) Transfers in -#313 0 0 0 88,590 88,590 0 (88,590) (100.00%) Investment Interest 50,000 0 0 0 50,000 100,000 50,000 100.00% Total revenues 50,000 7,109,300 0 107,042 7,266,342 100,000 (7,166,342) (98.62%) Expenditures 143 Barker BNSF Grade Separation 3,800,000 0 0 (394,024) 3,405,976 11,475,292 8,069,316 236.92% 223 Pines Rd Underpass Transfers out- #101 907,544 0 0 0 907,544 1,364,706 457,162 50.37% Transfers out - #303 (Eucid Ave -Fiore to Barker) 5,000 0 0 0 5,000 0 (5,000) (100.00%) Transfers out- #303 (8th & Carnahan intersection) 45,000 0 0 (45,000) 0 0 0 0.00% Transfers out - #303 (Barker Road CorrMor) 267,000 2,767,400 0 (722,852) 2,311,548 0 (2,311,548) (100.00%) Transfers out -#303(Garland Ave.) 0 1,500,000 0 (484,750) 1,015,250 75,000 (940,250) (92.61%) Transfers out -#309(Appieway Traii- SuiiivanCork 5,000 0 0 (5,000) 0 0 0 0.00% Transfers out -#309(Appieway Traii- Evergreen -Si 9,788 0 0 301,450 311,238 7,500 (303,738) (97.59%) Transfers out - #314 (Pines Pd Underpass) 0 0 0 0 0 64,192 64,192 0.00% Total expenditures 1,239,332 4,267,400 0 (956,152) 4,550,580 1,511,398 (3,039,182) (66.79%) Revenues over (under) expenditures (1,189,332) 0 0 0 2,715,762 (1,411,398) 64,192 64,192 Beginning fund balance 8,974,920 3,800,000 0 0 8,974,920 11,690,682 12,921,984 9,516,008 Ending fund balance 7,785,588 11,690,682 10,279,284 #313 - CITY HALL CONSTRUCTION FUND Revenues Investment Interest 0 0 0 954 954 0 (954) (100.00%) Total revenues 0 0 0 954 954 0 (954) (100.00%) Expenditures 143 Barker BNSF Grade Separation 3,800,000 0 0 (394,024) 3,405,976 11,475,292 8,069,316 236.92% 223 Pines Rd Underpass Transfers out -#312 0 0 0 88,590 88,590 0 (88,590) (100.00%) Total expenditures 0 0 0 88,590 88,590 0 (88,590) (100.00%) Revenues over (under) expenditures 0 (87,636) 0 Beginning fund balance 87,636 87,636 0 Ending fund balance 87,636 0 0 #314 - RAILROAD GRADE SEPARATION PROJECTS FUND Revenues Grant Proceeds 3,750,000 0 0 (795,077) 2,954,923 12,808,751 9,853,828 333.47% Transfers in #301 50,000 0 0 401,053 451,053 49,041 (402,012) (89.13%) Transfers in #312 0 0 0 0 0 64,192 64,192 0.00% Total revenues 3,800,000 0 0 (394,024) 3,405,976 12,921,984 9,516,008 279.39% Expenditures 143 Barker BNSF Grade Separation 3,800,000 0 0 (394,024) 3,405,976 11,475,292 8,069,316 236.92% 223 Pines Rd Underpass 900,000 0 0 0 900,000 1,562,500 662,500 73.61% Total expenditures 4,700,000 0 0 (394,024) 4,305,976 13,037,792 8,731,816 202.78% Revenues over (under) expenditures (900,000) (900,000) (115,808) Beginning fund balance 1,036,472 1,036,472 136,472 Ending fund balance 136,472 136,472 20,664 Page 10 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 2019 and 2020 As1s[ Adopted AmentlmeM 2nd AmentlmeM 3rtl AmentlmeM As Amended Proposed Budget $ ENTERPRISE FUNDS 1,910,000 #402-STORMWATER FUND 0 RECURRING ACTIVITY 1,910,000 Revenues 30,000 Stormwater Management Fees 1,890,000 Investment Interest 20,000 Miscellaneous 0 0 1,890,000 1,900,000 10,000 0.53% 0 20,000 40,000 20,000 100.00% 0 0 0 0 0.00% Total Recurring Revenues 1,910,000 0 0 0 1,910,000 1,940,000 30,000 1.57% Expenditures 0 0 10,000 0 (10,000) (100.00%) 100,000 0 Wages/ Benefits/ Payroll Taxes 494,273 8,052 0 0 502,325 519,582 17,257 3.44% Supplies 10,700 0 0 0 10,700 14,750 4,050 37.85% Services & Charges 1,182,109 54,466 0 0 1,236,575 1,298,153 61,578 4.98% Intergovernmental Payments 37,500 0 0 0 37,500 37,500 0 0.00% Vehicle rentals -#501 12,750 0 0 0 12,750 14,000 1,250 9.80% Total Recurring Expenditures 1,737,332 62,518 0 0 1,799,850 1,883,985 84,135 4.67% Recurring Revenues Over (Under) Recurring Expenditures NONRECURRING ACTIVITY Revenues Grant Proceeds Miscellaneous Total Nonrecurring Revenues Expenditures Capital - various projects Effectiveness study Watershed studies Stormwater comprehensive plan update Total Nonrecurring Expenditures Nonrecurring Revenues Over (Under) Nonrecurring Expenditures Excess (Deficit) of Total Revenues Over (Under) Total Expenditures Beginning working capital Ending working capital #403 - AQUIFER PROTECTION AREA Revenues Spokane County Grant Proceeds Investment Interest Total revenues Expenditures Capital - various projects Total expenditures Revenues over (under) expenditures Beginning working capital Ending working capital 172,668 (62,518) 0 0 110,150 56,015 106,000 0 0 0 106,000 59,828 (46,172) (43.56%) 0 0 0 0 0 0 0 0.00% 106,000 0 0 0 106,000 59,828 (46,172) (43.56%) 450,000 0 0 0 450,000 500,000 50,000 11.11% 10,000 0 0 0 10,000 0 (10,000) (100.00%) 100,000 0 0 0 100,000 80,000 (20,000) (20.00%) 0 0 0 0 0 100,000 100,000 0.00% 560,000 0 0 0 560,000 680,000 120,000 21.43% (454,000) 0 0 0 (454,000) (620,172) (281,332) (62,518) 0 0 (343,850) (564,157) 2,216,210 2,216,210 1,872,360 1,934,878 1,872,360 1,308,203 460,000 0 0 0 460,000 460,000 0 0.00% 317,200 0 0 0 317,200 349,000 31,800 10.03% 10,000 0 0 0 10,000 20,000 10,000 100.00% 787,200 0 0 0 787,200 829,000 41,800 5.31% 832,600 0 0 0 832,600 500,000 (332,600) (39.95%) 832,600 0 0 0 832,600 500,000 (332,600) (39.95%) (45,400) (45,400) 329,000 1,840,005 1,840,005 1,794,605 1,794,605 1,794,605 2,123,605 Page 11 of 20 P:\Finance\2020 Bud get\Budget Works he ets\RCAs and Intros and PowerPoint Presentations\2019 08 20\bud get summary as of 2019 08 20.xlsx INTERNAL SERVICE FUNDS #501 - ER&R FUND Revenues Vehicle rentals - #001 Vehicle rentals - #101 Vehicle rentals - #101 (plow replace.) Vehicle rentals - #402 Transfers in - #001 (CenterPlace kitchen reserve) Transfers in - #001 (Code Enr ox,nrent Vehicle) Investment Interest Total revenues Expenditures Small tools & minor equipment Vehicle purchase Snow plow purchase Total expenditures Revenues over (under) expenditures Beginning working capital Ending working capital #502 - RISK MANAGEMENT FUND Revenues Investment Interest Transfers in - #001 Total revenues Expenditures Auto & Property Insurance Miscellaneous Total expenditures Revenues over (under) expenditures Beginning fund balance Ending fund balance TOTAL OF ALL FUNDS CITY OF SPOKANE VALLEY, WA 2020 Budget 8/14/2019 2019 2020 Differe en 1st 2nd 3rd As Proposed 2019 and 2020 [ad AmentlmeM I Amendment I Amendment I Amend Budget $ 30,000 0 0 0 30,000 28,000 (2,000) (6.67%) 21,250 0 0 0 21,250 14,500 (6,750) (31.76%) 77,929 0 0 0 77,929 48,500 (29,429) (37.76%) 12,750 0 0 0 12,750 14,000 1,250 9.80% 36,600 0 0 0 36,600 36,600 0 0.00% 0 0 0 0 0 30,000 30,000 0.00% 9,500 0 0 0 9,500 19,000 9,500 100.00% 188,029 0 0 0 188,029 190,600 2,571 1.37% 20,000 0 0 0 20,000 20,000 0 0.00% 0 0 0 0 0 30,000 30,000 0.00% 0 0 0 0 0 235,000 235,000 0.00% 20,000 0 0 0 20,000 285,000 265,000 1325.00% 168,029 total expenditures) 168,029 (94,400) 471,000 1,898,991 1,290,971 25,705,977 1,290,971 1,459,000 1,459,000 1,459,000 1,364,600 0 0 0 0 0 0 0 0.00% 390,000 0 0 0 390,000 410,000 20,000 5.13% 390,000 0 0 0 390,000 410,000 20,000 5.13% 390,000 0 0 0 390,000 410,000 20,000 5.13% 0 0 0 0 0 0 0 0.00% 390,000 0 0 0 390,000 410,000 20,000 5.13% 0 0 0 263,778 263,778 263,778 263,778 263,778 263,778 Total of Revenues for all Funds 76,657,428 14,067,800 0 2,865,842 93,591,070 86,967,568 Total of Expenditures for all Funds 78,269,865 18,383,571 471,000 2,154,795 99,279,231 86,887,202 Total grant revenues (included in total revenues) 10,974,189 675,600 0 1,310,065 12,959,854 17,061,448 Total Capital expenditures (included in total expenditures) 20,603,882 6,443,000 471,000 1,898,991 29,416,873 25,705,977 Page 12 of 20 P:\Finance\2020 Budget\Budget Work sheets\RCAs and Intros and Powe rPoi nt Presentations\2019 08 20\budget summary as of 2019 08 20.xIsx CIN OF SPOKANE VALLEY, WA 2020 Budget General Fund RECURRING ACTIVITY Revenues Property Tax Sales Tax Sales Tax- Public Safety Sales Tax- Criminal Justice Gambling Tax and Leasehold Excise Tax Franchise Fees/Business Registration State Shared Revenues Fines and Forfeitures/Public Safety Community and Public Works Recreation Program Revenues Miscellaneous Department Revenue Miscellaneous & Investment Interest Transfers in - #105 (h /m tax -CP advertising) Total Recurring Revenues Expenditures City Council City Manager City Attorney Public Safety Deputy City Manager Finance /IT Human Resources City Hall Operations and Maintenance Community& Public Works- Engineering Community & Public Works - Economic Dev Community & Public Works - Building & Plannin Parks & Rec - Administration Parks & Rec - Maintenance Parks & Rec - Recreation Parks & Rec- Aquatics Parks & Rec - Senior Center Parks & Rec - CenterPlace General Government Transfers out - #204 (2016 LTGO debt semce) Transfers out - #309 (park capfaipmjects) Transfers out - #311 (pavement presematcn) Transfers out - #501 (Centerpiece kfchen reserve, Transfers out - #502 (insurance premium) Total Recurring Expenditures Recurring Revenues Over (Under) Recurring Expenditures 0/14/2019 2019 2020 fference Between Amendedof $ as 2019 and 2020 Budget 6/19 Chane revised $ 12,054,400 12,332,400 0 12,332,400 270,000 2.31% 22,917,000 24,331,700 301,200 24,632,900 1,715,900 7.49% 1,001,900 1,139,100 23,500 1,162,600 00,700 7.46% 1,944,000 2,016,100 36,200 2,052,300 100,300 5.57% 307,000 304,000 0 304,000 (3,000) (0.78%) 1,224,000 1,220,000 0 1,220,000 (4,000) (0.33%) 1,909,800 1,657,300 30,900 1,688,200 (221,600) (11.60%) 1,078,500 1,077,700 0 1,077,700 (800) (0.07%) 1,882,300 2,129,800 0 2,129,800 247,500 13.15% 628,800 659,200 0 659,200 30,400 4.83% 1,500 21,000 0 21,000 19,500 1300.00% 358,200 791,700 0 791,700 433,500 121.02% 30,000 30,000 0 30,000 0 0.00% 45,497,400 47,790,000 391,800 48,181,800 2,684,400 5.90% 622,461 622,187 0 622,187 (274) (0.04%) 964,527 990,125 7,757 997,882 33,355 3.46% 648,756 638,574 69,368 707,942 59,186 9.12% 25,927,488 26,499,214 0 26,499,214 571,726 2.21% 271,044 277,187 0 277,187 6,143 2.27% 1,427,700 1,426,425 52,098 1,478,523 50,823 3.56% 305,843 313,316 0 313,316 7,473 2.44% 291,894 296,270 0 296,270 4,376 1.50% 1,841,617 1,971,731 0 1,971,731 130,114 7.07% 1,030,737 1,089,829 30,000 1,119,829 89,092 8.64% 2,281,474 2,316,951 103,463 2,420,414 138,940 6.09% 340,120 352,227 0 352,227 12,107 3.56% 893,500 917,500 0 917,500 24,000 2.69% 254,818 362,522 (36,601) 325,921 71,103 27.90% 491,153 501,853 0 501,853 10,700 2.18% 102,907 7,100 36,347 43,447 (59,460) (57.78%) 956,332 965,359 0 965,359 9,027 0.94%- 1,348,950 1,318,000 3,111 1,321,111 (27,839) (2.06%) 401,250 401,450 0 401,450 200 0.05% 160,000 160,000 0 160,000 0 0.00% 972,300 982,023 0 982,023 9,723 1.00% 36,600 36,600 0 36,600 0 0.00% 390,000 410,000 0 410,000 20,000 5.13% 41,961,471 42,856,443 265,543 43,121,986 1,160,515 2.77% 3,535,929 4,933,557 126,257 5,059,814 Page 13 of 20 Net ddlerence $358,146 Net ddlerence $67,477 P:\Finance\2020 Budget\Budget Work sheets\RCAs and Intros and Powe rPoi nt Presentations\2019 08 20\budget summary as of 2019 08 20.xIsx CIN OF SPOKANE VALLEY, WA 2020 Budget General Fund 8/14/2019 Expenditures General Government- IT capital replacements 107,000 2019 2020 190,000 fference Between 77.57% Public Safety (full facility generator) Amended as of $ as (200,000) 2019 and 2020 Public Safety(carpet& workstation replacement) 50,000 Budget 6/11/2019 1 Chane I revised (70.00%) $ % NON RECURRING ACTIVITY 0 0 0 Revenues (100.00%) Building (equipment for new Code Enf Officer) 0 Transfers in - #106 (solid waste repayment) 40,422 0 0 0 (40,422) (100.00%) Total Nonrecurring Revenues 40,422 0 0 0 (40,422) (100.00%) Expenditures General Government- IT capital replacements 107,000 190,000 0 190,000 83,000 77.57% Public Safety (full facility generator) 200,000 0 0 0 (200,000) (100.00%) Public Safety(carpet& workstation replacement) 50,000 0 15,000 15,000 (35,000) (70.00%) Economic Development (retailrecru.tment) 25,000 0 0 0 (25,000) (100.00%) Building (equipment for new Code Enf Officer) 0 0 13,700 13,700 13,700 0.00% Parks & Rec (carpet at CenterPlace) 0 0 9,500 9,500 9,500 0.00% General Government (Cly Hallgenerator) 203,000 0 0 0 (203,000) (100.00%) Transfers out - #122 (replenish reserve) 120,000 0 0 0 (120,000) (100.00%) Transfers out - #309 (Browns Park restroom) 160,000 0 0 0 (160,000) (100.00%) Transfers out - #309 (Browns Park other) 1,000,000 0 0 0 (1,000,000) (100.00%) Transfers out -#309(CenterPlace west lawn) 500,000 0 1,500,000 1,500,000 1,000,000 200.00% Transfers out -#312('17 fund ban 50%) 7,109,300 0 0 0 (7,109,300) (100.00%) Transfers out - #501 (new Code Enf. Vehicle) 0 0 30,000 30,000 30,000 0.00% Total Nonrecurring Expenditures 9,474,300 190,000 1,568,200 1,758,200 (7,716,100) (81.44%) Nonrecurring Revenues Over (Under) Nonrecurring Expenditures (9,433,878) (190,000) (1,758,200) Excess (Deficit) of Total Revenues Over(U nder) Total Expen ditu res (5,897,949) 4,743,557 Beginning unrestricted fund balance 36,817,803'1 124 30,919,854 Ending unrestricted fund balance 30,919,854 39 9 34,221,468 Ending fund balance as a percent of recurring expenditures Recurring Expenditures Public Safety 25,927,488 26,499,214 0 26,499,214 2.21% 61.45% All other departments 16,033,983 -Tf,7M77T- 16,357,229 265,543 16,622,772 3.67% 38.55% 42,856,443 265,543 43,121,986 2.77% 100.00% Page 14 of 20 P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 8/14/2019 General Fund #001 2020 Budget Worksheets - Expenditure Changes from June 11 to August 20, 2019 Account Number n Line -Item Line -Item Budget @ Increase Budget @ 6/11/2019 Decrease 8/20/2019 Revenues 001.000.000.313.10.00 Sales Tax 24,331,700 301,200 24,632,900 001.000.000.313.15.00 Sales Tax -Public Safety 1,139,100 23,500 1,162,600 001.000.000.313.71.00 Sales Tax - Criminal Justice 2,016,100 36,200 2,052,300 001.000.000.336.06.21 MVET Criminal Justice - Population 32,500 (2,500) 30,000 001.000.000.336.06.26 Criminal Justice Special Programs 107,300 1,000 108,300 001.000.000.336.06.42 Marijuana Excise Tax Distribution 111,100 (900) 110,200 001.000.000.336.06.94 Liquor Board Excise Tax 505,000 26,000 531,000 001.000.000.336.06.95 Liquor Board Profits 718,400 7,300 725,700 391,800 Ex enditures City Manager 001.013.000.513.10.10.00 Wages R 640,665 6,384 647,049 001.013.000.513.10.20.00 Payroll Taxes and Benefits R 271,970 1,373 273,343 7,757 City Attorney 001.013.015.515.32.10.00 Wages R 364,291 38,670 402,961 001.013.015.515.32.20.00 Payroll Taxes and Benefits R 145,671 30,698 176,369 69,368 Public Safety 001.016.099.521.50.48.01 Building Repair & Maintenance N 0 15,000 10,000 15,000 Finance 001.018.014.514.23.10.00 Wages R 958,656 27,504 986,160 001.018.014.514.23.20.00 Payroll Taxes and Benefits R 433,199 24,594 457,793 52,098 Community & Public Works - Economic Development 001.040.042.558.70.41.05 Professional Services R 30,000 30,000 60,000 30,000 Community & Public Works - Building and Planning 001.040.043.524.60.10.00 Wages - Code Enf. R 56,856 55,000 111,856 001.040.043.524.60.20.00 Payroll Taxes and Benefits R 21,908 39,963 61,871 001.040.043.524.60.32.01 Fuel R 1,700 1,700 3,400 001.040.043.524.60.42.03 Cell Phones R 1,000 1,000 2,000 001.040.043.524.60.43.01 Travel/Mileage R 1,000 200 1,200 001.040.043.524.60.49.02 Memberships R 200 100 300 001.040.043.524.60.49.04 Registrations R 700 500 1,200 001.040.043.524.60.49.08 Code Enforcement Abatement R 11,000 5,000 16,000 001.040.099.524.60.31.06 Safety Equipment N 0 200 200 001.040.099.524.60.35.01 Small Tools N 0 3,500 3,500 001.040.099.594.24.64.01 Office Furniture N 0 10,000 10,000 001.040.099.597.50.00.10 Transfers out - #501 (additional vehicle) N 0 30,000 30,000 147,163 Page 15 of 20 P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 8/14/2019 General Fund #001 2020 Budget Worksheets - Expenditure Changes from June 11 to August 20, 2019 Account Numbe 7 n Line -Item Line -Item Budget @ Increase Budget @ 6/11/2019 Decrease 8/20/2019 Ex enditures - continued Parks & Recreation - Recreation 001.076.301.571.10.10.00 Wages R 108,468 (21,466) 87,002 001.076.301.571.10.20.00 Payroll Taxes and Benefits R 67,879 (15,135) 52,744 (36, 601) Parks & Recreation - Senior Center 001.076.304.575.50.10.00 Wages R 0 20,640 20,640 001.076.304.575.50.20.00 Payroll Taxes and Benefits R 0 15,707 15,707 36,347 Parks & Recreation - CenterPlace 001.076.099.575.50.48.01 Replace carpeting N 0 9,500 9,500 001.076.099.597.30.00.90 Transfers out - #309 (west lawn imp) N 0 1,500,000 1,500,000 1,509,500 General Government 001.090.000.553.70.44.03 Spokane Regional Clean Air Agency R 137,300 3,111 140,411 3,111 Total changes in General Fund expenditures 1,833,743 R = recurring N = nonrecurring Page 16 of 20 265,543 1,568,200 1,833,743 P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget General Fund Department Changes from 2019 to 2020 City Council Wages, Payroll Taxes & Benefits Supplies Services & Charges Total City Manager Wages, Payroll Taxes & Benefits Supplies Services & Charges Total City Attorney Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Public Safety Non -Departmental (Fines & Forfeits) Wages/Payroll Taxes/Benefits Supplies Other Services and Charges Intergovernmental Services Total Deputy City Manager Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Finance/IT Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Human Resources Wages, Payroll Taxes & Benefits Supplies Services & Charges Total City Hall Operations & Maintenance Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Difference Between 2019 2019 and 2020 Amended 2020 Increase (Decrease) Budget Budget $ % 270,873 290,187 19,314 7.13% 4,950 4,950 0 0.00% 346,638 327,050 (19,588) (5.65%) 622,461 622,187 (274) (0.04%) 887,537 920,892 33,355 3.76% 4,300 4,300 0 0.00% 72,690 72,690 0 0.00% 964,527 997,882 33,355 3.46% 529,951 616,403 86,452 16.31% 2,351 4,414 2,063 87.75% 116,454 87,125 (29,329) (25.19%) 648,756 707,942 59,186 9.12% 589,150 516,550 (72,600) (12.32%) 12,184 13,266 1,082 8.88% 25,750 30,500 4,750 18.45% 748,266 587,515 (160,751) (21.48%) 24,552,138 25,351,383 799,245 3.26% 25,927,488 26,499,214 571,726 2.21% 224,619 234,012 9,393 4.18% 2,000 950 (1,050) (52.50%) 44,425 42,225 (2,200) (4.95%) 271,044 277,187 6,143 2.27% 1,393,130 1,443,953 50,823 3.65% 6,450 6,450 0 0.00% 28,120 28,120 0 0.00% 1,427,700 1,478,523 50,823 3.56% 269,980 281,331 11,351 4.20% 1,630 1,280 (350) (21.47%) 34,233 30,705 (3,528) (10.31%) 305,843 313,316 7,473 2.44% 90,839 94,270 3,431 3.78% 30,500 28,000 (2,500) (8.20%) 170,555 174,000 3,445 2.02% 291,894 296,270 4,376 1.50% Continued to next a e Page 17 of 20 P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget General Fund Department Changes from 2019 to 2020 Difference Between 2019 2019 and 2020 Amended 2020 Increase (Decrease) Budget Budget $ % (Continued from previous page) Community & Public Works - Engineering Wages, Payroll Taxes & Benefits 1,628,048 1,726,845 98,797 6.07% Supplies 27,100 32,850 5,750 21.22% Services & Charges 186,469 212,036 25,567 13.71% Total 1,841,617 1,971,731 130,114 7.07% Communitv & Public Works - Economic Dev Wages, Payroll Taxes & Benefits 670,942 724,084 Supplies 3,000 3,000 Services & Charges 356,795 392,745 Total 1,030,737 1,119, 829 Communitv & Public Works - Buildina & Plannin Wages, Payroll Taxes & Benefits 1,926,519 Supplies 44,200 Services & Charges 285,755 Intergovernmental Services 25,000 Total 2,281,474 Parks & Rec- Admin Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Parks & Rec- Maintenance Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Parks & Rec- Recreation Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Parks & Rec- Aquatics Wages, Payroll Taxes & Benefits Supplies Services & Charges Total Parks & Rec- Senior Center Wages, Payroll Taxes & Benefits Supplies Services & Charges Total 271,865 4,750 63,505 340,120 161,863 8,650 84,305 254,818 2,000 489,153 491,153 2,044,559 47,000 328,855 0 2,420,414 283,127 5,000 64,100 352,227 0 3,500 914,000 917,500 231,081 8,650 86,190 325,921 2,000 499,853 501,853 96,407 36,347 1,600 1,600 4,900 5,500 102,907 43,447 138,940 6.09% Page 18 of 20 53,142 7.92% 0 0.00% 35,950 10.08% 89,092 8.64% 118,040 6.13% 2,800 6.33% 43,100 15.08% (25,000) (100.00%) 138,940 6.09% 11,262 4.14% 250 5.26% 595 0.94% 12,107 3.56% 0 0.00% (500) (12.50%) 24,500 2.75% 24,000 2.69% 69,218 42.76% 0 0.00% 1,885 2.24% 71,103 27.90% 0 0.00% 0 0.00% 10,700 2.19% 10,700 2.18% (60,060) (62.30%) 0 0.00% 600 12.24% (59,460) (57.78%) Continued to next a e P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA 2020 Budget General Fund Department Changes from 2019 to 2020 Difference Between 2019 2019 and 2020 Amended 2020 Increase (Decrease) Budget Budget $ % (Continued from previous page) Parks & Rec- CenterPlace Wages, Payroll Taxes & Benefits 541,273 538,083 (3,190) (0.59%) Supplies 70,774 85,537 14,763 20.86% Services & Charges 344,285 341,739 (2,546) (0.74%) Total 956,332 965,359 9,027 0.94% General Government Wages, Payroll Taxes & Benefits 0 0 0 0.00% Supplies 86,350 99,000 12,650 14.65% Services & Charges 841,900 802,100 (39,800) (4.73%) Intergovernmental Services 355,700 362,511 6,811 1.91% Capital outlays 65,000 57,500 (7,500) (11.54%) Total 1,348,950 1,321,111 (27,839) (2.06%) Transfers out - #204 debt service 401,250 401,450 200 0.05% Transfers out - #309 park capital pro160,000 160,000 0 0.00% Transfers out - #311 Pavement Preservation 972,300 982,023 9,723 1.00% Transfers out - #501 CenterPlace Kitchen Reserve 36,600 36,600 0 0.00% Transfers out -#502 390,000 410,000 20,000 5.13% Total recurring expenditures 41,961,471 43,121,986 1,160,515 2.77% Summary by Cateao Wages, Payroll Taxes & Benefits 8,976,030 9,478,440 502,410 5.60% Supplies 330,355 368,981 38,626 11.69% Services & Charges 5,107,948 4,996,548 (111,400) (2.18%) Transfers out -#204 401,250 401,450 200 0.05% Transfers out - #309 160,000 160,000 0 0.00% Transfers out - #311 - Pavement Presery 972,300 982,023 9,723 1.00% Transfers out - #501 36,600 36,600 0 0.00% Transfers out -#502 390,000 410,000 20,000 5.13% Non -Departmental (fines & forfeits) 589,150 516,550 (72,600) (12.32%) Intergovernmental Svc (public safety) 24,552,138 25,351,383 799,245 3.26% Intergovernmental Svc 380,700 362,511 (18,189) (4.78%) Capital outlay 65,000 57,500 (7,500) (11.54%) 41,961,471 43,121,986 1,160,515 2.77% Page 19 of 20 P:\Finance\2020 Budget\Budget Worksheets\RCAs and Intros and PowerPoint Presentations\2019 08 20\budget summary as of 2019 08 20.xlsx CITY OF SPOKANE VALLEY, WA Full Time Equivalent Employees Difference from Adopted Proposed 2019 to 2020 2010 2011 2012 2013 2014 2015 2016 2017 2019 2020 + - #001 - General Fund (1) (2) City Manager/City Clerk 5 5 5 5 5 5 5 5 7 6.5 6.5 0.000 City Attorney 3 3 3 3 3 3 3 3 3.5 3.5 4 0.500 (5) Public Safety 0 0 0 0 0 0 0 0 0 0.12 0.12 0.000 Deputy City Manager 8 7 7 6 6 6 6 6 3 1 1 0.000 Finance 12 11 11 10.75 11.75 11.75 11.75 11.75 11.75 11.75 11.75 0.000 Human Resources 2 2 2 2 2 2 2 2 2 2 2 0.000 Public Works 7.5 7.5 7.5 7 7.375 7.375 7.375 6.375 0 0 0 0.000 City Hall Operations & Maintenance 0 0 0 0 0 0 0 1 1 0.88 0.88 0.000 CPW - Engineering 0 0 0 0 0 0 0 0 12.5 13.275 13.525 0.250 (3) CPW - Economic Development 0 0 0 0 0 0 0 0 6.375 6 6 0.000 CPW - Building and Planning 0 0 0 0 0 0 0 0 18 20 21 1.000 (5) CED -Administration 3 3 3 2 2 2 2 1 0 0 0 0.000 CED - Economic Development 0 0 0 0 0 2.5 2.65 4 0 0 0 0.000 CED - Development Services 0 0 0 0 0 11 11 10 0 0 0 0.000 CED -Engineering 8 6 6 8 7 0 0 0 0 0 0 0.000 CED -Planning 9 8.5 8.5 8 8 0 0 0 0 0 0 0.000 CED -Building 14.75 12.75 12.75 11.5 12.5 14 14 15 0 0 0 0.000 Parks & Rec - Admin 2 2 2 2 2 2 2 2 2 2 2 0.000 Parks & Rec - Recreation 1 1 1 1 1 1 1 1 1 1 1.6 0.600 (4) Parks & Rec - Senior Center 1 1 1 1 1 1 1 1 1 1 0.4 (0.600) (4) Parks & Rec - CenterPlace 7 5 5 5 5 5 5 5 5 5 5 0.000 Total General Fund 83.25 74.75 74.75 72.25 73.625 73.625 73.775 74.125 74.125 74.025 75.775 1.750 #101 - Street Fund 5 5 4.5 5 5.375 5.725 5.725 5.725 5.725 7.725 7.475 (0.250) (3) #303 - Street Capital Project Fund 3.5 3.5 3.5 3.5 3.5 3.5 3.5 3.5 5 8.1 8.1 0.000 #402 - Stormwater Fund 4 4 4.5 4.5 4.75 4.4 4.4 4.4 4.4 3.9 3.9 0.000 Total FTEs 95.75 87.25 87.25 85.25 87.25 87.25 87.4 87.75 89.25 93.75 95.25 1.500 (1) FTEs for 2017 reflect the reorganization that was effective in Apri12017. The original 2017 Budget had FTEs of 88.4. (2) FTEs for 2018 reflect the budget amendment approved on May 29, 2018. (3) Allocation of one position changed by 0.25 FTE between the Engineering Division of the General Fund #001 and the Street Fund #101 to reflect actual work performed. (4) Vacant Senior Center Specialist position was converted to a Recreation Specialist and allocated 60% to Recreation and 40% to the Senior Center. (5) Added an additional Code Enforcement Officer, which necessitated increasing the part time Attorney to full time for a total addition of 1.5 FTEs. Page 20 of 20 DRAFT ADVANCE AGENDA as of Aug 15, 2019; 10:30 a.m. Please note this is a work in progress; items are tentative To: Council & Staff From: City Clerk, by direction of City Manager Re: Draft Schedule for Upcoming Council Meetings August 27, 2019, Formal Meeting Format, 6:00 p.m. [due Tue Aug 201 1. Consent Agenda (claims, payroll, minutes) (5 minutes) 2. Admin Report: Private Street Vacation (2019-0003) Broadway & Thierman —Karen Kendall (10 minutes) 3. Admin Report: Snow Removal: Streets, Sidewalks — John Hohman (20 minutes) 4. Admin Report: Advance Agenda — Mayor Higgins (5 minutes) 5. Info Only: Department Reports [*estimated meeting 40 mins] Sept 3, 2019, Studv Session, 6:00 p.m. [due Tue Aug 271 1. Code Enforcement Revisions — Caitlin Prunty (15 minutes) 2. Advance Agenda — Mayor Higgins (5 minutes) Special Meeting: Fridav, September 6, 2019, Spokane County Council of Governments, 9:30 a.m. to Noon, Spokane Co. Fair & Expo Center; Conference Facility, 404 N Havana Street Sept 10, 2019, Formal Meeting Format, 6:00 p.m. [due Tue Sept 31 1. PUBLIC HEARING: #1-2020 Budget Estimates Revenues & Expenditures — Chelsie Taylor (10 minutes) 2. Consent Agenda (claims, payroll, minutes, motion to set Oct 8 budget hearing) (5 minutes) 3. First Reading Ordinance for Street Vacation 2019-0003 —Karen Kendall (10 minutes) 4. Admin report: Proposed Ordinance 2020 Property Taxes — Chelsie Taylor (10 minutes) 5. Admin Report: Advance Agenda — Mayor Higgins (5 minutes) [*estimated meeting 40 mins] Sept 17, 2019, Studv Session, 6:00 p.m. [due Tue Sept 101 1. Outside Agencies Presentations — Dan Domrese (— 90 minutes) 2. Advance Agenda — Mayor Higgins (5 minutes) [*estimated meeting 95 mins] Sept 24, 2019, Formal Meeting Format, 6:00 p.m. [due Tue Sept 171 1. Consent Agenda (claims, payroll, minutes) (5 minutes) 2. Second Reading Ordinance for Street Vacation 2019-0003 —Karen Kendall (10 minutes) 3. Admin Report: 2020 Preliminary Budget Presentation by City Manager—Mark Calhoun (60 minutes) 4. Admin Report: Advance Agenda — Mayor Higgins (5 minutes) 5. Info Only: Department Reports [*estimated meeting: 80 mins] Oct 1, 2019, Studv Session, 6:00 p.m. 1. Proposed 2019 Budget Amendment — Chelsie Taylor 2. New Employee Quarterly Report — John Whitehead 3. Advance Agenda — Mayor Higgins Oct 8, 2019, Formal Meeting Format, 6:00 p.m. 1. PUBLIC HEARING: #2 — 2020 Budget — Chelsie Taylor 2. Consent Agenda (claims, payroll, minutes) 3. First Reading Proposed Ordinance, 2020 Property Tax — Chelsie Taylor 4. Admin Report: Advance Agenda — Mayor Higgins Oct 15, 2019, Studv Session, 6:00 p.m. 1. Advance Agenda — Mayor Higgins [due Tue Sept 241 (15 minutes) (10 minutes) (5 minutes) [due Tue Oct 11 (10 minutes) (5 minutes) (10 minutes) (5 minutes) [due Tue Oct 81 (5 minutes) Draft Advance Agenda 8/15/2019 11:44:33 AM Page 1 of 2 Oct 22, 2019, Formal Meeting Format, 6:00 p.m. 1. PUBLIC HEARING: 2019 Budget Amendment — Chelsie Taylor 2. First Reading 2019 Budget Amendment— Chelsie Taylor 3. Consent Agenda (claims, payroll, minutes) 4. Second Reading Proposed Ordinance, 2020 Property Tax — Chelsie Taylor 5. First Reading Proposed Ordinance, 2020 Budget — Chelsie Taylor 6. Motion Consideration: Outside Agency Grant Awards — Chelsie Taylor 7. Admin Report: Advance Agenda — Mayor Higgins 8. Info Only: Department Reports Oct 29, 2019, Studv Session, 6:00 p.m. 1. Advance Agenda — Mayor Higgins Nov 5, 2019 Meeting Cancelled (election night) Nov 12, 2019, Formal Meeting Format, 6:00 p.m. 1. PUBLIC HEARING: #3 — Final 2020 Budget — Chelsie Taylor 2. Second Reading Proposed Ordinance, 2020 Budget — Chelsie Taylor 3. Consent Agenda (claims, payroll, minutes) 4. Second Reading 2019 Budget Amendment — Chelsie Taylor 5. Admin Report: LTAC Recommendations to Council — Chelsie Taylor 6. Admin Report: Advance Agenda — Mayor Higgins Nov 19, 2019, Studv Session, 6:00 p.m. 1. Proposed 2020 Fee Resolution — Chelsie Taylor 2. Advance Agenda — Mayor Higgins Nov 26, 2019, Formal Meeting Format, 6:00 p.m. 1. Consent Agenda (claims, payroll, minutes) 2. Admin Report: Advance Agenda — Mayor Higgins 3. Info Only: Department Reports [due Tue Oct 151 (10 minutes) (10 minutes) (5 minutes) (10 minutes) (10 minutes) (15 minutes) (5 minutes) [*estimated meeting 65 mins] Dec 3, 2019, Studv Session, Meeting Cancelled (due to Thanksgiving Week) Dec 10, 2019, Formal Meeting Format, 6:00 p.m. 1. Consent Agenda (claims, payroll, minutes) 2. Proposed Fee Resolution for 2020 — Chelsie Taylor 3. Motion Consideration: Lodging Tax Awards for 2020 — Chelsie Taylor 4. Admin Report: Advance Agenda — Mayor Higgins *time for public or Council comments not included Affordable Housing SHB 1406 Appleway Trail Amenities Camping in RVs Crisis Co -response team funding Donation Recognition Duplexes, Townhouses, Cottages Graffiti Health District Re SV Stats Land Use Notice Requirements Legislative Agenda, 2020 Mirabeau Park Forestry Mgmt. Naming City Facilities Protocol New Employee Qtr Rpt (Jan, April, July, Oct) Park Lighting Park Reg. Ord. amendments [due Tue Oct 221 (5 minutes) [due Tue Nov 51 (10 minutes) (10 minutes) (5 minutes) (10 minutes) (15 minutes) (5 minutes) [due Tue Nov 121 (10 minutes) (5 minutes) [due Tue Nov 191 (5 minutes) (5 minutes) [due Tue Dec 31 (5 minutes) (15 minutes) (20 minutes) (5 minutes) PFD Presentation Police Dept. Qtr Rpt (Jan, April, July, Oct) Right -of -Way process Safe Routes to School Sign Ordinance SRTC/Census Coordinator St. Illumination (ownership, cost, location) St. O&M Pavement Preservation Studded Snow Tires Tree City USA Utility Facilities in ROW Vaping Water Districts & Green Space Way Finding Signs Draft Advance Agenda 8/15/2019 11:44:33 AM Page 2 of 2 CITY OF SPOKANE VALLEY Request for Council Action Meeting Date: August 20, 2019 Department Director Approval Check all that apply: ❑ consent ❑ old business ❑ new business ❑ public hearing ❑ information ❑ admin. report ❑ pending legislation ® executive session AGENDA ITEM TITLE: EXECUTIVE SESSION: Acquisition of Real Estate GOVERNING LEGISLATION: [RCW 42.30.110(1)(b)] PREVIOUS COUNCIL ACTION TAKEN: BACKGROUND: OPTIONS: RECOMMENDED ACTION OR MOTION: "I move that Council adjourn into executive session for approximately twenty minutes to discuss acquisition of real estate, and that no action will be taken upon return to open session." BUDGET/FINANCIAL IMPACTS: STAFF CONTACT: Cary Driskell, City Attorney ATTACHMENTS: