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Budget Presentation March 1, 2016 TOWN OF COLCHESTER Fiscal Year 2016-2017
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Proposed Budget Highlights –General Government –Public Safety –Public Works –Community & Human Services –Capital Fiscal Impact INTRODUCTION
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Planning & Code Administration –Increase of Fire Marshal position from 20 hrs/week to 25 hrs/week Information Technology –Consolidation of two part-time positions to one full-time positon Proposed Budget Highlights General Government
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Health Insurance –Decrease in available cash balance in Reserve Fund (Town only – in total, cash balance has increased) –Employer contributions to HSA accounts included in budget calculations Workers Compensation –Increased claims experience in prior years resulting in 3 year premium increases of 12% per year (year 2) Proposed Budget Highlights General Government
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Police –Scheduling of 3 rd shift providing 24 hr/5 day coverage without adding Police Officers or increasing overtime funding –Replacement of uniforms and officer gear, including body armor –Replacement of mobile radios, portable radios, taser units –Addition of one laser speed enforcement unit Proposed Budget Highlights Public Safety
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Fire –Increase in overtime to meet training requirements –Ongoing replacement of personal safety equipment, including turnout gear –Ongoing replacement of fire equipment & supplies, including fire hose –Decreased cost for emergency dispatch services –Funding for Paramedic services Proposed Budget Highlights Public Safety
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Highway –Increased funding for road improvements – additional $100,000 Grounds Maintenance –Overseeding program for fields Facilities –Reconfiguration of Facility Manager position (current full-time shared position being reduced to part-time Town only position) Proposed Budget Highlights Public Works
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Facilities – Various departments –Reduction in heating oil costs (price per gallon decrease) Vehicles – Various departments –Reduction in diesel and unleaded gasoline costs (price per gallon decrease) Proposed Budget Highlights
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Youth & Social Services –Increase in hours for Social Services Coordinator from 22 hrs/week to 28 hrs/week –Reduce hours for Part-time Seasonal Social Services Coordinator from 14 hrs/week to 7 hrs/week (14 weeks) –Continued funding of substance abuse counselor (contract) Proposed Budget Highlights Community & Human Services
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Health –Increased cost for Chatham Health District Community Agencies –Increased funding for Colchester Collaborative for Children (C3) Cragin Library –Reinstate 2 hrs per Saturday during school year and 6 hrs per Saturday during Summer months Proposed Budget Highlights Community & Human Services
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Capital Reserve –Vehicle Reserve funded according to vehicle replacement plan –Increase in Buildings and Grounds Reserve –Equipment Reserve flat funded –Open Space flat funded –Revaluation – reduction in contracted funding due to work performed by Assessor’s office personnel Proposed Budget Highlights Capital
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Facilities & Grounds –Town Hall Cooling tower replacement (3 year funding plan) Oil tank replacement (4 year funding plan) Roof repairs Door replacement Rugs, Shades, Dividers replacement (4 year funding plan) Proposed Budget Highlights Capital
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Facilities & Grounds –Fleet/Highway Garage Parking lot paving & drainage (2 year funding plan) Gas/Diesel tank and Fuel station replacement (2 year funding plan) Structural study/Moisture intrusion repairs Roof repairs Foundation & Apron repairs Proposed Budget Highlights Capital
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Facilities & Grounds –Cragin Library – pavement overlay (3 year funding plan) –Youth Center – minimal soffit repairs –Parks & Grounds Pavement overlay & striping (5 year funding plan) Resurface tennis courts (3 year funding plan) Spray Park water leak repairs Proposed Budget Highlights Capital
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Vehicles –Police – Cruiser replacement –Fire – Service 328 replacement (3 year funding plan) Proposed Budget Highlights Capital
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Equipment –Information Technology System Virtualization Project Equipment replacement GIS improvements – lot line corrections Proposed Budget Highlights Capital
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Equipment –Fire/Emergency Services SCBA Units/Masks/Bottles (year 2 of 6 year funding plan) Thermal Imaging Cameras (4 year funding plan) Fire Hose/Equipment/Gear Dryer (2 year funding plan) Flashover Simulator (2 year funding plan) Emergency sirens – maintenance/repairs Proposed Budget Highlights Capital
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Equipment Reserve Purchases –Fire Department hose replacement catch-up (phase 3 of 3) –Fire Department – Fire Hose Washer –Police – replacement of lockers –Fleet Services Plasma cutter replacement (outdated) Tire Pressure Monitor Scan Tool Diagnostic Scan Tool for autos & light trucks Air Impact Guns replacement (two ¾”) Proposed Budget – Equipment Reserve
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Vehicle Reserve Purchases –Fire Department Refurbish Tanker 128 –Senior Services Town matching funds for grant funded replacement of Wheelchair accessible vehicle Proposed Budget – Vehicle Reserve
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Property Taxes –Grand list growth – 1.15% –Increased estimates for delinquent tax and interest collections –Proposed mill rate increase of 0.25 mills Proposed Budget Highlights Revenue
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Impact of State budget proposals –Elimination of Pilot - State Owned Property –Reduction in Mashantucket Pequot/Mohegan funds –Decrease in Public School Transportation grant –Decrease in State grant for Youth Service Bureau –Elimination of State Library grants Proposed Budget Highlights Revenue
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Impact of State budget proposals –Mill rate cap on motor vehicle taxes FY 16/17 – 32.0 mills FY 17/18 – 29.36 mills –Portion of State sales tax to be dedicated to making up revenue loss Funds not being included in Town revenue budget estimates due to uncertainty of status of municipal aid in State budget Proposed Budget Highlights Revenue
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Other Revenue –Increase in Ambulance fees estimates –Increase in Building permit fees estimates –Increase in Conveyance tax estimates –Decrease in Transfer Station fees estimates –Elimination of CIRMA member equity distribution (no determination from CIRMA) –No appropriation from fund balance Proposed Budget Highlights Revenue
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EXPENDITURES ADOPTEDPROPOSED CHANGE 15-16 16-17 GEN GOVT $3,376,276$3,695,043318,767 PUB SAFETY 2,689,219 2,689,100 (119) PUB WORKS 3,350,648 3,427,938 77,290 COMM. SERVICES 1,512,552 1,566,434 53,882 DEBT SERVICE 1,901,466 1,842,266 (59,200) TRANS/CAP 933,265 1,219,056285,791 TOWN $13,763,426 $14,439,837 $676,411 EDUCATION $39,795,370 $39,794,640 $ (730) TOTAL BUDGET $53,558,796 $54,234,477 $675,681
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PROPOSED BUDGET SUMMARY BY FUNCTION
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PROPOSED BUDGET Debt Service
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PROPOSED BUDGET Capital
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Net Grand List $ 1,230,498,800 (1.15% increase) State Aid – Governor’s Budget Change from FY 2015-16 Intergovernmental – Town $268,741 $(133,822) Intergovernmental – Education ECS $ 13,771,666 $10,138 Non-ECS $616,762 $(14,302) TOTAL $ 14,657,169 $(137,986) PROPOSED BUDGET Revenue
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Town of Colchester FY 2016-2017 Proposed Budget Budget Summary & Mill Rate Calculation EDUCATIONTOWN DEBT SERVICE TRANSFERS/ CAPITAL TOTAL Appropriations39,794,64011,378,5151,842,2661,219,05654,234,477 Estimated Revenue14,388,4282,292,8310016,681,259 Amount to be Raised by Taxation 25,406,2129,085,6841,842,2661,219,05637,553,218 MILLS20.657.381.500.9930.52 BUDGET SUMMARY MILL RATE CALCULATION Amount to be Raised by Taxation37,553,21830.52 Reserve for Uncollected Revenue (estimated 98.4% collection rate)600,8510.49 TOTAL TAX WARRANT38,154,06931.01 DOLLARS MILLS Grand List 1,215,998,800 2016-17 Proposed Mill Rate 31.01 Estimated Prorates 1,900,000 2015-16 Mill Rate 30.76 M. V. Supplement 15,100,000 Increase in Mill Rate 0.25 Less Estimated BAA and adjustments (2,500,000) List Net 1,230,498,800
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Funding methodology Risk tolerance – Aggregate Stop loss exposure Budget Discussion Health Insurance
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QUESTIONS
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