HomeMy WebLinkAboutMeeting Notes 6-29-2016
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BUDGET COMMITTEE
Draft Meeting Notes - June 29, 2016
Committee present: Eric Levine - Chairman, Bill Goodman, Pat Leary
Staff present: Mike Solvig, Judy Drake, Jim Weber
Others present: Pam Bleiwas
Meeting was called to order at: 12:03 p.m.
AGENDA ITEMS:
• Review and approve meeting notes from May 4, 2016 and May 25, 2016.
Committee members reviewed and approved the revised meeting notes from May 4, 2016, and
the meeting notes from May 25, 2016.
• Review Five-Year Capital Improvement Plan.
The Committee reviewed an updated CIP schedule received from Public Works. Total estimated
costs for the CIP for Fiscal Years 2017 - 2021 are presented on the schedule shown below:
INFRASTRUCTURE 2017 2018 2019 2020 2021 TOTAL
WATER INFRASTRUCTURE 1,900,000$ 1,475,000$ 1,175,000$ 950,000$ 1,350,000$ 6,850,000$
SEWER INFRASTRUCTURE 500,000 800,000 500,000 500,000 500,000 2,800,000
STORMWATER DRAINAGE - - 250,000 250,000 250,000 750,000
ROAD IMPROVEMENTS 700,000 800,000 800,000 1,500,000 800,000 4,600,000
TOWN FACILITIES 100,000 500,000 400,000 - 600,000 1,600,000
PARKS & TRAILS 160,000 140,000 100,000 - - 400,000
TOTAL ANNUAL COST 3,360,000$ 3,715,000$ 3,225,000$ 3,200,000$ 3,500,000$ 17,000,000$
FUNDING SOURCE:
- Current Year Revenue 1,236,000$ 2,220,000$ 1,350,000$ 1,450,000$ 1,250,000$ 7,506,000$
- Grants & Donations 324,000 20,000 - - - 344,000
- New Long-Term Debt 1,800,000 1,475,000 1,875,000 1,750,000 2,250,000 9,150,000
TOTAL FUNDING 3,360,000$ 3,715,000$ 3,225,000$ 3,200,000$ 3,500,000$ 17,000,000$
Of the $17,000,000 total estimated project costs, $7,506,000 would be financed with current year
revenues/fund balance, $344,000 with grants and donations, and the remaining $9,150,000 by the
issuance of new long-term debt.
Capital projects scheduled for 2017 include the following:
- PINE TREE WATER TANK REPLACEMENT - Constructed circa 1954, the existing steel tank is 34’ in
diameter by 70’ in height, with a storage capacity of 200,000 gallons. This tank currently
supplies 450 customers with an average of 160,000 gallons of water per day. Past inspections
have indicated the need for increasing levels of maintenance. Originally scheduled for
replacement in 2016 with a new tank of similar size and an estimated cost of $600,000, this
project was postponed after Cornell University announced their intention to rebuild and
expand the Maplewood Apartment complex and eventual expansion of the East Hill Plaza
complex, both of which are served by the Pine Tree Water Tank. Cornell’s planned expansion
of the Maplewood Apartments would triple the number of residents in the complex to 887
beds in a mix of 453 1, 2 & 3-bedroom units.
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An analysis of expected water usage showed that the capacity of the new water tank as
planned would be unable to serve the number of residents in the expanded complex. The
Town will work with Cornell and the project developer to determine what capacity the new
water tank will need to be, as well as Cornell’s monetary contribution to this project. At this
time it is expected that the new water tank will require a minimum capacity of 500,000 gallons
to meet the expected demand. The estimated cost of this project is $900,000, which will be
funded by issuing $600,000 in new long-term debt, the same as was budgeted in 2016, with
Cornell University expected to contribute the additional project cost.
- WATER MAINS - Total cost for Water Main improvements for Fiscal Year 2017 is estimated at
$1,000,000. Water main replacement projects currently scheduled include Cliff Street -
$850,000, and the demolition of the abandoned Cliff Street Pump Station - $150,000. These
projects will also be financed by issuing new long-term debt.
- SEWER AND MANHOLE REHABILITATION - These on-going maintenance projects will reduce water
infiltration into aging sewer lines and manholes. The amount of $300,000 will be budgeted,
which will be financed from current year revenues.
- 2017 ROAD IMPROVEMENTS – The Perry Lane Improvements is a reconstruction project to
address deteriorating pavement and base conditions. This project will include removal of the
existing pavement and base, installation of new base materials and asphalt overlay, and
various drainage improvements. The estimated cost of this work is $500,000, which will be
funded from current year revenues. The Culver Road Improvements is a mill-and-fill project to
address deteriorating pavement conditions. The estimated cost of this work is $200,000,
which will be funded by issuing new long-term debt.
- TOWN FACILITIES – Upgrade and expand the Fluids Storage Area at the Public Works facility at
an estimated cost of $100,000, which will be funded from General Fund current year
revenues.
- PARKS & TRAILS - Projects for 2017 include the replacement of playground equipment at
Grandview Park - $50,000; and repair of the large culvert under the South Hill Trail at Burns
Road - $110,000. Budgeted in the General Fund, these projects will also be financed with
$136,000 in current year revenue/fund balance, and $24,000 in NYS grant funding.
• Discuss 2017 Ithaca Town Budget process.
Mr. Solvig informed the Committee that budget worksheets will be distributed to department
heads in early July, to be returned by July 31. A first draft of the Preliminary 2017 Ithaca Town
Budget will be reviewed by the Budget Committee at the August meeting. The first Town Board
Budget Meeting is scheduled for Thursday, October 6.
The Committee will review the Five-Year Capital Improvement Plan / 2017 Capital Budget with the
Town Board at the July Study Session.
• Review and Discuss Preliminary Public Works Department Staffing Plan for 2017 - 2020.
This item was referred to the Budget Committee by the Personnel & Organization Committee at
their June 15 meeting. Judy Drake and Jim Weber reviewed the current staff levels of the Public
Works Department, and presented the preliminary plan to increase staff from the current level of
30.75 FTE’s to 37.0 FTE’s in FY-2020. Mr. Weber explained that additional maintenance duties,
such as responsibility for the new Warren Road and Hanshaw Road sidewalks, and the Pine Tree
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Road walkway/bridge currently under construction, make it increasingly difficult to meet the
Town Board’s expectations with the current staff levels.
The preliminary staffing plan includes the following changes/additions: (costs in current year $$)
• FY-2017 - Add one (1) new position: Create and fill the new position of Maintenance
Supervisor. Annual cost: $57,300 + benefits.
• FY-2018 - Add two (2) positions: Add and fill one (1) additional Working Supervisor and one
(1) additional Laborer. Annual cost: $97,600 + benefits. This would create an additional full
crew, increasing the number of full crews from three to four.
• FY-2019: Increase current Administrative Assistant I (Information Aide) position from part-
time, 30 hours per week to full-time, 40 hours per week. Additional annual cost: $10,200.
• FY-2020 - Add three (3) positions: Add and fill one (1) additional Motor Equipment Operator
and two (2) additional Laborers. Annual cost: $130,600 + benefits. This would create a
specialized crew responsible for sidewalk/trails/parking lot snow removal in the winter, and
for trail maintenance and road signage/striping/crack-filling during the other seasons.
Mr. Weber explained that having four full crews would allow Public Works to begin performing on
a proactive “preventive maintenance” basis as opposed to the reactive “emergency repair” basis
that is too common today.
Pat Leary commented that as the Town expands, sidewalks and walkability will require planning
for more maintenance, which requires the staff to provide the service. Ms. Leary also stated that
funds expended on additional staff should not be viewed as just a liability.
The estimated cost for implementing this plan (not including benefits) is shown below:
2017 2018 2019 2020
Based on Current Year Wages:
Maintenance Supervisor 57,300$ 57,300$ 57,300$ 57,300$
Working Supervisor - 57,300 57,300 57,300
Motor Equipment Operator - - - 50,000
Laborer - 40,300 40,300 120,900
Admin. Asst. I (Information Aide)- - 10,200 10,200
ANNUAL INCREASE IN WAGES 57,300$ 154,900$ 165,100$ 295,700$
Current Year Wages plus 2% annual inflation:
Maintenance Supervisor 58,446$ 59,615$ 60,807$ 62,023$
Working Supervisor - 59,615 60,807 62,023
Motor Equipment Operator - - - 54,122
Laborer - 41,928 42,767 130,866
Admin. Asst. I (Information Aide)- - 10,824 11,040
ANNUAL INCREASE IN WAGES 58,446$ 161,158$ 175,205$ 320,075$
POSITION
Judy stated that this plan was a concept and that each year staffing will be discussed during the
budget process. The 2017 personnel budget will be prepared with adding the Maintenance
Supervisor position.
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Ms. Drake reported that the P&O Committee had directed her to also work with other Town
departments on a five-year staffing plan. This plan will hopefully be ready for the July P&O
Committee meeting.
• Preliminary Design Services for East King Road (Michigan Hill) Park & Trail.
This item is a follow-up from the May 25 Budget Committee meeting, and was discussed at the
June 27 Town Board Study Session. Mike Smith of our Planning Department contacted the
engineering firm of T. G. Miller and discussed fees for preliminary design work for the East King
Road (Michigan Hill) Park. The fee for Preliminary Design work would be $4,500 and would take
approx. two months to complete. They would prepare two preliminary layout designs with
grading plans and estimated construction costs for the Town to review. T. G. Miller also provided
the fee for preparing construction documents, which would be $11,600.
At this time the Town will move forward with the Preliminary Design work. A resolution approving
this work will be on the agenda for the July 11 Town Board meeting. Funding will come from the
Town Parks budget in the General Fund, account A7110.403 - Consulting Services. The Town had
budgeted $20,000 in 2016 to hire a consultant for design services for the Forest Home Walkway
between Warren Road and Forest Home Road, but the unexpected staff changes in our
Engineering Unit will delay that project for at least a year.
• Discuss Purchase of New Fire Pumper Truck by City of Ithaca.
Mr. Solvig reported that the City of Ithaca is planning to purchase a new Fire Pumper to replace a
2000 Seagrave Fire Pumper that has reached the end of its useful life. The Ithaca Fire Department
had originally planned to refurbish the Pumper and replace the 1990 Heavy Rescue Truck this
year. However, recent assessments of the equipment revealed that the Pumper’s frame has
structural issues which would require a lengthy repair period, during which the truck would have
to be largely disassembled to repair the frame. The IFD will move up the replacement of the
Pumper to this year, and instead refurbish the Rescue Truck, extending its useful life by seven
years. The purchase of the new Fire Pumper is estimated at $555,000. In accordance with the
terms of our fire protection contract, City of Ithaca is requesting the Town’s approval for the
purchase of the new Pumper Truck, to be delivered in 2017, and a contributory payment by the
Town in the estimated amount of $178,500. A resolution to approve the City purchasing this
equipment will be presented to the Town Board on July 11. We will also need to add the $178,500
to the Fire Protection Fund in the 2017 Preliminary Ithaca Town Budget
• Discuss Training Opportunity for Budget Officer.
Mr. Solvig informed the Committee that the Government Finance Officers Association will be
conducting a “Budget Analyst Training Academy” in Chicago at the end of September that he will
be attending. This training is being held in Chicago from September 27 - 30, so it will be necessary
to reschedule the September Budget Committee meeting to September 21, which is the 3 rd
Wednesday. The Committee concurred with rescheduling the meeting date to September 21.
• Other Items.
- Status of Escrow Accounts: Mr. Solvig reported that this year he and Debby Kelley have been
working to “clean up” some of the Town’s Escrow Accounts. With the assistance of Chris
Balestra, deposits held for cell towers were identified, reviewed, returned as appropriate,
and the remaining deposits consolidated from three accounts to one account. Deposits held
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for road permits and road use agreements were also identified, reviewed and consolidated
into one account.
The Town is also currently holding $11,860 in the Ithaca Towers escrow, which is believed to
have been for the first right of refusal on the purchase of the old Town Hall property on
Seneca Street. Mr. Solvig stated he would also like to eliminate this escrow account this year,
but this may require several hours of research, including some help from Susan Brock.
- Status of Town Audit: The audit by Sciarabba Walker & Co. of the year ended December 31,
2015 is almost complete. We should be receiving the draft report in the next couple weeks.
- Status of Court Audit: The audit by Sciarabba Walker & Co. of the court records for the year
ended December 31, 2015 has been completed and the report distributed to the Town
Board. The findings for this past year are much improved over the previous two years. The
Town Board will need to adopt a resolution acknowledging receipt of the report at the July
meeting.
- 2016 Billing to City for Reimbursement of Shared Sustainability Planner Expenses: Mr. Solvig
reported that the billing for reimbursement of shared sustainability planner expenses was
sent to the City on June 1 for the amount of $14,668.06. This is for the second year of the
agreement between the Town and City, covering the period from April 1, 2015 to March 31,
2016. For the first year of the agreement, the Town received reimbursement in the amount
of $14,341.78.
- 2016 Billing to Post Office for 2011 Roof Repair Project: Mr. Solvig reported that the annual
billing was sent to the USPS on June 1 for the amount of $2,343.93, and payment has been
received.
The meeting was adjourned at 1:14 p.m.
Next Meeting: Wednesday, July 27, 2016 at 12:00 pm, Town Hall - Aurora Room