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City of Tonganoxie 2022 Budget Book
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C I T Y O F T O N G A N O X I E , K A N S A S
ADOPTED BUDGET FISCAL YEAR 20 2 2
CityOfficials at the date of Budget Adoption
M a y o r David Frese C i t y C o u n c i l Rocky Himpel Chris Donnelly Jennifer McCutchen Loralee Stevens Jacob Dale
C i t y Manager George Brajkovic
CITY OF TONGANOXIE, KANSAS 2022 ADOPTED BUDGET TABLE OF CONTENTS
Introduction Budget Message ……………………………… 1- 3 Property Taxes at a Glance ………………..… 4 Organizational Chart ………………………… 5 Budget Overview & Fund Schedules Budget Overview ……………………………. . 6 Revenues by Category ……………………….. 7 Expenditure Summary ………………………. 8 General Fund Expenditure Summary ………... 9 Individual Fund Schedules …………………… . 10 - 27 Budget Allocation by Department & Service Administration ……………………………….. 29 Fire Departmen t……………………………... 30 Police Departmen t………………………….... 31 Public Work s………………………………… 32 Water Par k…………………………………... 33 Library ………………………………………... 34 Debt Service & Debt Limit ……………………. 35 Transfers……………………………………….. 36 Appendixes A: Position Summary & Pay Ranges ………… .. 37 - 39 B: Debt Pro Forma Schedule……………….... 40 - 42 C: Glossary of Terms………………………... 43 - 47
Office of the City Manager
Mayor Frese and Members of the Tonganoxie City Council: It is my pleasure to present the City of Tonganoxie 2022 Adopted Budget, which was approved by the City Council on September 7, 2021 by a vote of 3-2. The Adopted Budget communicates the City’s immediate and long-term plan for continuing to deliver high-quality city services at a reasonable cost to Tonganoxie residents and visitors. Also, on September 7, 2021, but prior to the Budget Adoption, the City Council adhered to Kansas SB 13, which also required public notice for a public hearing to consider exceeding the Revenue Neutral Rate (RNR), which would allow jurisdictions to levy more revenue from property tax than the year before. On a 5-0 vote, the City Council voted to exceed the RNR by maintaining a flat City mill levy and adopted Resolution 09-21- 01 indicating such intent. The development of the 2022 budget included numerous opportunities for policy direction from the Governing Body and input from residents of Tonganoxie. Dedicated public hearing opportunities were held to allow public input and staff also analyzed & presented the results of an online survey tool offered to utility customers. Following the Spring Retreat on March 20 th , the Governing Body held a Capital Maintenance & Improvement focused session on May 3 rd , reviewed the Base Proposed Budget at the June 21 st regular meeting, and completed five additional budget work sessions before final adoption. Strong Commercial and Residential Development Activity In June, we were excited to announce that Hills Pet Nutrition was looking to make an investment at the Tonganoxie Business Park for a new $325M manufacturing plant. The project will create a minimum of 80 jobs with an average annual salary of $60,625; the plant is expected to be operational before the Spring of 2024. Unilock, the Business Park’s first tenant, also has plans for constructing a concrete product manufacturing facility, which should begin during 2023. Unilock’s building would represent an approximate $30M investment, and create up to 30 new jobs. Both of these projects were brought to fruition through a teamwork approach that included the Leavenworth County Development Corporation, State agencies and the original grant from Leavenworth County which allowed for site development work. There is continued interest in the Park, and approximately 25 acres of the developed 140 acres remain available; the City originally purchased approximately 240 acres in 2009, and the remaining acreage adjacent to the East is also available. We’ve also been fortunate to attract great businesses to the Urban Hess Business Center; which is owned by the Leavenworth County Port Authority and offers sites ranging from 1.5 to 4.5 acres. Recent additions to the Park include Wilson Glass, LLC, and Industrial Service Technologies (IST). Wilson Glass is a fabricator of commercial storefront windows and doors. IST built its new company headquarters and metal fabrication division, and has submitted plans for an additional 14k square foot building located next door. Particularly exciting about these two projects is that both owners are local and chose to grow their businesses here. We’ve seen growth in our residential development as well, including introducing multi-family options after a nearly 25-year lag in new product availability. The completion of the $7M Schoolyard Townhomes, coupled with the investment in the new Library, provided for an $10M+ redevelopment of the former grade school site. The Schoolyard Townhomes project was financed by Low Income Housing Tax Credits and a Rural Housing Incentive District, and was100% preleased prior to the completion of construction. The West Village project is underway, and will provide housing options in within a garden-style apartment building or in single story villas; this $8M project is financed by a grant from the Kansas Housing Resources Corporation Moderate Income Housing Grant and by the creation of a Rural Housing Incentive District. We also continued strong growth by seeing additional phases of single-family development in Jackson heights and Stone Creek development areas; as well as continued multi family activity in McGee Meadows.
Page 1 of 47
Budget Overview The maximum planned expenditures proposed in 2022 for funds budgeted in the State Budget forms totals $9,436,096, which is a decrease of 5% from 2021, and maximum budget authority in all funds in the State Budget forms is $10,379,763. Expenditure budget authority in non-budgeted funds totals $916,400 in 2022. The total planned expenditures for all funds (including non-budgeted) in 2022 is $10,352,496. The total property tax levy is $2,430,555, which is an increase of 9% over the total tax levy in 2021. The increase in property tax revenue represents the entirety of collections from all newly annexed properties within the City limits, the difference in collections from properties changed in use, and the effect of increased assessed valuation of existing properties by the Leavenworth County Appraiser. The total property tax revenue also includes $421,867 collected by the City and remitted directly to the Tonganoxie Public Library to support operations and employee benefits at the Tonganoxie Public Library. A summarization of some of the most significant initiatives funded in the 2022 Adopted Budget includes: INFRASTRUCTURE INVESTMENTS • Church Street Bridge replacement construction • 5th year of funding increased levels of street maintenance and preservation (predominantly slurryseal) • Rehabilitation of Water Park slides & other elevated structures • Water Tower Construction at the Tonganoxie Business Park • Church Street Stormwater Improvements Phase 2 • Meeting all existing debt service obligations, including shifting ½ mill from the General Fund to the Debt Service Fund to properly fund debt costs with property tax proceeds OPERATIONAL SUPPORT • Police Department Fleet Updates (3 Tahoe vehicles) • Fire Department Additional FT Firefighter Position to accommodate combination of Fire Inspections & Code Enforcement services • Fire Department & Legal Support Services Operational Costs Increases • 5% Merit Pool Opportunity for Full-Time Employees COMMUNITY SUPPORT & DEVELOPMENT • LCDC Annual Funding Support and Leavenworth County Regional Transportation Study Project • Support for Community Events • Developing Bike Repair Stations on City properties • Financial Support for Local Organizations o Tonganoxie Business Association o Tonganoxie Arts Council o Tonganoxie Historical Society
Page 2 of 47
American Rescue Plan Act (ARPA) On March 11, 2021, following approval actions by Congress and the President, the American Rescue Plan Act (ARPA) went into effect. By July, the City was made aware of available funds, through the State of Kansas, and the City Council was apprised of how these funds differed from CARES Act funds, and the eligible expenses for ARPA, as well as the timeline for expenditures. For the City of Tonganoxie, the total amount of ARPA funds available are $846,977.98, with an equal amount of $423,488.99 made available in FY 2021 and FY 2022. While the City’s $834k of CARES Act funds were primarily distributed towards small business grants ($446k), expanded free WiFi at the Library and Parks ($175k), and enhanced Municipal Services at 303 Bury ($200k), the ARPA funds are yet to be designated by the City Council. However, we know that by Federal guidelines, eligible uses are limited but generally include: responding to Public Health emergency, Revenue Loss, premium pay for essential workers, and water, sewer and broadband infrastructure. Conclusion While the annual budget document relays the prioritization of the City’s various assets, programs and services, it is equally important to acknowledge the critical roles of the City Council’s leadership and policy vision, the efforts of City employees to deliver services and manifest that vision, and the larger Community’s engagement with their local government to help develop key programs and initiatives. Many thanks to all those involved in supporting the overall efforts of the City of Tonganoxie, and I very much look forward to continuing towards the strategic vision in 2022. Respectfully submitted, George Brajkovic City Manager
Page 3 of 47
City of Tonganoxie 2 0 2 2 Budget Property Tax D o l l a r s a t a G l a n c e
Ad Valorem(Estimated)Tax Levy Rates
Mills
7.8 60 37. 424 36. 684 6 2 . 400 5 . 000 1.500 149.368
City Library (collected via City) County USD 464 Rec Commission (collected via USD 464) State Total Levy Rate
2,008,613
City Levy (excluding Library) Produces
2 5 %
City Levy Portion of Total Levy Total Valuation
$ 53,671,806
3,435.46 860.75
Total Tax on $ 2 00,000home City Tax on $ 2 00,000home
$ $
City Tax per month on $ 2 00,000home $
71. 73
Page 4 of 47
4 Page 5 of 47
City of Tonganoxie 2022 Adopted Budget Overview - All Funds
2021
2022
2020 Actual
Adopted Adopted
Revenue Overview Property Taxes
2,703,700 $
2,350,474 $
2,488,487 $
Sales & Use, Alcohol, & Guest Tax
1,758,764 155,456 315,708 3,127,455
1,519,578 135,580 302,000 3,302,556 183,550 130,500 1,511,132 36,000 639,565
1,748,800 158,500 323,000 3,251,000
Fuel Taxes
Franchise Fees Service Charges
Fees, Licenses, Permits
226,439 143,246 252,485 37,346 740,450
132,900 135,100 816,096 36,000 847,400
Fines and Forfeits
Grants and Other Revenue
Interest Transfers
Contracted Services
8,203
3,000
3,000
Total Revenues
9,116,027 $
10,251,948 $
10,155,496 $
Expenditure Overview Operating Salaries & Benefits
2,927,042 $
3,174,987 $ 3,155,740 297,735 1,672,573 1,504,539 639,565 10,453,539 8,400
3,659,950 $ 2,972,446 290,700 969,000 1,613,000 847,400 10,352,496 -
Contractual Services
2,289,557 169,153 373,688 2,136,051 740,450 8,635,940 -
Supplies
Capital Outlay Grant Match Debt Service
Transfers
Total Expenditures
Net Revenues
$
480,086
$
(201,591)
$
(197,000)
2022 Revenues
2022 Expenditures
Property Taxes Sales & Use, Alcohol, &
Salaries & Benefits Contractual Services Supplies Capital Outlay
8.2%
Guest Tax Fuel Taxes
0.4% 8.3% 0.0%
1.3% 1.3% 8.0%
Franchise Fees Service Charges Fees, Licenses, Permits Fines and Forfeits Grants and Other Revenue Interest Transfers Contracted Services
26.6%
15.6%
35.4%
0.0%
17.2%
Grant Match Debt Service Transfers
9.4%
32.0%
28.7%
1.6%
2.8%
3.2%
Page 6 of 47
City of Tonganoxie 2022 Adopted Budget Revenues by Category
2021
2022
2020 Actual
Adopted
Adopted
Revenues
Property Taxes
2,350,474 $
$
2,488,487 1,519,578 135,580 4,143,645 3,181,556 121,000 3,302,556 302,000 13,200 167,000 - 485,550 130,500 1,220,400 145,655 3,350
$
2,703,700 1,748,800 158,500 4,611,000 3,123,000 128,000 3,251,000 323,000 13,800 117,000 -
Sales & Use, Alcohol, & Guest Tax
1,758,764 155,456
Fuel Tax
Subtotal Taxes
4,264,694 $ 3,127,260
$
$
Utility Charges Pool Charges Other Charges
195
-
Subtotal Charges
3,127,455 $
$
$
Franchise Fees
315,708 15,581 208,235 542,147 143,246 15,369 209,038 2,624 3,900 24,179 37,346 740,450
Business Licenses and Permits Development Licenses and Permits Individual Licenses and Permits
2,100
$
Subtotal FLP
$
$
455,900 135,100 12,000 505,937 297,659 36,000 847,400 500
Fines and Forfeits
Grants
Reimbused Expenses
Sale of Assets
500
Miscellaneous Revenues
144,577 36,000 639,565
Interest Transfers
Contracted Services Subtotal Other
8,203
3,000
3,000
1,181,731 $
$
2,320,197
$
1,837,596
Total Revenues
9,116,027 $
$
10,251,948
$
10,155,496
Page 7 of 47
City of Tonganoxie 2022 Adopted Budget Expenditure Summary
2020 Actual
2021
2022
Adopted Adopted
Allocation by Category
Salaries and Benefits Contractual Services
$
2,927,042 2,289,557 169,153 373,688 2,136,051 740,450 8,635,940 - 1,458,764 1,194,704 1,853,604 755,583 22,325 474,459 2,136,051
3,174,987 $ 3,155,740 297,735 1,672,573 1,504,539 639,565 10,453,539 8,400
3,659,950 $ 2,972,446 290,700 969,000 1,613,000 847,400 10,352,496 -
Commodities Capital Outlay Grant Match Debt Service
Transfers
Total
Allocation by Department and Service Administration
$
1,929,029 $
2,369,152 $
Police
1,212,715 3,680,245 851,276 123,201 512,969 1,504,539
1,470,904 2,309,874 998,004 151,282 592,880 1,613,000
Public Works
Fire
Water Park
Library
Debt Service
Transfers
740,450
639,565
847,400
Total
$
8,635,940
10,453,539 $
10,352,496 $
Allocation by Fund General Fund
$
2,946,773 1,243,423 801,094 393,614
3,142,669 $
3,627,746 $
Water Operations Sewer Operations
1,496,000 924,840 454,322 123,644
1,553,703 1,192,634 450,000
Sanitation Stormwater
14,778
62,500 1,000 592,880 10,500 368,500 507,400 704,100 95,000 24,000 145,000 145,000
Transient Guest Tax Library Operations Special Parks Special Highway Infrastructure Sales Tax Fire Equipment Reserve Police Equipment Reserve Sewer Capital Reserve Water Capital Reserve Capital Projects
-
1,500
474,459
512,969
1,876
7,914
321,066 462,950 902,660 80,098 20,061 38,733 109,709
340,580 422,565 585,078 105,400 27,591
1,350,000 140,000
Capital Reserve
-
-
Debt Bond and Interest
824,646
818,467
872,533
Total
$
8,635,940
10,453,539 $
10,352,496 $
Page 8 of 47
City of Tonganoxie 2022 Adopted Budget General Fund Expenditure Summary
2020 Actual
2021
2022
Adopted
Adopted
Allocation by Category
Salaries and Benefits Contractual Services
$
2,073,891 671,398 125,815
$
2,193,273 742,296 191,350
$
2,531,021 757,325 194,400 145,000 3,627,746
Supplies
Capital Outlay
75,669
15,750
Subtotal (Operating)
2,946,773
3,142,669
Debt Service
-
-
-
Total
2,946,773
3,142,669
3,627,746
Allocation by Department and Service Administration
$
435,436 139,719 8,106 84,974 19,600 4,158
$
461,301 154,418 20,900 89,676 25,000 2,000
$
483,132 165,714 15,300 107,902 25,000 2,000
Municipal Court Animal Services
Codes
Planning Legislative
Police
1,174,643 347,638 710,175
1,185,124 300,480 780,569 123,201
1,446,904 292,508 938,004 151,282
Fire
Public Works Water Parks Debt Service
22,325
-
-
-
Total
$
2,946,773
$
3,142,669
$
3,627,746
4.2% 2022 Expenditures Budget By Department - General Fund
Administration Municipal Court Animal Services Codes Planning Legislative Police Fire
4.6% 0.4%
13.3%
3.0% 0.7%
25.9%
0.1%
8.1%
39.9%
Public Works Water Parks
Page 9 of 47
Allocations by Fund
Page 10 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
General Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
758,562
$
873,735
$
873,735
Revenues
Taxes
2,112,563 $
2,090,937 $
2,302,687 $
Franchise Fees Charges for Service Licenses and Permits Fines and Forfeits
315,708
302,000 121,000 81,550 130,000 164,182 36,000
323,000 128,000 90,900 135,000 352,159 36,000
195
176,178 142,946 99,510 37,346
Grants & Other
Interest
Total Revenues
2,884,446 $
2,925,669 $
3,367,746 $
Transfers from Other Funds
$
177,500
$
217,000
$
260,000
Total Resources
3,820,508 $
4,016,404 $
4,501,481 $
Expenditures Operating
Salaries and Benefits Contractual Services
2,073,891 $
2,193,273 $
2,531,021 $
671,398 125,815 75,669
742,296 191,350 15,750
757,325 194,400 145,000
Supplies Equipment
Subtotal Operating
2,946,773 $
3,142,669 $
3,627,746 $
Debt Service
$
-
$
-
$
-
Total Expenditures
2,946,773 $
3,142,669 $
3,627,746 $
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
2,946,773 $
3,142,669 $
3,627,746 $
Ending Fund Balance
$
873,735
$
873,735
$
873,735
Page 11 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Water Operations Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
475,908
$
650,015
$
650,015
Revenues
Taxes
$
8,357
$
7,250
$
8,400
Charges for Service Fees, Licenses, Permits
1,398,896
1,487,750
1,458,000
300
500 500
100
87,203
Grants & Other
9,977
Total Revenues
1,417,530 $
1,496,000 $
1,553,703 $
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
1,893,438 $
2,146,015 $
2,203,718 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
412,096 437,753 24,239
$
460,288 658,392 20,600 10,000
$
541,711 540,892 26,100 10,000
Supplies Equipment
5,687
Subtotal Operating
$
879,774
1,149,280 $
1,118,703 $
Debt Service
$
151,149
$
196,720
$
195,000
1,313,703 $
Total Expenditures
1,030,923 $
1,346,000 $
Transfers to Other Funds
$
212,500
$
150,000
$
240,000
Total Obligations
1,243,423 $
1,496,000 $
1,553,703 $
Ending Fund Balance
$
650,015
$
650,015
$
650,015
Page 12 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Sewer Operations Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
461,806
$
675,194
$
675,194
Revenues
Taxes
$
-
$
-
$
-
Charges for Service Fees, Licenses, Permits
1,014,483
924,840
980,000 212,634
- -
- -
-
Grants & Other
Total Revenues
1,014,483 $
$
924,840
1,192,634 $
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
1,476,289 $
1,600,034 $
1,867,828 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
340,363 76,338 18,412 13,310 448,424
$
369,772 80,967 22,700 10,000 483,439
$
455,217 111,717 24,700
Supplies Equipment
-
Subtotal Operating
$
$
$
591,634
Debt Service
$
287,671
$
374,401
$
501,000
1,092,634 $
Total Expenditures
$
736,094
$
857,840
Transfers to Other Funds
$
65,000
$
67,000
$
100,000
Total Obligations
801,094 $
924,840 $
1,192,634 $
Ending Fund Balance
$
675,194
$
675,194
$
675,194
Page 13 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Sanitation Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
124,014
$
143,967
$
143,967
Revenues
Taxes
$
-
$
-
$
-
Charges for Service Fees, Licenses, Permits
413,567
454,322
450,000
- -
- -
- -
Grants & Other
Total Revenues
$
413,567
$
454,322
$
450,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
537,581 $
598,289 $
593,967 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
33,835 359,779
$
27,670 426,652
$
14,401 435,599
Supplies Equipment
- -
- -
- -
Subtotal Operating
$
393,614
$
454,322
$
450,000
Debt Service
$
-
$
-
$
-
$
Total Expenditures
$
393,614
$
454,322
450,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
393,614 $
454,322 $
450,000 $
Ending Fund Balance
$
143,967
$
143,967
$
143,967
Page 14 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Stormwater Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
62,370
$
92,448
$
92,448
Revenues
Taxes
$
-
$
-
$
-
Charges for Service Fees, Licenses, Permits
44,856
123,644
45,000
- -
- -
-
17,500 62,500
Grants & Other
Total Revenues
$
44,856
$
123,644
$
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
107,226 $
216,092 $
154,948 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
-
$
47,984 42,500 33,160
$
-
14,778
17,500 25,000 20,000 62,500
Supplies Equipment
- -
-
Subtotal Operating
$
14,778
$
123,644
$
Debt Service
$
-
$
-
$
-
Total Expenditures
$
14,778
$
123,644
$
62,500
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
14,778
123,644 $
$
62,500
$
Ending Fund Balance
$
92,448
$
92,448
92,448
Page 15 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Transient Guest Tax Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
4,433
$
5,098
$
5,098
Revenues
Taxes
$
665
$
1,500
$
1,000
Charges for Service Fees, Licenses, Permits
- - -
- - -
- - -
Grants & Other
Total Revenues
$
665
$
1,500
$
1,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
$
5,098
$
6,598
$
6,098
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - - - -
$
-
$
-
1,500
1,000
Supplies Equipment
- -
- -
Subtotal Operating
$
$
1,500
$
1,000
Debt Service
$
-
$
-
$
-
Total Expenditures
$
-
$
1,500
$
1,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
-
$
1,500
$
1,000
Ending Fund Balance
$
5,098
$
5,098
$
5,098
Page 16 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Library Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
8,407
$
5,370
$
5,370
Revenues
Taxes
$
406,102
$
431,877
$
469,280
Charges for Service Fees, Licenses, Permits
- -
- -
- -
81,092 512,969
123,600 592,880
Grants & Other
65,320 471,422
Total Revenues
$
$
$
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
479,829 $
518,339 $
598,250 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
66,857 407,602
$
76,000 436,969
$
117,600 475,280
Supplies Equipment
- -
- -
- -
Subtotal Operating
$
474,459
$
512,969
$
592,880
Debt Service
-
-
-
Total Expenditures
$
474,459
$
512,969
$
592,880
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
474,459 $
512,969 $
592,880 $
$
Ending Fund Balance
$
5,370
$
5,370
5,370
Page 17 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Special Parks Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
16,481
$
20,373
$
20,373
Revenues
Taxes
$
5,768
$
7,914
$
4,500
Charges for Service Fees, Licenses, Permits
- - -
- - -
- -
6,000
Grants & Other
Total Revenues
$
5,768
$
7,914
$
10,500
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
$
22,249
$
28,287
$
30,873
Expenditures Operating
Salaries and Benefits Contractual Services
$
-
$
-
$
- -
1,190
5,914 2,000
Supplies Equipment
686
10,500
-
-
-
Subtotal Operating
$
1,876
$
7,914
$
10,500
Debt Service
$
-
$
-
$
-
Total Expenditures
$
1,876
$
7,914
$
10,500
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
1,876
$
7,914
$
10,500
$
Ending Fund Balance
$
20,373
$
20,373
20,373
Page 18 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Special Highway Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
349,567
$
385,018
$
385,018
Revenues
Taxes
$
155,456
$
135,580
$
158,500
Charges for Service Licenses and Permits
-
-
-
48,561 2,500 206,517
100,000
40,000
-
-
Grants & Other
Total Revenues
$
$
235,580
$
198,500
$
Transfers from Other Funds
$
150,000
$
105,000
170,000
Total Resources
706,084 $
725,598 $
753,518 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
-
$
-
$
-
320,057
340,580
368,500
Supplies Equipment
-
- -
- -
1,009
Subtotal Operating
$
321,066
$
340,580
$
368,500
Debt Service
$
-
$
-
$
-
Total Expenditures
$
321,066
$
340,580
$
368,500
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
321,066 $
340,580 $
368,500 $
Ending Fund Balance
$
385,018
$
385,018
$
385,018
Page 19 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Infrastructure Sales Tax Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
364,387
$
401,855
$
401,855
Revenues
Taxes
$
500,418
$
422,565
$
507,400
Charges for Service Fees, Licenses, Permits
- - -
- - -
- - -
Other
$
Total Revenues
$
500,418
$
422,565
507,400
Transfers from Other Funds
$
-
$
-
$
-
909,255 $
Total Resources
864,805 $
824,420 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - - - -
$
- - - - -
$
- - - - -
Supplies Equipment
Subtotal Operating
Debt Service
$
-
$
-
$
-
Total Expenditures
$
-
$
-
$
-
Transfers to Other Funds
$
462,950
$
422,565
$
507,400
Total Obligations
462,950 $
422,565 $
507,400 $
Ending Fund Balance
$
401,855
$
401,855
$
401,855
Page 20 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Capital Projects Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
672,558
$
502,713
$
502,713
Revenues
Taxes
$
571,731
$
510,000
$
550,000
Charges for Service Fees, Licenses, Permits
- -
- -
- - -
21,413 531,413
Other
11,084 582,815
Total Revenues
$
$
$
550,000
$
Transfers from Other Funds
$
150,000
$
53,665
154,100
Total Resources
1,405,373 $
1,087,791 $
1,206,813 $
Expenditures Operating
Grant Match
$
- - -
$
-
$ $
-
Contractual Services
134,820 20,000 350,000 504,820
211,100
Supplies Equipment
-
470,000 681,100
64,764 64,764
Subtotal Operating
$
$
$
Debt Service
$
837,896
$
80,258
$
23,000
$
Total Expenditures
$
902,660
$
585,078
704,100
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
902,660 $
585,078 $
704,100 $
Ending Fund Balance
$
502,713
$
502,713
$
502,713
Page 21 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Fire Capital Reserve Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
156,104
$
172,897
$
172,897
Revenues
Taxes
$
-
$
-
$
-
Special Assesments (Charges)
85,583 11,307
85,000 20,400
85,000 10,000
Grants & Other Licenses & Permits
-
-
-
Total Revenues
$
96,891
$
105,400
$
95,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
252,995 $
278,297 $
267,897 $
Expenditures Operating
Contractual Services
$
-
$
-
$
-
Supplies Equipment
45,409
62,307
60,000
- -
-
- -
8,400
Grants and Other Programs
Subtotal Operating
$
45,409
$
70,707
$
60,000
Debt Service
34,689
34,693
35,000
Total Expenditures
$
80,098
$
105,400
$
95,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
80,098
105,400 $
$
95,000
Ending Fund Balance
$
172,897
$
172,897
$
172,897
Page 22 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Police Capital Reserve Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
46,014
$
47,632
$
30,041
Revenues
Taxes
$
-
$
-
$
-
Licenses & Permits Grants & Other Contractual Services
1,700 11,776 8,203 21,679
2,000 5,000 3,000
2,000 7,000 3,000
Total Revenues
$
$
10,000
$
12,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
$
67,693
$
57,632
$
42,041
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - -
$
- -
$
- -
Supplies Equipment
7,925 19,666 27,591
10,000 14,000 24,000
20,061 20,061
Subtotal Operating
$
$
$
Debt Service
-
-
-
Total Expenditures
$
20,061
$
27,591
$
24,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
20,061
$
27,591
$
24,000
$
Ending Fund Balance
$
47,632
$
30,041
18,041
Fees, Licenses, Permits 100%
Page 23 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Sewer Capital Reserve Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
320,691
$
334,783
$
244,783
Revenues
Taxes
$
-
$
-
$
-
Charges for Service Fees, Licenses, Permits
49,625
60,000
60,000
-
-
- -
1,200,000
Grants & Other
3,200
Total Revenues
$
52,825
1,260,000 $
$
60,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
373,516 $
1,594,783 $
304,783 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - -
$
- -
$
- -
Supplies Equipment
240,150 1,109,850
20,000 125,000 145,000
38,733 38,733
Subtotal Operating
$
1,350,000 $
$
Debt Service
$
-
$
-
$
-
Total Expenditures
$
38,733
1,350,000 $
$
145,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
38,733
1,350,000 $
145,000 $
Ending Fund Balance
$
334,783
$
244,783
$
159,783
Page 24 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Water Capital Reserve Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
238,709
$
250,612
$
156,612
Revenues
Taxes
$
-
$
-
$
-
Charges for Service Grants & Other Licenses & Permits
120,250
46,000
45,000
1,362
- -
- -
-
Total Revenues
$
121,612
$
46,000
$
45,000
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
360,321 $
296,612 $
201,612 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
- -
$
- -
$
- -
Supplies Equipment
662
45,000 95,000 140,000
20,000 125,000 145,000
109,047 109,709
Subtotal Operating
$
$
$
Debt Service
$
-
$
-
$
-
$
Total Expenditures
$
109,709
$
140,000
145,000
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
109,709 $
140,000 $
145,000 $
Ending Fund Balance
$
250,612
$
156,612
$
56,612
Page 25 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Capital Reserve Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
915
$
915
$
915
Revenues
Taxes
$
- - - - -
$
- - - - -
$
- - - - -
Charges for Service Grants & Other Licenses & Permits
Total Revenues
$
$
$
Transfers from Other Funds
$
-
$
-
$
-
Total Resources
$
915
$
915
$
915
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - - - -
$
- - - - -
$
- - - - -
Supplies Equipment
Subtotal Operating
$
$
$
Debt Service
$
-
$
-
$
-
Total Expenditures
$
-
$
-
$
-
Transfers to Other Funds
$
-
$
-
$
-
Total Obligations
$
-
$
-
$
-
Ending Fund Balance
$
915
$
915
$
915
Page 26 of 47
City of Tonganoxie 2022 Adopted Budget
2020
2021
2022
Debt, Bond, and Interest Fund
Actual
Adopted Adopted
Beginning Fund Balance
$
93,956
$
72,343
$
72,343
Revenues
Taxes
$
503,634
$
536,022
$
609,233
Charges for Service Licenses & Permits Grants & Other
- -
- -
- - -
36,449 540,083
18,545 554,567
$
Total Revenues
$
$
609,233
$
Transfers from Other Funds
$
262,950
$
263,900
263,300
944,876 $
Total Resources
896,989 $
890,810 $
Expenditures Operating
Salaries and Benefits Contractual Services
$
- - - - -
$
- - - - -
$
-
13,533
Supplies Equipment
- -
Subtotal Operating
$
$
$
13,533
Debt Service
824,646
818,467
859,000
Total Expenditures
$
824,646
$
818,467
$
872,533
Transfers to Other Funds
$
-
$
-
$
-
872,533 $
Total Obligations
824,646 $
818,467 $
Ending Fund Balance
$
72,343
$
72,343
$
72,343
Debt 100%
Page 27 of 47
B UDGE T A L LOCAT I ONS
By Department and Service
Page 28 of 47
City of Tonganoxie 2022 Adopted Budget Administration
The Administration Department provides executive leadership and administrative support for all departments and services for the implementation of the policies of the Mayor and City Council.
- Finance
- Human Resources - Municipal Court
- Community Development
- City Planning
- Codes Inspection - Legal Research - Trash Disposal
- City Engineering - Animal Control
- Utility Billing
- Customer Service
2020 Actual
2021
2022
Adopted Adopted
Expenditures by Category Personal Services
$
586,365 788,834 14,172 69,393
$
648,511 931,368 36,900 312,250
$
696,795 1,179,907 20,950 471,500
Contractual Services
Supplies Equipment Grant Match
-
-
-
Total
1,458,764 $
1,929,029 $
2,369,152 $
Expenditures by Fund General Fund
$
$
691,992 159,993 139,561 393,614
$
753,295 180,410 130,698 454,322 55,484
799,048 245,933 171,038 450,000
Water Operations Sewer Operations
Sanitation Storm Water
8,840
7,500
Transient Guest Tax Capital Projects & Debt
0
1500
1000
64,764
353,320
694,633
Total
1,458,764 $
1,929,029 $
2,369,152 $
Personnel Positions City Manager
1.0 1.0 1.5 1.0 1.0 0.0 1.0 6.5
Assistant City Manager Administrative Assistant Utilities Coordinator Code Enforcement Officer Code & Building Inspector Deputy City Clerk
Total
Budget Considerations
Budget enhancements include an increase for employee merit increases up to 5% and an anticipated increase in health insurance premiums. The 2022 budget did not include an adjustment to the structure of the compensation plan. Other changes to the department's 2022 budget included increased legal services contracted fees and supporting the Tonganoxie Business Association, Tonganoxie Arts Council & Tonganoxie Historical Society through either direct funding or project support. The Administration Department's budget includes many of the professional services that the City contracts out
Page 29 of 47
City of Tonganoxie 2022 Adopted Budget Fire Department
The Fire Department provides emergency medical and fire suppression services to Tonganoxie residents and their neighbors. All personnel are certified EMT's and apparatus operators.
- Fire Suppression - Emergency Medical
- Inspections - Investigations
2020 Actual
2021
2022
Adopted Adopted
Expenditures by Category Personal Services
$
600,331 77,746 18,764 58,742
$
641,219 101,400 28,450 71,807
$
786,654 104,400 31,450 75,500
Contractual Services
Supplies Equipment Grant Match
-
8,400
-
$
Total
$
755,583
$
851,276
998,004
Expenditures by Fund General Fund
$
$
710,175 45,409 755,583
$
780,569 70,707 851,276
938,004 60,000 998,004
Fire Capital Reserve
Total
Personnel Positions Fire Chief
1.0 1.0 2.0 4.0 8.0
Deputy Fire Chief/Codes Officer
Fire Captain Firefighters
Total
Budget Considerations
Budget enhancements include an increase for up to 5% employee merit increases and an anticipated increase in health insurance premiums. The 2022 budget did not include an adjustment to the structure of the compensation plan. The Fire Department budget includes the addition of a full time Firefighter position that was added mid- year in 2021 upon the conversion of the Deputy Chief position into an exempt position called the Deputy Fire Chief/Code Enforcement Officer. This adjusted position replaced the part time code enforcement officer originally approved in the 2020 budget. The 2022 budget includes the annual debt service payment to pay for the fire engine pumper purchased in 2018, which had an estimated total purchase cost of $300,449 after the trade in of an older pumper. The debt service payment will be made out of the Fire Equipment Fund for a period of 7 more years, but the funding allocation is shown on the Debt Service budget book page and not in the Fire Department's operating budget. The 2022 budget also includes the continued allocation of $10,000 per year to replace Personal Protective Equipment (PPE), to be paid for out of the Equipment fund, and other grant matching amounts as approved by the City Council.
Page 30 of 47
2022 Adopted Budget City of Tonganoxie
The Police Department employs a fully trained and accredited law enforcement team for the safety of the citizens of Tonganoxie. Police Department
- Patrol Division
- Investigations Division
2020 Actual
2021
2022
Adopted Adopted
Expenditures by Category Personal Services
1,187,404 $
1,013,049 $
1,045,624 $
Contractual Services
93,900 40,208 47,547
81,900 63,025 22,166
82,900 64,100 136,500
Supplies Equipment
Total
1,194,704 $
1,212,715 $
1,470,904 $
Expenditures by Fund General Fund
1,174,643 $
1,185,124 $
1,446,904 $
27,591
24,000
Police Capital Reserve
20,061
Total
1,194,704 $
1,212,715 $
1,470,904 $
Personnel Positions Police Chief
1.0 1.0 3.0 2.0 6.0 1.0 0.0
Lieutenant Sergeant Corporal
Police Officer Records Clerk Police Trainee
Total
14.0
Budget Considerations
Budget enhancements include an increase for up to 5% employee merit increases and an anticipated increase in health insurance premiums. The 2022 budget did not include an adjustment to the structure of the compensation plan. There were no major changes in the Police Department General Fund budget in 2022 following the addition of 1 Officer position, designated to serve as the School Resource Officer at USD 464, in 2020. According to an Interlocal Agreement, the School District will be responsible for reimbursing the City for a share of the personal services cost of the additional position. A major equipment upgrade for the Police Department included in the 2022 budget is the purchase of three Chevy Tahoe vehicles to resist aging vehicles in the City's fleet. Up to $6,200 in the Police Equipment Fund is also allocated for the partially grant financed improvements to the Police Firing Range.
Page 31 of 47