ORD 2001-20TOWN OF TROPHY CLUB, TEXAS
ORDINANCE NO. 2001 - 20
AN ORDINANCE OF THE TOWN OF TROPHY CLUB, TEXAS ADOPTING
AND APPROVING THE BUDGET FOR THE FISCAL YEAR BEGINNING
OCTOBER 1, 2001 AND ENDING SEPTEMBER 30, 2002, AND MAKING
APPROPRIATIONS FOR EACH DEPARTMENT, PROJECT, OPERATION,
ACTIVITY, PURCHASE, ACCOUNT AND OTHER EXPENDITURES;
PROVIDING FOR EMERGENCY EXPENDITURES AND EXPENDITURES
AS ALLOWED BY APPLICABLE STATE LAW; PROVIDING FOR FILING
OF DOCUMENTS; REPEALING CONFLICTING ORDINANCES;
PROVIDING A SEVERABILITY CLAUSE; PROVIDING A SAVINGS
CLAUSE; PROVIDING FOR ENGROSSMENT AND ENROLLMENT; AND
PROVIDING AN EFFECTIVE DATE.
WHEREAS, the Mayor of the Town of Trophy Club, Texas (the "Town") has caused to
be filed with the Town Secretary a budget to cover all proposed expenditures of the Town for the
fiscal year beginning October 1, 2001, and ending September 30, 2002; and
WHEREAS, the budget shows as definitely as possible each of the various projects for
which appropriations are set up in the budget, and the estimated amount of money carried in the
budget for each of such projects; and
WHEREAS, public notice of a public hearing on the proposed annual budget, stating the
date, time, and place and subject matter of the public hearing, was given as required by the laws
of the State of Texas; and
WHEREAS, the Town Council has studied the budget and listened to the comments
received at the public hearing and has determined that the budget attached hereto is in the best
interest of the Town of Trophy Club.
NOW, THE, BE IT ORDAINED BY THE TOWN COUNCIL OF THE
TOWN OF TROPHY CLUB, TEXAS:
Section 1. The budget attached hereto as Exhibit A and incorporated herein is approved
and adopted for the fiscal year beginning October 1, 2001 and ending September 30, 2002; and
there is hereby appropriated from the funds indicated and for such purposes, respectively, such
sums of money for such departments, projects, operations, activities, purchases, accounts and
other expenditures as proposed in the attached budget.
ORD 2001-20
Section 2. No expenditure of the funds of the Town shall hereafter be made except in
compliance with the budget and applicable state law; provided, however, that in case of grave
public necessity emergency expenditures to meet unusual and unforeseen conditions, which could
not by reasonable, diligent thought and attention have been included in the original budget, may
from time to time be authorized by the Town Council as amendments to the original budget.
Section 3. Prior to the expenditure of any moneys in the emergency reserve fund, the
question of the expenditure of such moneys shall be submitted to the Ways and Means
Committee, which Committee shall review the proposed expenditure and timely make its
recommendation to the Town Council.
Section 4. The Mayor shall file or cause to be filed a true and correct copy of the
approved budget, along with this Ordinance, with the Town Secretary and in the office of the
County Clerk of Denton County, Texas,
Section 5. Any and all ordinances, resolutions, rules or regulations in conflict with this
Ordinance are hereby repealed and rescinded to the extent of the conflict herewith,
Section 6. If any section, article, paragraph, sentence, clause, phrase or word in this
Ordinance or application thereof to any person or circumstance is held invalid or unconstitutional
by a Court of competent jurisdiction, such holding shall not affect the validity of the remaining
portions of this Ordinance, and the Town Council hereby declares it would have passed such
remaining portions of this Ordinance despite such invalidity, which remaining portions shall
remain in full force and effect.
Section 7. All rights and remedies of the Town of Trophy CIub, Texas, are expressly
saved as to any and all provisions of any other Ordinance affecting budget requirements which
have secured at the time of the effective date of this Ordinance.
Section 8. The Town Secretary is hereby directed to engross and enroll this Ordinance by
copying the Caption and Effective Date Clause in the minutes of the Town Council and by filing
this Ordinance in the ordinance records of the Town.
Section 9. This Ordinance shall be effective from and after its date of passage in
accordance with law, and it is so ordained.
PASSED AND APPROVED by the Town Cor
of t� To/ of
this the 27h day of August 2001, `
Town of Trophy Club, Texas
ORD 2001-20
Club, Texas,
ATTEST:
Town Se
Town of
Club, Texas
[SEAL]
APPROVED AS TO FORM:
Town Attorney
Town of Trophy Club, Texas
ORD 2001-20
TOWN OF TROPHY CLUB
ADMINISTRATION BUDGET
2681 12002
1:22 PM8/22101
AOMINBUUGBT0102
PERSONNEL SERVICES
50010
Salaries0ages
251,346
290,045
239,941
280,000
331,637
14.34%
50200
CPS Adnupistralive Reimb.
141.995)
(38.684)
(32,3461
(39,6841
_ _ (65,7001
69.94%
Net Wages
209,361
251,361
209,595
241,316
265,937
5.80%
50020
Overtime
1,060
7,000
9,391
9,942
10,000
42.86%
Ment Raises
6,533
50030
Longevity rruilienl tncenlive pay
7,508
7,500
3,490
500
7,000
-6.67%
50040
Ralfremant
13,924
30,563
24,563
28,776
35,107
14.87%
50050
Group Insurance
15,250
20.000
17,691
20,000
27,400
37,OG%
50060
Social Security Taxes
15,583
19,179
14.974
18,299
22,324
16.401
50070
Medicare Taxes
3,645
4,486
3,730
4,290
5,221
113.40%
SCOOD
UnamploymantTaxes
1,159
600
172
205
1,200
100.00%
50090
Worker's Compensation
702
7GO
792
950
1,000
42.961A
Employee Assistance Program
3,000
50100
Auto Allewance
4,800
4,900
4,200
4,1900
4,800
ODD%
50120
pre-Employmanl Physicals
500
704
103
103
500
-2957%
TOTAL PERSONNEL SERVICES
273,323
346,889
206,001
3$9,073
390,122
ADMINISTRATIVE EXPENSES
53700
Equipment Maintenance
3,5x0
3,000
234
gal
2,500
-16.67%
53750
Building Maintenance
10,600
10,000
8,445
10,006
1,000
-90.00%
113010
Telephone
6,000
13,000
11,403
13,500
10,006
-23.0894
60050
Telephone -Mayor
2,500
2,500
1,305
1,45n
_
60100
CommunicationslPagerslMobiles
-
8,000
60140
Electricity
-
0,000
60160
Water
419
503
1,000
10260
Postage
4.000
5,200
2,350
2,820
4,500
•13.46%
SD250
Sarvlce Charges & Fees
200
50
23B
286
-100.00%
e431O
Insurance
15,000
15,000
17.818
17,818
19,600
30.67%
60350
Office Supplies
3,000
4,000
3,463
4,156
5000
25.00%
60400
Maintenance & Supplies
1,300
1,300
848
1,018
1,000
-23.06%
PapeUCopler Supplies
2,500
60450
Copies
5,000
4,000
1,643
1,972
3,000
-25-00%
110500
Printing
2,000
3,000
1,196
1,435
2,000
.33.33%
60550
Newsletter
6,000
0,500
14,986
17,863
12,000
41.16%
GD600
PubllcalonslEookslSubscriplicns
669
003
1,600
60650
Dues & Memberships
7,500
8,435
10,126
10,200
9,000
6.70%
10660
Duns & Memb reduced by EOC conbinhulien
(E,ECO)
16,583}
10,6001
(6,600)
0.00%
60700
Meetings
440
538
3,000
60750
Schools & Training
7,000
5,600
3,804
S,BGO
5,000
0.04%
60950
Travel & Per Diem (Staff)
3,500
3,500
3,780
4,000
4,400
14.29%
61050
Elections
2,000
4,000
3,923
4,000
4,000
0.00%
61150
Advertising
1,500
1,5aa
931
1,397
1,500
0.00%
612110
Employee Relations
0
-
4,800
61400
Special Events
8,000
8,000
1,075
5,000
3,000
-62.50%
62300
hliscePaneous Expenses
1,500
1,500
1,281
1,500
1,500
0.00%
62850
Meals On Wheels
2,500
1,500
1,500
1,500
-
-100.00%
64050
Copier Lease
34600
5,000
3,093
5,000
4,500
-10.00%
TOTAL ADMINISTRATIVE EXPENSES
95,600
101,395
89,095
105,437
114,000
13.23%
PROFESSIONAL & CONTRACTUAL SERVICES
53150
Legal Fees
22,000
50,000
42,178
61,000
60,000
53260
Audit
7,500
7,000
6,150
6,150
7,500
7,149A
53250
Accaunling Assistance
638
638
53300
Appraisal Fees
15,000
20,000
14,353
18,500
22,000
10.00%
53350
Tax Adminlslralive Fees
1,500
2,000
1,717
2,000
2,000
0,00%
53460
Wormation Services Budget (Total)
31,E03
19,563
154868
19,563
24,421
53450
Independent Labor
200
400
92
159
500
25.00%
53500
Records Retention
1,000
3,700
1,676
2,971
3,700
0.00%
53550
Professional outside Services
4,000
4,000
45
77
4,000
0,00%
54400
DPS Joint Ventufe Contribution
640,362
587,000
571,040
571,046
427,954
-27.093'0
57150
Small Equipment
2.000
2.000
72
123
2,009
0.00%
TOTAL. PROF. & CONTRACTUAL SER
7251365
6951653
653,635
602,129
554,075
TOTAL OPERATING COSTS
1,094,200
1,143,577
1,028,732
1,11e,639
1,058,997
CAPITAL EXPENDITURES
63010
Capital Expenses
277
277
22,500
63020
Rspientish 90 day fund Balance
137,C6o
-
B3050
Office FumiturefEqulpm9nt
2,000
2,000
775
1,006
3,000
50.06%
63100
Building Payment
35.000
35,000
13,615
35,000
35,000
0.00%
63200
Systems -Computer Payment
15,610
15,093
15,093
15,093
15,093
1.00%
159, 947
0
TOTAL CAPITAL EXPENDITURES
212,657
109,093
29,103
51,093
75,697
-5997%
COUNCIL RELATED PROGRAMS
62900
PublicRelatfons
10.000
5,100
5,592
6,81)0
6,000
-11.76%
62950
41h of July Celebration
41,459
42,000
4,000
60940
Travel 7 Incidentals. Mayor
3,000
1,560
814
1,395
-100.00',5
61450
Contingency
25,000
25,000
0
-
25,000
U.DD%
Counril ralatad legal
Franchise Utility Task Farce
-
TOTAL COUNCIL RELATED PROGRA
31,190
33,300
47,165
51,195
35,000
TOTAL EXPENDITURES
1,344,945
1,366,330
1,101,200
1,217,927
1,169,690
1:22 PM8/22101
AOMINBUUGBT0102
TOWN OF TROPHY CLUB
Proposed Budget- Public Works
2001!2002
4:14 PMfi12T181
Approve d
x Projepled PROPOSED
Aceeunt'..-
C: 99 Q0
00-01:
00101
`00101
iISUDGET
Numbdr `,% DescrlpiSon , „ , „k ,
.' Budget, .,
BUDGET ,
„1',hN 7!311 D1_
_ ]; Pinal ,
: 011.0?":
PERSONNEL SERVICES
50010
5aianes/Wagas
175,079
180,803
105,744
121,693
180,626
50020
Employee Overtime
1,500
6,000
4,477
5,690
7,000
Merit Rnisas
3,360
50030
Longevity payrrodianflncenlive pay
2,200
3,000
879
929
3,600
50040
Empinyea Retirement
9,630
19,543
10,697
12,507
10,066
50050
Group Insurance
17,792
16,000
9,187
12,440
25,000
SOo6o
Social Security
10,856
12,264
6,938
7,953
12,051
50070
Medicare Taxes
2,539
2,866
1,023
2,023
2,131
50080
Unemployment Taxes
600
600
94
18B
1,050
50090
Worker's Compensalion
1,134
1,500
2,150
2,150
3,930
50100
Auto Allowance
3.600
-
-
-
50120
pre -Employment Testir9
1.000
-
1,500
TOTAL PERSONNEL SERVICES
224,930
254,170
141,796
165,544
259,164
ADMINISTRATIVE EXPENSES
53400
IS Support
1,800
53650
Vehicle Maintenance
1,400
1,900
1,469
1,703
5,000
53700
Equipment Maintenance
1,200
600
34
41
900
54000
Cleaning Services
1,300
1.300
1,363
1.700
1,300
60010
Telephone
3,500
5,000
3,608
4,330
5,000
601o0
Communlcalions)Pagers/Mebiis
(310)
(310)
300
51200
Employee Relations
19
29
300
60170
Rent
5,600
5.600
4,770
5,724
11,200
60200
Postage
1,400
1,500
405
466
500
66300
Inseranco
6,060
6,000
0,000
60150
Cffrce Supplies
2,000
2,300
1,061
2,300
60400
Maintersance Suppiies
600
1,000
371
445
1,000
60450
Copies
800
1,800
263
316
1,C00
60500
Printing
1,00a
1,000
131
157
1,000
60650
Cues & Memberships
400
1,000
205
308
1,000
60700
&feelings
45
45
100
60750
Schools & Continuing Education
3,300
5,500
409
1,500
3,5130
60RS0
Travel & Per Diem
1300
1,500
121
1,000
1,000
61150
Advertising
-
1.500
273
329
1,000
TOTAL ADMINISTRATIVE EXPENSES
29,300
37,300
14,237
17,060
43,900
PROFESSIONAL 8 CONTRACTUAL SERVICES
53010
Engineering Services
15,000
10.006
47,266
511,000
15,000
53150
Legal Fees
3,000
8,200
15,241
16,289
10,000
53450
Independent Labor
15,000
15,060
2,012
2,414
15,000
54050
Landscape Maintenance
145,000
130,436
80,625
138,600
136,436
54100
Trash Remova6Recyding
206,500
222,432
164,986
222,432
280,000
54150
Health Inspector Fees
2,500
2,500
1.3a0
1.656
2,500
TOTAL PROF & CONTRACTUAL SERVICE
307,000
394,568
311,712
432,792
460,936
PUCLIC WORKS OPERATING EXPENSES
53750
Building Maintenance 8 Safety
10,000
3,091
10,000
10,000
54300
Hardware
1,500
1,500
157
1,000
1,500
54310
Training (Management & Safety)
1,580
25
1,400
1,700
57010
Fuel & Lube
2,000
3,000
1,256
2,500
3,500
57050
Uniforms& Accas5odes
500
1,500
1,145
1,374
1,500
60150
Electricity
50,000
50,000
42,779
51,335
51,500
00160
Water
16,000
20,160
16,477
201
20,160
61050
Property Maintenance
6,000
15,000
5,506
9,607
15,000
61900
Code Enforcement
6,000
6,000
1,265
6,000
-
61950
Flags and Repairs
2800
3,000
1,604
2,000
3,000
62000
Irrigation Repairs
10,500
6,000
0,579
7,695
6,000
62050
Street Repairs
150,000
150,000
115,701
150,COa
150,000
02100
Street Sweeping
9,000
9,000
3,750
8,000
9,000
62150
Slreat7Trallic SignsiCrosswaiks
30,500
201
9,891
20 000
25,000
TOTAL PUBLIC WORKS OPERATING EXF
2116,000
296,740
209,220
288,111
297,560
TOTAL OPERATING EXPENSES
930,030
982,786
676,957
904,306
1,061,460
CAPITAL EXPENSES
63010
Sand Spreader
7,500
63050
Office Furniture & Equipment
3,200
-
63250
Vehicles
21,000
21,000
21,000
23,006
6]300
Vehicle Equipment
1,200
284
1,200
1,200
0340a
Mobile Radio
S,Oco
5,000
5,000
03910
Trophy C1ubfMarsholl Greek Road
-
76,552
76,552
64050
Cooler Lease
2,286
3,432
3,100
64100
PW Building
9,500
3,000
2,644
3,000
3,000
62060
Slreel Repairs (GASB 34)
222,432
222,432
222,432
280,000
64600
Street Bond Program
27,573
TOTAL CAPITAL EXPENSES
12,700
252,632
352,753
332,616
322,800
COUNCIL RELATED ACTIVITIES
5310a
Utility Franchise Services
10,000
20,000
18,271
20,000
15,000
TOTAL COUNCIL RELATED ACTIVITIES
10,009
20,000
18,271
20,000
15,000
TOTAL EXPENDITURES
952,730
1,255,410
1,047,991
1,256,922
1,399,6EO
4:14 PMfi12T181
PARKS BUDGET
200'1 12002
DECISION PACKAGES
CAPITAL EXPENSES
Play Equipment & Sprinkler System
Bleacherst8ench Seat
63650 Harmony Park AOA Renovation
Soccer Field
63900 Carp property - Misc Improvements
TOTAL CAPITAL EXPENSES
10 ACRE PARK PROJECTS
Baseball Fields - EDC 6
Baseball Fields - MUDS
Baseball Fields • Carry over 00.01
Baseball Fields - Developer Coniributlons
63850 Baseball Fields
Baseball Fields corp funds
Tennis Courts
TOTAL 10 ACRE PARK PROJECTS
3,677
6,0(10
$1,000 40,774 51,000
18,800
40,000 7,500 7.500
3,677 91,006 40,774 58,500 32,300
20,000
25,000
40,950
137,270
120,000 310,000 84,993 190,000 172,730
25,006
30,500 - 75,000
1501500 310,000 84,993 190,000 495,950
TOTAL REQUESTED EXPENDITURES 295,421 599,950 227,308 425,272 723,700
1'16 PM8122101
CONSUMABLE SUPPLIES
54300
Hardware
500
200
22
22
200
60400
Maintenance Supplies
750
750
565
750
750
TOTAL CONSUMABLE SUPPLIES
1,250
950
587
772
950
PROFESSIONAL & CONTRACTUAL SERVICES
53150
Legal Park Land Dedication & Ordinances
5,000
2,499
5,000
5,000
53450
Independent Labor
7,000
10,000
3,297
10,000
10,000
54050
Landscape Maintenance
70,744
70,750
43,368
70,750
88,750
54200
Consultants
2,500
12,000
791
12,000
12,000
54250
Portable Toilets
6,750
6,750
4,713
6,750
6,750
TOTAL PROF & CONTRACTUAL SERVICE •
86,994
104,500
54,668
104,500
122,500
PARKS OPERATING EXPENSES
54350
Playground & Ball Field Materials
4,500
4,500
3,121
4,500
4,500
54360
Park Equipment Replacement Fund
7,000
3,255
7,000
7,000
60150
Electricity
3,000
5,500
3,304
5,500
5,500
50160
Water
16,000
17,000
617
17,000
25,500
61850
Property Maintenance
25,000
55,000
33,600
33,000
25,000
62060
Irrigation Repairs
4,500
4,500
2,989
4,500
4,500
TOTAL PARKS OPERATING EXPENSES
53,000
93,500
46,285
71,500
72,000
TOTAL PARKS EXPENSES
141,244
198,950
101,541
176,772
195,450
DECISION PACKAGES
CAPITAL EXPENSES
Play Equipment & Sprinkler System
Bleacherst8ench Seat
63650 Harmony Park AOA Renovation
Soccer Field
63900 Carp property - Misc Improvements
TOTAL CAPITAL EXPENSES
10 ACRE PARK PROJECTS
Baseball Fields - EDC 6
Baseball Fields - MUDS
Baseball Fields • Carry over 00.01
Baseball Fields - Developer Coniributlons
63850 Baseball Fields
Baseball Fields corp funds
Tennis Courts
TOTAL 10 ACRE PARK PROJECTS
3,677
6,0(10
$1,000 40,774 51,000
18,800
40,000 7,500 7.500
3,677 91,006 40,774 58,500 32,300
20,000
25,000
40,950
137,270
120,000 310,000 84,993 190,000 172,730
25,006
30,500 - 75,000
1501500 310,000 84,993 190,000 495,950
TOTAL REQUESTED EXPENDITURES 295,421 599,950 227,308 425,272 723,700
1'16 PM8122101
TOWN OF TROPHY CLUB
PLANNING ZONING BUDGET
2001 12002
rr-MOVNIVCL 0r-MVI%+G11j
50010 Salaries & Wages
50020 Overtime
Merit Raises
50030 Longevity/Certification
50040 Retirement
50050 Group Insurance
50060 Social Security Taxes
50070 Medicare Taxes
50080 Unemployment Taxes
50090 Workman's Compensation
TOTAL PERSONNEL SERVICES
PROFESSIONAL & CONTRACTUAL
53010 Engineering Services
53050 Town Planner
Town Planner Ordinances
53150 Legal Fees
53170 Legal/Ordinances
53300 Appraisal Fees
TOTAL PROFFESSIONAL & CONTRACTUAL
CONSUMABLE SUPPLIES
60350 Office Supplies
60450 Copies
60500 Printing
TOTAL CONSUMABLE SUPPLIES
OPERATING EXPENSES
60200 Postage
60550 Newsletter/Publications
60650 Dues & Memberships
60700 Meetings
60750 Schools & Training
60850 Travel & per diem (staff)
61150 Advertising
62200 Plat Filing Fees
62250 Computer Mapping
62300 Miscellaneous Expenses
TOTAL OPERATING EXPENSES
TOTAL OPERATING EXPENSES
CAPITAL EXPENSES
63010 Fireproof lateral filing cabinet
TOTAL CAPITAL EXPENSES
TOTAL EXPENDITURES
-
15,000
12,872
15,520
16,451
-
1,200
1,059
1,500
2,000
330
-
138
118
118
500
-
1,514
1,402
1,671
1,680
-
1,550
1,143
1,505
2,097
-
1,013
871
1,063
1,195
-
237
204
249
280
-
50
14
26
225
-
100
113
113
200
-
20,902
17,796
21,766
25,158
4,000
3,260
13,967
18,000
3,260
5,000
16,000
20,017
25,000
12,000
-
-
-
-
16,500
4,000
4,000
10,027
15,000
5,000
1,000
1,000
-
8,000
10,000
400
400
-
-
400
14,400
24,660
44,011
66,000
47,160
1,300
1,300
628
700
600
175
300
336
500
500
200
50
44
50
50
1,675
1,650
1,008
1,250
1,150
125
200
108
140
200
450
450
420
450
450
200
200
65
200
200
-
-
-
-
125
400
800
111
400
3,500
100
200
71
100
-
200
100
168
305
350
150
-
117
175
200
1,200
1,200
359
359
2,000
100
50
-
50
2,925
3,200
1,419
2,129
7,075
80,543
3,300
3,300
19,000 50,412 64,234 91,145 83,843
1:28 PM8/22/01
PLANNING ZONING BUDGET0102