HomeMy WebLinkAbout01-09-07 Clerical Committee Minutes
CLERICAL COMMITTEE MEETING
Tuesday January 9, 2007 – 6:30 p.m.
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Historic Depot 50 N. 4 Avenue
Aldermen in Attendance:
Joe Berardi, Jim Hartford, Larry Sarff, Kevin
Meade, Les Carl, Eric Schenck, Sonya Lewis. Absent – Alderman Craig
West.
Others in attendance:
Mayor Rodney W. Heinze, City Clerk Nancy
Whites, City Treasurer Kathy Luker, City Attorney Chrissie Peterson, Police
Chief Jeffrey Fritz, Fire Chief John Stanko, Water Treatment Supt. Greg
Pollitt, Zoning Officer Clark Wilson, Street Supt. George Spahn, Maurer
Stutz Inc. Keith Plavec, SRPED Mark Rothert, Auditors for the City Jim
Hocker and John Frey, and Video Services by Joe Ginger.
In the audience: Daily Ledger rep. John Froehling, Journal Star rep. Jenny
Freeman, Former City Manager David Anderson, Linda Wilson, Tye Reed,
and candidate for Ward One Alderman Jason Strandberg.
FINANCE
Alderman Les Carl, Chairman
Bills. Motion
and second by Aldermen Sarff/Meade, all bill presented be
referred to council for consideration. Discussion. Alderman Berardi wants
to discuss in a meeting about all the charge cards that the city has. The
motion carried by voice vote, and was unanimous.
Treasurer’s Report.
City Treasurer Kathy Luker mentioned that she has
added to the report the depreciation accounts for Garbage, Fire, Street,
Motion
Building & Grounds, and Police Department. and second by
Aldermen Sarff/Meade, to refer to council for consideration. Voice vote,
motion carried unanimously.
Budget Report.
City Treasurer Kathy Luker reported that the Year-To-
Date Revenues are higher than Year-To-Date Expenditures by $314,355.00
in the General Fund. The General Fund Revenues is 74.5%, up 7.8% over
the YTD average. The General Fund Expenditures is 67.9%, up 1.2% over
the YTD average. This is partially due to the December lst snowfall and
related expenses. The City of Canton Public Works Department has applied
for a FEMA reimbursement of $20,512.50 that the City may receive, if
granted. The Water and Sewer Total percentage without Bond Expenses
Year-To-Date is 53.1%, down 13.6% under the YTD average.
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Congratulations to all Department Heads and their Employees for keeping
these percentages on target with the Budget.
Revenue Y-T-D General Fund $4,842,515.00
Expenditures Y-T-D $4,528,160.00
Revenue (Expenditures) $314,355.00.
Amended Budget - General Fund Revenue $6,498,143.00
General Fund Expenditures
General Government Amended Budget, Police, Fire, Street, Garbage,
Building & Grounds, Contingency –Total $6,667,387.00.
Water & Sewer Expense – Amendment Budget
Water Administration, System Maintenance, Water Plant, Water Plant-bond,
Waste Water, Waste Water Bond, Meter Department, Contingency-W/S.
Contingency W/S Bonds – total $17,217,459.00.
Motion
and second by Aldermen Sarff/Meade, send to council for
consideration. The motion carried by voice vote, and was unanimous.
Audit Report.
Jim Hocker said he is a partner from the firm of Hocker
and Fitzjarrald CPA’s. John Frey did the field work and he is here in case
of specific questions you might ask. Jim said he will talk about the Selected
Financial Information. This information is as follows.
Prior Current
GENERAL FUND RECEIPTS Year Year % of total
1,218,464
Property Taxes 1,281,062 16.9%
2,543,059
Sales Tax 1,985,991 35.2%
1,160,974
Income Taxes 1,008,874 16.1%
176,264
Personal Property replacement tax 127,172 2.4%
723,846
Utility Taxes 658,932 10.0%
375,826
Telecommunications tax 153,903 5.2%
184,068
Franchise, licenses & permit fees 180,309 2.5%
441,287
Garbage service fees 410,213 6.1%
69,239
Fines 70,013 1.0%
30,000
Grants & state reimbursements- Building 0 0.4%
20,887
Streets 40,225 0.3%
56,426
Police 27,378 0.8%
35,568
Fire 100,494 0.5%
39,503
Hotel/Motel taxes 31,168 0.5%
37,860
Interest Income 2, 399 0.5%
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28,756
Donations 9,780 0.4%
86,919
Other receipts 66,403 1.2%
7,228,946
6,154,316 100.0%
GENERAL FUND DISBURSEMENTS
1,156,082
General government 1,305,532 19.3%
299,445
Buildings & Grounds 163,792 5.0%
2,098,950
Police 1,939,125 35.0%
1,500,300
Fire 1,457,464 25.0%
530,729
Streets 524,389 8.9%
406,227
Sanitation 379,278 6.8%
5,991,733
5,769,580 100.0%
Salaries and benefits as a percentage of total disbursements 72.0%
General Fund unrestricted fund balance increased $1,018,097 during the
year ended April 30, 2006.
WATER AND SEWER FUND
Operating cash flow income was $1,394,880 during the year ended April 30,
2006 which is needed to support repayment of $29,800,391 of debt incurrent
for current and future system improvements.
Jim Hocker said this report focus on the General Fund and briefly on the
Water/Sewer Fund. I have recapped for you the prior year and current year
of the General Fund receipts and reimbursements. Lets talk about the
percentage of the general revenues property tax that is 16%. That is
interesting as the general fund does not rely on its real estate or property
taxes. These taxes are usage or income base tax. This is seventy one
percent of the total fiscal year revenues. Your treasurer and council worked
hard to manage to invest those funds that greatly increased the interest
income, and this is a feather in your cap. There was an increase in cash flow
and better cash management which resulted in 5.7% return on average asset
increase.
A lot of money goes through the general fund. This is a very positive
picture of the general fund and the operations of the city when revenues go
up and expenditures are not as much.
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Water and Sewer fund when you look at the financial statement and then
look at debt services, this will take a lot of income. You are not generating
any excess profits from your water/sewer fund.
Your 70 some page financial report statement, if you glance over this report
you will learn about the city and the city’s obligations. On page 46 thru 57
there is supplementary information. These are individual funds of where the
funds come from and how they are spent.
The Management Letter is the auditors recommendations. I’m not only
positive on the financial statement, I’m also positive on the management
letter because you got rid of six of the items you had on last years audit.
They are 1. Bank accounts were not reconciled, and they are this year. 2.
Control of resource documents of debit, was greatly improved and now is
under control. 3. Lake fund transactions not recorded, all recorded properly
this year. 4. Recommended daily cash receipt register, and that was
implemented. 5. Detail cash receipts journal last year and that was
implemented. You have a lot of money going through miscellaneous
receipts. 6. Relating to fire pension fund there was an investment act
violation. It was temporary being out of compliance. That part was
resolved.
The only new thing this year, we had to do a single audit because of the city
spending more than $500,000 of federal funds. The complication is what
are federal funds? Some of the funds received from the state are pass
through funds. The accountability and tracking of those federal awards is
very important and are considered material weakness, as far as federal
compliance single audit of our financial audit is concerned. This is our new
recommendation. This has been talked over with management and City
Treasurer Kathy Luker.
You have quite a liability on the Health Insurance. You should do a
actuary evaluation every three years. I have mentioned this in the audit for
three years now, and it should be done. I feel uncomfortable, as it is pay as
you go. Funding needs to be set up. Also what you should be charging
employees for your premium cost.
The Tax Increment Funds of 4A Enterprise Park of $55,000.00 have to be
returned to the other taxing districts as it was not spent within the 36 month
period. The importance is, to be in order to maintain your tax increment
funds you have to have a redevelopment plan, and usage plan, of what you
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are going to spend it on and actually implantation. If you don’t, you have to
return the funds to the taxing bodies.
Jim thanked City Clerk Nancy Whites for her patience and cooperation as
we had to work through some payroll problems. She was very helpful and
forthright. We bugged her also for minutes, ordinances, resolutions and
those type of things and she has always been a resourceful person and very
supportive of us, which we appreciate that.
Jim Hocker said he wants to take an auditors bow to the treasurer. Jim said
he has known Kathy Luker as she worked for his office some 15 years. She
left us and we did not want her to leave. This job as city treasurer is very
difficult, and your talking about a 12 million dollar enterprise. There are 30
different funds, and they are very task oriented, even though you have a
computer system. And that computer system is lacking in some respects.
She has excellent bookkeeping skills and audit skills in terms of
documentation in backing up her support. I was worried about her as this
was her first full year. She had no good trail to follow. She had good
support from the former city treasurer Pat Wright. We tried to help when we
could, but day to day she had to sink or swim, and she swam beautifully.
She wanted to do better and continue on. I know she was a quick learner, I
was surprised she learned as quickly as she did! I can’t over emphasis how
fortunate the citizens of Canton have in Kathy Luker as Treasurer of Canton.
Keep up the good work! Alderman Carl said he wanted to echo what Jim
Hocker had reported for this last year. The council then gave Kathy Luker
their applause in appreciation.
Payment #6 from Leander Construction for the Kilroy Pumping
Station. Motion
and second by Aldermen Sarff/Meade, to approve pay
request #6 from Leander Construction for the Kilroy Pumping Station in the
amount of $153,197.33, and refer to council for consideration. Discussion.
Keith Plavec recommended the pay request as he mentioned that they have
progress meetings. The motion carried by voice vote and was unanimous.
Payment #1 from Laverdiere Construction for Kilroy Sewershed.
Motion
and second by Aldermen Sarff/Meade, to approve pay request of #1
from Laverdiere Construction, Inc. for work completed through December
15, 2006 in the amount of $77,000.85, and refer to council for consideration.
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Discussion. Keith Plavec mentioned that on 6 & 7 at first the soil was great
to work with, then some settlement developed and they proceeded, then
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they hit glass bottom. The area was an old land fill. Then it caused the
north side to settle. We have been waiting on two (2) easements to be
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rapped up so that the work on 10 and 11 can begin. Keith said they finally
have been granted those easements. The motion carried by voice vote, and
was unanimous.
Dry Suit Purchase. Motion
and second by Aldermen Meade/Sarff, to
approve the purchase of two (2) dry suits from Deep Blue Adventure for the
Canton Fire Department SCUBA Dive team at a cost of $2,950.00. The
motion carried by voice vote, and one Nay by Alderman Sarff.
Hotel/Motel Tax Request for Marketing Plan.
Brenda McDaniels came
to the meeting to go over the 2007 Marketing Proposal. This is her report –
Nature-Based Tourism – Campaign #1. The goal of this campaign is to
create interest in Canton as a great getaway destination for nature-based
activities. A portion of this campaign will also promote Canton’s culture and
history, and beautiful scenic drive. All efforts will help to increase traffic to
restaurants, shops, and hotels by encouraging visitors to spend both day and
night in the city.
The target audience for this campaign is outdoorsmen, nature enthusiasts,
and leisure travelers in the 12 Midwestern states, with a primary focus in
Illinois.
We recommend placing targeted advertisements in six highly circulated
hunting and fishing publications to motivate the target group to visit Canton.
Ads will target hard-core hunters, fishermen, and nature enthusiasts while
utilizing photography clips from Canton’s existing TV spot from the Spoon
River Partnership for Economic Development TV Campaign.
Also recommend placing advertisements in the an
Best of the Midwest 2007,
annual hardback newsstand publication, to highlight Canton’s best features
including its nature-based activities, culture and history, beautiful scenic
drive, and vibrant downtown shopping and dining.
In addition, we will direct potential visitors to www.cantonillinois.org to
check calendar of events and discover all the possibilities Canton has to
offer. We suggest putting a website banner ad that links to your website on
the publications’ websites that offer online advertisement opportunities.
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Campaign #2
The goal of this campaign will target the Peoria/Bloomington Area of
Dominated influence which includes Peoria, Woodford, Tazewell, McLean
Counties but also reaches into Mason, Fulton, Stark, Putman, Marshall,
Livingston, Bureau, McDonough, Knox, Menard, La Salle, and Logan
Counties.
We recommend utilizing the existing TV spot from the Spoon River
Partnership for Economic Development Campaign to advertise on broadcast
television.
Advertising Summary
Magazine Space total: $23,931.00
Online Advertising Space Total: $ 2,903.00
TV Space Total: $ 7,800.00
Advertising Space Total $34,634.00
Production Costs:
Outdoor Magazine Print Ad $ 2,070.00
Midwest Living Print $ 1,520.00
Online Ad Production $ 1,355.00
TV Production $ 52.00
Total $ 4,997.00
Grant Total $39,631.00
Alderman Carl and Alderman Berardi both said that Canton does not have
any fishing and hunting that is not private.
Alderman Sarff ask why the Musky magazine? We don’t have musky in any
of our lakes.
Alderman Schenck mentioned you should focus on calendar of events. Do a
story in the magazines rather than advertising.
Motion
and second by Aldermen Sarff/Meade, to deny the request of using
Hotel/Motel Funds for the Marketing Proposal. Discussion. Mark Rothert
said they would take the suggestions that were made and rework the plan.
City Attorney Chrissie Peterson said promoting tourism this way you are not
able to use Hotel/Motel Tax Funds. The motion carried by voice vote, and
was unanimous.
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Added to the agenda. Motion
and second by Aldermen Meade/Sarff, to
allow the expenditure of $2,950.00 to make emergency repairs on a Vaccum
Tanker Truck at the Waste Water Treatment Plant. The motion carried by
voice vote, and was unanimous.
The Finance Committee adjourned at 8:05 p.m.
LEGAL & ORDINANCE
Alderman Craig West, Chairman
City Manager Proposal for April 17, 2007 General Election.
David
Anderson came to speak about what a city manager job duties are and if you
change the form of government what has to take place. David said he began
working for the City of Normal back in the 60’s as City Manager. He now
volunteer’s for the International Management Association as a Range Rider
to speak about this issue.
David said it takes a resolution to be passed for the appeal to the voters for
council manager form of government, and for the April 17, 2007 General
Election. You can circulate petitions as this gets the people involved.
The city government is a big business, and state and federal law is always
changing. City Managers are to keep the council informed. He/she will
enforce contracts, franchise agreements, hiring, firing and discipline of all
city employees except the fire/police as they are governed by the Fire and
Police Commission. The City Manager is trained in municipal government
and are better at fiscal control.
You have to ask yourself if a city administrator fits in your structure. They
work with the mayor and council and don’t run the city.
I can work with you to do the advertising, and I can provide a draft
resolution or ordinance, and help in the process and will charge $125.00 per
hour not to exceed $4,000.00.
David mentioned that the more experience the more you’ll pay. The salary
would be around $60,000 to $70,000, they would have a master’s degree
with 5 years experience. They would need an assitant, cell phone, office
space, a car or car allowance. If you go for a City Manager you will receive
more applicants, and you will see more advantages. Some will shay away
from a new position. You will have to also give a severance package.
City Attorney Chrissie Peterson ask if the City Manager takes on the Human
Resourse person as the City does have one? David said yes they do take on
this position of Human Resource Officer.
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David mentioned that the position of Aldermen could be 4 elected and 4 at-
large, you need to decide if that is what the council wants to do? The salary
would be lowered of the mayor.
Alderman Meade said the City Manager runs the city, and an administrator
does not have much power.
Alderman Meade said he wants to leave the Aldermen’s position they way it
is now. We want one issue on the ballot.
Motion
and second by Aldermen Schenck/Carl, to have the city attorney
draft a resolution of one question, “Do You Want To Change The form of
City of Canton Government?” Discussion. Alderman Sarff said we have
had no discussion on this, we just tonight began talking about it. We need
more information. The motion carried by voice vote, and was unanimous.
David was thanked for coming and sharing his expertise.
Age Limit of Trailers.
Alderman Carl mentioned that at 5 Sisters Trailer
Court there are two (2) trailers that are un-habitable. We are going to have
another trailer court mess. City Attorney had research the statute and the
age limit of a trailer is not possible, as an ordinance has to be adopted to take
care of this.
Alderman Sarff wanted to know if can get an injunction to keep them from
bringing in those un-habitable trailers.
Fire Chief John Stanko said there is a provision in the code of a building
structure having an open door or windows as this is a fire hazard.
Alderman Carl ask city attorney, that since we don’t have the ordinance
passed, do we have to bid by state statute? City Attorney Chrissie Peterson
ask who does enforce this? Chrissie said she will do some research.
Resolution approving an agreement for pipeline crossing with Keokuk
Junction Railway Company.
City Attorney Chrissie Peterson said she
spoke with their representative today at 3:30 p.m. and there is an clause in
the resolution that the City will pay the sum of $500.00 per annum on or
before the first day of January of each and every subsequent year subject to
annual adjustments based on the increase or decrease in the All Items
Consumer Price Index (“CPI”) as published by the United States
Government. This has to be changed in the resolution and we should receive
the new resolution by tomorrow and the fee will be for 5 years.
COMMUNITY & INDUSTRIAL DEVELOPMENT
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Alderman Kevin Meade, Chairman
Update from SRPED Chairman Mark Rothert.
Mark said he had two
conversations for the development of two subdivisions.
Mentioned having FXI revolving loan fund for all different resources for low
interest money.
The site Banners will be appearing real soon.
Mark said he has scheduled the Donaldson Center at Wallace Park on
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Tuesday January 30, 2007 (the 5 Tuesday of the month) at 6:30 p.m. for a
Council Policy Workshop Session to meet and discuss issues of economic
development. This will not be a “special council meeting,” however I will
issue the proper meeting notification to the public to follow the Open
Meetings Act. Council members mentioned they would be coming to that
meeting. Alderman Sarff said he would be unable to attend as he is having
surgery that day.
Mark said he would be contacting retailers in the coming months and would
keep council informed.
Wants to add to the website available land within the City that can be
developed.
Alderman Schenck mentioned the Budget is coming up, can we anticipate
the partnership given the City your Budget? Mark said this is what he is
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looking at in terms, efforts, activities, etc. Their fiscal year is July 1.
Alderman Schenck wanted to know, Mark will you be bringing any special
projects to focus on the downtown revitalization? The TIF funds and the
Enterprise Park, do we have a plan? Mark answered, that some 30 years ago
there was a plan, but it was vague and it did not have any goals. Alderman
Schenck asked again to Mark, if he was going to bring a plan, or do you
want us to give you our priorities and you find the perimeters?
Alderman Carl ask Mark have you done any marketing of the Enterprise
Park? Mark said not that much.
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Alderman Berardi said we should waive the building permit fee for Bill
Kemper who is adding on to the present building he owns in the Enterprise
Park.
On the agenda next week Dennis Crawford has the plans in place for the lot
he bought from the City last year.
The Community & Industrial Development Committee adjourned at 9:17
p.m.
NEGOTIATIONS, GRIEVANCE & PERSONNEL
Alderman Larry Sarff, Chairman
Nothing listed on the agenda and discussion was not held.
EXECUTIVE SESSION – NEGOTIATIONS, GRIEVANCE &
PERSONNEL COMMITTEE – TO DISCUSS ALL UNION
NEGOTIATIONS AND EMPLOYEE DISCIPLINE. Motion
and
second by Aldermen Meade/Carl, to go into executive session to discuss
union negotiations and employee discipline. Roll call. AYES – Aldermen
Carl, Meade, Sarff. NAYS – None. 3 AYES, 0 NAYS, 1 ABSENT.
Motion carried.
The regular scheduled Clerical Committee convened into executive session
at 9:18 p.m.
The Clerical Committee reconvened in open session at 9:50 p.m.
Recording Secretary,
Nancy Whites, City Clerk
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