HomeMy WebLinkAbout22079 1 ORDINANCE NO. 22,079
2
3 AN ORDINANCE TO PROVIDE FOR AND TO ADOPT THE 2022
4 BUDGET FOR THE CITY OF LITTLE ROCK, ARKANSAS, FOR THE
5 PERIOD BEGINNING JANUARY 1, 2022, AND ENDING DECEMBER 31,
6 2022; TO APPROPRIATE RESOURCES AND USES FOR EVERY
7 EXPENDITURE ITEM AND FUND; TO DECLARE AN EMERGENCY;
8 AND FOR OTHER PURPOSES.
9
10 WHEREAS,Little Rock, Ark., Rev. Code § 2-214(1988), as amended by mandates that the Board of
1 1 Directors adopts a budget for the ensuing fiscal year by not later than December 30"; and,
12 WHEREAS, the Mayor and the City Manager have fulfilled the requirements of Little Rock, Ark.,
13 Rev.Code§2-212(1988),and Little Rock, Ark.,Ordinance No. 19,761 (June 12,2007),and submitted for
14 consideration of the Board of Directors a proposed budget and such other explanatory information as
15 requested by the Board; and,
16 WHEREAS,the Board of Directors has reviewed the proposed Fiscal Year 2022 Budget as presented
17 by the Mayor and the City Manager, and is of the opinion that based upon the financial information
18 presented to the Board, the following constitutes an appropriate determination of anticipated revenues,
19 expenditures and expenses for Fiscal Year 2022,and should be adopted as the 2022 Budget for the City of
20 Little Rock, Arkansas.
21 NOW,THEREFORE,BE IT ORDAINED BY THE BOARD OF DIRECTORS OF THE CITY
22 OF LITTLE ROCK,ARKANSAS:
23 Section 1.This ordinance shall be known as the FY2022 Budget Ordinance of the City of Little Rock,
24 Arkansas, for the twelve (12)-month period beginning January 1, 2022, and ending December 31, 2022,
25 reflecting estimated resources and uses as set forth below.
26 Section 2. All resources identified within this ordinance herein are estimated and subject to change,
27 and all appropriation uses identified within this ordinance are calculated upon available resources, and are
28 also subject to change.
29 Section 3. Definitions. For purposes of this ordinance, the following terms shall have the following
30 meanings:
31 (A)Board of Directors means the Mayor and members of the Board of Directors of the City of
32 Little Rock,Arkansas.
33 (B) City Clerk means the City Clerk, or designated representative, of the City, or if no one is
34 officially serving in the position,the Acting City Clerk, or designated representative.
IPage 1 of 71
1 (C) City Manager, means the City Manager, or designated representative,of the City, or if no one
2 is officially serving in the position, the Acting City Manager, or designated representative,
3 which may include an Acting Assistant City Manager.
4 (D)Chief Financial Officer means the Chief Finance Officer and Treasurer, or designated
5 representative, for the City, or if no one is serving in the position, the Acting Chief Financial
6 Officer and Treasurer.
7 (E) Expenditures means decreases in net financial resources under the current financial resources
8 measurement focus,and pertains to payment of normal operating payments and encumbrances.
9 (F) Expenses mean the cost of doing business in a proprietary organization, and can be either
10 outflows or the using up of assets—cost expiration—such as the depreciation of fixed assets.
11 Within the context of this budget ordinance,"proprietary organization,"or"proprietary fund"
12 refers only to a method of accounting and is not used as any reference to whether the enterprise
13 is conducted in a governmental or proprietary manner, as that term is understood in Arkansas
14 State Law. All enterprises referred to in this ordinance shall be operated by the City in its
15 governmental capacity.
16 (G)Fund Balance means the difference between assets and liabilities reported in the governmental
17 fund and represents the excess of revenues or expenditures that has accumulated since the
18 inception of the fund.
19 (H)Revenue(s) means:
20 (i) Increases in the net current assets of a Governmental Fund Type from other than
21 expenditure refunds and residual equity transfers, but does not include any general
22 long-term debt proceeds and operating transfers in — which are classified as "other
23 financing sources," unless these constitute a reservation of fund balances for
24 encumbrances carried forward from a prior year and the expenditure for which the fund
25 balance was created has also been carried forward;or,
26 (ii) Increases in the net position of a Proprietary Fund Type from other than expense
27 refunds, capital contributions and residual equity transfers, but does not include
28 operating transfer in which are classified separately from revenues, unless these
29 constitute a reservation of fund balances for encumbrances carried forward from a prior
30 year and the expense for which the fund balance was created has also been carried
31 forward.
32 Section 4. Compliance with Existing Laws, Statutes and Ordinances. This ordinance has been
33 prepared in accordance with various Arkansas Statutes that deal with municipal fiscal reporting
34 requirements,the Financial Reporting Standards for the City of Little Rock,Arkansas,as approved in Little
[Page 2 of 71
1 Rock, Ark., Rev. Code §§ 2-245 to 260.8 (1988), and the standards of the Government Finance Officers
2 Association as authorized in Little Rock,Ark., Resolution No. 15,571 (December 7, 2021)
3 Section 5. Fiscal Year 2022 Budget. The following respective amount for every resource and
4 appropriate use is herein set forth as follows:
5 (A)APPROPRIATE OPERATING RESOURCES:
6 General Fund $222,166,164
7 Street 23,627,260
8 Waste Disposal 23,777,100
9 Parking Garages 2,526,932
10 Fleet Services 14,920,087
11 Vehicle Storage Facility L896,150
12 TOTAL RESOURCES S288,913,693
13 (B) APPROPRIATE OPERATING USES:
14 General Fund Departments
15 Executive Administration $26,004,644
16 Board of Directors 344,674
17 Community Programs 310,453
18 City Attorney 1,874,118
19 Municipal Court—Criminal 1,409,001
20 Municipal Court—Traffic 1,331005
21 Municipal Court—Environmental 578,142
22 Finance 4,432,349
23 Human Resources 2,274,393
24 Office of Information Technology 6,493,171
25 Planning& Development 3,255,006
26 Housing&Neighborhood Programs 6,219,993
27 Public Works 1,125,998
28 Parks and Recreation 10,791,058
29 River Market 1,157,413
30 Golf 1,709,747
31 Fitness and Aquatics 886,132
32 Zoo 7,019,161
33 Fire 55,408,510
34 Police 77,174,511
35 911 Emergency Communications 4,758,621
[Page 3 of 71
1 Debt Service 3,530,252
2 Transfer to Street Fund 194,000
3 FUTURE Little Rock, Special Projects, PIT, Grant Match 9,475,512
4 Contingency 1,100,000
5 Vacancy Allocation(Authorized Unfilled Positions) (6,691,700)
6 TOTAL GENERAL FUND $222,166,164
7 Street Fund 23,108,438
8 Solid Waste 23,777,100
9 Parking Garages 1,783,054
10 Fleet Services 14,920,087
11 Vehicle Storage Facility 1,786,550
12 TOTAL USES $287,541,393
13 Section 6. Outside Agency Contributions. The appropriation for operating uses in Section 5 above
14 includes the following amounts for various entities with which the City contracts for public services, or in
15 which the City has an ownership interest include the following:
16 (A)Rock Region Metro(Central Arkansas Transit Authority) $9,854,118
17 (B) Pulaski County Regional Detention Center 2,554,153
18 (C) Arkansas Arts Center 1,200,000
19 (D)Museum of Discovery 192,000
20 (E) Metroplan 186,384
21 (F) Downtown Partnership 195,000
22 (G)PAGIS 134,850
23 (H)Pulaski County Health Unit 56,100
24 (I) Oakland Fraternal Cemetery 50,000
25 (J) SCI St. Vincent 25,381
26 (K)City Beautiful 2,500
27 TOTAL OUTSIDE AGENCY CONTRIBUTIONS $14,150,486
28 Section 7.PILOT Payments. In accordance with Act 497 of 1981, Act 713 of 1991, and Act 1629 of
29 2001, of the Arkansas General Assembly,the Director of Finance shall make appropriate payments to the
30 Little Rock School District, the Pulaski County Special School District, and Pulaski County from any
31 affected payment-in-lieu of taxes (PILOT) made to the City by a company for which an Act 9 Industrial
32 Development Bonds was issued; it is estimated that the gross amount of these resources for FY2022 is One
33 Million, Seven Hundred Sixty-Three Thousand,Nine Hundred Nine Dollars($1,763,909.00).
34 Section 8. Appropriation for the Compensation of Elected Officials. This budget contains a personnel
35 appropriation for the Mayor and the Members of the Board of Directors as follows:
[Page 4 of 71
1 (A)Annual compensation of the Mayor is One Hundred Sixty Thousand Dollars ($160,000.00),
2 and such other amounts as may from time-to-time be approved during the time this ordinance
3 is effective;
4 (B) Annual compensation for each member of the Board of Directors is Eighteen Thousand Dollars
5 ($18,000.00),plus an annual stipend of Three Thousand Dollars($3,000.00);
6 (C) In addition to these amounts, there are expenditures noted within this ordinance which
7 document the amounts paid for Mayor and Board member expenses and benefits.
8 Section 9. Definition of Significant Variance.
9 (A)In order to prepare this budget it has been necessary to estimate the amount of revenue or other
10 resources that the City will have available to it in Fiscal Year 2022,and the cost of the various
11 expenditures and expenses that the City will incur during this period.
12 (B) To assure the efficient and responsible operation of the City,and the maintenance of its various
13 programs and facilities, it is important for the Board of Directors to be timely advised of a
14 significant variance in revenues,or expenditures,during the course of the fiscal year. Further,
15 it is important for the Board of Directors,the City Manager and the Chief Financial Officer,to
16 agree as to what constitutes a"significant variance"of these items.
17 (C) It is further necessary to have a definition of"significant variance"that can be reviewed on an
18 annual basis as a part of the City budget process,and which can best reflect the point at which
19 the Board of Directors believes it should be notified that such a change of circumstances has
20 occurred in relation to any expenditure,expense,fund balance,revenue, or resource.
21 (D)For Fiscal Year 2022,a"significant variance"shall be deemed to have occurred if, during any
22 reporting period, there has been an increase or decrease from the budgeted amount for the
23 period covered by a Monthly Financial Report that is:
24 (i) Greater than 5%of the amount anticipated for that item for the period of time covered;
25 and,
26 (ii) More than Fifty Thousand Dollars ($50,000.00) from the amount anticipated for that
27 item for the period of time covered.
28 Section 10. Timeline for Department of Finance. The timeline for events related to the timely
29 preparation of reports and statements to the Board of Directors for Fiscal Year 2022 is attached as Exhibit
30 A to this ordinance.
31 Section 11. Review and Modification of Budget Items. This ordinance to approve the Budget for
32 2022 is not an indication that all of the programs, Departments and expenses, included in the background
33 documents for a line item meet with the approval of the Board of Directors; therefore,the Board reserves
34 the right to review the policy implications of any program,Department or expenses,and to make appropriate
[Page 5 of 71
1 modifications as deemed appropriate beginning on January 1, 2022, and extending through December 31,
2 2022.
3 Section 12. Department of Finance to Provide Documentation Promptly. The Department of Finance
4 is charged with providing to any member of the Board of Directors promptly,which is a time period not to
5 exceed seven(7)calendar days,any and all information requested by any member of the Board of Directors
6 as to a particular program, Department or expense;further,any such request shall be shared with all elected
7 members of the Board of Directors and the City Manager.
8 Section 11. Severability. In the event any title, subtitle, section, subsection, subdivision, paragraph,
9 subparagraph, item,sentence,clause,phrase,or work of this ordinance is declared or adjudged to be invalid
10 or unconstitutional,such declaration or adjudication shall not affect the remaining portions of the ordinance
11 which shall remain in full force and effect as if the portion so declared or adjudged invalid or
12 unconstitutional was not originally a part of this ordinance.
13 Section 13. Repealer. All ordinances and resolutions, including but not limited to Little Rock, Ark.,
14 Ordinance No. 21,817 (December 3, 2019) ("the 2020 Budget Ordinance"), and any other ordinances or
15 resolutions that relate to financial reporting within the City, are hereby repealed to the extent of such
16 inconsistency.
17 Section 14. Emergency Clause. It is imperative that a Budget Ordinance for the ensuing fiscal year
18 and calendar year be passed prior to the end of the current calendar year in order to assure the continued
19 provision of City services, operations, and facilities; such continuation is essential to the public health,
20 safety and welfare, an emergency is, therefore, declared to exist and this ordinance, with the exception of
21 Section 8 which deals with the compensation of the Mayor and Members of the Board of Directors, shall
22 be in full force and effect on January 1, 2022, and the various City Departments shall operate immediately
23 upon its passage, and for purposes of record keeping and otherwise, as if it were in full force and effect
24 from and after the date of its passage.
25 PASSED: December 21,2021
26 �:� • APPROVED:
27
11
28 1111111
29 :us. ty Clerk Frank Scott,Jr.,Mayor
30 APA 0 LEGAL FORM:
31
44---
33 Thomas M. Carpenter,City A rney
34 //
35 //
[Page 6 of 71
1 EXHIBIT A: FY 2022 BUDGET ORDINANCE FOR THE CITY OF LITTLE ROCK,ARKANSAS
2
3 [NOTE: The Board of Directors enacted financial reporting standards for the City. Little Rock,
4 Ark.,Rev. Code §§ 2-245 to 260.8 (1988) Section 2-260 this ordinance requires that as a part of the
5 annual budget process the Board of Directors set a timeline for action by the Department of Finance
6 to assure the timely preparation of Financial Reports. This timeline is to be adopted upon
7 recommendation of the City Manager after consultation with the Chief Financial Officer and the
8 various financial institutions the City uses. This timeline is to be reviewed each year to assure that it
9 sets reasonable expectations for City Staff, but at the same time, assures the preparation and
10 publication of reports to the Board of Directors as quickly as possible. Reports to the Board of
11 Directors are based upon certain events after the month-end close. The month-end close is defined
12 as the last business day of the calendar month that is two months following the end of the reporting
13 period. The two (2)-month closing period is required to accommodate the schedule for receipt of
14 revenue from the State,County and utility providers. For FY2022 the calendar of events is as follows:
15 CALENDAR OF EVENTS RELATED TO TIMELY PREPARATION OF CITY FINANCIAL
16 REPORTS
17 EVENT WORKING DAY
18 (after the end of the calendar month)
19 Department notification of deposits submitted to accounting 3
20 City obtains monthly bank statement 1
21 Department processes bank files to produce combined and payroll outstanding check lists 5
22 City obtains monthly investment statement 7
23 Department reconciles book balance and bank statements for all bank accounts 25
24 Department reconciles book balance and investment balances 30
25 Department finalizes and enters all remaining journal entries 38
26 Department reviews and corrects work to date 40
27 Department conducts final review of information for reports 42
28 Department processes computer system reports(month-end close) 43
29 Department completes preparation of monthly reports 45
30 City Manager and Chief Financial Officer distribute monthly report to Board of Directors
31 Chief Financial Officer has monthly report posted in City website following Board distribution
32 City Manager and Chief Financial Officer present Financial Reports quarterly to Board of Directors
33 //
34 //
35 //
'Page 7of71