BudgetMay 11, 2010
City of Roseburg Budget Committee Members:
Subject: 2010-2011 Budget Transmittal Memo
I am very pleased to present the proposed FY 2010-2011 City of Roseburg budget for your consideration. While these challenging economic times have had an impact nationwide, the City of Roseburg has been able to continue providing the basic services to which our citizens have become accustomed.
We move into the next fiscal year with “cautious optimism” regarding our future budget and financial issues. We will be working with our community partners on major projects that will help stimulate our local economy:
I want to begin by thanking the many City Staff responsible for assembling this proposed budget. Many employees assist in the document’s preparation. Special thanks go to Cheryl Guyett, Director of Finance and Management Services. As in past years, Cheryl spent many long hours putting the budget together and making sure it is as accurate as it can be.
CITY GOALS AND OBJECTIVES
In 2007, the Council adopted the 2007-2012 Strategic Plan which outlined objectives, strategies and actions within four principles: Great Neighborhoods; Safe City; Healthy Economy; Effective Government. The Strategic Plan was a major undertaking. Now that we are halfway through its implementation, we have recognized a need to improve the quality and effectiveness of the document. Therefore, Staff will be updating the Strategic Plan to better reflect, not only the City Council’s goals, but the departmental goals outlined within this budget document. The finished product will assist us with the continual improvement that the City must engage in to keep Roseburg prepared for the future.
SUCCESSES
Our employees have worked hard this past year to implement the policy direction given by the City Council and to realize the $1 million General Fund expenditure reduction to which we committed at the conclusion of last year’s budget hearings. They have used the financial resources given by the Budget Committee to provide services that are needed and valued by City residents. A few of the more notable successes include:
City Administration and Finance Departments
Police and Fire Departments
Community Development
Public Works
CHALLENGES AND OPPORTUNITIES
We also face a number of continuing challenges and opportunities in the coming fiscal year, to include:
The total FY 2010-2011 proposed budget, including General Fund and all enterprise fund expenditures is proposed at $51,570,442 compared to the current year adopted budget of $52,099,293. Through the very dedicated efforts of City Staff, we were able to realize $1 million in General Fund savings as was committed to at the conclusion of last year’s public hearings. In addition, we will begin 2010-2011 with a 30% Reserve.
Basic operations in the General Fund include Parks, a portion of Public Works, Police, Fire, Community Development, Finance and Management Services, Municipal Court and Administration. The General Fund provides funding for daily services most residents recognize and use frequently. The FY 2010-2011 General Fund is proposed at $22,251,716.
Total Operating Revenues are proposed at $16,376,293; an increase of $285,726 from the 2009-2010 adopted budget of $16,090,567. A factor in the increase is the result of additional property taxes and state shared revenues from recent annexations. Property taxes continue to be the largest share of General Fund revenues. Current year property taxes are planned to increase by $448,000 or 4.3% from the 2009-2010 adopted budget of $10,352,000.
With the passage of Measure 50 in 1997, the property tax system changed from a levy based system to a modified tax rate system. A permanent tax rate was established at $8.4774 for the City of Roseburg. As an example, a home with an assessed value of $150,000 will pay $1,272 in property taxes to the City.
GENERAL FUND EXPENDITURES
General Fund expenditures are proposed to decrease $1,335,495 from the current year adopted budget. Total General Fund expenditures are proposed at $16,891,941 for next fiscal year, equaling a 7.3% decrease. A majority of this is due to Budget Committee direction to prepare the proposed budget with the goal of maintaining current year spending levels.
Enterprise Funds, Special Revenue Funds and Capital Projects Funds actually comprise the majority of the City’s overall budget. Enterprise Funds include the Water Fund, Storm Drainage, Off Street Parking, Airport and Golf. Special Revenue Funds consist of Public Works, Grants, Downtown Development District, Hotel/Motel Tax, Bike Trail, Housing Rehab, Economic Development and the Stewart Trust. Capital Projects Funds consist of Transportation, Park Improvement, Equipment Replacement, Assessment Improvements and Facilities Replacement.
Most of these funds will remain constant with a few changes that will be explained during the budget process.
I look forward to reviewing the proposed budget with you and wish to thank the following staff members who worked on the preparation of this budget.
Cheryl Guyett, Finance and Management Services Director
Brian Davis, Community Development Director
Sandy Cook, PW Department Staff Assistant
Sheila Cox, City Recorder
Debi Davidson, Management Technician
Ronda Fluetsch, Account Clerk
Barbara Gershon, Human Resources Director
Esther Howerton, Payroll/Benefits Technician
Debbie Keller, Accountant
Mike Lane, Interim Fire Chief
Nikki Messenger, Public Works Director
Lesa Miller, Accountant
Mark Nickel, Police Chief
Respectfully submitted,
![]()
P. Eric Swanson
City Manager
900 SE Douglas Avenue
Roseburg OR 97470
Phone: (541) 492-6700