05. Public SafetySPECIAL REVENUE FUNDS
Page
Fund
Dept
PUBLIC SAFETY
1-2
2230
Ambulance
$
968,919
3--4
2957
Fire Grants
$
2161437
5--6
2399
Impact Fees
$
32%205
7
2915
Stonegarden Grant
$
17,750
8
2916
Drug Enforcement Grant
$
88,726
9
2918
CHRP Grant
$
785663
10-11
2919
Law Enforcement Grants
$
771500
12-13
2394
Building Dept.
$
380,050
Total
$
25157,250
AMBULANCE
ACCOUNT # 2230-440
PURPOSE OF THIS DEPARTMENT: why does this department exist?
The Kalispell Ambulance provides Advanced Life Support medical response, treatment and transport of
the sick and injured, and public safety education.
DEPARTMENT PERSONNEL: Chief, Assistant Chief, and Clerk split (50%) with the Fire department,
and 8 Firefighters.
GOALS OF 'T'HIS DEPARTMENT: what are the departmental goals that support the purpose?
The goal of the Kalispell Ambulance Department is to provide effective medical response and educate the
community on safe living practices.
INTENDED OUTCOMES FROM BUDGET EXPENDI'T'URES:
The primary outcome of the FY2014 budget is the continuation of emergency medical response and
outreach services. Focus will be on internal and external communication improvements and operational
accountability.
AMBULANCE FUND
FUND: 223 0-440-42073 0
PROJECTED REVENUE AND FUND SUMMARY
BEGINNING CASH
10100
CASH: operating
Total Cash Available
REVENUES
342050
Fees for Services
Write - offs, uncollectible Medicare, etc. 46%
Net collections
342070
County EMS Levy
371010
Interest Earnings/donations
Transfer from General Fund
Total
Total Available
EXPENSES
Ambulance Service
Capital Outlay (ambulance)
Total
ENDING CASH
Operating cash available
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$86,721
$40,990
$40,990
$51>761
$86,721
$112001)000
($640,891)
$40,990
$1,33500
($730,000)
$40,990
$1,075,707
($500,000)
$5,761
$150901>000
($501,400)
$5595109
$911>346
$879
$0
$605,000
$855000
$1,000
$0
$575,707
$98,067
$1,349
$0
$5885600
$1101>000
$0
$264,558
$6515334
$6915000
$675,123
$963,158
$738,055
$731,990
$7161113
$9685919
$697,065
$0
$710,905
$0
$710,352
$0
$968,919
$0
$6971065
$710,905
$710,352
$968,919
$401990
$21,085
$5,761
$0
AMBULANCE FUND
FUND: 223 0-440-42073 0
EXPENDITURE DETAIL
Personal Services: FTE's
110 Salaries & 'Wages
112 Severance
114 Comp Time Buyout
121 Overtime
153 Health Insurance
155 Retirement
Subtotal
Materials and Operations
210 Office Supplies/equip/computer
218 Equipment - Non -Capital
231 Gas
241 Consumable Tools/uniforms
312 Postage & printing
345 Telephone & Communications
354 Paramedic Recertification/contract services
355 911 Center contribution - 2% increase
359 Collection Serv.ICredit Card Fees/audit fees
362 Equipment maintenance & radio maint.
373 Dues & Training
388 Exposure Testing/Immun.
391 Treatment -Medical Supplies
510 Property & Liability Ins.
521 Central Garage Transfer
522 Administrative Transfer
528 Data Processing Transfer
Subtotal
EMS Capital Expenses
944 Vehicles
Subtotal
Total
ACTUAL
FY11/12
BUDGET
FY12/13
ACTUAL
FY12/13
BUDGET
FY13/14
7.50
6.50
6.50
9.50
$373,813
$3715169
$37%321
$545,427
$7,173
$0
$0
$0
$0
$3,000
$797
$300
$11,364
$19,147
$17,641
$22,147
$76,779
$82,025
$84,428
$1301398
$5007
$48,915
$50,381
$72,151
$51%787
$5241-256
$5322568
$773,123
$108
$11.7000
$999
$1,000
$2,273
$2,500
$2,529
$2,500
$61578
$700
$7,337
$7,200
$61)429
$600
$5,758
$6,000
$971
$3,500
$1,384
$2,000
$1,001
$700
$11143
$700
$8,592
$71,000
$6,287
$111800
$30,000
$30,600
$30,600
$31,212
$11)184
$11400
$15525
$11400
$7,977
$71,000
$4,314
$7,000
$5,882
$5,000
$205
$51000
$15,060
$221)500
$21,723
$225500
$36,495
$35,000
$36>347
$35,700
$%785
$91)900
$8,051
$8,973
$%500
$%500
$9,500
$13,955
$23,060
$26,762
$26,762
$25,819
$10,683
$115287
$10,660
$13,037
$177,278
$186,649
$177,784
$195,796
$0
$0
$0
$0
$0
$0
$0
$0
$697,065
$7101905
$710,352
$9681)919
FIRE GRANTS -FEMA, ETC.
FUND: 2957-416-420400
PROJECTED REVENUE AND FUND SUMMARY
BEGINNING CASH
10100 CASH: operating
331118
AFG Grant/ FEMA #8 $120,000+1700
331119
Tow Vehicle
331120
Fire Prevention Grant
334021
Hazmat Grant
365020
Donations/Roundup for Safety
371010
Investments
Total
Total Available
EXPENDITURES
Personal Services
M&O
Capital Outlay
Total
ENDING CASH
CASH: operating
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$475294
$40,360
$40,360
$50,439
$5,742
$0
$0
$0
$0
$15500
$865097
$1125403
$0
$0
$0
$10,000
$441>167
$44,167
$44,167
$44,167
$50
$600
$2,365
$21)500
$195
$50
$389
$100
$50,154
$2051217
$133,018
$16% 170
$97,448
$245,577
$173,378
$219,609
$351
$20,000
$1,760
$23,880
$56,737
$70,577
$35,082
$80,154
$0
$15500
$86,097
$1121403
$57,088
$245,577
$122,939
$2161)437
$401360
$0
$50,439
$37172
3
FIRE GRANTS -FEMA, ETC.
FUND: 2957-416-420400
EXPENDITURE DETAIL
Personal Services: Reimbursable
155 Retirement - Regional Hazmat Reimb
Subtotal
Maintenance & Operations: misc. donations
218 Equipment (non -capital)
221 Safety Equipment - Roundup for Safety
Subtotal
420410 Pass Thru Hazmat
125 OT - Pass Thru Hazmat
218 Equipment - Pass Thru Hazmat
373 Travel - Pass Thru Hazmat
Subtotal
420414 FEMA GRANTS
218 AFG Equipment and Safety, smoke detectors, etc.
219 Fire Prevention Grant FYI 4
Subtotal
420415
940 Truck
Total
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$351
$0
$15760
$2,500
$351
$0
$11760
$21500
$18
$3,795
$4,523
$600
$507
$0
$5,000
$2,600
$3,813
$10,523
$507
$7,600
$21)751
$42,796
$988
$20,000
$55,054
$5,000
$141)392
$165308
$3,876
$211)380
$55,054
$7,500
$46,535
$80,054
$34,575
$83,934
$6,388
$0
$0
$0
$0
$0
$0
$10,000
$6,388
$0
$0
$10,000
$0
$15 5,000
$86,097
$112,403
$5708
$245,577
$122,939
$216437
3
IMPACT FEES
FUND. 2399
REVENUE PROJECTION
B e innin Cash
10100 Cash: Administration 5%
1.0172 Cash: Police
10173 Cash: Fire
Total Cash
Revenue
341072
POLICE (less admin)
341072
5%Q Admin
341073
FIRE (less admin)
341073
5% Admin
371010
Interest Revenue -distrubuted to cash ADMIN
Interest Revenue -distrubuted to cash POLICE
Interest Revenue -distrubuted to cash FIRE
Total Revenue
Total Available
Expenditure
900 Fire Department (inc debt service, less impact review)
Police Department (less impact review)
Administrative transfer
Admin.- Fire for review
Admin-Police for review
Total Expenditures
Ending -Cash
10100 Cash: Administration 5%
10172 Cash: Police
10173 Cash: Fire
Total Cash
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$1,969
$3,294
$3,294
$4,720
$33,966
$40,350
$40,350
$47,127
$161,359
$240,995
$240,995
$292,348
$197,294
$284,639
$284,639
$344,195
$5,964
$4,000
$6,418
$4,000
$314
$200
$0
$200
$113,249
$60,000
$84,934
$60,000
$5,960
$3,000
$4,426
$3,000
$51
$25
$0
$25
$464
$350
$359
$350
$1,806
$1,500
$1,830
$1,800
$127,808
$69,075
$97,967
$69,375
$325,102
$353,714
$382,606
$413,570
$35,375
$235,330
$35,411
$285,205
$0
$40,000
$0
$40,000
$5,000
$3,000
$3,000
$3,000
$44
$500
$0
$500
$44
$500
$0
$500
$40,463
$279,330
$38,411
$329,205
$3,294
$2,519
$4,720
$3,945
$40,350
$4,700
$47,127
$11,477
$240,995
$67,165
$292,348
$68,943
$284,639
$74,384
$344,195
$84,365
E
IMPACT FEES
FUND: 2399
EXPENDITURE SUMMARY/ DETAIL
413
420140
Police Department -available funds
354
Impact fee review from adm. 5%
Subtotal
416
420400
Fire Department -available funds
354
Impact fee review from adm. 5%
610
Principal -Fire Truck
620
Interest - Fire Truck
944
CAPITAL FIRE TRUCK
Subtotal
400
410200
522
Administrative charge
Subtotal
Total
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$0
$40,000
$0
$40,000
$0
$500
$0
$500
$0
$401500
$0
$401)500
$0
$200,000
$0
$2501000
$88
$500
$0
$500
$27,000
$28,250
$28,250
$29,250
$85375
$7,080
$7,161
$5,955
$0
$0
$0
$0
$351)463
$235,830
$35!411
$2851.7705
$51,000
$3,000
$3,000
$3,000
$5,000
$3,000
$3,000
$3,000
$40,463
$279,330
$38,411
$3291)205
PROGRAM DESCRIPTION
Impact fees were recently adopted by the City Council. An Impact Fee committee oversees the recommendations for
useof these funds. The fire department purchased a portion of a ladder truck with impact fees and a portion of related
debt. Impact fees can be used for capital purchases related to growth. Amounts budgeted are amounts anticipated to be
available for fire and police purchases of items approved on their capital improvement plan. Capital purchases must
have a 10 year life.
6
HOMELAND SECURITY - STONEGARDEN GRANT
FUND: 2915-413-420140
REVENUE PROJECTION - FUND SUMMARY
BEGINNING CASH
Gash on Hand
REVENUES
331112 Homeland Security Grant ($97,548)
Total
Total Available
EXPENDITURES
121. Overtime & payroll costs
218 Materials & services
940 Capital Equipment
Total
ENDING CASH
Gash on Hand
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$0 $0 $0 $0
$6,102
$177750
$0
$17,750
$61102
$171>750
$0
$17,750
$6,102
$17,750
$0
$17,750
$6,102
$0
$0
$8,875
$8,875
$0
$0
$0
$0
$8,875
$8,875
$6,102
$17,750
$0
$171)750
$0
$0
$0
$0
PROGRAM DESCRIPTION
Operation Stonegarden is a joint operation with the Kalispell and Whitefish Police Departments, the Montana Highway Patrol and the US Border
Patrol to deter attempts at illegal activity at the Flathead County Border Corridor.
7
DRUG ENFORCEMENT GRANT
FUND: 2916-413-420140
REVENUE PROJECTION - FUND SUMMARY
BEGINNING CASH
Cash on Hand
REVENUES
331020
HIDTA Grant
331022
County Drug Grant
365000
Donations, other
383001
General Fund Transfer
Total
Total Available
EXPENDITURES
Crime Control
110
Salaries and payroll costs
121
Overtime -grant match
153
Health Insurance
155
Retirement
Subtotal
Materials and Services:
354
Contract Services
Subtotal
Total
ENDING CASH
Cash on Hand
FTE's
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$8,327 $10,379 $101)379 $115918
$10,859
$6,000
$4,366
$61000
$22,910
$23,260
$25,191
$23,260
$1,702
$0
$0
$0
$571)200
$55,000
$551000
$551,000
$921671
$84,260
$84,557
$84,260
$100,998
$94,639
$941936
$96,178
1
1
1
I
$61,120
$55,580
$56,998
$581,816
$10,089
$6,000
$6,750
$6,000
$6,893
$1098
$7,369
$10,799
$8,069
$71,475
$7,099
$7,911
$86,171
$79,153
$78,216
$83,526
$47448
$5,200
$4,802
$5,200
$4448
$5,200
$41)802
$51)200
$901,619
$84,353
$83,018
$88,726
$10,379
$10,286
$11,918
$71452
PROGRAM DESCRIPTION
The goal of this project is to enforce the State and Federal statutes relating to the possession and/or sale of illegal drugs and the criminal activity
associated with drug use in Flathead County and its incorporated cities. The multi -agency task force concept is intended to provide a well -coordinated
county -wide drug enforcement program whose purpose is to attack the drug marketplace at all levels by placing equal importance on the casual user, the
addict and the trackers.
8
CHRP GRANT -Cops Hiring Recovery Program Grant
FUND: 2918 -413-420140
REVENUE PROJECTION - FUND SUMMARY
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
BEGINNING CASH
10110 CASH
$0
$0
$0
$0
10130 Cash designated for 4th year
$25,000
$452000
$45,000
$411724
REVENUES
331025 COPS HIRING RECOVERY PROGRAM GRANT
$721)094
$52,470
$52,470
$0
383001 General Fund Transfer (25% to fund 4th year)
$20,000
$2000
$201)000
$36,939
Total Revenue
$92,094
$72,470
$725470
$36,939
Total Available
$117,094
$117,470
$117,470
$78,663
EXPENDITURES -Crime Control
110 Salaries and payroll costs
$50, l 87
$51,963
$53,111
$555757
153 Health Insurance
$14,922
$15,555
$15,552
$151572
155 Retirement
$6,985
$6,987
$7,083
$7,334
Total Expenditures
$721)094
$74,505
$751746
$78,663
ENDING CASH
10110 CASH
$0
$0
$0
$0
10130 Cash on Hand (designated for 4th year)
$45,000
$42,965
$41,724
$0
PROGRAM
DESCRIPTION
The Police Department applied for and received a grant for the COPS Hiring Recovery Program (CHRP) to hire one
police officer. The grant award is
to pay the salary and benefits of an entry level police officer for three years with the agreement that the City retain that position for a fourth year.
9
LAW ENFORCEMENT GRANTS
FUND: 2919-413-420140
REVENUE PROJECTION - FUND SUMMARY
BEGINNING CASH
Cash on Hand
REVENUES
331021
JAG Grant 2009-SB-B9-2013
331022
JAG Grant 2009-DJ-BX-0132
331023
Bullet Proof Vest. partners
331024
Roundup for Safety grant
331025
JAG12010-DJ-BX-1015 Video/Equip. 16.738
331027
DOJ-Secure our schools grant $1,200
Narrowband Equipment
334011
DUI Task Force/Safe Yids Safe Communities
334013
MDOT Equipment Grant 1 Radio Grant
334015
MDCTISpec. Holiday Enforcement (STEP) (126)
335082
911 reimbursement
342015
School District Overtime
383001
Transfer from General
Total Revenue
Total Available
EXPENDITURES
Crime Control
ENDING CASH
Cash on Hand
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$15027 $300 $300 $2,742
$0
$0
$0
$0
$0
$0
$1,211
$0
$31097
$5,000
$2,451
$3,500
$0
$2,500
$21394
$2,500
$0
$0
$0
$0
$0
$0
$0
$0
$16,360
$15,945
$0
$21,123
$8,000
$0
$8,000
$0
$0
$0
$0
$20,704
$5000
$225482
$40,000
$0
$0
$0
$0
$81)718
$20,000
$15,447
$20,000
$111-549
$500
$5,000
$35500
$46,191
$106,860
$64,930
$771)500
$47,218
$107,160
$655230
$801)242
$46,918
$106,860
$621488
$77,500
$300
$300
$21)742
$21742
PROGRAM DESCRIPTION
This budget allows for the purchase of safety equipment through grant funding, including the Bulletproof Vest Partnership and Round -Up for Safety.
10
LAW ENFORCEMENT GRANTS
FUND: 2919-413-420140
EXPENDITURE DETAIL/SUMMARY
Personal Services:
110 Salaries and payroll costs
125 Overtime -DUI Task force
126 Overtime -Holiday Reimbursement
127 Overtime -School district
Subtotal
Maintenance & Operations:
216 Secure our Schools Grant
218 JAG grant -Automated Ticketing equip/supplies
220 Other equipment from donations
221 Bullet Proof Vests
Subtotal
Capital Outlay:
940 Narrowband Equipment
944 Vehicles
Subtotal
Total
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$911
$1,200
$21)518
$15200
$2,251
$800
$712
$8,000
$24,660
$481)800
$21,337
$38,800
$12,903
$2000
$16,593
$2000
$40,725
$78,000
$411P160
$68,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$2,500
$2,409
$2,500
$6,193
$10,000
$2,481
$7,000
$6,193
$12,500
$4,890
$9,500
$0
$16,360
$16,438
$0
$0
$0
$0
$0
$0
$16,3 60
$1643 8
$0
$46,918
$106,860
$62,488
$77,500
II
BUILDING DEPARTMENT
ACCOUNT # 2394-420
PURPOSE OF THIS DEPARTMENT: Why does this department exist?
The building department serves as the entity that reviews plans and conducts inspections of
construction in the city to promote safe and sustainable building efforts for the community.
DEPARTMENT PERSONNEL: Planning Director (.25), Office Supervisor (.5), Building
Official, and three Building Inspectors. Two inspectors perform ire inspections and are funded
40% by the general fund (fire department).
GOALS OF THIS DEPARTMENT: What are the departmental goals that support the purpose?
To achieve its purpose the building department conducts reviews and inspections in accordance
with the most recently adopted building and related codes.
INTENDED OUTCOMES FROM BUDGET EXPENDITURES
The FY2014 budget will focus on the administration of the most recently adopted code programs
and the implementation of a web -based permit system that will allow contractors to submit
building applications on-line.
BUILDING DEPARTMENT
FUND: 2394-420-420530
PROJECTED REVENUE AND FUND SUMMARY
BEGINNING CASH
10100 CASH: Operating
REVENUES
323101 Building permits
323103 Plumbing permits
323104 Mechanical permits
323108 Plan Review
323107 House Moving
371010 Investment Earnings
Total Revenue
Total Available
EXPENDITURES
Operating
Total Expenditures
ENDING CASH
10100 CASH: Operating
ACTUAL
BUDGET
ACTUAL
BUDGET
FY11/12
FY12/13
FY12/13
FY13/14
$1491608
$3461P100
$346,100
$3681862
$311,797
$15,484
$16,284
$158,758
$0
$2,025
$200,000
$151)000
$225000
$60,000
$200
$1 NO
$222,927
$16,934
$27,473
$601)946
$0
$2,338
$200,000
$1300
$24,000
WOO
$200
$11500
$5047348
$298,200
$330,618
$2881700
$653,956
$6445300
$676,718
$657,562
$307,856
$343,676
$326,151
$380,050
$307,856
$343,676
$307,856
$3801050
$3461100
$300,624
$368,862
$277,512
1.2
BUILDING DEPARTMENT
FUND: 2394-420-420530
EXPENDITURE DETAIL
Personal Services:
110 Salaries and payroll costs
121 Overtime
153 Health Insurance
155 Retirement
Subtotal
Maintenance & Operations:
210 Supplies/computer hardware/software/other
231 Gas & Oil
320 Postage, printing, Code books
323 State Ed Assessments
345 Telephone & Communications
353 Auditing (3 year Building audit for state)
354 Contract Services
373 Dues & Training
510 Insurance W liability & property
521 Central Garage Transfer
522 Administrative Transfer
528 Data Processing Transfer
Subtotal
CAPITAL OUTLAY
Web based software package
Total
ACTUAL
FY11/12
BUDGET
FY12/13
ACTUAL
FY12/13
BUDGET
FY13/14
FTE's 4.75
4.75
4.75
4.75
$213,385
$219,650
$210,120
$2235363
$484
$3,500
$1,772
$3,500
$42,246
$491155
$46,366
$47,300
$13,759
$13,563
$13,426
$13,932
$269,874
$285,868
$271104
$28805
$51215
$41)750
$5,151
$5,000
$1,971
$2,250
$1,927
$2,200
$1,257
$2,600
$5,740
$1,750
$2,352
$2,500
$11)419
$2,500
$1,892
$1,500
$2,491
$2,000
$31500
$500
$0
$780
$837
$1,300
$1,018
$1,300
$25154
$3,400
$305
$31)400
$4,090
$4,100
$4,087
$5,031
$300
$11)300
$1,300
$11>802
$105234
$% 194
$9,194
$101)482
$41)179
$45414
$4,669
$5,710
$37,982
$37,808
$401)001
$411955
$0
$20,000
$14466
$50,000
$3071856
$343,676
$326,151
$380,050
13