2015 Annual Operating Budget
City of Little Rock, Arkansas
About the Cover: On September 25, 2014, the new 12th Street Station officially opened. This
44,000 square foot building houses various divisions of the Little Rock Police Department and
has commercial space available. The station will become the City of Little Rock’s first building to
receive the LEED Silver designation, continuing the City’s commitment to sustainability.
The 12th Street Station serves as an anchor in the revitalization efforts in Little Rock’s central
core. It is a symbol of the City’s commitment to the 12th Street corridor and is spurring interest
in increased commercial investment in the area.
Funding for the $12.5 million project came from the City’s 3/8-cent capital sales tax, the special
projects fund, and a grant from the Arkansas Economic Development Commission. The 12th
Street Station was designed by Roark Perkins Perry Yelvington Architects. It was constructed by
a joint venture of ADEVCO Construction and East-Harding Construction.
Cover photo provided by Roark Perkins Perry Yelvington Architects.
City of Little Rock, Arkansas 2015 Operating Budget
City of Little Rock
2015 Annual Operating Budget
Bruce T. Moore
City Manager
Prepared by:
Department of Finance
Sara Lenehan, Finance Director
LaVerne DuVall, Budget Officer
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The enclosed 2015 Annual Budget is presented for your use and reference. The
annual budget is an appropriation document that authorizes spending for the
current year. Additionally, the budget document provides information concerning
the City’s organization structure and the City’s fiscal position.
The online version of the 2015 budget document and budget documents for
previous years can be found on the City of Little Rock’s website located at:
www.littlerock.org.
If you have any comments, suggestions for improvement, or questions
concerning the City’s annual budget, please contact the Budget Office at (501)
371-4559. Thank you for your interest in the City of Little Rock.
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The Government Finance Officers Association of the United States and Canada (GFOA)
presented an award for Distinguished Budget Presentation to the City of Little Rock,
Arkansas for its annual budget document for the fiscal year beginning January 1, 2014.
In order to receive this award, a government unit must publish a budget document that
meets program criteria as a policy document, as an operation guide, as a financial plan,
and as a communications medium.
The award is valid for a period of one year only. We believe our current budget document
continues to conform to program requirements, and we are submitting it to GFOA to
determine its eligibility for another award.
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TABLE OF CONTENTS
INTRODUCTION Page
Title Page ............................................................................................................ 1
Budget Award ...................................................................................................... 3
Table of Contents ................................................................................................. 5
Little Rock at a Glance ......................................................................................... 9
City of Little Rock Board of Directors ................................................................. 10
How to Use the Budget Document .................................................................... 11
Management Team ............................................................................................ 15
City of Little Rock Organizational Chart by Fund Responsibilities ..................... 17
City of Little Rock Operating Fund Structure ..................................................... 18
City Manager’s Transmittal Letter ...................................................................... 21
Overall City Goals and Objectives ................................................................. 35
THE BUDGET PROCESS
The General Government Budget Process ....................................................... 39
Amending the Budget ........................................................................................ 42
Budget Policies .................................................................................................. 43
Other Budget Procedures .............................................................................. 44
FINANCIAL STRUCTURE
Little Rock's Financial Structure ......................................................................... 47
Funds Controlled by the Governing Body .......................................................... 47
Fiscal Policies .................................................................................................... 52
Other Agencies .................................................................................................. 58
BUDGET SUMMARIES
Budget Summaries ........................................................................................ 61
2015 Operating Fund Budget Summaries Graph .............................................. 62
General Fund Activity Graph ............................................................................. 63
Budget Summary by Fund Type .................................................................... 64
General Government Summary. .................................................................... 65
Special Revenue Funds................................................................................. 66
Capital Project Funds. ................................................................................... 69
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TABLE OF CONTENTS (CONTINUED)
Enterprise Funds ........................................................................................... 72
Internal Service Fund .................................................................................... 74
Fiduciary Funds ............................................................................................. 75
Debt Service Funds ....................................................................................... 78
2015 Long Term Forecast ............................................................................. 81
REVENUES
All Funds Operating Revenue Sources Graph .................................................. 85
All Funds Operating Revenue Summary ........................................................... 86
General Fund Summary of Revenue ................................................................. 87
All Funds Operating Revenue Detail ................................................................. 88
Revenue Trends ................................................................................................ 93
General Fund Revenue Sources and Trends Graph ....................................... 108
EXPENDITURES
All Funds Expenditures by Classification Graph .............................................. 109
All Funds Department Budgets Summary ....................................................... 110
Summary of General Government Appropriations Graph ............................... 111
General Fund Summary Graph ....................................................................... 112
Operating Budget Detail ................................................................................... 113
Staffing Summaries .......................................................................................... 117
Other General Fund Budget Expenditures ...................................................... 120
Service Program Graph ................................................................................... 121
Service Program Category .............................................................................. 122
Public Safety Revenue and Expenditure Comparisons ................................... 124
Public Safety Operating Expenditures as a Percentage of General Fund ..... 125
CAPITAL IMPROVEMENTS
Capital Funding. ............................................................................................... 127
Capital Project Funds Provided by Bond Issues ............................................. 127
Capital Project Funds Provided by Other Sources .......................................... 128
2015 Capital Improvements ......................................................................... 133
2015 Major Capital Projects ........................................................................ 134
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TABLE OF CONTENTS (CONTINUED)
Significant Routine Capital Expenditures ............................................. 134
Significant Non-Routine Capital Expenditures ..................................... 134
Other Significant Non-Recurring Capital Improvements ...................... 135
Capital Funding Activity Graphs .................................................................. 152
DEBT MANAGEMENT
Debt Management ....................................................................................... 153
City’s Legal Debt Margin ............................................................................. 153
Debt Applicable to Debt Limit 2004 – 2014 .................................................. 155
Summary of Bond Indebtedness .................................................................. 155
Future Debt Service ..................................................................................... 156
GENERAL FUND DEPARTMENTS
Mayor ............................................................................................................... 159
General Administrative .................................................................................... 163
Board of Directors ............................................................................................ 169
Community Programs ...................................................................................... 173
City Attorney .................................................................................................... 179
District Court First Division .......................................................................... 185
District Court Second Division ..................................................................... 191
District Court Third Division ............................................................................. 197
Finance ............................................................................................................ 203
Human Resources ........................................................................................... 211
Information Technology ................................................................................... 217
Planning and Development ............................................................................. 223
Housing and Neighborhood Programs ........................................................... 229
Public Works General ...................................................................................... 235
Parks and Recreation ...................................................................................... 241
River Market .................................................................................................... 247
Golf. .................................................................................................................. 251
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TABLE OF CONTENTS (CONTINUED)
Jim Dailey Fitness and Aquatic Center ............................................................ 257
Zoo .................................................................................................................. 263
Fire .................................................................................................................. 269
Police ............................................................................................................... 275
SPECIAL REVENUE FUND DEPARTMENT
Public Works Street ......................................................................................... 281
INTERNAL SERVICE FUND DEPARTMENT
Fleet Services .................................................................................................. 287
ENTERPRISE FUND DEPARTMENTS
Vehicle Storage Facility ................................................................................... 293
Waste Disposal ................................................................................................ 299
APPENDIX
State and City Budget Statutes ........................................................................ 305
Statistical Information ....................................................................................... 309
Glossary of Key Budget Terms ........................................................................ 319
Glossary of Key Acronyms Terms ................................................................... 326
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LITTLE ROCK AT A GLANCE
Two hundred years ago, the first permanent settlement was established in what is now known
as Little Rock. Since 1812, Little Rock has grown from one person to become the Capital City
of Arkansas with a population of 193,524. The metropolitan area population is 699,757 with
more than 1 million people living within 70 miles of Little Rock.
The City is named for La Petite Roche, a rock formation on the banks of the Arkansas River.
It created a natural harbor which made Little Rock an early center of business and commerce.
Today, that tradition continues as Little Rock is home to several large corporations. Among
the City’s major industries are technology, healthcare, retail, manufacturing and government.
The presence of these industries helps to explain the City’s lower than average unemployment
rate of approximately 5.9%.
New businesses and housing opportunities are bringing people back to the City’s core to live,
shop, work and play. The River Market district is home to many restaurants, shops and offices
as well as attractions such as the Clinton Presidential Center and Park, several other
museums, and an expanding nationally-recognized bike trail system. In addition, the Main
Street Creative Corridor, MacArthur Park area, SoMA (South Main) and renovation of
Robinson Center Music Hall are some of the other exciting projects in the City’s core.
Redevelopment continues in the City’s older neighborhoods and the City is experiencing new
growth in areas to the west and southwest.
Medical facilities in the Little Rock area provide efficient, comprehensive service to more than
two million individuals throughout the state. The major area hospitals provide bed space for
over 2,800 patients. Included are a large number of specialty clinics and outpatient surgery
centers that are continuing to expand.
Diverse and quality educational opportunities are available in Little Rock. The University of
Arkansas for Medical Sciences continues to garner international attention for ground breaking
medical research and procedures. The University of Arkansas at Little Rock (UALR) is a
metropolitan university educating 13,000 students. The University’s five colleges, seven
institutes with a wide range of degree offerings - graduate certificates, master’s degrees,
doctorates including the juris doctorate degree offered at the UALR Bowen School of Law. In
addition, Little Rock is the home of Philander Smith College and Arkansas Baptist College,
two historically black colleges that are leading exciting revitalization initiatives in their
surrounding areas.
Situated along the southern bank of the Arkansas River, Little Rock is located where the Delta
meets the Ouachita and Ozark mountain ranges. With lakes and streams inside the city limits
and nearby, outdoor recreational options are almost unlimited. Residents and visitors alike
enjoy hiking, camping, boating, hunting, fishing, golf, tennis, swimming, and soccer.
The Little Rock region offers wonderful opportunities for visitors: A City rich in history and
culture; many recreational opportunities; downtown entertainment; an energetic business
climate; and a major emphasis on quality of life initiatives for our citizens and visitors.
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Director Dean Kumpuris
Position Eight
Director Gene Fortson
Position Nine
Director Joan Adcock
Position Ten
Director Brad Cazort
Ward Four
Director Doris Wright
Ward Six
Director B. J. Wyrick
Ward Seven
Director Erma Hendrix
Ward One
Director Ken Richardson
Ward Two
Director Kathy Webb
Ward Three
Mayor Mark Stodola
Vice Mayor Lance Hines
Ward Five
Board of Directors
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City of Little Rock, Arkansas 2015 Operating Budget
HOW TO USE THE BUDGET DOCUMENT
This section is designed to explain and simplify the use of this document. It will
acquaint you with the types of information you can expect to find such as:
Sources of funding for City Services
Where and how resources are utilized
Services provided by City Departments
Policies and objectives for the upcoming year
Definition - What is a Budget Document?
The budget document presents the City’s financial management plan for the
coming fiscal year. The budget outlines the day-to-day functions of City
departments for a one-year period and includes planned expenditures for major
capital projects. The Mayor is responsible for enforcing the spending limits
established in this plan.
Each year, the City establishes a budget for operations in the coming fiscal year,
January 1 to December 31. The budget is based on estimates of projected
revenues and other funding sources. Appropriations for City programs are
recommended based on available resources and priorities set by the City Board
of Directors.
As required by law, the Mayor submits a recommended budget to the Board of
Directors. The Board of Directors conducts an extensive review of the
recommended budget and holds several public hearings to receive citizen input.
Once any necessary modifications are made, the Board of Directors adopts the
Budget Ordinance. Upon completion, the Budget Document is published.
The budget must be adopted on or before December 30. A calendar of events
for budget development activities for fiscal year 2015 is included in this document
to more adequately describe the budget development process.
The 2015 Basic Budget is comprised of four major fund types: the General Fund,
Special Revenue Funds, an Internal Service Fund and Enterprise Funds.
The General Fund is utilized to account for revenues and expenditures for the
regular day-to-day operations of the City. The primary sources of revenue for the
General Fund are local sales taxes, property taxes, and utility franchise fees.
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City of Little Rock, Arkansas 2015 Operating Budget
Departments in the General Fund are organized as follows:
General Administration
Board of Directors
Community Programs
City Attorney
District Court First Division
District Court Second Division
District Court Third Division
Finance
Human Resources
Information Technology
Planning & Development
Housing & Neighborhood Programs
Public Works
Parks & Recreation
River Market
Golf
Jim Dailey Fitness & Aquatics
Zoo
Fire
Police
The other major fund types are described below:
1. Special Revenue Funds – These funds are utilized to account for revenues
that are legally restricted to expenditures for specific purposes, e.g., street
fund and grant funded programs.
2. Enterprise Funds – Proprietary funds in which the services provided are
principally supported through charges to the users of the services, e.g., solid
waste fund, vehicle storage facility and parking garages.
3. Internal Services Fund – Funds that provide services to other parts of the City
organization, e.g., motor pool, vehicle maintenance and insurance.
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City of Little Rock, Arkansas 2015 Operating Budget
Payments to the Internal Services Fund are not reflected as transfers, but are
included as line items within the budgets of the departments in all operating
funds.
Operating Flow of Funds
Revenues are deposited into the General Fund as a result of specific activities.
For example:
General Fund Enterprise Funds
Property Taxes Service Rates
Sales Taxes Sanitation Fees
Licenses & Permits Compost Sales
Expenditures are made from the General Fund to support activities. For
example:
General Fund
General Fund Departments - Police, Fire, Parks & Recreation, etc.
Personnel, supplies and materials, repairs and maintenance, contractual,
capital outlay, debt service, and transfers out.
Enterprise Fund
Enterprise Funds – Waste Disposal, Vehicle Storage Facility, and Parking
Garages.
Personnel, supplies and materials, repairs and maintenance, contractual,
closure/post closure, depreciation, debt service, and transfers out.
Departments within the General Fund, Special Revenue Funds, and Enterprise
Funds make payments into the Internal Service Fund for Fleet operations and
vehicle and equipment maintenance.
Capital Budget
The Capital Budget consists of major capital projects, which often require more
than one year to complete and place in service. Examples of capital projects
include street and drainage construction, building construction, and park
development. A description of the source of funding for capital projects is
included in the Capital Improvements section of this document. In addition, this
section includes the estimated funds required for the ongoing operation and
maintenance of the assets resulting from the capital improvement projects.
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City of Little Rock, Arkansas 2015 Operating Budget
The completion of certain capital projects may be delayed for a period of time if
corresponding operating and maintenance funds are not available.
Debt Service Flow of Funds
The City issues debt after one of the following:
Approval by City Board to issue Temporary Notes, Certification of Obligations
or Revenue Bonds.
Successful completion of a Bond Election.
Funds generated from the sale of debt obligations are allocated to individual
special projects within the capital project funds. When a project is completed and
the project account closed, unused funds may be directed to retirement of the
debt service obligation. The Debt Service Funds are primarily supported by
property tax millages, which require voter approval, for the express purpose of
debt retirement. Other revenue sources for debt retirement include franchise
fees and system revenues. The Debt Service Funds initiate payments of principal
and interest to the bond purchasers. A description of the source of funding for
debt retirement and a discussion of the City’s legal debt margin is included in the
Debt Management section of this document.
Format for Budget Expenditures
A summary of budgeted operating expenditures and personnel is included in the
Expenditure section of this document. Following the summary information, each
Department’s organizational chart, mission statement, expenditure budget,
staffing summary, 2014 priorities and results, 2015 goals, and applicable service
measures are presented.
Major Categories of expenditures include the following:
Personnel (Salaries, Wages and Employee Fringe Benefits)
Supplies and Materials
Repairs and Maintenance
Contractual Services
Closure/Post Closure
Capital Outlay
Depreciation
Debt Service
Transfers Out
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City of Little Rock, Arkansas 2015 Operating Budget
MANAGEMENT TEAM
Mark Stodola Mayor
Bruce T. Moore City Manager
James E. Jones Assistant City Manager
Dana Dossett Director of Community Programs
Tom Carpenter City Attorney
Alice Lightle District Court First Division Judge
Victor Fleming District Court Second Division Judge
Mark Leverett District Court Third Division Judge
Sara Lenehan Director of Finance
Stacey Witherell Director of Human Resources
Randy Foshee Director of Information Technology
Tony Bozynski Director of Planning & Development
Andre Bernard Director of Housing & Neighborhood Programs
Jon Honeywell Director of Public Works
Truman Tolefree Director of Parks & Recreation
Gregory Summers Fire Chief
Kenton Buckner Police Chief
Mike Blakely Director of Zoo
Wendell Jones Director of Fleet Services
Budget Report Production, Analyst, and Graphics
LaVerne DuVall Budget Officer
Silas Roaf Budget Management Analyst
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City Manager
Assistant City Manager
Fire
Police
Fleet Services
Vehicle Storage Enterprise
Housing and
Neighborhood Programs
Information Technology
City Attorney
Human Resources
Public Works
Building Services
Street Fund
Waste Disposal Enterprise
Planning and Development
City Clerk
Community Programs
Finance
Parking Garages
Federal Programs
Parks and Recreation
Parks and Recreation
RiverMarket
Golf
Jim Dailey Fitness and Aquatics
Center
Citizens
Mayor and Board of Directors
Boards and Commissions
Zoo
City of Little Rock Organizational Chart
by Fund Responsibilities
District Courts
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OVERVIEW
General Fund:
Little Rock citizens passed an additional one (1)-cent local sales tax in September
2011 that was effective on January 1, 2012. Faced with significant challenges with
stagnant revenue in many areas due to the lingering effects of the economic
downturn, and one of the lowest local tax rates in the State, citizens supported the
new tax initiative. The City held several public hearings in each Ward to discuss
priority needs associated with Public Safety, Public Works, Jobs and Economic
Development, Parks and Recreation, Zoo and Tourism, and other priorities,
including fleet replacement, information technology needs, pension funding, and
public transportation. The priority needs were divided between on-going operating
needs and capital needs. The five-eighths (5/8)-cent permanent increase in sales
tax for operations is reflected in the FY15 Adopted Budget. The three-eighths (3/8)-
cent sales tax for capital projects, which expires in ten (10) years (2021), is
discussed in detail in the capital section of the budget document. In addition, in a
special election held on September 11, 2012, Little Rock citizens approved the
issuance of capital improvement bonds not to exceed $105 million for street and
drainage improvements. Up to $73.5 million of the bonds are dedicated to street
improvements with the remaining $31.5 million available for drainage improvements
throughout the City. The bonds are secured by a three (3)-mill ad valorem tax on
taxable property located within the City of Little Rock. The City issued $58,105,000
in bonds on July 24, 2013. A second series of bonds will likely be issued in 2016 or
2017.
The General Fund 2015 Operating Budget includes several significant changes from
the original 2014 Operating Budget. The 2015 Budget and the 2014 Amended
Budget include transfers in from the 2012-2021 Capital Improvements Fund (3/8-
Cent Sales Tax) to fund the principal portion of debt service due on short-term notes
that were issued to accelerate key capital projects funded by the sales tax. The
transfer in for debt service was not included in the original 2014 Adopted Budget.
This adjustment represents $6,379,582 of the transfer in revenue and related debt
service expense in the 2015 Operating Budget and accounts for $5,155,851 of the
increase from the original 2014 Adopted Budget to the 2014 Amended Budget. Debt
service on the notes is included in the General Administrative Department of the
General Fund.
Sales Tax continues to be the leading revenue source for the City at approximately
50% of general fund revenues. The City’s sales tax is composed of a one and one-
eighth (1-1/8)-cent local tax on gross receipts, which includes the half (1/2)-cent
sales tax in effect since 1994, combined with the new five-eighths (5/8)-cent
operating sales tax effective January 1, 2012, as well as a per capita allocation of a
one (1)-cent County tax and State Turnback Funds. The three-eighths (3/8)-cent
sales tax for capital projects is not reflected in the operating budget; however, it is
reported in a separate capital projects fund. Revenue from the operating portion of
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the new sales tax is committed primarily to filling vacant Police Officer positions,
supporting the twelve (12) new Fire positions for the West Little Rock Fire Station
that opened in 2012, maintaining grant-funded positions in the Police and Fire
Departments and the addition of Code Enforcement Officers. Also included is
funding for neighborhood-based/community initiatives of $5.5 million, increased
funding for building maintenance, expanded park maintenance, Zoo deferred
maintenance, operations and staffing, annual fleet replacement, information
technology staffing and maintenance, and new transit routes. Many of the initiatives
supported by the new sales tax were implemented during 2012 and are maintained
in 2015. Changes to the Arkansas Sales and Use Tax Law known as the
“streamlined sales tax” took effect beginning January 1, 2008. Sales tax revenues
are distributed based on where the purchaser takes receipt or delivery of the product
or service. In addition, local tax caps on most single transactions are no longer
applicable when City and County Sales and Use Taxes are collected. The local tax
cap continues to apply to the first $2,500 per item on the sale of motor vehicles,
aircraft, watercraft, modular homes, manufactured homes, or mobile homes.
Businesses, schools, governments and charitable organizations are able to recover
the tax paid on single transactions over the previous cap amount through a rebate
program. The program allows such tax payers a period of up to six (6) months from
the date of the transaction in which to claim the rebate. The rebate period will
expand to twelve (12) months under recently enacted State legislation. State Statute
restricts the level of tax information available to municipalities which makes
forecasting sales and use tax revenues very difficult. Growth in sales tax receipts
compared to the same period a year ago were volatile throughout the year. Based
on growth experienced in the first ten (10) months of 2014, combined with an
anticipated reduction in the State sales turnback, the projected growth from the 2014
Amended Budget includes 0.55% for the City’s portion of County sales tax revenue,
1.12% for the City’s local sales tax, and a reduction of 15.2% in State turnback
revenue, or a blended growth rate of 0.50%. Based on the final actual sales tax
revenue for 2014, including strong results for December sales, the City will need to
experience growth of 0.25% to achieve the 2015 Budget of $96,684,815.
Franchise fees from local utilities comprise approximately 15% of general fund
revenues. Franchise fees from Entergy Corporation, the electric utility, decreased
approximately 3.43% in 2014 due to lower usage and the discontinuance of a rate
adjustment associated with the utility’s exit from a multi-state agreement in which it
had operated for decades to equalize rates among member states. Entergy
franchise fees are expected to increase by 3.9% in 2015, due to an announced rate
increase of 3.4% and a return to normal weather patterns. Storm recovery charges
passed on to customers and weather impact rates and usage. Franchise fees from
Centerpoint Entergy, the gas utility, increased approximately 10.6% in 2014 with an
increase in usage of approximately 6%. Revenues in 2015 from Centerpoint Entergy
are expected to increase approximately 1% from the Amended 2014 Budget.
Franchise fees from telecommunication companies and long-distance are expected
to decrease approximately 3-5% after several years of decline due to on-going
competition from wireless companies. There are no scheduled rate increases
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included in the 2015 Budget for Central Arkansas Water and Little Rock
Wastewater. Wastewater revenues increased approximately $300,000 in 2014 due
to a 7% rate increase, but are projected to be flat in 2015. Central Arkansas Water
announced proposed rate increases for wholesale customers who sell to private
utilities for the years 2016 and 2017. In addition, Little Rock Wastewater has rate
increases scheduled in 2016, 2018 and 2019 to comply with the terms of the Sierra
Club lawsuit to reduce sanitary sewer overflows in Little Rock.
Property Tax revenues account for approximately 14% of General Fund revenues.
Little Rock recently received its Original Charge for 2014 Property Taxes to be
collected in 2015. The Original Charge is approximately 3.4% over last year’s value
and represents the total amount assessed on real estate and personal property for
the previous year. The 2015 Budget reflects an increase in Property Tax revenues
of approximately 4% from the 2014 Budget. In addition, the 2015 Budget and the
2014 Amended Budget include separate 1-mill property tax levies dedicated for the
Police and Fire Pension Plans. I am pleased that overall property values in Little
Rock were maintained during the recent economic downturn and continue to
experience reasonable growth. The City has not experienced the decline in values
that were prevalent in other parts of the country.
City employees have demonstrated their dedication and professionalism by
providing quality service to the citizens of Little Rock. The General Fund Budget
supports 1,683 full-time equivalent (FTE) positions, a net increase of fourteen (14)
FTEs compared to 2014 staffing levels. Staffing includes twenty-seven (27) Police
positions previously funded by a grant award under the American Recovery and
Reinvestment Act COPS Program and eighteen (18) Fire fighters previously funded
by a SAFER grant. In addition, special projects and grant awards support forty-one
(41) employees. However, approximately 100 of the budgeted General Fund
positions were vacant during 2014. This represents a significant improvement over
the 152 budgeted General Fund positions that were kept vacant in 2011. With the
passage of the new sales tax, positions were filled and new positions have been
added, particularly in the areas of Public Safety and Parks and Recreation. The
2015 Operating Budget expenditures include $139,939,883 in personnel cost, net
of an anticipated $6 million in savings from authorized but vacant positions. The
2015 Budget does not include salary increases. One-time lump sum bonuses for
full-time employees will be awarded based on salary ranges, providing the greatest
benefit to employees with the lowest salaries. Employees with a salary of $40,000
or below will receive a bonus of $1,000. Employees with a salary from $40,001 to
$60,000 will receive a $750 bonus. Finally, employees with a salary of $60,001 or
greater will receive a $500 bonus. Non-uniform employees currently on probation
will receive the bonus after successful completion of their six (6)-month probationary
period, and probationary uniform employees will receive their bonus after successful
completion of their respective recruit school. The City Manager, the Assistant City
Manager, and Department Directors were excluded from the bonus program. In
addition, Police and Fire personnel covered by labor agreements will receive
scheduled step and grade increases. The bonuses will be partially funded by the
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carryover of $550,000 in funds from the 2014 contingency allocation. Negotiations
with the American Federation of State, County and Municipal Employees
(AFSCME), the International Association of Fire Fighters and the Fraternal Order of
Police were ongoing at year-end. In July 2015, revenue and expenditure trends will
be reevaluated to determine if salary adjustments are possible. Health insurance
costs will decrease approximately 11%, due to change in insurance programs. The
City will join the Municipal League Health plan in 2015. Employee contributions for
dependent coverage will decrease by approximately $1,000 per year. In addition,
the budget includes health insurance coverage for designated part-time employees
in accordance with requirements of the Affordable Care Act. Benefit changes
approved by the State Legislature increased pension costs for Fire and Police
uniformed personnel. Pension costs increased from 19.58% to 20.58% of payroll
for uniformed Fire personnel and from 16.23% to 17.23% of payroll for uniformed
Police personnel. In addition, the City merged administration of the closed local
Police Pension Fund with the LOPFI Plan which will require an additional
contribution of 9.23% of payroll for uniformed Police personnel. However, the
additional contribution will not result in any additional cost to the City. The dedicated
1-mill property tax levy, annual City sales tax contribution of $500,000, and other
dedicated fines and fees are expected to fund the 9.23% contribution. The City
implemented a new Defined Benefit Pension Plan for non-uniform personnel on
January 1, 2014. The plan resulted from a yearlong review of options to improve
the retirement plan for non-uniform employees. There will be no change in 2015 to
the City contribution of 9% of salary to the plan, matched by employee contributions
of 4.5%. Pension costs for Court Clerks decreased slightly from 14.88% to 14.76%.
Vacant positions are budgeted at the mid-range salary for the position’s grade,
providing some budget flexibility in the recruiting process. Overall, with the changes
in salary, employee bonuses, benefits and the increased number of filled positions,
the 2015 Budget for personnel cost will increase approximately 2% from the 2014
Budget.
Fleet and fuel costs are projected to increase approximately $153,000 in 2015. The
2015 Fuel Budget is based on estimated unleaded and diesel fuel per gallon prices
averaging $3.25. The cost per gallon of fuel has decreased with the utilization of
new fuel blends. In addition, the City opened a new Compressed Natural Gas
Station (CNG) in 2014 and is converting some vehicles to CNG. While the fuel cost
per gallon has decreased, the number of deployed vehicles has increased with
additional staffing in Police and Code Enforcement. The budget for fleet parts
increased due to the aging fleet; however, as the annual fleet replacement schedule
is resumed with the passage of the sales tax, repair and maintenance cost will be
reduced.
The City issued a $5.9 million short-term financing note in 2014 to accelerate public
safety projects associated with the three-eighths (3/8)-cent sales tax for capital
projects. Short-term financing notes are authorized under Amendment No. 78 to
the Arkansas Constitution for the acquisition, construction and installation of real
and tangible personal property having an expected useful life of more than one (1)-
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year. The notes are repaid over a period of five (5) years from general revenues.
The principal portion of the new note will be funded by a transfer to the General
Fund from the proceeds of the three-eighths (3/8)-cent sales tax for capital projects.
Principal and interest payments are included in the General Fund Budget. Debt
service payments will increase by approximately $1,235,500 in 2015 due to the
addition of the 2014 note.
Funding of the Pulaski County Jail was continued in order to provide space for
prisoners in accordance with the City’s primary focus on Public Safety. In addition,
an extra allocation is available from a $20 local jail fine to contribute toward
operations for expanded Pulaski County Jail space. Combined, the funding for the
jail will increase by 5% to $1,854,576.
A Homeless Services Task Force was established in 2006 to end chronic
homelessness within our community. The City of North Little Rock has partnered
with Little Rock to financially fund the Jericho Way Day Resource Center. The
services provided to homeless individuals and families are focused on finding
housing, job referral, and case management services, medical, dental and
psychiatric assistance. In addition, both municipalities are working with the various
support groups in Central Arkansas as part of the on-going process to address the
needs of homeless individuals and families.
The City is appropriating approximately $5.5 million for Children, Youth and Family
Programs, including youth employment, skills center funding, and re-entry
programming in 2015 as part of City’s emphasis to foster and enhance youth and
community development. City Staff will continue to work with community groups,
neighborhood associations, the faith-based community and other groups to ensure
resources are targeted appropriately. In addition, the City implemented an in-house
pilot program to train and utilize disadvantaged persons for the construction and
maintenance of sidewalks in conjunction with the skills center and re-entry
programming. The program was extremely successful and will be continued in
2015. In addition, the City has expanded the program to include additional entry-
level positions available in other City Departments. Community Programs Staff is
issuing a request for qualifications in 2015 for development of a Youth Master Plan.
The 2015 Budget includes a contingency allocation of $1 million or .51% of General
Fund revenues. The City of Little Rock’s Management Team will continue to manage
the City in a sound and fiscally prudent manner while striving to deliver the quality
and level of service that the citizens of Little Rock expect with available resources.
2014 Accomplishments
Little Rock Police Department: The City hired Kenton Buckner as Chief of Police
replacing Stuart Thomas. Construction was completed on the 12
th
Street Station
with initial occupancy in July 2014 and complete occupancy scheduled for April
2015. An upgrade to the 311 System was commenced in late 2014, which will allow
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citizens to request City services utilizing mobile technology which will greatly
increase service delivery to the citizens of Little Rock. A total of 105,281 requests
for City services were made utilizing the 311 System. A Recruit School began on
June 25, 2014, with a scheduled graduation on February 6, 2015, with nineteen (19)
recruits.
Little Rock Fire Department: The Little Rock Fire Department continued to provide
quality services, responding to more than 28,474 fire and emergency calls during
2014. During the year, the Department developed a “Battalion Chief’s Academy”,
completed a Correlation Development Task Book and implemented a web-based
training program to enhance in-service training capabilities. No fire deaths were
recorded during 2014 in the City of Little Rock due in part to the expanded
community outreach programs and the intensified efforts of the department’s
Prevention and Community Outreach Division. Other divisions within the
Department attained significant goals and instituted numerous staff training during
the year including participation in an Active-Shooter tabletop with the Little Rock
Police Department and Metropolitan Emergency Medical Service (MEMS) and
developed a “Pumping Manual” for the department. The Aircraft Rescue and
Firefighting unit (ARFF) completed the FAA Safety Inspection with zero
discrepancies. The Training Division provided 1,391 training instructor hours
equating to 11,592 hours of student participation in training classes. Classes offered
included EMT refresher classes for 415 firefighters, driver training, inflatable boat
and swiftwater technical training along with numerous other classes, in addition to
conducting a twenty (20)-week Recruit School. The Department continues to move
forward with the accreditation process through the Center for Public Safety
Excellence.
Public Works: In 2014, Public Works Operations Staff responded to 7,798
requests via the 311 service request system and swept 24,996 curb-miles of
streets. In addition, staff administered a successful Sidewalk Program, utilizing
disadvantaged citizens re-entering the workforce. Civil Engineering oversaw the
second year of a three (3)-year cycle of Capital Sales Tax and 2013 Capital Bond
Issuance projects.
Fleet Services: The City of Little Rock Fleet Services Department once again
achieved national recognition as being among the 100 Best Fleets of North America.
In addition, Fleet Services opened a fully-operational Compressed Natural Gas
fueling station in April 2014.
Finance: The Finance Department obtained the Government Finance Officers
Association (GFOA) Certification of Recognition for the 2014 Budget Presentation
and the GFOA Certificate for Excellence in Financial Reporting for the 2013
Comprehensive Annual Financial Report. The Grants Division provided assistance
to other Departments, component units, non-profit organizations, and neighborhood
organizations of the City in training, writing, obtaining, monitoring and reporting on
grant awards. In addition, the Department provided quarterly reporting to the Little
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Rock Citizens Evaluation of New Tax (LRCent) Committee on the status of the new
local sales tax and on progress toward completion of capital projects authorized
under the three-eighths (3/8)-cent portion of the tax. In 2014, the Finance
Department facilitated the issuance of a $5.9 million short-term note to fund the final
phase of the 12
th
Street Station, purchase six (6) Fire Trucks, and fund Information
Technology improvements.
Information Technology: The Information Technology Department assisted the
Police Department with the upgrading of the Computer Aided Dispatch (CAD);
completed the implementation of the Active-Active Data Center project; and
assisted the Police Department with all of the technology needs for the 12
th
Street
Station.
Human Resources: The Human Resources Department conducted a Training
Needs Assessment to determine areas to concentrate on in 2015. In addition, the
Department researched and modified different onboarding processes to improve the
new employee, new hire experience. The Department embarked on a major
independent contractor compliance processes across the city, including providing
training to City employees. Human Resources coordinated the annual flu vaccine
and information program and conducted extensive training on revised policies and
procedures.
Parks & Recreation: In 2014, Little Rock Parks and Recreation dedicated and
opened the Natural Steps Athletic Complex which provides three (3) fields for soccer
and two (2) fields for Lacrosse play. In addition, the Department celebrated the
groundbreaking for the $6 million West Central Community Center, located at the
intersection of John Barrow and Colonel Glen Roads. When completed, the center
will be a 22,000 square-foot state-of-the-art facility. In addition, the Department
dedicated the newest pedestrian/bike trail in the City’s parks system located at War
Memorial Park. The nearly one (1)-mile trail loop runs parallel to the east side of
Coleman Creek. The Little Rock Marathon had another successful race that saw
an increase in both registrations and revenue. Parks were maintained at a Class
“B” level, which indicates that each park is mowed one (1) time every ten (10) work
days. In 2014, the Department’s “Lights on After School” initiative was again
successful, in that it continues to promote the critical importance of quality
afterschool programs in the lives of children, their families and the community.
Finally, a detailed inspection of every playground within the parks system was
conducted.
Planning & Development: The Planning and Development Department, with the
Planning Commission and the Board of Directors, coordinated the review and
adoption of several Zoning and Subdivision Ordinance Amendments. Review of the
City’s future Land Use Plan for two (2) areas was completed and amendments were
approved by the Planning Commission and Board of Directors. The 2012 Arkansas
Fire Prevention Code, Volumes I, II Building and III Residential went into effect
January 1, 2014. The 2014 Arkansas Energy Code and the 2014 National Electrical
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Code were adopted. The Board of Directors approved an ordinance adopting a
Design Overlay District for the John Barrow Road Corridor.
Little Rock Zoo: The Little Rock Zoo enjoyed a successful year in 2014. A capital
upgrade to the chimpanzee exhibit was completed allowing for a new water feature
and new climbing structures for the chimps that is also visually appealing for the
guest. New shade structures were installed over both great ape visitor viewing
areas. New animal identification graphics were installed throughout the Zoo. Baby
capybaras, two (2) maned wolf pups, and two (2) penguin chicks were hatched
contributing to the conservation of important animal species. A new miniature train
ride, the Diamond Express, was donated to the Zoo by the Arkansas Zoological
Foundation and began operation in June. In addition, the Zoo acquired a new zebra
and new camels.
Housing & Neighborhood Programs: The Housing and Neighborhood Programs
Department filled five (5) Code Officer positions during the 2014 year to complete
the number of additional Officers proposed to be hired as part of the LR Cent Sales
Tax Program. In addition, the Department implemented new code enforcement
software that is currently being utilized to improve the effectiveness and efficiency
of the Codes Division. Code Enforcement increased the number of Contract Teams
from two (2) to four (4) teams to be more efficient in debris removal, cutting and
cleaning of vacant properties. The Department implemented a quarterly newsletter
that is distributed to elected officials, neighborhood associations, and other
interested parties. At the Little Rock Animal Village, a donation of $100,000 was
received to assist in the construction of a Quarantine Area.
Community Programs: In 2014, the Community Programs Department fully
implemented new technology software to monitor Prevention, Intervention, and
Treatment Program performance and participation in all funded programs. A
Tobacco Youth Council comprised of fourteen (14) students from across the City
was established, completed orientation, and has begun discussions regarding
tobacco issues affecting children, youth, and families. In collaboration with the Little
Rock School District, implementation of the Evening Career Center, a skills training
pilot project for eighteen (18) to twenty-four (24)-year olds, resulted in the
completion of two (2) successful training cycles. In addition, the Department
continues to expand the Re-Entry Employment Readiness Training Program
throughout all City Departments with a focus on career areas that will assist those
returning from a correctional facility to develop a skill that will lead to full-time,
permanent employment.
Vehicle Storage Facility: The City of Little Vehicle Storage Facility partnered with
the Little Rock Convention and Visitors Bureau to provide taxicab driver training.
Training was completed in April 2014. Staff from the Vehicle Storage Facility
attended the International Association for Transportation Regulators (ATR)
conference. A back-up generator was purchased in 2013 and installed in 2014 for
power outages.
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Budget Polices and the Budget Process: The General Fund goal was to set aside
the greater of $10,000,000, or 10%, of General Fund revenues in the Restricted
Reserve on or before December 31, 2005; however, due to economic conditions in
the past few years, the City has been unable to meet this goal. The restricted
reserve is currently $9,418,000. The 2015 Budget includes a contingency allocation
of an additional $1 million. Following the completion of the 2014 audit, the City’s
management team will determine the amount of funds available to increase the
reserve, with the intent of gradually increasing the Restricted Reserve to achieve
10% of General Fund revenues in the next few years.
2015 Goals
In coordination with the Mayor and City Board, staff will have a major focus
on completion of projects funded by the new sales tax. Staff will constantly
track, monitor, and report on capital projects funded by the sales tax and will
maintain a detailed tracking system on the City’s web site,
www.littlerock.org.
Continue quarterly review meetings with the Little Rock Citizen Evaluation
of New Tax (LRCent) Committee to review expenditures and progress
toward initiatives supported by the new one (1)-cent sales tax. These
meetings will provide an additional layer of accountability and transparency
to tax payers.
Continue to implement the street and drainage sales tax plan for the 2013 -
2015 infrastructure improvement cycle established per the Ward community
meetings.
Complete the Ward community meetings for the second three (3)-year cycle
of street and drainage sales tax projects for 2016-2018.
Continue progress on street and drainage improvement projects funded by
the 2013 Capital Improvement Bonds.
Complete construction and open the West Central Community Center.
Update the Parks Master Plan.
Provide $5.5 million in funding for Children, Youth, and Family Programs,
including youth employment, skills center funding, and reentry
programming, to continue the program to train and employ disadvantaged
persons for construction and maintenance of sidewalks, and to expand the
program to include other entry level positions in other City Departments.
Development of a Youth Master Plan.
Continue the City’s focus on economic development and sustainability.
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Economic Outlook
The primary challenge facing the City of Little Rock remains providing a full
complement of services that satisfy the needs of citizens in the midst of an uncertain,
but stabilizing, economic climate.
The latest comparative figures for the City of Little Rock show unemployment at
5.9%, compared with a U.S. average of 6.2%, according to data from the United
Stated Department of Labor, seasonally adjusted for local figures by Metroplan. Per
Metroplan, the United States economy is gaining strength, the prospect for Central
Arkansas is steady; however, local growth has lagged the U.S average during the
four (4)-year period from 2011-2014. According to Metroplan, the City of Little Rock
had approximately 6,300 unemployed residents as of December, 2012. This
number had decreased to about 4,700 unemployed residents by December, 2014,
representing a decline of 25% in two (2) years. Little Rock remains a vital
employment center, accounting for approximately 53% of all jobs, by place of work,
in the Little Rock-North Little Rock metropolitan areas. A large component of the
City’s workforce is in the areas of health care, education and public administration.
These sectors are less vulnerable to national employment trends.
The Metroplan economic report for early 2015 states that figures from the Arkansas
Department of Finance and Administration demonstrate that Little Rock’s retail sales
are diverse, spread across many sectors. The top three (3) sectors include “other
general merchandise stores, full-service restaurants, and grocery stores,
accounting for approximately 26% of all retail sales. However; at the same time,
U.S. Internet sales continued rapid growth accounting for 6.6% of all retail sales.
Internet sales have an advantage over local retailers in Arkansas and other states
that are unable to collect Sales and Use Tax on online sales. The City is supportive
of the Market Place Fairness Act before Congress, which would enable
municipalities to collect sales tax from retailers that do not have a physical presence
in the State. With sales tax as the primary revenue source for the City of Little Rock,
this legislation is critical to retaining the resources required to sustain local services.
While State Law requires that citizens prepare use tax returns for such purchases,
this method is very ineffective.
The regional housing market has seen less growth than the U.S. average over the
last several years; however, Little Rock has fared better than the regional average.
Single-family housing permits began to rebound during 2012, moving to an average
of thirty (30) monthly; the highest level since 2008, and were nearing an average of
forty (40) units per month by the end of 2014. Multi-family housing construction has
increased in relation to single-family permits, growing from a 32% share of new
housing units to 57% of new housing units in 2014. On August 1, 2013, Moses
Tucker Real Estate announced plans to redevelop the old Arkla Gas Building in
Downtown Little Rock, converting it into upscale apartments by spring 2015. The
$13 million project will be called MacArthur Commons and will include eighty-four
(84) units at the corner of East Capitol and River Market Avenues. In addition, a
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new complex is coming to the South Main District in Downtown Little Rock. The
South Village Apartments at Quapaw at 1301 Louisiana Street will feature sixteen
(16), one (1) and two (2)-bedroom apartments. The $2 million project will provide
additional living units in downtown while retaining the historic architectural integrity
of the area.
Commercial property construction continues to show strong growth. One of the
most exciting developments is the new Bass Pro Shop that opened in Little Rock on
November 13, 2013. The 120,000 square-foot location is at Little Rock’s Gateway
Town Center, a 169-acre project at the northwest corner of Interstates 30 and 430
in Southwest Little Rock. In addition, construction began on an outlet mall at the
same location with approximately seventy-five (75) retail stores, bringing
approximately 1,000 jobs to the area. Outlet shopping centers are unique and
traditionally become destinations and magnets for retail activity. The grand opening
is anticipated in October 2015. Recently, Arkansas Business reported that a thirty-
three (33)-acre piece of the Gateway Town Center development is poised to add
additional commercial construction in 2015. The Gateway’s Grove Project is
envisioned to become an entertainment district with hotels, restaurants and other
attractions.
In July 2014, the Robinson Center Music Hall in Downtown Little Rock was
temporarily closed for a $68 million renovation project. The building will increase
from 133,500 square-feet to 138,000 square-feet. The overhaul includes restoring
the exterior, re-working audience entrances, improving performance hall acoustics
and seating, upgrading the loading area and building a new conference center and
grand hall on the north side of the performance hall. The upgrades are expected to
be completed by 2016.
In September, Dassault Falcon Jet broke ground on a $60 million expansion of its
private jet finishing plant at the Little Rock airport. The expansion will retain 400
positions in Little Rock. The expansion will add 250,000 square-feet to Dassault’s
site and bring the plant’s total area to 1.25 million square-feet.
In November 2014, Entergy Corporation broke ground on a new $23 million center
in Little Rock. The 25,000 square-foot building will be a transmission operations
center in Southwest Little Rock, located at 13019 Vimy Ridge Road.
In December 2014, Arkansas Business reported a 311,684 square-foot FedEx
Corporation Distribution Center to be located in Southwest Little Rock. The $24.9
million project is forecast to take a year and will involve a new street, Industry
Parkway, which will link with Alexander Road.
The City’s long-term outlook remains bright; most indicators continue showing
competitive advantages in the local metropolitan area. Job losses in some sectors
have been balanced, even in recession, by gains in areas with future potential. As
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indicated above, economic projects are in development in all areas of the City –
from Downtown, to Midtown, Southwest Little Rock and West Little Rock.
Little Rock’s strong business environment and quality of life have been recognized
by several national publications. In July 2013, Little Rock was named “#1 of
America’s 10 Great Places to Live” by Kiplinger’s Personal Finance. The rankings
place an emphasis on small and mid-size cities, considering metro areas with a
population of one million or less that have good jobs, reasonably priced homes,
decent schools and access to great health care. Little Rock is very proud of this
ranking.
In January 2014, Arkansas Business reported that the University of Arkansas Fay
Jones School of Architecture and Marlon Blackwell Architect of Fayetteville won a
2014 Honor Award from the American Institute of Architects for the Little Rock Main
Street Creative Corridor Plan. The plan will retrofit a four (4)-block area of Main
Street by utilizing economic development focused on cultural arts rather than a
traditional retail base. The Arkansas Symphony Orchestra, Ballet Arkansas and the
Arkansas Repertory Theatre plan to occupy rehearsal and creative space in the
corridor.
In June 2014, Arkansas Business reported that the American Council for an Energy-
Efficient Economy will bring its 2015 National Conference on Energy Efficiency as
a Resource to the Statehouse Convention Center in September 2015. The biennial
event, which the Arkansas Economic Development Commission (AEDC) calls one
of the premier conferences on the role of energy efficiency as a utility system
resource, was first held in 2001 and will be making its first trip to Arkansas.
In addition, Little Rock was recently listed as No. 3 Best State Capital by USA Today
Readers; Choice 10 Best. The article had this to say about Little Rock, “A downtown
renaissance has transformed Little Rock into a city with culture, cuisine and
abundant outdoor activities. Visitors can rent a bike and pedal the sixteen (16)-mile
loop along the Arkansas River Trail, visit the Clinton Presidential Center and the
Little Rock Central National Historic Site, a National Park Service unit that interprets
the crucial role played by the school in the civil rights struggle.” The article may be
found at (http://www.10best.com/awards/travel/best-travel-worthy-state-capital/)
The City will continue to identify economic development opportunities that result in
the expansion, retention or start-up of businesses that create jobs and generate
sales tax, property tax or other forms of revenue for the City. $38,000,000, or 19.4%,
of the revenue anticipated from the three-eighths (3/8)-cent sales tax for capital
projects is dedicated to jobs and economic development over the next seven (7)
years. The funds will be utilized for port expansion, development of a research park,
and job recruitment and economic development infrastructure.
Closing: This budget is the financial and operating plan for the City of Little Rock
for 2015. The appropriations included provide for quality municipal services.
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City of Little Rock, Arkansas 2015 Operating Budget
OVERALL CITY GOALS AND OBJECTIVES
On February 28, 2003, and March 1, 2003, the Mayor and Board of Directors met
in two retreat sessions to develop a strategic policy plan structured around the
goals and objectives of each Board member. After a brainstorming session to
determine the needs of the community the Board of Directors divided their
priorities into two categories: What Must we do? And What Should we do? The
Board assigned city staff the task of developing a mission statement, for their
approval, that would bring together the themes of each policy area. The mission
statement and the Board of Director’s policy statements for each strategic policy
area have remained consistent since that time and are outlined below:
Mission Statement
Little Rock’s vision is to be a leading city of the 21
st
Century by providing a safe
and supportive environment that empowers its citizens, neighbors and
businesses to develop and prosper.
Must Do
Policy Statement for a Safe City
It is the policy of the City of Little Rock to protect the rights of the people, ensure
public order, and provide public safety through efficient delivery of services in
addition to requiring the highest level of professional standards.
This shall be accomplished by:
Providing protection through the enforcement of municipal laws
Providing protection from loss or damage of property
Safeguarding individual liberties and implementing community
partnerships to foster cooperation and shared resources from other public
and private agencies
Maintaining and improving community livability through partnerships with
diverse communities by proactively addressing public safety concerns,
which enhance the quality of life for all
Supporting programs that address the issues of children, youth and
families
Striving to ensure the availability and access of adequate, safe and
affordable housing
Striving to improve vehicular and pedestrian safety
Providing disaster assistance in natural and man-made emergencies
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City of Little Rock, Arkansas 2015 Operating Budget
Providing optimum service levels to the public as cost effectively as
possible to maintain a safe, healthy community
Must Do
Policy Statement for Economic Development
It is the policy of the City of Little Rock to support the local/regional economy and
to provide opportunities to retain, form and attract new business.
To accomplish this policy, the City shall:
Support and promote industry and leverage key resources and assets to
attract business interests that offer high-skill/high-wage opportunities for
citizens
Build on the momentum created by public and private investment and
recognize that these efforts promote economic growth for all of Central
Arkansas
Actively develop programs to support small, minority-owned and women-
owned businesses in recognition of the important role of these enterprises
in the creation of jobs and economic opportunities
Must Do
Policy Statement for Basic City Services
It is the policy of the City of Little Rock to ensure citizens receive quality basic
services, and to provide a viable system that enables its employees to give the
most efficient and effective support possible.
The services provided to the citizenry will include:
A comprehensive operational and administrative support system
The collection of solid waste
An efficient drainage and wastewater system
The provision of a clean, healthy water supply
A coordinated and efficient public transit system
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City of Little Rock, Arkansas 2015 Operating Budget
Must Do
Policy Statement for Infrastructure
It is the policy of the City of Little Rock to maintain and improve a comprehensive
infrastructure system that meets the changing needs of the community while
protecting the integrity of the environment.
A comprehensive infrastructure system includes:
Drainage systems
Information technology systems
Public buildings
Solid waste facilities
Streetlights
Streets
Traffic signals
Wastewater facilities
Water systems
Should Do
Policy Statement for Quality of Life
It is the policy of the City of Little Rock to join with community partners to ensure
access to vital and varied recreational, creative and educational experiences.
This will be accomplished to:
Strengthen the fabric of daily living experiences for residents and visitors
alike
Capitalize on Little Rock’s rich natural and cultural resources
Take advantage of the diversity of Little Rock’s citizenry
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City of Little Rock, Arkansas 2015 Operating Budget
Statement of Management Policy
Each year the City Manager develops a Statement of Management Policy to
provide guidance and establish specific parameters for departments to follow
when developing their annual budgets. The Statement of Management Policy is
comprised of common themes from the Board of Directors overall goals and
objectives. It is the City Manager’s responsibility, working in conjunction with
Department Directors, to develop the annual budget around these policy areas in
order to promote efficiency and effectiveness in the delivery of services to the
public.
The 2015 Statement of Management Policy includes these key principles:
Public Safety
Strive to improve public safety through the use of information, education and
community based enforcement strategies to encourage cooperation with and
participation in City safety services. Utilize technology and innovative methods
and techniques in order to produce a safe environment for the Citizens of Little
Rock.
Economic Development
Continue partnerships with private and public agencies in the recruitment of new
business. Pursue innovative approaches to retain existing businesses and
promote the creation of small businesses in the City of Little Rock.
Infrastructure
Focus on the installation and maintenance of streets, drainage, sidewalks, traffic
signals and other capital needs in the City of Little Rock.
Quality of Life
Focus on improving active, passive and leisure activities for citizens and visitors.
Financial Reporting
Continue to provide accurate and timely information on the status of the City’s
financial picture to the Board of Directors and the public. Continue to pursue
innovative techniques to gather and report financial data.
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The Budget Process
City of Little Rock, Arkansas 2015 Operating Budget
THE BUDGET PROCESS
The City’s annual budget is the result of a thorough, public process. The budget
projects all receipts and disbursements, the level of governmental services to be
provided, and the method of distributing cost and services to the various
segments of the community. The budget process includes an evaluation of
community needs and reflects priorities established by the Mayor, the Board of
Directors, and the City Manager. This document serves to inform citizens and
other interested parties of the City’s service plans and overall financial condition.
The Management Team had financial planning work sessions to facilitate budget
and capital project planning. The work sessions focused on revenue outlook,
trends, revenue issues, priority expenditures, expenditure issues, capital projects
and debt for capital projects.
The financial guidelines and policies that serve as the framework for the financial
operation of City government and the basis for budget development are
contained in the financial section of the budget document.
The budget process begins with the City Manager’s assessment of the goals and
initiatives of the Mayor and the Board of Directors. A budget package prepared
by the Finance Department is then distributed to the Department Heads. The
package includes general guidelines from the City Manager with budget reports
that include initial revenue projections, prior year expenditures, current year
budgeted and actual year-to-date expenditures for all operating accounts, a
listing of capital projects, and a budget preparation calendar. The Internal
Services Fund provides projected vehicle maintenance, labor and fuel charges to
each user Department. Budget staff provides training sessions on the budget
process and budget monitoring throughout the year as needed. Departments
submit their expenditure requests to the Finance Department for an initial review.
The City Manager conducts internal budget hearings with each Department to
review goals, projected revenues and expenditures, desired program initiatives,
and capital needs. Budget requests are modified based on the results of the
internal hearings. The Finance Department compiles all of the requests and
recommends any additional modifications necessary in order for the City
Manager to present a balanced budget recommendation to the Mayor for review.
The City Manager reviews program funding recommendations with the Mayor
and discusses associated revenue and expenditure assumptions in detail. The
Mayor and City Manager make modifications to reflect any additional priorities.
The Mayor and City Manager then conduct a budget workshop with the Board of
Directors.
The Capital Budget is usually prepared to present the capital expenditures
planned for each of the next five (5) fiscal years. In 2011, citizens passed a
three-eighths (3/8)-cent sales tax for capital projects that went into effect on
January 1, 2012. The sales tax is a temporary tax with a ten (10) year sunset,
2021. Planned capital expenditures from the sales tax are discussed in detail in
the capital section of the budget document. In addition, capital needs funded by
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City of Little Rock, Arkansas 2015 Operating Budget
grants or bond issues were considered. The total costs of each project and the
sources of funding required to finance each project are estimated. The FY15
capital requests are considered separately by fund.
The Mayor and City Manager conduct public hearings to obtain input from
citizens. The City utilizes a program-based budget approach for the funds under
the direction of the City Manager.
Approved departmental expenditures are categorized by organizational service
delivery unit, and then presented as costs associated with specific service
programs. This approach allows citizens and their elected representatives to
evaluate the costs of various services, to relate those costs to units of service
delivered, and to set service priorities.
The adopted budget ordinance provides for budgetary control at an
organizational level. Budgets cannot be exceeded without the approval of the
Mayor and Board of Directors.
City Management monitors achievement of program service objectives as
follows:
In regular meetings with department directors by the City Manager and his
staff;
In quarterly reports to the City Manager by department directors;
Through management information system reporting;
Through regular public presentations to the Mayor and Board of Directors;
and
Through meetings with neighborhood organizations and other citizen groups.
Employees are evaluated annually in relation to the performance of designated
services.
Following adoption of the budget, revenue and expenditure budget accounts are
established based on the organizational structure of the City’s financial system.
Monthly and quarterly reports of revenues, expenses and remaining balances are
prepared for the Mayor, Board of Directors and City management. The
availability of budgeted funds is verified before a purchase order is issued, which
then encumbers the budget account.
The 2015 Budget
The 2015 Basic Budget reflects estimated costs for those programs which
were approved or received funding.
Goals
Goals are clear statements of a department’s mission, or purpose. Goals
pinpoint the reasons for the department’s existence and establish the
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City of Little Rock, Arkansas 2015 Operating Budget
department’s direction and responsibility(s). Each department’s objectives
are linked to the dollar figure budget needed to achieve the goal.
Objectives
Objectives are the specific functions, which must be performed in order for
a program to satisfy or fulfill a particular goal.
Objectives are typically expressed in measurable terms so that a
program’s level of accomplishment or performance can be evaluated at
the end of the fiscal year.
The calendar for developing the 2015 budget follows:
August 5 Finance sends letters to Outside Agencies for 2015
funding requests. (Response deadline September
5)
August 15
A
ffordable Care Act look back period ends.
Finance reviews final part-time report to determine
which employees will have an additional health care
benefit in 2015
August 22 Departments review special project balances.
Finance Department sends out Personnel Model for
verification.
August 29 Departments submit revenue estimates, proposed
rate adjustments and new fee recommendations
and dedicated grant match requests to Finance,
September 5 Departments complete review of 2015 Personnel
Model with necessary changes reported to HR and
Budget Office.
September 8 - 12 City Manager reviews Outside Agency Requests.
HR provides 2015 new benefit rates to Finance.
September 19 2015 Budget instructions, departmental budgets
and Personnel Model distributed. Assist
departments with budget process.
September 26 Fleet Services submits 2015 budget to Finance and
departments.
October 3 Departments submit 2015 operating and capital
budget requests to Finance. Community Programs
submits CYF/PIT recommendation to City Manager.
October 6 – 10 Finance verifies budget requests. Finance updates
financial trends, revenue forecast, and reviews new
revenue options.
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October 10 – 20 City Manager reviews departmental budget
requests and CYF/PIT recommendation. Budget
meetings held with departments.
October 14 Board of Directors considers policy issues and
revenue projections.
October 21 Board adopts 2015 mill levy Ordinance.
November Budget preparation continues. Meetings held with
Mayor to discuss preliminary budget.
Nov. – Dec. Union Negotiations
December 2 Draft Budget distributed to Board of Directors.
Board Budget Workshop held.
December New Health Plan considered. Public Budget
Information Meetings held.
December 16 Board of Directors adopts 2015 Budget Ordinance,
utility franchise Ordinances, and revenue rate
adjustments if applicable.
December 19 Finance submits 2015 Budget Document data
request to departments.
AMENDING THE BUDGET
During the fiscal year, adjustments may be required to refine the original adopted
budget. The approved budget may be amended as required in accordance with
the following protocol:
Revenues are reviewed monthly and quarterly and the projections are
adjusted if warranted.
Adjustments to transfer approved expenditure budgets from one organization
to another may be approved by the City Manager if less than $50,000.
Transfers in excess of $50,000 must be submitted to the Mayor and Board of
Directors for approval.
Requests for new appropriations may be submitted by the City Manager or at
the direction of the Mayor or Board of Directors and require authorization by
Board Ordinance.
Funds Controlled by the City Governing Body
The Funds controlled are:
General;
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City of Little Rock, Arkansas 2015 Operating Budget
Special Revenue;
Capital;
Proprietary;
Fiduciary; and
Debt Service.
The City’s financial policies are included in the Financial Structure section.
BUDGET POLICIES
The City has developed and utilized budget policies that are designed to
accomplish specific objectives and enhance the budget process. These policies
include:
The 2015 budget does not include salary increases. One-time lump sum
bonuses for full-time employees will be awarded based on salary ranges,
providing the greatest benefit to employees with the lowest salaries.
Employees with a salary of $40,000 or below will receive a bonus of $1,000.
Employees with a salary from $40,001 to $60,000 will receive a $750 bonus.
Finally, employees with a salary of $60,001 or greater will receive a $500
bonus. Non-uniform employees currently on probation will receive the bonus
after successful completion of their six (6) month probationary period, and
probationary uniform employees will receive their bonus after successful
completion of their respective recruit school. The City Manager, the Assistant
City Manager, and Department Heads were excluded from the bonus
program.
The American Federation of State, County and Municipal Employees
(AFSCME), the International Association of Fire Fighters and the Fraternal
Order of Police positions will participate in the bonus program. In addition,
step and grade increases are budgeted in accordance with union
agreements. All three (3) union agreements were open for negotiation in
2014. Negotiations were on-going at year-end.
In July of 2015, revenues trends will be reevaluated to determine if salary
increases are possible.
Positions that are vacant at the time the budget is adopted are budgeted at
the mid-range salary based on grade, providing some budget flexibility in the
recruiting process. In addition, an estimated annual savings generated from
vacant positions is included in the budget as a reduction to personnel cost.
As vacancies occur, the savings is utilized to reduce personnel budget
allocations by department.
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The City utilized the in-house payroll system to aid in the development of the
budget for the bonus and benefit costs for 2015. Salary changes are
budgeted for each employee group to occur at the required time, such as on
the employee’s anniversary date or at the first of the year.
The Fleet Services Internal Service Fund develops an expenditure budget for
vehicle maintenance and fuel which is allocated to departments based on the
number of assigned vehicles, service history, and prior fuel utilization. These
allocations are not subject to change by the user departments.
Departments are given specific budget parameters by the Mayor and City
Manager. Departments are not allowed to alter calculated personnel cost or
Internal Service Fund budget allocations, and are instructed not to make
funding requests for new programs without the approval of the City Manager.
For 2015, departments were authorized to implement priority needs and
specific new positions supported by the new sales tax, which became
effective in 2012, and to fill key vacant positions.
These policies are designed to ensure that operating departments have sufficient
funds available to support programs and services, and to mitigate the need for
budget reductions during the course of the fiscal year.
OTHER BUDGET PROCEDURES
The preceding budget procedures apply to the development of the budget for the
General Government operating funds, and the Proprietary, Special Projects and
Capital funds. These funds are under the direct guidance of the City Manager.
Special Revenue funds’ budgets are developed internally by staff. The
Community Development Block Grant and Home Investment Partnership
Program budgets are developed in accordance with specific federal guidelines,
including obtaining required citizen input, and are then presented to the Mayor
and Board of Directors for final approval.
Component Units develop separate budgets for approval by their respective
governing board or commission. These budgets do not require submission to the
Mayor and Board of Directors for approval. The Fiduciary retirement funds do
not prepare formal budgets, but the associated boards of trustees regularly
monitor the income and expenditures of the funds.
Annual budgets are adopted on a basis consistent with accounting principles
generally accepted in the United States of America. Governmental funds are
reported using the current financial resources measurement focus and the
modified accrual basis of accounting.
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City of Little Rock, Arkansas 2015 Operating Budget
The basis of budgeting and the basis of accounting used in the City’s audited
financial statements are the same. Appropriations lapse at the end of the each
year. With this measurement focus, only current assets and liabilities are
generally included on the balance sheet. The statement of net assets presents
increases (revenues and other financing sources) and decreases (expenditures
and other financing uses) in spendable resources. General capital asset
acquisitions are reported as expenditures and proceeds of general long-term
debt are reported as other financing sources. Under the modified accrual basis
of accounting, revenues are recognized when both measurable and available.
The City considers revenues reported in the governmental funds to be available if
they are collectible within sixty days after year-end. Principal revenue sources
considered susceptible to accrual include taxes, federal funds, local funds and
investment earnings. Other revenues are considered to be measurable and
available only when cash is received by the City. Expenditures are recorded
when the related fund liability is incurred, except for principal and interest on
general long-term debt, claims and judgments, compensated absences and
obligations for workers’ compensation, which are recognized as expenditures
when payment is due. Pension expenditures are recognized when amounts are
due to a plan.
Operating revenues and expenditures are distinguished from non-operating
items. Operating revenues and expenses generally result from providing
services in connection with the principal ongoing operation of the fund. All
revenues and expenses not meeting this definition are reported as non-operating
items.
Appropriations for special projects are budgeted as transfers to a special project
fund by the Mayor and Board of Directors. These allocations are used to finance
specific initiatives or capital projects. Special projects are generally multi-year
activities that are monitored until they are fully expended or repealed by the
Mayor and Board of Directors. At the conclusion of the special initiative or capital
project, remaining allocations are returned to the fund that originally sponsored
the project. Examples of such projects are allocations for homeless prevention,
weed lot maintenance, demolition, and the Mayor’s Youth Council.
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Financial Structure
City of Little Rock, Arkansas 2015 Operating Budget
LITTLE ROCK'S FINANCIAL STRUCTURE
Cities in Arkansas derive the authority to levy taxes and provide municipal
services from state statutes. Little Rock's financial structure utilizes fund
accounting, which separates the transactions related to various City functions
and is designed to demonstrate compliance with legal requirements. Certain
funds are controlled directly by the City's governing body, and other funds are
controlled by agencies whose assets are owned by the City but are operated by
independent boards and commissions.
FUNDS CONTROLLED BY THE CITY GOVERNING BODY
GENERAL FUND OPERATIONS
General Fund – This fund is the primary operating fund of the City and
receives all revenues not required to be accounted for separately. In
addition to funding traditional government services, annual appropriations
are made from this fund for various outside agencies that perform services
on behalf of the City, for special projects, and for limited capital
improvements.
SPECIAL REVENUE FUNDS
Street Fund – This is a special revenue fund that includes income
restricted for street and traffic maintenance, such as the state gasoline tax
turnback and one-half of a County road property tax. In addition, parking
meter revenues and reimbursement for street cuts are reported in this
fund.
Special Projects Fund – This fund receives certain revenues and
appropriations for special purposes or for capital projects that generally
have a multi-year life.
Infrastructure Fund – This fund was established to commit resources for
the improvement and maintenance of the City's infrastructure.
Emergency 9-1-1 Fund – This fund contains fees derived from telephone
charges, which are restricted to uses related to operating and equipping
the City’s 9-1-1 Emergency Operations Center.
Grant Fund – Various Federal and State Grant awards are reported in
this fund.
Community Development Block Grant Fund – This fund receives
Federal block grants utilized primarily for street improvements, community
services and community center operations.
Neighborhood Housing Special Project Fund (NHSP) – This fund
accounts for the proceeds of the Community Development Block Grant –
Section 108 Guaranteed Loan Program and other City funds that are
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City of Little Rock, Arkansas 2015 Operating Budget
utilized to provide housing and housing assistance to qualifying citizens
and to improve neighborhood infrastructure.
Home Investment Partnership Fund (HIPP) – This fund accounts for
funding received from the U.S. Department of Housing and Urban
Development to provide housing or housing assistance to qualifying
citizens, to improve neighborhood streets and drainage, and to operate
community health and recreation facilities.
CAPITAL PROJECT AND RELATED DEBT SERVICE FUNDS
Capital Projects Funds – These funds are derived from the proceeds of
general obligation bonds issued to finance major capital improvement
projects.
Debt Service Funds – The City’s general obligation bonds are primarily
supported by separate property tax levies approved by taxpayers for the
sole purpose of retirement of debt issued to fund capital improvement and
construction projects. The proceeds of the special levies are accounted for
in debt service funds to be utilized for this purpose. There is a
corresponding capital projects fund established for each bond issue.
2002 Capital Improvement Junior Lien Revenue Bonds – The 2002
Capital Improvement Junior Lien Revenue Bonds were issued to finance
infrastructure improvements, the costs of issuance, and to fund the debt
service reserve. These bonds are special obligation bonds of the City,
payable solely from the franchise fees collected from public utilities for the
privilege of utilizing the streets, highways and other public places within
the City.
2007 Capital Improvements – The 2007 Capital Improvements were
issued to finance the advance refunding of the City’s Capital Improvement
Revenue Bonds 1998A and to pay the cost associated with the issuance
of the Series 2007 Bonds. The Series 2007 bonds are not general
obligations of the City but are special obligations payable solely from the
revenue received by the City from all franchise fees charged to public
utilities for the privilege of utilizing the City’s streets and right-of-way.
The remaining funds available from interest earnings on these bond funds
have been allocated to the South Loop and Scott Hamilton Drive
improvements.
2008 and 2009 Central Library and Improvement Fund – 2008 and
2009 Library Improvement and Refunding Bonds are limited obligations
payable through 2028. The Library Bonds were issued to finance the cost
of acquiring, constructing, and equipping capital improvements to the
public City libraries operated by the Central Arkansas Library System.
The bonds are limited tax obligations payable solely from a 1.0 mill annual
ad valorem tax.
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2009A Capital Improvement Construction Revenue Bonds and 2009B
Parks and Recreation Capital Improvement Refunding Bonds – The
2009A Parks and Recreation Bonds were issued for the purposes of
acquiring, constructing, equipping, renovating, expanding, and
refurbishing certain zoo, parks, and recreation facilities of the City. The
2009B Bonds were issued for the purpose of refunding the City’s
outstanding Capital Improvement Revenue Bonds (Parks and Recreation
Projects) Series 1998A. The 2009A and 2009B bonds are special
obligations, payable solely from the revenues derived from the operation
and ownership of the zoo, parks and recreation facilities.
2012 Library Construction and Refunding Bonds – 2012 Library
Construction and Refunding Bonds are limited obligations payable through
2032. The Library Bonds were issued to finance the cost of acquiring,
constructing, and equipping capital improvements to the public City
libraries operated by the Central Arkansas Library System, to refund the
City’s outstanding Library Construction Bonds, Series 2004A, and to pay
the cost of issuance of the bonds. The bonds are limited tax obligations
payable solely from a 0.9 mill annual ad valorem tax.
2012 – 2021 Capital Project Fund – This fund is utilized to account for
the proceeds of a 3/8 cent ten (10) year capital tax to fund new Fire and
Police facilities, a new emergency communications system, economic
development infrastructure, including improvements at the port and
funding for a technology park, capital improvements for Park and Zoo
facilities, information technology projects and vehicles and equipment.
The tax went into effect on January 1, 2012 and expires on December 31,
2021.
2013 Limited Tax General Obligation Capital Improvement Bonds
On September 11, 2012, citizens of Little Rock approved the issuance of
$105 million in Capital Improvement Bonds for the purpose of Street and
Drainage infrastructure improvements. The 2013 Limited Tax General
Obligation Capital Improvement Bonds in the amount of $58,105,000
issued July 24, 2013 were the first series of bonds issued for this purpose.
These bonds are secured by all proceeds derived from a separate 3-mills
annual ad valorem tax on all taxable real and personal property located
within the City.
Short Term Financing – This fund accounts for proceeds of Short Term
Financing notes issued to acquire capital equipment, building
improvements and vehicles for the City.
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City of Little Rock, Arkansas 2015 Operating Budget
PROPRIETARY FUNDS
Waste Disposal Enterprise Fund – This fund was created to account for
the City’s solid waste system.
Vehicle Storage Facility Enterprise Fund – This fund was created to
account for vehicle storage services.
Fleet Internal Services Fund – This fund utilizes a flexible budget and
derives its revenues primarily from charges to the organizations in the
General, Street and Waste Disposal Funds that utilize City vehicles.
Parking Garage Fund – This fund was created to account for the
operations of the City’s two parking garage facilities.
FIDUCIARY FUNDS CONTROLLED BY BOARDS OF TRUSTEES
An important benefit for City employees is a retirement plan. The City
participates in the state Local Police and Fire Retirement System (LOPFI) for all
uniformed employees hired after January 1, 1983. In addition, LOPFI
administers the Policemen’s Pension and Relief Fund. The following retirement
funds are administered by the City and cover substantially all other employees:
Firemen's Relief and Pension Fund
Non Uniform Defined Contribution Pension Fund
Non Uniform Defined Benefit
New 2014 Non Uniform Defined Benefit Fund
Pension Health Management Trust Fund
All pension funds receive contributions from both employees and the City. The
Firemen and Policemen's funds also receive a dedicated property tax levy and
insurance turn back revenues. Each fund has a Board of Trustees that directs its
activities.
DISCRETE COMPONENT UNITS CONTROLLED BY INDEPENDENT
BOARDS & COMMISSIONS
Certain City services are similar to activities found in the private sector. They
have independent Boards and Commissions. They are budgeted and accounted
for as separate entities and are expected to maintain revenues sufficient to meet
their operating costs, debt service requirements, and system replacement and
maintenance needs. These funds are listed below but are not included in this
document:
Little Rock Wastewater Utility
Little Rock National Airport
Little Rock Advertising & Promotion Commission
Little Rock Port Authority
Metropolitan Emergency Medical Services (MEMS)
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Central Arkansas Transit Authority
Arkansas Museum of Discovery
Arkansas Arts Center
Central Arkansas Library System
Oakland Fraternal Cemetery
Mt. Holly Cemetery
These funds receive income from service charges that are used to operate their
respective facilities and to retire revenue bonds. In addition, a 2% Hotel, Motel,
and Restaurant Sales Tax provides the main source of income to operate the
Advertising and Promotion Commission and retire its bonds. Boards and
Commissions, which derive their authority from specific statutes, operate all of
these funds. However, the City's governing body must authorize rate changes,
approve all bond issues, and approve appointments to the Boards and
Commissions. Therefore, these funds are required to be reported as discrete
component units of this entity by GASB Statement Number 39.
OTHER FUNDS NOT INCLUDED
This budget does not include the Little Rock School District, which is governed by
its own elected board, is a separate taxing authority, issues its own debt and
receives no City subsidy. Certain other funds are not included, because they
operate under independent Boards, have other sources of revenue, and are in no
way dependent upon the Mayor and Board of Directors. These are as follows:
Little Rock Housing Authority
Little Rock Residential Housing and Facilities Board
Central Arkansas Water
In addition, this budget does not include certain multiple-employer, defined
benefit pension funds administered and trusted by independent fiduciary agents
and in which certain employees participate.
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City of Little Rock, Arkansas 2015 Operating Budget
FISCAL POLICIES
A. OPERATING MANAGEMENT
1. All City departments share in the responsibility of meeting policy goals
and ensuring long-term financial health. Future service plans and
program initiatives will be developed to reflect current policy directives,
projected resources, and future service requirements. When appropriate,
sunset provisions will be incorporated into service plans.
2. The budget process is intended to weigh all competing requests for City
resources. Requests for new, on-going programs made outside the
budget process are discouraged.
3. Addition of personnel will only be requested to meet program initiatives
and policy directives; after service needs have been thoroughly examined
and it is substantiated that additional staffing will result in increased
revenue or enhanced operating efficiencies. To the extent feasible,
personnel cost reductions will be achieved through attrition.
4. Current expenditures will be funded by current revenues. A diversified
and stable revenue system will be developed to protect programs from
short-term fluctuations in any single revenue source.
5. No revenues will be dedicated for specific purposes, unless required by
law or generally accepted accounting practices (GAAP). All non-restricted
revenues will be deposited in the General Fund and appropriated by the
budget process.
6. User fees and charges will be examined annually to ensure that all direct
and indirect costs of provided the service are recovered. If the user fees
and charges required to meet full cost recovery would be excessively
burdensome on citizens receiving service, the Board of Directors may
approve a lower user fee or charge. The City will consider market rates
and charges levied by other public and private organizations for similar
services in establishing rate and fee structures. Rate adjustments for
Waste Disposal will be based on five-year financial plans.
7. Grant funding should be considered to leverage City funds. Inconsistent
and /or fluctuating grants and trusts should not be utilized to fund on-
going programs. Programs financed with grant moneys will be budgeted
in separate cost centers, and the service program will be adjusted to
reflect the level of available funding. In the event of reduced grant
funding, City resources will be substituted only after all program priorities
and alternatives are considered during the budget process.
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8. All grants and other Federal and State funds shall be managed to comply
with the laws, regulations, and guidance of the grantor, and all gifts and
donations shall be managed and expended according to the wishes and
instructions of the donor.
9. Fleet replacement will be accomplished through the use of a “rental” rate
structure. The rates will be revised annually to ensure that charges to
operating departments are sufficient for operation and replacement of
vehicles.
10. Balanced revenue and expenditure forecasts will be prepared to examine
the City’s ability to absorb operating costs due to changes in the
economy, service demands, and capital improvements. The forecast will
encompass five years and will be updated annually.
11. Comparison of service delivery will be made to ensure that quality
services are provided to our citizens at the most competitive and
economical cost. Departments will identify all activities that can be
provided by another source and review alternatives to current service
delivery. The review of service delivery alternatives will be performed
continually. During the annual budget process, funding for outside
Agencies, FUTURE-Little Rock, and special projects will be evaluated.
12. To attract and retain employees necessary for providing high quality
services, the City shall establish and maintain a very competitive
compensation and benefit package with that of the public and private
sectors.
13. The City will follow an aggressive and professional policy of collecting
revenues.
14. In each annual budget, the City may authorize a transfer from one fund to
another for one or more special projects. Expenditures from the special
project shall be consistent with the purpose of the special project.
Unspent appropriations for special projects shall carry forward into the
next fiscal year. Unspent special project appropriations remaining on
June 30 in the next fiscal year shall be returned to the fund of origin
unless the City Manager authorizes continuation of the special project.
15. The City will strive to maintain fair and equitable relationships with
contractors and suppliers.
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B. CAPITAL MANAGEMENT
1. A five-year Capital Improvement Plan will be developed biannually and
updated annually, including anticipated funding sources. Capital
improvement projects are defined as infrastructure or equipment
purchases or construction that results in a capitalized asset costing more
than $5,000 and having a useful life (depreciable life) of two years or
more.
2. The capital improvement plan will include, in addition to current operating
maintenance expenditures, an adequate level of funding for maintenance
and replacement to ensure that all capital facilities and equipment are
properly maintained.
3. Proposed capital projects will be reviewed by a cross-departmental team
for accurate costing (design, capital, and operating), congruence with City
objectives and prioritized by a set of deterministic criteria. Financing
sources will be sought for the highest-ranking projects.
4. Capital improvement operating budget impacts will be coordinated with the
development of the annual operating budget. Future operating,
maintenance, and replacements costs will be forecast as part of the City’s
five-year financial forecast.
5. The City will provide for a minimum of 5% of internal, pay-as-you-go
financing for its Capital Improvement Program. Funding may come from
fund balance reserves or any other acceptable means.
C. DEBT MANAGEMENT
1. The City will seek to maintain and, if possible, improve its current bond
rating in order to minimize borrowing costs and preserve access to credit.
The City will encourage and maintain good relations with financial bond
rating agencies and will follow a policy of full and open disclosure.
2. Future bond issue proposals will be accompanied by an analysis showing
how the new issue combined with current debt impacts the City’s debt
capacity and conformance with City debt policies.
3. The City will attempt to develop a coordinated communication process
with all other overlapping jurisdictions with which it shares a common tax
base concerning collective plans for future debt issues.
4. Financing shall not exceed the useful life of the asset being acquired.
5. The City will not use long-term debt to finance current operations.
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6. The general policy of the City is to establish debt repayment schedules
that utilize level annual principal and interest payments.
7. The general policy of the City is to fund capital projects (infrastructure)
with new, dedicated streams of revenue or voter approved debt. Nonvoter
approved debt may be utilized when a dedicated revenue source other
than general revenue can be identified to pay debt service expenses.
8. Interest earnings on bond proceeds will be limited to 1) funding the
improvements specified in the authorizing bond ordinance, or 2) payment
of debt service on the bonds.
9. Utility rates will be set to ensure debt service coverage exceeds the bond
indenture requirement of 125%.
10. The City shall comply with the Internal Revenue Code Section 148 –
Arbitrage Regulation for all tax-exempt debt issued. An annual estimate
of arbitrage liabilities shall be obtained by the City and recorded on the
financial statements.
11. The City shall use a competitive bidding process in the sale of debt unless
the use of a negotiated process is warranted due to market timing
requirements (refunding), or a unique pledge or debt structure. The City
will award competitively issued debt on a true interest cost (TIC) basis.
12. Proceeds from debt will be utilized in accordance with the purpose of the
debt issue. Funds remaining after the project is completed will be used in
accordance with the provisions stated in the bond ordinance that
authorized the issuance of the debt.
D. RESERVES
1. All fund designations and reserves will be evaluated annually for long-term
adequacy and use requirements in conjunction with development of the
City’s five-year financial plan.
2. The General Fund goal is to set aside $10,000,000 or 10% of General
Fund revenues; whichever is greater, into a restricted reserve fund on or
before December 31, 2005; however, due to economic conditions in the
past several years, the City has not been able to meet this goal. The
restricted reserve is currently $9,418,000. The Board will consider
increasing the restricted reserve based on annual audited financial results.
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3. Each annual operating budget will include a contingency appropriation in
the General Fund sufficient to provide for unforeseen needs of an
emergency nature for that year. The desired level of the contingency
appropriation each year shall be based on the average of the three prior
years’ experience levels but no less than .5% of General Fund revenue for
the current fiscal year.
4. The Waste Disposal Fund will maintain an unrestricted retained earnings
reserve of no less than 15% of current year revenues.
5. Fleet Management reserves will be maintained based upon lifecycle
replacement plans to ensure adequate fund balance required for
systematic replacement of fleet vehicles. Operating departments will be
charged for fleet operating costs per vehicle class and replacement costs
spread over the useful life of the vehicles.
6. Self-insurance reserves will be maintained at a level that, together with
purchased insurance policies, will adequately indemnify the City’s property
and liability risk. A qualified actuarial firm shall be retained on an annual
basis in order to recommend appropriate funding levels.
7. A Facility Maintenance Reserve will be maintained based upon lifecycle
replacement plans to ensure adequate funding for infrastructure repair and
operating equipment replacement (HVAC, roofing, etc.).
E. CASH MANAGEMENT AND INVESTMENTS
1. Cash and investment programs will be maintained in accordance with the
City Charter and the adopted investment policy and will ensure that
proper controls and safeguards are maintained. City funds will be
managed in a prudent and diligent manner with an emphasis on safety of
principal, liquidity, and financial return on principal, in that order.
2. The City will maintain written guidelines on cash handling, accounting,
segregation of duties, and other financial matters.
3. The City will conduct periodic reviews of its internal controls and cash
handling procedures.
4. The City will annually identify and develop an Internal Audit Work plan.
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F. ACCOUNTING, AUDITING AND FINANCIAL REPORTING
1. The City’s accounting and financial reporting systems will be maintained
in conformance with generally accepted accounting principles (GAAP)
and the standards set by the Governmental Accounting Standards Board
(GASB) and the Government Finance Officers Association (GFOA).
2. An independent public accounting firm will perform an annual audit. The
auditor’s opinion will be included with the City’s published
Comprehensive Annual Financial Report (CAFR).
3. The City’s CAFR will be submitted to the GFOA Certification of
Achievement for Excellence in Financial Reporting Program. The
financial report should be in conformity with GAAP, demonstrate
compliance with finance related legal and contractual provisions provide
full disclosure of all financial activities and related matters, and minimize
ambiguities and potentials for misleading inference.
4. The City’s budget document will be submitted to the GFOA Distinguished
Budget Presentation Program. The budget should satisfy criteria as a
financial and programmatic policy document, as a comprehensive
financial plan, as an operations guide for all organizational units and as a
communications device for all significant budgetary issues, trends and
resources.
5. Financial systems will be maintained to monitor revenues, expenditures,
and program performance on an ongoing basis.
6. Monthly and quarterly reports shall be prepared and presented to the
Board of Directors on a timely basis.
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OTHER AGENCIES
One of the budget policies of the Mayor and Board of Directors is to support
other agencies that provide services that are important to the City’s quality of life.
The agencies that have had City support are described below:
The Arkansas Arts Center, located in a City park, serves the metropolitan area
and provides a wide array of cultural opportunities to citizens of all ages and
interests.
The Arkansas Museum of Discovery enhances the cultural opportunities in the
metropolitan area and has opened a new and larger museum located in the River
Market District. This project was funded through the FUTURE-Little Rock
initiatives and is now funded from the General Fund.
The Central Arkansas Transit Authority provides vital public transportation
services to much of the metropolitan area.
The Chamber of Commerce promotes economic growth in the area, and is
another example of a public and private partnership.
The County Health Department provides health care services to residents of
both the City and Pulaski County. The State Health Department directs its
operations. It receives operating support from both the City and the County.
The Downtown Partnership promotes economic development for downtown
and is an example of public and private partnerships to promote growth and
development of the City.
Metroplan is a council of local governments that provides area-wide
transportation and other planning and support services to its members.
County Regional Detention Center serves the residents of both the city and
Pulaski County. The County directs its operations and it receives operating
support from the City and all jurisdictions in the County.
The Pulaski Area Geographical Information System (PAGIS) is a consortium
of local government agencies formed by inter-local agreement to develop,
maintain and distribute spatial based information and graphics. Current members
are Little Rock, North Little Rock, Pulaski County, Central Arkansas Water and
Wastewater commissions of Little Rock and North Little Rock.
Jack Stephens Youth Golf Academy/First Tee of Central Arkansas has a
nine (9)-hole regulation golf course, nine (9)-hole par three (3) golf course, full-
service driving range, practice putting green, full-service pro shop and indoor
teaching facilities. The purpose of this facility is to impact the lives of the young
people of Central Arkansas by providing educational programs that build
character, instill life-enhancing values and promote healthy choices through the
game of golf. The facility provides an opportunity for Central Arkansas’ young
people to learn the game of golf regardless of their socio-economic status.
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The Metro Little Rock Alliance (MLRA) is a twelve-county economic
development organization representing a population of a million people including
Little Rock. It was created to cultivate regional growth and prosperity throughout
the area. The MLRA markets Little Rock and the region’s strengths and
advantages to prospective companies and the site location consultants for the
purpose of attracting investment and creating jobs.
Little Rock City Beautiful Commission promotes public interest in the general
improvement of the appearance of the City of Little Rock; and establishes,
subject to the Little Rock City Board of Directors approval, regulations of
aesthetic quality for public and private lands and improvements.
2013 2014 2015
Budget Budget Budget
Central Arkansas Transit $8,208,468 $8,534,663 $8,686,869
County Regional Detention Center 1,050,000 1,050,000 1,063,313 (1)
Arkansas Arts Center 400,000 400,000 550,000 (2)
Museum of Discovery 200,000 200,000 200,000
Chamber of Commerce 200,000 200,000 200,000
Metroplan 178,042 178,042 178,042
Downtown Partnership 160,000 160,000 175,000
PAGIS 136,300 135,800 135,800
Metro Little Rock Alliance 100,000 100,000 100,000
First Tee 91,500 91,500 191,500
County Bond Payment 56,100 56,100 56,100
St. Vincent 25,381 25,381 25,381
LR City Beautiful Commission 2,500 2,500 2,500
Total $10,808,291 $11,133,986 $11,564,505
(2) The increase is primarily for building maintenance.
APPROPRIATIONS FOR OTHER AGENCIES
(2) The increase for the Pulaski County Jail support in combination with funds
available from the local jail fine special project in the amount of $791,263 will bring
total Pulaski County Jail support to $1,854,576. This represents a 5% increase
over last year.
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Budget Summaries
City of Little Rock, Arkansas
Operating Budget 2015
BUDGET SUMMARIES
The following schedules summarize the audited 2013 operating results, the 2014
unaudited operating results, and the approved 2015 operating budget. The
summaries are organized by fund type in a manner that is consistent with the
fund organization in the City’ audited Comprehensive Annual Financial Report.
The first summary is a recap of the entire six (6) fund types included in this
section. Each of the fund types is summarized and individual fund budget
schedules follow the summaries. The amounts reflected in this section are
accumulated as follows: individual fund totals are included in the fund type
summary; then the fund type summary totals are included in the recap of all fund
types.
The City is required by state statue to budget for the administration, operation,
maintenance and improvements of various City operations. The budget is
designed to demonstrate compliance with legal requirements. Other funds
submitted are for informational purposes only.
The Cities operating budget includes the following funds:
General;
Street;
Fleet Services;
Vehicle Storage Facility;
Waste Disposal;
Parking Garages;
The six types of funds included in the budget summaries are:
General;
Special Revenue;
Capital;
Proprietary;
Fiduciary; and
Debt Service.
For more information regarding these funds, see the section entitled FINANCIAL
STRUCTURE.
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Enterprise Fleet
General Street Funds Services Total
Revenues
General Property Taxes $27,276,348 $5,489,300 $0 $32,765,648
Sales Taxes 96,684,815 0 96,684,815
License and Permits 11,026,550 289,900 11,316,450
Intergovernmental 7,002,433 12,672,900 0 19,675,333
Charge for Service 11,332,650 14,700 20,805,010 13,345,076 45,497,436
Fines and Fees 3,161,210 0 3,161,210
Utility Franchise Fees 28,744,707 0 28,744,707
Investment Income 200,000 38,600 57,800 296,400
Miscellaneous 766,826 120,000 3,450 890,276
Transfers In 7,994,672 1,714,726 0 9,709,398
Carryover 550,000 550,000
Total Revenues 194,740,211 20,050,226 21,156,160 13,345,076 249,291,673
Expenditures
Personnel 139,939,883 10,291,815 6,000,832 3,693,450 159,925,980
Supplies and Material 6,338,170 1,188,902 1,715,747 6,640,515 15,883,334
Repairs and Maintenance 7,093,723 2,826,578 3,242,297 254,450 13,417,048
Contractual 21,789,639 2,931,714 5,182,553 2,549,210 32,453,116
Closure/Post Closure 247,945 247,945
Capital Outlay 370,000 2,342,000 156,650 2,868,650
Depreciation and Amortization 1,735,400 1,735,400
Debt Service 7,714,717 742,501 8,457,218
Transfers Out 11,494,079 469,217 1,816,098 13,779,394
Total Expenditures 194,740,211 20,050,226 20,683,373 13,294,275 248,768,085
Net Change in Fund Balance 00472,787 50,801 523,588
Fund Balances - Beginning 19,598,183 5,846,782 18,498,758 2,488,051 $46,431,774
Fund Balances - Ending $19,598,183 $5,846,782 $18,971,545 $2,538,852 $46,955,362
2015 Operating Funds Budget Summaries
This presentation includes restricted reserves of $9,418,000 in the General Fund.
$0
$20,000,000
$40,000,000
$60,000,000
$80,000,000
$100,000,000
$120,000,000
$140,000,000
$160,000,000
$180,000,000
$200,000,000
General
Fund
Street Fund Enterprise
Funds
Fleet
Services
Fund
Revenues
Expenditures
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Police
$68,885,072
35.37%
All Other
$31,007,791
15.92%
Property
Taxes
$27,276,348
14.01%
Utility
Franchises
$28,744,707
14.76%
Sales Taxes
$96,684,815
49.65%
Transfers
$11,494,079
5.90%
General
Government
$28,062,042
14.41%
Fire
$46,232,253
23.74%
Uses of Funds
for 2015
Sources of Funds
for 2015
FY 2015 GENERAL FUND
Parks &
Recreation
$9,958,932
5.11%
All Other
$23,374,106
12.00%
Zoo
$6,733,727
3.46%
Licenses &
Permits
$11,026,550
5.66%
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INTERNAL DEBT
GENERAL SPECIAL CAPITAL ENTERPRISE SERVICE FIDUCIARY SERVICE
FUNDS REVENUES PROJECTS FUNDS FUND FUNDS FUNDS
2013
REVENUES: 205,452,403$ 34,605,044$ 86,095,605$ 22,060,409$ 12,703,594$ 36,606,098$ 21,056,314$
EXPENDITURES: 196,418,193 33,070,540 34,096,934 20,055,950 12,683,067 72,585,422 21,470,895
REVENUES OVER (UNDER)
EXPENDITURES 9,034,210 1,534,504 51,998,671 2,004,459 20,527 (35,979,325) (414,581)
BEGINNING FUND BAL. 26,490,499 9,817,809 47,046,723 16,559,535 2,582,681 177,820,596 20,581,721
ENDING FUND BAL. 35,524,709$ 11,352,313$ 99,045,394$ 18,563,994$ 2,603,208$ 141,841,271$ 20,167,141$
2014
REVENUES: 200,739,516$ 31,175,903$ 24,351,705$ 21,136,007$ 13,144,531$ 40,911,159$ 21,546,086$
EXPENDITURES: 202,038,716 32,561,444 42,718,590 21,201,243 13,259,688 36,889,277 20,805,368
REVENUES OVER (UNDER)
EXPENDITURES (1,299,199) (1,385,541) (18,366,884) (65,236) (115,157) 4,021,882 740,717
BEGINNING FUND BAL. 35,524,709 11,352,313 99,045,395 18,563,994 2,603,208 141,841,271 20,167,141
ENDING FUND BAL. 34,225,509$ 9,966,772$ 80,678,511$ 18,498,758$ 2,488,051$ 145,863,153$ 20,907,858$
2015
REVENUES: 194,740,211$ 20,050,226$ -$ 21,156,160$ 13,345,076$ -$ -$
EXPENDITURES: 194,740,211
20,050,226 - 20,683,373 13,294,275 - -
REVENUES OVER (UNDER)
EXPENDITURES - - - 472,787 50,801 - -
BEGINNING FUND BAL. 34,225,509 9,966,772 80,678,511 18,498,758 2,488,051 145,863,153 20,907,858
ENDING FUND BAL. 34,225,509$ 9,966,772$ 80,678,511$ 18,971,545$ 2,538,852$ 145,863,153$ 20,907,858$
CITY OF LITTLE ROCK
BUDGET SUMMARY BY FUND TYPE
FOR YEARS 2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
GENERAL FUND
REVENUES: 185,532,008$ 189,866,530$ 194,740,211$
EXPENDITURES: 184,308,030 189,866,530 194,740,211
REVENUES OVER (UNDER)
EXPENDITURES 1,223,978 - -
BEGINNING FUND BALANCE 18,374,205 19,598,183 19,598,183
ENDING FUND BALANCE 19,598,183$ 19,598,183$ 19,598,183$
SPECIAL PROJECTS & SEIZED MONEY FUND
REVENUES: 19,920,395$ 10,872,986$ -$
EXPENDITURES: 12,110,163 12,172,186 -
REVENUES OVER (UNDER)
EXPENDITURES 7,810,232 (1,299,199) -
BEGINNING FUND BALANCE 8,116,293 15,926,526 14,627,326
ENDING FUND BALANCE 15,926,526$ 14,627,326$ 14,627,326$
TOTAL BEGINNING FUND BALANCE 26,490,499$ 35,524,709$ 34,225,509$
TOTAL REVENUES 205,452,403 200,739,516 194,740,211
TOTAL EXPENDITURES 196,418,193 202,038,716 194,740,211
TOTAL ENDING FUND BALANCE 35,524,709$ 34,225,509$ 34,225,509$
The City of Little Rock utilizes a program budget for public information purposes and for Mayor &
Board consideration. Line item information is principally used for budgetary management and control
purposes.
GENERAL GOVERNMENT SUMMARY
OPERATING BUDGET
2013 - 2015
The sources of operating revenue and the trends affecting them are discussed in the section of the
budget titled REVENUES. The details of the operating budget by department and by service
program are contained in the section of the budget titled EXPENDITURES. The transfers out
primarily consist of appropriations for special projects and appropriations for the FUTURE Little
Rock and new sales tax initiatives.
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
STREET
REVENUES: 17,582,631$ 19,363,696$ 20,050,226$
EXPENDITURES: 15,336,023 19,363,696 20,050,226
REVENUES OVER (UNDER)
EXPENDITURES 2,246,607 - -
BEGINNING FUND BALANCE 3,600,174 5,846,782 5,846,782
ENDING FUND BALANCE 5,846,782$ 5,846,782$ 5,846,782$
SPECIAL PROJECT - STREET
REVENUES: 608$ 914,044$ -$
EXPENDITURES: 31,955 671,532 -
REVENUES OVER (UNDER)
EXPENDITURES (31,347) 242,512 -
BEGINNING FUND BALANCE 172,984 141,636 384,148
ENDING FUND BALANCE 141,636$ 384,148$ 384,148$
SPECIAL PROJECTS
REVENUES: 5,193,892$ 3,963,517$ -$
EXPENDITURES: 7,183,131 4,308,684 -
REVENUES OVER (UNDER)
EXPENDITURES (1,989,239) (345,167) -
BEGINNING FUND BALANCE 4,506,305 2,517,066 2,171,899
ENDING FUND BALANCE 2,517,066$ 2,171,89
9
$ 2,171,89
9
$
SPECIAL REVENUE FUND
S
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
SPECIAL REVENUE FUND
S
OPERATING BUDGET
2013 - 2015
INFRASTRUCTURE
REVENUES: 48$ 1,002$ -$
EXPENDITURES: 42,912 1,002 -
REVENUES OVER (UNDER)
EXPENDITURES (42,863) - -
BEGINNING FUND BALANCE 42,863 -
ENDING FUND BALANCE (0)$ -$ -$
EMERGENCY 911
REVENUES: 1,346,610$ 1,306,869$ -$
EXPENDITURES: 1,264,798 1,306,869 -
REVENUES OVER (UNDER)
EXPENDITURES 81,811 - -
BEGINNING FUND BALANCE 2,823 84,634 84,634
ENDING FUND BALANCE 84,634$ 84,634$ 84,634$
GRANTS
REVENUES: 7,638,665$ 3,611,890$ -$
EXPENDITURES: 6,607,395 3,887,473 -
REVENUES OVER (UNDER)
EXPENDITURES 1,031,270 (275,583) -
BEGINNING FUND BALANCE (2,397) 1,028,873 753,290
ENDING FUND BALANCE 1,028,873$ 753,290$ 753,290$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
SPECIAL REVENUE FUND
S
OPERATING BUDGET
2013 - 2015
CDBG/HIPP/NHSP
REVENUES: 2,842,591$ 2,014,885$ -$
EXPENDITURES: 2,604,326 3,022,188 -
REVENUES OVER (UNDER)
EXPENDITURES 238,265 (1,007,303) -
BEGINNING FUND BALANCE 1,495,057 1,733,322 726,019
ENDING FUND BALANCE 1,733,322$ 726,019$ 726,019$
TOTAL BEGINNING FUND BALANCE 9,817,809$ 11,352,31
3
$ 9,966,772$
TOTAL REVENUES 34,605,044 31,175,903 20,050,226
TOTAL EXPENDITURES 33,070,54
0
32,561,44
4
20,050,22
6
TOTAL ENDING FUND BALANCE 11,352,31
3
$ 9,966,772$ 9,966,772$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
1988 CAPITAL IMPROVEMENTS
REVENUES: 285$ -$ -$
EXPENDITURES: - - -
REVENUES OVER (UNDER)
EXPENDITURES 285 - -
BEGINNING FUND BALANCE (285) - -
ENDING FUND BALANCE -$ -$ -$
1998 CAPITAL IMPROVEMENTS
REVENUES: 428$ 5,234$ -$
EXPENDITURES: 344,667 75,632 -
REVENUES OVER (UNDER)
EXPENDITURES (344,240) (70,399) -
BEGINNING FUND BALANCE 728,818 384,578 314,180
ENDING FUND BALANCE 384,578$ 314,180$ 314,180$
2009A PARKS AND RECREATIO
N
REVENUES: 54$ 29$ -$
EXPENDITURES: 71,431 479,663
REVENUES OVER (UNDER)
EXPENDITURES (71,377) (479,634) -
BEGINNING FUND BALANCE 551,011 479,634 (0)
ENDING FUND BALANCE 479,634$ (0)$ (0)$
CAPITAL FUND
S
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
CAPITAL FUND
S
OPERATING BUDGET
2013 - 2015
SHORT TERM FINANCING
REVENUES: 301,809$ 1,548$ -$
EXPENDITURES: 468,051 96,268 -
REVENUES OVER (UNDER)
EXPENDITURES (166,242) (94,720) -
BEGINNING FUND BALANCE 288,217 121,975 27,255
ENDING FUND BALANCE 121,975$ 27,255$ 27,255$
2004 CAPITAL IMPROVEMENTS
REVENUES: 1$ 100$ -$
EXPENDITURES: 3,636 -
REVENUES OVER (UNDER)
EXPENDITURES (3,635) 100 -
BEGINNING FUND BALANCE 10,323 6,689 6,789
ENDING FUND BALANCE 6,689$ 6,789$ 6,789$
2008 & 2009 LIBRARY IMPROVEMENT BOND
REVENUES: 11$ 1$ -$
EXPENDITURES: 3,137 - -
REVENUES OVER (UNDER)
EXPENDITURES (3,126) 1 -
BEGINNING FUND BALANCE 3,326 201 202
ENDING FUND BALANCE 201$ 202$ 202$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
CAPITAL FUND
S
OPERATING BUDGET
2013 - 2015
2012 LIBRARY IMPROVEMENT BOND
REVENUES: 14,906$ 19,636$ -$
EXPENDITURES: 11,357,071 6,500,416 -
REVENUES OVER (UNDER)
EXPENDITURES (11,342,165) (6,480,780) -
BEGINNING FUND BALANCE 23,019,916 11,677,751 5,196,971
ENDING FUND BALANCE 11,677,751$ 5,196,971$ 5,196,971$
2012-2021 CAPITAL IMPROVEMENTS FUND (3/8 CENT SALES TAX
)
REVENUES: 25,219,666$ 24,128,647$
EXPENDITURES: 17,611,223 26,158,434 -
REVENUES OVER (UNDER)
EXPENDITURES 7,608,443 (2,029,787) -
BEGINNING FUND BALANCE 22,445,397 30,053,840 28,024,053
ENDING FUND BALANCE 30,053,840$ 28,024,053$ 28,024,053$
2013 CAPITAL IMPROVEMENT FUND (STREETS AND DRAINAGE
)
REVENUES: 60,558,445$ 196,511$
EXPENDITURES: 4,237,718 9,408,176 -
REVENUES OVER (UNDER)
EXPENDITURES 56,320,727 (9,211,665) -
BEGINNING FUND BALANCE - 56,320,727 47,109,062
ENDING FUND BALANCE 56,320,727$ 47,109,062$ 47,109,062$
TOTAL CAPITAL BEGINNING BALANC
E
47,046,723$ 99,045,395$ 80,678,511$
TOTAL REVENUES 86,095,605 24,351,705 -
TOTAL EXPENDITURE
S
34,096,934 42,718,590 -
TOTAL CAPITAL ENDING FUND BALANC
E
99,045,394$ 80,678,511$ 80,678,511$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
V
EHICLE STORAGE FACILITY
REVENUES: 1,362,661$ 1,348,840$ 1,382,410$
EXPENDITURES: 1,333,661 1,321,150 1,359,144
REVENUES OVER (UNDER)
EXPENDITURES 29,001 27,690 23,266
BEGINNING NET POSITION (714,450) (685,450) (657,760)
ENDING NET POSITION (685,450
)
$ (657,760
)
$ (634,494
)
$
WASTE DISPOSAL
REVENUES: 18,561,027$ 17,563,000$ 17,577,000$
EXPENDITURES: 16,617,509 17,655,926 17,127,479
REVENUES OVER (UNDER)
NET INCOME (LOSS) 1,943,518 (92,926) 449,521
BEGINNING NET POSITION 16,836,423 18,779,941 18,687,015
ENDING NET POSITION 18,779,941$ 18,687,01
5
$ 19,136,53
6
$
PARKING GARAGE
S
REVENUES: 2,136,721$ 2,224,167$ 2,196,750$
EXPENDITURES: 2,104,780 2,224,167 2,196,750
REVENUES OVER (UNDER)
NET INCOME (LOSS) 31,940 - -
BEGINNING NET POSITION 437,562 469,502 469,502
ENDING NET POSITION 469,502$ 469,502$ 469,502$
ENTERPRISE FUNDS
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
ENTERPRISE FUNDS
OPERATING BUDGET
2013 - 2015
TOTAL ENTERPRISE BEGINNING NET POSITION 16,559,53
5
$ 18,563,99
4
$ 18,498,75
8
$
TOTAL REVENUES 22,060,40
9
21,136,00
7
21,156,16
0
TOTAL EXPENDITURES 20,055,95
0
21,201,24
3
20,683,37
3
TOTAL ENTERPRISE ENDING NET POSITION 18,563,99
4
$ 18,498,75
8
$ 18,971,54
5
$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
FLEET INTERNAL SERVICE FUND
REVENUES: 12,703,594$ 13,144,531$ 13,345,076$
EXPENDITURES: 12,683,067 13,259,688 13,294,275
REVENUES OVER (UNDER)
EXPENDITURES 20,527 (115,157) 50,801
BEGINNING NET POSITION 2,582,681 2,603,208 2,488,051
ENDING NET POSITION 2,603,20
8
$ 2,488,051$ 2,538,852$
FLEET INTERNAL SERVICE FUND
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
+
POLICE PENSION & RELIEF FUND
ADDITIONS: 7,305,604$ -$
DEDUCTIONS: 54,890,497 -
NET INCREASE (DECREASE) (47,584,893) - -
NET POSITION HELD IN TRUST, BEGINNING 47,584,893 (0) (0)
NET POSITION HELD IN TRUST, ENDING (0)$ (0)$ (0)$
Administration of the Police Pension & Relief Fund was transferred to LOPFI at the end of 2013.
FIRE PENSION & RELIEF FUND
ADDITIONS: 13,768,307$ 8,600,144$ -$
DEDUCTIONS: 11,176,236 11,419,280 -
NET INCREASE (DECREASE) 2,592,071 (2,819,136) -
NET POSITION HELD IN TRUST, BEGINNING 71,075,478 73,667,549 70,848,413
NET POSITION HELD IN TRUST, ENDING 73,667,549$ 70,848,413$ 70,848,413$
NON-UNIFORM DEFINED BENEFIT FUND
ADDITIONS: 3,633,030$ 2,310,897$ -$
DEDUCTIONS: 1,769,238 1,952,792 -
NET INCREASE (DECREASE) 1,863,792 358,105 -
NET POSITION HELD IN TRUST, BEGINNING 9,990,163 11,853,955 12,212,060
NET POSITION HELD IN TRUST, ENDING 11,853,955$ 12,212,060$ 12,212,060$
FIDUCIARY FUNDS
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
FIDUCIARY FUNDS
OPERATING BUDGET
2013 - 2015
NON-UNIFORM DEFINED CONTRIBUTION
ADDITIONS: 8,746,491$ (2,475,931)$ -$
DEDUCTIONS: 3,720,032 19,635,588 -
NET INCREASE (DECREASE) 5,026,460 (22,111,519) -
NET POSITION HELD IN TRUST, BEGINNING 38,656,708 43,683,168 21,571,649
NET POSITION HELD IN TRUST, ENDING 43,683,168$ 21,571,649$ 21,571,649$
2014 NON-UNIFORM DEFINED BENEFIT FUND
ADDITIONS: 31,103,085$ -$
DEDUCTIONS: 294,158 -
NET INCREASE (DECREASE) - 30,808,927 -
NET POSITION HELD IN TRUST, BEGINNING - - 30,808,927
NET POSITION HELD IN TRUST, ENDING -$ 30,808,927$ 30,808,927$
401 (A) PENSION FUND
ADDITIONS: 2,791,794$ 1,059,146$ -$
DEDUCTIONS: 1,010,136 3,566,368 -
NET INCREASE (DECREASE) 1,781,659 (2,507,222) -
NET POSITION HELD IN TRUST, BEGINNING 8,758,230 10,539,889 8,032,667
NET POSITION HELD IN TRUST, ENDING 10,539,889$ 8,032,667$ 8,032,667$
The City implemented a new defined benefit plan for non-uniform employees in 2014. Participants were
allowed to utilize funds from the defined contribution plan to purchase years of service in the new defined
benefit plan.
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
FIDUCIARY FUNDS
OPERATING BUDGET
2013 - 2015
HEALTH MANAGEMENT TRUST FUND
ADDITIONS: 360,871$ 313,818$ -$
DEDUCTIONS: 19,284 21,091 -
NET INCREASE (DECREASE) 341,587 292,727 -
NET POSITION HELD IN TRUST, BEGINNING 1,755,124 2,096,711 2,389,438
NET POSITION HELD IN TRUST, ENDING 2,096,711$ 2,389,438$ 2,389,438$
TOTAL NET POSITION BEGINNING 177,820,596$ 141,841,271$ 145,863,153$
TOTAL ADDITIONS 36,606,098 40,911,159 -
TOTAL DEDUCTIONS 72,585,422 36,889,277 -
TOTAL NET POSITION ENDING 141,841,271$ 145,863,153$ 145,863,153$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
2002 CIP JUNIOR LIEN BONDS
REVENUE: 318,556$ 319,963$ -$
EXPENDITURES: 320,298 319,755 -
NET INCREASE (DECREASE) (1,742) 208 -
BEGINNING FUND BALANCE 19,831 18,089 18,297
ENDING FUND BALANCE 18,089$ 18,297$ 18,297$
2004 IMPROVEMENT BONDS DEBT SERVICE
REVENUE: 1,665$ -$ -$
EXPENDITURES: 12,140,829 - -
NET INCREASE (DECREASE) (12,139,164) - -
BEGINNING FUND BALANCE 12,139,164 -
ENDING FUND BALANCE (0)$ -$ -$
2007 CAPITAL IMP. REVENUE REFUNDING BOND
REVENUE: 1,436,390$ 1,447,667$ -$
EXPENDITURES: 1,436,300 1,441,088 -
NET INCREASE (DECREASE) 90 6,579 -
BEGINNING FUND BALANCE 19,646 19,736 26,315
ENDING FUND BALANCE 19,736$ 26,315$ 26,315$
DEBT SERVICE FUNDS
OPERATING BUDGET
2013 - 2015
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
DEBT SERVICE FUNDS
OPERATING BUDGET
2013 - 2015
2008 LIBRARY IMPROVEMENT BOND
REVENUE: 3,595,478$ 3,746,758$ -$
EXPENDITURES: 3,912,055 3,735,180 -
NET INCREASE (DECREASE) (316,576) 11,578 -
BEGINNING FUND BALANCE 4,192,578 3,876,002 3,887,580
ENDING FUND BALANCE 3,876,002$ 3,887,580$ 3,887,580$
2009 PARKS & REC CAPITAL IMPROVEMENT BOND
REVENUE: 1,307,128$ 1,363,122$ -$
EXPENDITURES: 1,307,778 1,306,911 -
NET INCREASE (DECREASE) (649) 56,211 -
BEGINNING FUND BALANCE 2,121,671 2,121,021 2,177,232
ENDING FUND BALANCE 2,121,021$ 2,177,232$ 2,177,232$
2012 LIBRARY IMPROVEMENT BONDS
REVENUE: 3,498,679$ 3,418,732$ -$
EXPENDITURES: 2,042,898 3,441,205 -
NET INCREASE (DECREASE) 1,455,781 (22,473) -
BEGINNING FUND BALANCE 2,088,831 3,544,612 3,522,139
ENDING FUND BALANCE 3,544,612$ 3,522,139$ 3,522,139$
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ADOPTED
ACTUAL AMENDED BUDGET
2013 2014 2015
DEBT SERVICE FUNDS
OPERATING BUDGET
2013 - 2015
2013 CAPITAL IMPROVEMENT BONDS
REVENUE: 10,898,418$ 11,249,844$ -$
EXPENDITURES: 310,738 10,561,230 -
NET INCREASE (DECREASE) 10,587,680 688,614 -
BEGINNING FUND BALANCE - 10,587,680 11,276,294
ENDING FUND BALANCE 10,587,680$ 11,276,294$ 11,276,294$
TOTAL BEGINNING FUND BALANCE 20,581,721$ 20,167,141$ 20,907,858$
TOTAL REVENUES 21,056,314 21,546,086 -
TOTAL EXPENDITURES 21,470,895 20,805,368 -
TOTAL ENDING FUND BALANCE 20,167,140$ 20,907,858$ 20,907,858$
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City of Little Rock, Arkansas 2015 Operating Budget
2015 Five Year Forecast
Little Rock Code Section 2-214 requires the Board of Directors to adopt an
annual budget on or before December 30 of each year. A budget is balanced
when appropriated expenses do not exceed the sum of estimated net revenues
and available fund balances. The proposed 2015 budgets are balanced and
fiscally responsible.
All fund designations and reserves are evaluated annually for long-term
adequacy and use requirements in conjunction with development of the City’s
five-year financial plan. A 10% reserve requirement is utilized for planning
purposes for all funds with the exception of the Solid Waste Fund, which has a
15% unrestricted retained earnings reserve requirement. In addition, each
annual operating budget will include a contingency appropriation in the general
fund sufficient to provide for unforeseen needs of an emergency nature for that
year. The desired level of the contingency appropriation each year shall be
based on the average of the three prior years’ experience levels but no less than
0.5% of General Fund revenue for the current fiscal year. The contingency
appropriation in the 2015 General Fund budget is $1,000,000 or approximately
0.51% of estimated revenue, including transfers in.
Per the City’s financial policy, the goal was to set aside $10,000,000 or 10% of
General Fund revenues, whichever is greater, into a restricted reserve fund on or
before December 31, 2005. However, due to economic conditions in the past
several years, the City has not met this goal. The restricted reserve is currently
$9,418,000. Contingency appropriations, which are not utilized during the fiscal
year to meet unforeseen needs, will be added to the restricted reserve until the
desired level is achieved. While, the City has not been able to increase the
reserve to the desired level, the City has not drawn from the restricted reserve to
balance the budget. The City anticipates an addition to the restricted reserve in
2015. The City Board of Directors will evaluate funds available following
completion of the 2015 annual audit to determine the amount of the addition.
Citizen demand for services has outpaced revenue growth in the last few years.
The citizens of Little Rock approved a one (1)-cent sales tax on September 13,
2011 to allow the City to fill critical positions that have remained vacant for many
years and to provide the City the opportunity to move forward with much needed
programs and capital projects. All of the services and projects funded by the tax
increase support the City goals and objectives centered on public safety,
economic development, basic City services, infrastructure, and quality of life.
The tax increase, which went into effect January 1, 2012, includes a permanent
5/8-cent operations tax and a 3/8-cent ten (10)-year capital tax, that will provide
additional Police Officers, more Code Enforcement Officers, new Fire and Police
facilities and a new emergency communications system. The capital projects
supported by the new 3/8-cent tax are highlighted in the Capital Improvements
section of the Budget Document. The ongoing operating expenses associated
with the capital projects are supported by the 5/8-cent portion of the new sales
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City of Little Rock, Arkansas 2015 Operating Budget
tax. These expenses are phased into the five year forecast based on the
anticipated completion schedule of the capital projects. Consistent with the first
“must do” goal of the Mayor and Board of Directors, the City plans to complete
the majority of the public safety projects funded by the 3/8-cent ten (10)-year
capital tax in the first five (5) years. In addition, emphasis is placed on
completing infrastructure projects in each of the City’s seven (7) Wards, utilizing
citizen input through community meetings to determine projects that will be
completed in three (3)-year cycles.
The City has taken steps to plan for the future with the five-year forecast based
on the estimated revenues and operating expenditures for 2015 – 2019. The
forecast for 2015 – 2019 is a planning tool used for the projections. The Mayor
and Board of Directors have only approved the 2015 budget. However, the
Board is committed to providing financial stability in order to maintain critical
programs.
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FY15 FY16 FY17 FY18 FY19
Adopted
Projected Projected Projected Projected
General Fund
Beginning Fund Balance $19,598,183 $20,598,183 $21,598,183 $22,618,183 $23,648,183
Plus: Est. Revenue 194,740,211 199,416,448 203,240,733 204,282,545 207,703,168
Less: Est. Expenses
General Administrative 28,062,042 28,469,469 27,916,185 24,468,912 23,394,193
Board of Directors 342,027 348,868 355,845 362,962 372,036
Community Programs 423,578 432,050 440,691 449,504 460,742
City Attorney 1,836,901 1,873,639 1,911,112 1,949,334 1,998,067
District Court - First Division 1,405,790 1,433,906 1,462,584 1,491,836 1,529,131
District Court - Second Division 1,248,245 1,273,210 1,298,674 1,324,648 1,357,764
District Court - Third Division 626,782 639,318 652,104 665,146 681,775
Finance 3,204,124 3,268,206 3,333,571 3,400,242 3,485,248
Human Resources 1,673,177 1,706,641 1,740,773 1,775,589 1,819,979
Information Technology 4,679,784 4,773,380 4,868,847 4,966,224 5,090,380
Planning and Development 2,564,192 2,615,476 2,667,785 2,721,141 2,789,170
Housing & Neighborhood Programs 5,790,389 5,916,197 6,034,521 6,155,211 6,309,091
Public Works 1,159,922 1,183,120 1,206,783 1,230,919 1,261,691
Parks & Recreation*** 9,958,932 10,521,431 10,731,859 10,946,496 11,220,159
River Market 1,209,164 1,233,347 1,258,014 1,283,175 1,315,254
Golf 2,308,904 2,355,082 2,402,184 2,450,227 2,511,483
Jim Dailey Fitness & Aquatics 901,127 919,150 937,533 956,283 980,190
Zoo 6,733,727 6,868,402 7,005,770 7,145,885 7,324,532
Fire ** 46,232,253 47,388,059 49,174,450 50,403,811 51,663,906
Police 68,885,072 70,473,539 71,883,010 73,937,392 75,742,314
Vacancy Reductions (6,000,000) (6,000,000) (6,000,000) (6,000,000) (6,000,000)
Transfers Out (including contingency) 11,494,079 11,723,961 11,958,440 12,197,609 12,396,062
194,740,211 199,416,448 203,240,733 204,282,546 207,703,168
Anticipated contingency/reserve 1,000,000 1,000,000 1,020,000 1,030,000 1,040,000
Ending Fund Balance * $20,598,183 $21,598,183 $22,618,183 $23,648,183 $24,688,183
Reserve Requirement
(10% of Revenues) $19,474,021 $19,941,645 $20,324,073 $20,428,255 $20,770,317
* 2015 Ending Fund Balance includes an estimated restricted reserve of $10,500,000.
** Includes the addition of 12 fire fighters in 2017 with the opening of the Southwest Little Rock Fire Station which is
scheduled for completion in 2016.
***Includes the addition of the West Central Community Center personnel and operations.
Street Fund
Beginning Balance $5,846,782 $5,846,782 $5,846,782 $5,846,782 $5,846,782
Plus: Est. Revenue 20,050,226 20,451,231 20,860,255 21,277,460 21,809,397
Less: Est. Expenses 20,050,226 20,451,231 20,860,255 21,277,460 21,809,397
Ending Balance $5,846,782 $5,846,782 $5,846,782 $5,846,782 $5,846,782
Reserve Requirement
(10% of revenue) $2,005,023 $2,045,123 $2,086,026 $2,127,746 $2,180,940
2015 - 2019 FORECAST
CITY OF LITTLE ROC
K
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FY15 FY16 FY17 FY18 FY19
Adopted
Projected Projected Projected Projected
2015 - 2019 FORECAST
CITY OF LITTLE ROC
K
Fleet Fund
Beginning Net Position $2,488,051 $2,538,852 $2,590,669 $2,643,522 $2,697,433
Plus: Est. Revenue 13,345,076 13,611,978 13,884,217 14,161,901 14,515,949
Less: Est. Expenses 13,294,275 13,560,161 13,831,364 14,107,991 14,460,691
Ending Net Position $2,538,852 $2,590,669 $2,643,522 $2,697,433 $2,752,691
Reserve Requirement
(10% of revenues) $1,334,508 $1,361,198 $1,388,422 $1,416,190 $1,451,595
Vehicle Storage Facility
Beginning Net Position ($657,760) ($634,494) ($610,763) ($586,557) ($561,867)
Plus: Est. Revenue 1,382,410 1,410,058 1,438,259 1,467,025 1,503,700
Less: Est. Expenses 1,359,144 1,386,327 1,414,053 1,442,334 1,478,393
Ending Net Position ($634,494) ($610,763) ($586,557) ($561,867) ($536,559)
Reserve Requirement
(10% of revenues) $138,241 $141,006 $143,826 $146,702 $150,370
Waste Disposal Fund
Beginning Net Position $18,687,015 $19,136,536 $18,952,048 $19,292,605 $19,292,186
Plus: Est. Revenue 17,577,000 17,577,036 17,645,334 17,714,278 17,767,421
Less: Est. Expenses 17,127,479 17,761,524 17,304,777 17,714,697 17,891,844
Ending Net Position $19,136,536 $18,952,048 $19,292,605 $19,292,186 $19,167,763
Reserve Requirement
(15% of revenues) $2,636,550 $2,636,555 $2,646,800 $2,657,142 $2,665,113
Parking Garages
Beginning Net Position $469,502 $469,502 $469,502 $469,502 $469,502
Plus: Est. Revenue 2,196,750 2,240,685 2,285,499 2,331,209 2,377,833
Less: Est. Expenses 2,196,750 2,240,685 2,285,499 2,331,209 2,377,833
Ending Net Position $469,502 $469,502 $469,502 $469,502 $469,502
A rate increase of $1.03 associated with recycling was implemented in 2013. No other rate increases are anticipated
during the five year forecast. Expenses reflect the reduction of debt service as bonds are retired and the capital
replacement needs.
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Revenues
CITY OF LITTLE ROCK
2015 BUDGET SUMMARY
ALL FUNDS RESOURCES
$249,291,673
Street
Fund
8.04%
Fleet
Services
5.35%
Waste
Disposal
7.05%
General
Fund
78.12%
Vehicle Storage
Facility
.55%
Parking
Garages
.88%
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2013 2014 2014 2015 14/15 %
REVENUES: ACTUAL ADOPTED AMENDED ADOPTED DIFF CHANGE
Property Taxes * $25,833,875 $26,548,180 $26,248,180 $27,276,348 $1,028,168 3.92%
Sales Tax 95,175,603 96,123,400 95,383,886 96,684,815 1,300,929 1.36%
Business Licenses 6,304,434 6,363,000 6,388,000 6,451,900 63,900 1.00%
Mixed Drinks 2,158,210 2,205,000 2,219,000 2,285,600 66,600 3.00%
Building, Related Permits 2,103,180 1,941,200 2,409,200 2,289,050 (120,150) -4.99%
Insurance Pension Turnback* 6,302,466 6,353,442 7,002,433 7,002,433 0 0.00%
Park Revenue 405,889 425,500 416,517 429,300 12,783 3.07%
River Market 547,110 607,000 607,000 607,000 0 0.00%
Golf 820,447 1,128,700 926,200 977,297 51,097 5.52%
Jim Dailey Fitness and Aquatic
Center
475,883 540,300 540,300 428,844 (111,456) -20.63%
Zoo 3,065,341 3,557,041 3,429,946 3,763,409 333,463 9.72%
Airport Reimbursement 3,145,985 3,194,900 3,152,200 3,183,700 31,500 1.00%
Salary Reimbursement 911 562,500 750,000 750,000 750,000 0 0.00%
Fines and Fees 3,232,544 3,199,875 3,009,875 3,161,210 151,335 5.03%
Utility Franchises 27,955,604 27,686,000 28,273,500 28,744,707 471,207 1.67%
Interest Earnings (58,336) 50,000 200,000 200,000 0 0.00%
All Other 2,089,972 1,810,100 1,873,550 1,959,926 86,376 4.61%
Transfers In 5,411,301 1,780,892 7,036,743 7,994,672 957,929 13.61%
Carryover 550,000 550,000 n/a
Total General Fund 185,532,008 184,264,530 189,866,530 194,740,211 4,873,681 2.57%
Other Budgeted Funds
Street 17,582,631 19,363,696 19,363,696 20,050,226 686,530 3.55%
Fleet Services 12,703,594 13,144,531 13,144,531 13,345,076 200,545 1.53%
Vehicle Storage Facility 1,362,661 1,348,840 1,348,840 1,382,410 33,570 2.49%
Waste Disposal 18,561,027 17,563,000 17,563,000 17,577,000 14,000 0.08%
Parking Garages 2,136,721 2,224,167 2,224,167 2,196,750 (27,417) -1.23%
Total Other Budgeted Funds 52,346,634 53,644,234 53,644,234 54,551,462 907,228 1.69%
Total All Budgeted Funds $237,878,642 $237,908,764 $243,510,764 $249,291,673 $5,780,909 2.43%
* Includes Property Tax and Pension Turnback funds associated with the Police and Fire Pension.
CITY OF LITTLE ROCK
2015 OPERATING REVENUES
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$0
$20,000,000
$40,000,000
$60,000,000
$80,000,000
$100,000,000
2013 2014 2015
Sales Taxes Utility Franchises
All Other Property Taxes
General Government
Summary of Revenues
2013-2015
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2013 2014 2015
ACTUAL ADOPTED ADOPTED
GENERAL FUND
PROPERTY TAX
Property Taxes 17,027,827$ 17,567,560$ 18,270,300$
Pension Property Taxes 1,067,074 7,510,200 1,125,900
Homestead Taxes 7,247,568 1,082,600 7,484,100
Act 9 Industry Payment 102,473 377,820 376,048
Property Taxes LR Port Authority 388,933 10,000 20,000
Total Property Taxes 25,833,875 26,548,180 27,276,348
SALES TAX
County Sales & Use Tax 39,419,294 39,999,500 40,045,900
City Sales Tax 52,596,028 53,177,100 53,896,600
State Tax Turnback 3,160,281 2,946,800 2,742,315
Total Sales Taxes 95,175,603 96,123,400 96,684,815
BUSINESS LICENSES
General Business Licenses 6,304,434 6,363,000 6,451,900
Mixed Drinks Licenses 2,158,210 2,205,000 2,285,600
Total Business Licenses 8,462,644 8,568,000 8,737,500
PERMITS
Building & Excavation Permits 1,182,954 1,080,000 1,287,500
Electrical Permits 304,254 285,000 318,300
Plumbing Permits 267,227 255,000 317,250
HVAC Permits 264,793 244,000 267,800
Wrecker Franchise 81,879 75,000 96,000
Burn Permits 2,073 2,200 2,200
Total Permits 2,103,180 1,941,200 2,289,050
INTERGOVERNMENTAL
Insurance Turnback 2,961,546 2,961,500 3,701,684
Police and Fire Pension Insurance Turnback 3,340,920 3,391,942 3,300,749
Total Intergovernmental 6,302,466 6,353,442 7,002,433
POLICE SERVICES
Police Report 438,083 450,000 394,000
False Alarm 17,160 20,000 100,000
Airport - Security Guards 1,908,192 1,907,400 1,926,500
Total Police Services 2,363,435 2,377,400 2,420,500
FIRE SERVICES
Airport-Fire Protection 1,237,793 1,287,500 1,257,200
Total Fire Services 1,237,793 1,287,500 1,257,200
PARK REVENUE
SWLR Community Complex 97,607 100,000
95,000
Athletics Fees
103,533 97,800 108,400
Pavilion Rental 48,298 47,000 56,400
Community Center & Miscellaneous Fees 97,002 124,100 119,700
Admissions Revenue 40,086 35,000 35,000
Miscellaneous Revenue 19,363 21,600 14,800
Total Park Revenue 405,889 425,500
429,300
CITY OF LITTLE ROCK
2015 OPERATING REVENUE
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2013 2014 2015
ACTUAL ADOPTED ADOPTED
CITY OF LITTLE ROCK
2015 OPERATING REVENUE
RIVER MARKET
Admissions Revenue 195,179 220,000 220,000
Space Rental 351,931 387,000 387,000
Total River Market Revenue 547,110 607,000 607,000
GOLF
Concessions Revenue 114,764 136,500 138,100
Green Fees 879,380 949,000 887,900
Equipment Rental 465,858 585,400 512,200
Merchandise Sales 17,373 94,400 95,000
Miscellaneous Revenue 19,452 24,200 4,900
Parks Contra Revenue (Debt Service) (676,380) (660,800) (660,803)
Total Golf Revenue 820,447 1,128,700 977,297
JIM DAILEY FITNESS & AQUATIC CENTER
Annual Membership 46,853 50,000 50,000
Monthly Membership 209,957 227,500 189,000
Daily Fees 91,123 106,000 82,100
Corporate Fees 211,479 229,000 190,400
Special Fees 5,302 6,100 4,800
Other 58,096 69,600 52,600
Miscellaneous 15,404 6,300 14,100
Parks Contra Revenue (Debt Svc) (162,331) (154,200) (154,156)
Total Jim Dailey Fitness & Aquatic Center 475,883 540,300 428,844
ZOO
Membership 418,932 440,000 510,000
Zoo Admissions 1,727,285 2,147,191 2,289,600
Concessions 519,948 580,000 564,600
Token Sales 185,163 146,150 213,200
Education 37,584 61,500 31,000
Special Events 280,626 200,000 195,700
Zoo Rentals 52,466 70,000 58,500
Merchandise Sales 330,309 370,000 368,200
Miscellaneous 27,078 35,300 25,700
Parks Contra Revenue (Debt Svc) (514,050) (493,100) (493,091)
Total Zoo Revenue 3,065,341 3,557,041 3,763,409
MISCELLANEOUS CHARGES FOR SERVICES
Crossing Guards-LRSD Reimbursement 630,159 572,200 699,100
911 Services Reimbursement 562,500 750,000 750,000
Total Miscellaneous Services 1,192,659
1,322,200 1,449,100
FINES
Fines - Traffic 1,952,687 1,870,000 1,870,000
Fines - Criminal - Other 345,890 350,000 334,000
Probation Assessments 46,185 40,000 54,000
Additional Court Cost 19,420 19,500 19,500
Theft Diversion Class 100 - -
Fines - Parking 299,139 335,000 300,000
Fines - Child Passenger Protection 4,051 4,300 4,300
Fines - Environmental 19,633 16,000 16,000
Fines - Animal 277,986 290,000 20,000
Fines - Other (23,934) 4,200 4,200
Drunk-O-Meter 3,934 4,000 4,000
Total Fines 2,945,091 2,933,000 2,626,000
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2013 2014 2015
ACTUAL ADOPTED ADOPTED
CITY OF LITTLE ROCK
2015 OPERATING REVENUE
FEES
Rezoning Fees 52,861 50,000 50,000
Act 9 Admin Fees 2,500 4,000 4,510
Incident Report Fees 1,510 - -
Civil Court Fees 73,663 70,000 74,000
Booking & Admin Fee -Pulaski County Jail 30 - -
Community Service Fees 27,445 26,200 25,000
Miscellaneous Service Fees 105,627 101,675 101,700
Mobile Home Registration Fees 23,596 15,000 30,000
Animal Services 221 - 250,000
Total Fees 287,453 266,875 535,210
UTILITY FRANCHISE
Entergy 13,151,262 12,482,000 13,194,900
S W Bell 800,269 710,000 683,200
Local Landline Franchise Fees 262,062 222,500 240,700
Long Dist. Franchise Fees 918,586 917,500 730,000
Centerpoint Energy 3,382,754 3,323,000 3,800,000
Central Ark Water 3,211,977 3,460,000 3,345,300
LR Waste Water 4,671,529 5,043,300 4,992,500
Fiber Optics 1,404,692 1,400,000 1,591,800
Cable TV 1,904,571 1,884,800 1,925,600
Franchise Fee Contra (1,752,098) (1,757,100) (1,759,293)
Total Utility Franchises 27,955,604 27,686,000 28,744,707
INVESTMENT INCOME
Interest Income (58,336) 50,000 200,000
Total Investment Income (58,336) 50,000 200,000
RENTS AND ROYALTIES
Tower Lease 258,020 258,000 257,196
Ground Leases 6,031 6,600 6,030
Amusement Park Leases 3,300 3,300 3,300
Total Rents and Royalties 267,351 267,900 266,526
MISCELLANEOUS INCOME
Security Deposit Rental Reimbursement - - -
Other Reimbursement (3,125) - -
Contributions/Donations
269,019 250,000 250,000
Miscellaneous Revenue 471,325 250,000 250,300
Total Miscellaneous Revenue 737,219 500,000 500,300
Transfers In 5,411,301 1,780,892 7,994,672
Carryover from 2014 550,000
TOTAL GENERAL FUND REVENUE 185,532,008 184,264,530 194,740,211
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2013 2014 2015
ACTUAL ADOPTED ADOPTED
CITY OF LITTLE ROCK
2015 OPERATING REVENUE
STREET FUND
ST Homestead Tax 309,482 302,000 319,100
1/2 County Road Tax 4,938,010 5,171,400 5,170,200
State Gas Tax Turnback 10,542,380 12,100,000 12,672,900
Street Repair Reimbursement 13,355 10,000 14,700
Insurance Reimbursement 149,300 50,000 120,000
Interest On Investments (8,922) 5,000 38,600
Transfer In 1,639,026 1,725,296 1,714,726
TOTAL STREET FUND 17,582,631 19,363,696 20,050,226
FLEET INTERNAL SERVICE FUND
Fleet Labor 2,609,630 2,843,569 2,845,262
Fuel Fees 3,426,805 3,671,802 3,550,170
Compresssed Natural Gas - - 168,920
Miscellaneous Sales 8,290 8,000 32,998
Motor Pool 10,142 8,932 8,932
Fleet Parts 3,315,656 3,372,450 3,378,090
Insurance 924,471 790,998 766,000
Fleet Management 730,356 1,138,780 1,153,623
Fleet Sublets 1,564,302 1,310,000 1,441,081
Interest on Investments 1,573 - -
Capital Contribution 112,369
TOTAL FLEET INTERNAL SERVICE FUND 12,703,594 13,144,531 13,345,076
VEHICLE STORAGE FACILITY
Licenses and Permits 11,745 21,240 16,300
Storage Fees 326,472 330,000 363,500
Wrecker Fees 413,965 420,000 426,610
Vehicle Auction Sale 345,945 448,000 446,400
Impound Administration 95,377 100,000
100,000
Vehicle Storage Miscellaneous 169,157 29,600 29,600
TOTAL VEHICLE STORAGE FACILITY 1,362,661 1,348,840 1,382,410
WASTE DISPOSAL ENTERPRISE FUND
Sanitation Fees 16,055,563 15,910,000 16,016,000
Landfill Fees 1,934,579 1,300,000 1,250,000
Methane Gas Revenue 174,379 135,000 95,000
Yard Waste 124,738 100,000 75,000
Compost Sale 113,321 100,000 80,000
Interest On Investments (27,144) 8,000 50,000
Miscellaneous Revenue 185,591 10,000 11,000
TOTAL WASTE DISPOSAL ENTERPRISE FUND 18,561,027 17,563,000 17,577,000
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2013 2014 2015
ACTUAL ADOPTED ADOPTED
CITY OF LITTLE ROCK
2015 OPERATING REVENUE
PARKING GARAGES
Business License - Auto/Truck 267,378 270,000 273,600
Street Repair Reimbursement 153,039 180,000 244,500
Parking Meters 486,584 500,000 394,400
Surface Lot Parking 82,771 93,117 93,000
Parking Deck Monthly 908,711 870,000 881,000
Parking Deck Daily 172,157 248,500 253,800
Parking Peabody 67,382 60,000 48,200
Interest on Investments (1,302) 2,100 7,800
Miscellaneous Income - 450 450
TOTAL PARKING GARAGES 2,136,721 2,224,167 2,196,750
GRAND TOTAL ALL FUNDS 237,878,642$ 237,908,764$ 249,291,673$
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City of Little Rock, Arkansas 2015 Operating Budget
%
REVENUES CHANGE
2011 Operating Revenues 150.5
2012 Operating Revenues 180.2 19.73%
2013 Operating Revenues 185.5 2.94%
2014 Operating Revenues 184.3 -0.65%
2015 Operating Revenues 194.7 5.64%
REVENUE TRENDS
OVERALL
The City’s General Fund revenues are primarily comprised of sales and use taxes,
property taxes, utility franchise fees, fines and fees and revenues from various
licenses and permits. The largest source of revenue in the City’s General Fund is
sales and use tax, which contributes approximately 50% to the 2015 budget. The
2015 operating budget includes an increase in sales tax of only 0.25% over 2014
actual tax collections because of better than expected tax collections in December.
In September 2011, voters approved an overall one (1)-cent sales tax increase,
with 5/8-cent dedicated for ongoing operating expenses and 3/8-cent dedicated to
capital projects over a ten (10) year period. The 2014 sales tax grew at a rate of
1.33% over 2013 actuals. Growth in monthly sales tax receipts compared to the
same period a year ago continued to be volatile throughout the year without any
definitive trends. Sales tax revenue for March, May and December sales grew at
a rate of over 6% in comparison to the same periods a year ago, while revenues
for January and April sales were more than 5% below the same period a year ago.
Consumer confidence appears to be on the rise, but sales taxes generated by retail
sales have remained relatively flat. The impact of increasing internet sales and
rebates of local sales tax on business, governmental, and non-profit purchases in
excess of $2,500 have stifled local tax growth. State statute restricts the level of
tax information available to municipalities which makes revenue forecasting very
difficult.
The 2015 budget includes the revenue and expense associated with separate
property tax millages and state turnback funds for the closed Police and Fire
Pension and Relief Funds. The revenue is passed through the General Fund and
contributed directly to the Police and Fire Pension Funds. In prior years, this
revenue has been reflected as a year-end adjustment and has not been included
in the annual budget. In 2015, the dedicated revenue of approximately $11.2
million is included in the General Fund budget. The projected change in operating
revenues is approximately 5.6% over the original 2014 operating budget and 2.6%
above the final amended 2014 budget.
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City of Little Rock, Arkansas 2015 Operating Budget
Property taxes comprise approximately 14% of 2015 General Fund budgeted
revenues. Assessments of real estate and personal property are levied in the
current year and collectible in the following year. Little Rock is in Pulaski County
which completed a real estate reappraisal in 2012. Historically, the reappraisal is
on a three (3) year cycle, however; the Arkansas State Assessment Coordination
Department altered the reappraisal to a five (5) year cycle with the next appraisal
scheduled to occur in 2017. Personal property is reappraised annually by May 31.
The original charge for 2014 property taxes to be collected in 2015 reflects a 3.43%
increase over 2014.
Utility franchise fees comprise approximately 14.8% of 2015 General Fund
budgeted revenues. 2014 utility franchise revenues were 0.66% above 2013.
Overall, 2015 utility franchise fees are projected to be 2.14% higher than 2014
actual revenues and 1.67% over the final amended 2014 budget. Weather plays
a significant role in the majority of the annual franchise fee revenues. The largest
percentage changes experienced in 2014 were associated with Fiber Optics, Local
Landline and Long Distance. Windstream and AT&T U–Verse contribute to Fiber
Optics revenues. Fiber Optics continues to be an increasing franchise fee with
increased revenue of 20.38% over prior year revenues. The trend towards
households with only wireless phones gains in popularity. Local landline and long
distance franchise fee revenues experienced double digit declines of over 12%
and 13%, respectively. Telecommunication revenues are expected to further
decrease as wireless communication continues to increase market share. The
largest dollar changes experienced in 2014 were associated with Entergy (electric
utility), CenterPoint Energy (gas utility), Wastewater, and Fiber Optics.
Temperatures never exceeded 100 degrees in 2014. Entergy usage declined by
0.58% and revenues decreased 3.43% or approximately $450,000 from 2013. The
decline in revenue was primarily associated with a reduction in rates due to the
expiration of the Federal Energy Regulatory Commission (FERC) rider associated
with the utility’s exit from a multi-state agreement in which it had operated for
decades to equalize rates among member states. The relatively harsh winter of
2013/2014 and an increase in gas rates resulted in a significant increase in natural
gas franchise fee revenues from 2014 levels. CenterPoint usage levels increased
6.23% with an increase to revenues of 10.56% and over $350,000. Wastewater
revenues increased $300,000 due to a 7% rate increase in 2014. Wastewater
Utility has no plans for a rate increase in 2015. Wastewater revenues are projected
to be in line with 2014 revenues. Central Arkansas Water and the Wastewater
utility have experienced significant reductions in water usage due to efficiencies in
technology, conservation efforts, and significant rainfall in the spring and summer.
Of the City’s utility providers, only Entergy is anticipated to have a rate increase in
2015. Entergy Arkansas has announced a 3.4% increase in rates to address a
recalculation of a payment that it made to its sister company. The recalculation
resulted from a $67.8 million shortfall that the new rate increase will address.
Licenses and permits comprise approximately 5.7% of 2015 General Fund
revenues. 2014 revenues from licenses and permits increased 4.8% over 2013
and are expected to remain flat in 2015. Business licenses and mixed drink
supplemental fees grew slightly at approximately 1%, but the majority of the
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City of Little Rock, Arkansas 2015 Operating Budget
increase for 2014 is associated with building and related permits. Building and
related permits increased approximately 20% or over $411,000 due to an increase
in commercial construction. Fines and fee revenues decreased approximately
7.9% compared to one year ago primarily from a decline of 10.5% in traffic fines
and a decline of 7.0% in parking fines. Some of the decline in parking fines was
associated with the closure of metered spaces due to the commercial construction
projects in the downtown area.
PROPERTY TAXES
In general, all real and personal property situated in the City is subjected to ad
valorem taxation with some exceptions, such as school property and libraries.
Residents, utilities, and businesses in Little Rock are assessed and levied property
taxes as follows:
Assessed value is an amount equal to twenty (20) percent of market value,
and the levied millage is applied against the assessed value to determine
the tax owed. With the passage of Amendment 79, the appraised value of
residential property is limited to a maximum increase of 5% annually,
regardless of the increase in market value of the property. A non-residential
property or an investment property is limited to an annual increase of 10%.
Any annual increase in the value of utility and carrier real property is limited
to 10% of the assessed value for the previous year.
Tax levies, expressed in terms of millage are passed by local governments
and certified to the County Tax Collector, who bills and collects the tax. One
mill equals $1 in tax per $1,000 in assessed value.
A Little Rock resident living in the Little Rock School District is charged a
millage rate of 70.10.
Taxes are remitted to the City monthly by the Pulaski County Treasurer as
payments are received throughout the year.
The City tax levies the past two years were as follows:
2013 Payable 2014 2014 Payable 2015
General Operation 5.00 5.00
Bond Retirement 3.00 3.00
Library System 5.20 5.20
Police & Firemen’s Pension 2.00 2.00
15.20 15.20
The General Assembly exercised its homestead exemption authority with the
passage of Act 1598 of 2001 (Amendment 79). A homestead is a property which
is an owner’s principal place of residence. Effective with the assessment year
2000 and thereafter, the amount of real property taxes assessed on the homestead
of each property owner is reduced by $350.
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City of Little Rock, Arkansas 2015 Operating Budget
The City recently received notice of the original charge for 2014 property taxes to
be collected in 2015 which reflects an overall increase of 3.43%. The original
charge for the previous year increased 2.43%. The Pulaski County Treasurer’s
Office is experiencing a collection rate of approximately 96%, which includes
collection of delinquent taxes from previous years.
The dedicated one mill property tax levies for the Police and Fire Pension plans
are included in the General Fund budget. The revenue is collected in the General
Fund and is contributed directly to the Police and Fire Pension Funds. Prior to
2013, this “pass-through” revenue was not included in the annual budget, but was
included in actual revenues as a year-end adjustment. The dedicated pension
property tax millage is expected to generate approximately $7,484,100 in
revenues.
In addition, the City receives approximately one-half of the collections from a 2.90
mill road tax levied by the County and restricted to use for street repair and
maintenance. The 2015 budget anticipates $5.49 million in property tax collections
from this tax.
In addition to the City millage of 15.20 and the County road millage of 2.90, a Little
Rock property owner’s tax assessment for 2014 includes 5.60 mills levied by the
County and 46.40 mills levied for the Little Rock School District. The total millage
for a Little Rock property owner is 70.10 for 2014 property taxes payable in 2015.
The general operations 5.0 mill levy is the maximum rate allowable under state law
for general city operations. Property tax revenues include Act 9 Payments which
are payments in lieu of property taxes paid by certain industrial companies.
Dillards, LM Wind Power Blades, Inc., Novus, Ringwood Container, Sage V Foods,
AR Aerospace, Welspun Pipes, Inc., Jacuzzi and Windstream are companies
which are scheduled to make Act 9 payments in 2015.
COUNTY SALES TAX
The City receives a pro-rata share of a one (1) cent countywide sales tax.
Distribution is based on the Little Rock population as a percentage of Pulaski
County’s total population. According to the 2010 Census, Little Rock experienced
a 5.0% growth in population from the 2000 Census. The City comprises
approximately 50.56% of the County population and therefore receives this
percentage of the County sales and use tax. The projected revenue for 2015 from
this tax is $40,045,900, which represents a 1.50% increase over the anticipated
2014 year-end results at the time the budget was adopted and only a 0.29%
increase over 2014 actual sales tax receipts.
Use taxes, paid mostly by businesses, resemble sales taxes. They apply to goods
purchased from out-of-state merchants such as catalog vendors. Use taxes
included in the projection are approximately $3,629,000 annually. On January 1,
2008, changes to Arkansas’s state and local sales tax laws were implemented for
purposes of compliance with the Streamlined Sales Tax Agreement. Including
Arkansas, the sales tax laws of twenty-four (24) states have been amended to
conform to the agreement.
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City of Little Rock, Arkansas 2015 Operating Budget
LOCAL SALES TAX
Prior to 2012, the City of Little Rock levied one of the lowest sales tax rates in the
State of Arkansas at 0.5%. In September 2011, voters approved an overall one
(1) cent sales tax increase which is comprised of a permanent 5/8-cent dedicated
for ongoing operations and a temporary 3/8-cent dedicated to capital projects over
a ten (10) year period. The new tax went into effect on January 1, 2012. The
existing 1/2-cent sales tax generated $23,687,072. The new 5/8-cent tax
dedicated to ongoing operations generated an additional $29,608,840 in revenue
in 2014 for a combined $53,295,912 in local sales tax for operations.
The 3/8-cent tax for capital projects generated $17,849,353 in 2014 and is
expected to generate $195.8 million over the ten (10) year period for capital
projects. The capital tax increased 1.57% over 2014 levels. The 3/8-cent tax
revenue is not reflected in General Fund revenues. Instead, it is reported in a
separate capital projects fund.
There is a two-month delay from the time the actual sales tax revenues are
collected by businesses and the time they are received by the City. Sales tax is
remitted by businesses to the State, which disburses this amount to the City, less
a 3% administrative charge. Prior to January 2014, local governments had limited
information regarding sales tax receipts which made forecasting these revenues
very difficult. As a result of concerted efforts by the Municipal League and
sponsoring cities, the Arkansas Department of Finance and Administration now
issues a statistical report which classifies and summarizes tax collection and
adjustment information for businesses, reporting activity for the specific city or
county by NAICS code. Over time, the reports are expected to better assist in
sales tax forecasting. The report includes components that comprise negative
adjustments, such as refunds, rebates and corrections.
The local sales tax of 1.5% grew at a slightly higher rate of 1.33% than the county’s
sales tax growth rate of 1.29%. The projected revenue for 2015 from the local tax
for the General Fund is approximately $53,896,600 which represents a 1.5%
increase from anticipated 2014 year-end results at the time the budget was
adopted, and 1.13% over actual 2014 receipts.
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City of Little Rock, Arkansas 2015 Operating Budget
STATE TAX TURNBACK
The State General Assembly, through the Office of Budget, appropriates and then
distributes an amount for turnback to municipalities each July 1
st
, based on
population. The General Fund turnback for 2015 was reduced from $16.00 to
$14.90 per capita, or a 6.875% decrease. The Arkansas State Legislature
appropriated monies to be disbursed to county and local governments from the
surplus of the Property Tax Relief Fund. Historically, Little Rock has received
approximately $411,000 from this appropriation. A reduced surplus in the fund will
result in a reduced appropriation to Little Rock of $205,622. The 2015 legislature
will have an option to appropriate the remaining $205,622 during its session. State
turnback funds are expected to generate approximately $2.74 million dollars in
General Fund revenue in 2015.
Month 2013 2014 2013 2014 2013 2014
January $6,083,989 $9,666,249 $567,572 $594,574 $5,890,046 $3,671,283
February 6,402,534 8,610,433 728,037 908,314 1,897,309 1,889,235
March 5,816,498 8,864,931 742,998 838,838 1,889,913 1,889,914
April 6,019,069 9,090,103 646,154 1,005,050 1,890,084 1,889,914
May 6,643,763 9,684,676 589,734 1,108,430 1,884,772 1,889,593
June 6,880,560 9,380,094 671,509 1,151,947 1,889,911 1,889,914
July 6,750,810 10,386,237 803,621 1,049,503 5,424,973 7,436,193
August 7,684,016 9,310,017 865,190 1,153,167 2,586,804 2,056,571
September 9,473,120 9,483,760 817,319 1,084,170 1,889,910
2,052,581
October 9,422,856 9,763,094 742,984 1,042,826 1,889,910 2,056,449
November 8,234,597 9,282,963 686,467 923,264 1,889,429 2,056,540
December 8,433,441 9,054,076 685,869 755,209 1,889,910 2,054,946
Total $87,845,255 $112,576,632 $8,547,455 $11,615,292 $30,434,803 $30,833,131
* Includes $4 million appropriation from the Property Tax Relief Fund
** Includes $3,516,786.65 supplemental in July 2012 and $3,516,799.83 in July 2013
State Turnback
State Turnback Year-to-Date 2014 with 2013 Comparison (shaded blue)
Street Severance General
Month 2014 2013 2014 2013 2014 2013 2014 2013
January $44,899,051 $43,764,256 $41,135,484 $39,379,372 $86,034,535 $83,143,628 $4,805 $12,329
February 51,556,660 51,585,273 46,326,186 44,215,215 97,882,846 95,800,488 5,765 26,338
March 41,142,676 42,875,487 37,596,230 38,040,827 78,738,906 80,916,314 5,571 8,508
April 44,819,678 44,204,032 41,824,879 39,707,294 86,644,557 83,911,326 6,185 24,953
May 48,373,032 47,315,206 43,431,803 42,055,467 91,804,835 89,370,673 6,011 5,611
June 45,121,494 46,455,658 40,770,568 41,846,373 85,892,061 88,302,031 7,080 27,062
July 50,985,699 47,227,642 45,660,838 42,580,665 96,646,537 89,808,307 7,291 7,773
August 48,591,520 47,615,222 44,364,160 43,352,547 92,955,680 90,967,768
7,038 25,210
S
eptember 48,279,490 45,850,267 43,224,258 43,479,764 91,503,748 89,330,031 9,120 9,433
October 50,649,942 46,540,715 45,482,360 44,208,889 96,132,302 90,749,603 8,604 26,911
November 48,903,456 45,245,392 44,043,654 42,367,542 92,947,110 87,612,934 19,648 8,718
December 49,348,276 45,359,946 44,623,076 41,645,364 93,971,352 87,005,310 14,221 29,399
Total $572,670,974 $554,039,096 $518,483,496 $502,879,319 $1,091,154,469 $1,056,918,413 $101,339 $212,245
Averages $47,722,581 $46,169,925 $43,206,958 $41,906,610 $90,929,539 $88,076,534 $8,445 $17,687
Municipal Sles and Use Tax has an effect on local sles tax revenues and is one of the factors that affect local sales tax based on where
the purchaser takes receipt or delivery of the product or service.
Source: Debbie Rogers, Office of State Treasurer
Interes t
Local Option Sales and Use Tax in Arkansas
Sale and Use Tax Year-to-Date 2014 with 2013 Comparison (shaded blue)
Municipal Tax County Tax Total Tax
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City of Little Rock, Arkansas 2015 Operating Budget
INTEREST EARNINGS
Interest earned on the investments and bank deposits of the General Fund, certain
bond retirement funds, special projects and capital funds can legally be utilized for
any municipal purpose. The Federal Funds rate has decreased to a target range
of between 0.00% and 0.25% and has remained at historically low levels since
January 1, 2009. The Discount Rate currently remains at 0.75%. Larger fund
balances increased investment income approximately $140,000 in 2014.
Investment income before year-end fair market value adjustments was
approximately $218,000.
Securities held are short in duration, backed by the U.S. government and are
among the safest securities in the world. Short term rates remained steady
throughout 2014 but are forecasted to increase mid-year 2015. In November 2014,
the Fed announced that it was ending a two year stimulus program (Quantitative
Easing or QE3) designed to keep interest rates low and boost the economy.
Slightly higher interest rates coupled with steady fund balances should increase
investment earnings slightly in 2015. The City’s bank deposits are expected to yield
a favorable 0.45% in 2015.
UTILITY FRANCHISES
Utility franchise fees are charged to public utilities for the privilege of using the
City’s streets and rights-of-way. The public utilities paying franchise fees are listed
below with the annual rate, which is typically based on the gross revenues of the
utility:
Entergy 5.20% of gross revenue collection for the
current calendar year or $8.8 million,
which-ever is greater
CenterPoint Energy 5.20% of gross revenue for the current
calendar year or $2.1 million, whichever is
greater
AT&T (Local Land Lines) 7.32% of local exchange access line
charges for the previous calendar year
All Other Local Land Lines 7.32% of local exchange access line
charges for the previous calendar year
Comcast Cable 5.00% of gross revenues
Central Arkansas Water 10.00% of gross revenues from water
sales to customers within the City plus
0.1545 times 20% of the book value of the
Water Works system inside the City limits
WasteWater Utility 10.00% of gross revenues
Fiber Optics 5.00% of gross revenues
Long Distance Franchise $0.004 per minute of toll calls
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Overall franchise fee revenues in 2014 were 0.66% higher than 2013 levels.
CenterPoint Energy, the gas utility, experienced significant revenue increases
totaling over $350,000 (10.6%) due to the harsh winter of 2013/2014. The relative
cold and wet winter increased usage levels by 6.23%. The winter of 2014/2015 is
forecasted to be one of the coldest and wettest on record. Natural gas prices
remain historically low.
CenterPoint accumulates and stores natural gas for the next heating season. The
cost of natural gas makes up between 70% and 80% of the typical bill. CenterPoint
reports its natural gas costs to the Arkansas Public Service Commission at the end
of October each year. Those rates are passed along to customers with no profit
going to the utility. CenterPoint announced a 6.9% rate increase in the gas rate
beginning in the summer of 2014. Natural gas reserves are at an eleven (11) year
low, the result of a long winter and cold spring of 2014. Certain franchise fee
revenues, such as Entergy, CenterPoint, and Central Arkansas Water are directly
impacted by the weather.
A reduction in rates with the expiration of the FERC rider and an unseasonably
mild 2014 summer, with no recorded days over 100 degrees, resulted in a
decrease in Entergy franchise revenues of 3.43% and over $450,000 while usage
was slightly down by 0.58%. On January 13, 2015, the Arkansas Public Service
Commission approved a 3.4% increase resulting from a recalculation in rates to
address an earlier $67.8 million shortfall. The recalculated adjustment will affect
all monthly bills in 2015. The 2015 budgeted amount for Entergy is 3.90% higher
than 2014 levels due to the stated rate increase and an expected warmer summer.
In October 2014, Central Arkansas Water (CAW) announced proposed rate
increases for wholesale customers who sell to private utilities for the years 2016
and 2017. There are no plans for a rate increase in 2015. A very mild 2014
summer and ample rainfall decreased water consumption considerably, along with
efficiencies in water conservation efforts. These factors led to a decline in water
revenues of approximately $45,000 or 1.4% from 2013 levels. An on-going national
trend is that water consumption continues to decrease due to water saving
appliances and conservation measures.
Little Rock Wastewater revenues increased 6.52% over the previous year. The
majority of the increase was attributed to a 7% increase in the sewer rate. There
is no announced rate increase for 2015, however, Little Rock Wastewater is
expected to issue debt in 2015 to pay for expansion of storage facilities and a pump
station upgrade. There are scheduled rate increases for 2016, 2018 and 2019.
Scheduled rate increases were implemented to comply with the terms of the Sierra
Club lawsuit to reduce sanitary sewer overflows in Little Rock.
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City of Little Rock, Arkansas 2015 Operating Budget
Franchise fee revenues from local land line companies continue to decline from a
peak in 1998. This trend is expected to continue in the foreseeable future, with
more customers migrating from utilization of a home phone (land line) and a mobile
phone to only a mobile phone. Revenue from local land line providers declined
12.6% in 2014 and are expected to further decrease in 2015. The decline could
be sharper but many alarm users still maintain a land line to operate their system.
The downward trend in traditional franchise fee revenues from long distance
providers is a result of an increase in wireless or mobile phone usage for long
distance calls. The franchise fee revenue from long distance decreased 13.8% in
2014. A one-time upward adjustment in 2013 skewed the decline in 2014. Long
distance revenue is projected to further decline 3% to 5% in 2015.
Fiber optic companies, such as AT&T U-Verse and Windstream, are now in direct
competition with Comcast Cable, which has historically been one of the City’s
leading growth franchise customers. Overall, fiber optics and cable franchise
revenues increased 7.63% in 2014. Windstream revenues for 2014 were only
slightly lower than 2013, while AT&T U-Verse franchise fees increased by 28.5%
and Comcast Cable declined 1.78%. Fiber optic companies rarely announce
anticipated rate increases in advance of the actual rate change. Cell phone, alarm
system revenues and Internet usage are not included in the franchise agreement.
Fiber optic forecasted revenues should remain steady for 2015.
Franchise fee revenues for fiscal year 2015 are forecasted to be 2.14% above
2014 receipts and 1.67% higher than the amended 2014 budget. Utilities may
adjust rates during the course of the year which affects revenues. In addition,
severe weather or unusual weather patterns may impact franchise revenues.
$6,400,000
$12,800,000
$19,200,000
$25,600,000
$32,000,000
Budget Budget Budget
Actual Adopted Adopted
2013 2014 2015
Utility Franchise
Utility Franchise
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City of Little Rock, Arkansas 2015 Operating Budget
BUSINESS LICENSES
Business licenses are required annually for every business operating within the
City limits. License fees are billed, collected, and administered by the City’s
Treasury Management Division. Business licenses continue to be a stable
revenue source with 2014 license fees increasing 1% to over $6.37 million. The
increase of approximately $65,700 for 2014 is attributed to a steady local economy
and aggressive collection of delinquent accounts. 2015 revenues are expected to
remain at 2014 levels with no scheduled rate increases. A business license
committee will review the fairness and equity of the business license fee structure
periodically and provide recommendations to the Board of Directors.
MIXED DRINK PERMITS AND SUPPLEMENTAL TAX
Hotels, restaurants, and bars are required to have a permit in order to sell alcoholic
beverages for on-premises consumption. In addition, a 10% supplemental tax is
levied on public liquor sales and a 5% tax is levied on sales by private clubs within
the City. 2014 mixed drink revenue was 1.4% above 2013. The City enjoys a
strong working relationship with the State of Arkansas Alcohol Beverage Control
Agency to ensure that every business in Little Rock with a state alcohol permit is
also registered with the Treasury Management Office. The 2015 budget
anticipates an increase of approximately 3% over the 2014 amended budget.
BUILDING AND RELATED PERMITS
Building and related permits, which include electrical permits, plumbing permits,
and heating ventilation and air conditioning (hvac) permits, were approximately
20% above 2013 and approximately 30% over the 2014 original budget. The
increase was primarily due to large one-time commercial construction projects
such as the Gateway Mall, next to the Bass Pro Shop in Southwest Little Rock. All
sectors of the city experienced increases in building activity in 2014. 2015 building
permits are expected to drop from the elevated 2014 levels but are expected to be
above 2013 levels. The City’s Planning & Development Department projects
construction to remain stagnant for residential permits. Continued favorable
interest rates should continue to spur commercial construction activity in Little
Rock.
SW Bel (AT&T) 0.00%
Entergy 3.40%
Long Distance 0.00%
Local Land Lines 0.00%
CenterPoint 0.00%
Central AR Water 0.00%
Fiber Optics 0.00%
Waste Water Utility 0.00%
Announced Utility Rate Increases for 2015
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City of Little Rock, Arkansas 2015 Operating Budget
FINES
Fines and related fees comprise 1.63% of the 2015 budget. 2014 fines and fees
were approximately $255,300 or 7.9% below the previous year. Traffic and parking
fine revenues were the main contributors to the decrease. Traffic fine revenues
decreased 10.5% while parking fine revenues decreased 7.0% from one year ago.
Parking fine revenue continues to suffer from construction along South Main which
has caused temporary closure of metered spaces. Both traffic and parking fines
are expected to increase in 2015 as additional Police officers funded by the new
5/8 cent sales tax are deployed and temporarily closed parking meters are
reopened.
PARK & ZOO REVENUE
General Fund park revenues are generated by three (3) golf courses, tennis fees,
community center fees, athletics fees, summer programs and pavilion rentals.
Prior to 2013, the Zoo, Jim Dailey Fitness & Aquatic Center, and the municipal golf
courses (Rebsamen, Hindman and War Memorial) were operated as separate
enterprise funds. At the end of 2012, these activities were consolidated into the
General Fund. The 2015 General Fund parks and Zoo budget includes an
increase of 9.61% or $676,000 from 2014 actuals. The majority of the increase for
2015 can be attributed to the anticipated increase in Zoo admissions and
concessions. Green fee revenues from the three golf courses are also forecasted
to increase. The Jim Dailey Fitness & Aquatic Center suffered a fire in 2014 which
resulted in a decline in revenues.
Excluding transfers in and donations, Zoo revenues increased approximately 7.5%
or $267,193 from one year ago. However; the revenues were 5.7% below the
original 2014 budget, which included a rate increase. Similar to park revenues, Zoo
revenues are heavily dependent on weather conditions. There were similar
weather patterns in 2013 and 2014 where the spring was unseasonably cold
followed by a very wet
summer. 2014 Zoo
annual memberships
increased 18.21%,
Zoo admissions
increased 11.50% and
Zoo concessions
increased 7.29%. Zoo
admissions account for
approximately
$409,000 of the
increase to parks &
Zoo revenue. In 2014, the Zoo purchased a new train and renovated the train
tracks. Overall, 2015 Zoo revenues are projected to be approximately 12% higher
than 2014 actual revenues. Zoo rate adjustments in 2015 include 95ȼ increases
in fees for adult and child admission, and an increase of $4 in annual membership
fees. In addition, parking fees will increase from $2 to $3 per vehicle. No change
in group rates is anticipated.
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City of Little Rock, Arkansas 2015 Operating Budget
The City operates three (3) public golf courses and relies heavily on greens fees
and concession revenues to operate these courses. Historically, March is the start
of the busy season for golf courses. Similar to Zoo revenues, the cold spring
months coupled with the wet summer months reduced the number of patrons on
each course in 2014, with the exception of Hindman. Excluding the debt service
contribution, overall
golf revenues were
5.6% above 2013
levels. 2014
Rebsamen Golf
revenues decreased
approximately 3%.
War Memorial
revenues decreased
13.72% from one
year ago and
Hindman Golf
Course increased
almost 85%. The sharp increase in Hindman revenues were the result of a full
year of operations at the course. In 2013, Hindman Golf Course was temporary
closed for the purpose of resurfacing all eighteen holes, including the practice
putting greens, and for renovations to the pro shop. The improvements and new
renovations at Hindman increased revenues 2.68% from 2013 levels. All three
golf courses are projected to maintain consistent revenues for 2015.
AIRPORT REIMBURSEMENT
The Little Rock National Airport reimburses the City for expenses related to police
and fire protection. In 2014, airport police reimbursements decreased 1.7% to
$1.876 million and airport fire reimbursements increased 3% to $1.276 million.
Staffing levels and 2015 airport reimbursements should be consistent with 2014.
STREET GAS TAX TURNBACK
The City receives state turnback funds directed to the Street Department. The gas
tax turnback is allocated based on the latest census and gallons of fuel consumed.
Basically, 15% of the tax on gasoline consumption goes toward municipal aid or
gas turnback. The passage of Constitutional Amendment No. 1 in the general
election of 2012 provided additional funding for State, County and City streets and
bridges with a temporary one-half percent (0.5%) sales and use tax for road
construction and maintenance. The ten (10)-year sales tax is effective from July 1,
2013 through December 2022. 2014 revenues were 21.65% higher than 2013,
which is attributed to a full year of the new tax. Gas turnback funds have been
trending downward as a result of lower gas consumption associated with more fuel
efficient automobiles. The State Highway Department’s turnback projection for
2015, including gas tax, severance tax and sales tax is $12.67 million. The 2015
Street Fund turnback appropriation increased from $65.00 to $65.10 per capita, a
0.15% increase. The 2015 street turnback estimate includes proceeds from the
$0
$250,000
$500,000
$750,000
$1,000,000
Budget Budget Budget
Actual Adopted Adopted
2013 2014 2015
Golf Department
Green Fees
Equipment
Rental
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City of Little Rock, Arkansas 2015 Operating Budget
new highway 1/2-cent sales tax and severance tax on natural-gas. Currently,
approximately 7% of the turnback is attributed to the natural gas severance tax.
BOND & INTEREST FUND
Revenues from this fund were utilized to finance the debt service on the
$70,635,000 Limited Tax Bond Issue, Series 2004. In November 2003, voters
approved the continuance of a 3.3 annual property tax millage for debt service on
the bonds. The bonds were fully redeemed on April 1, 2013. The voters of Little
Rock approved a new annual ad valorem tax at a lesser rate of 3.0 mills at a special
election on September 11, 2012. The reduced millage replaces the previous 3.3
mill tax and is pledged for the financing of $105 million in street and drainage
improvements. On July 15, 2013, the City issued $58,105,000 of general obligation
debt ($42,000,000 for street improvements and $18,000,000 for drainage
improvements). The millage, along with the Homestead Credit, which is monies
generated from a state-wide half-cent sales tax, produced approximately $11
million toward 2014 debt service on the outstanding bonds.
WASTE DISPOSAL
The 2014 Waste Disposal charges for services revenues decreased 4.8%
compared to 2013. Landfill fees decreased almost 37% from 2013 levels. In 2013,
Waste Disposal had an exclusive one year agreement with Waste Management
and Waste Corporation for dumping fees. Revenues from methane gas dropped
26%, the result of an exclusive vendor experiencing equipment issues.
The monthly residential rate for sanitation pickup remained at $22.02. There are
approximately 58,000 households currently receiving garbage collection services.
No rate increases are scheduled for 2015. In addition, approximately 280
commercial vendors pay an average rate of $33.37 a month for waste disposal
services. The 2015 budget for sanitation fees of over $16 million is slightly lower
than 2014 actuals because it contains no anticipated delinquent collections.
Landfill fees are expected to generate approximately $1,250,000 in 2015 which is
$3,750,000
$5,750,000
$7,750,000
$9,750,000
$11,750,000
$13,750,000
Budget Budget Budget
Actual Adopted Adopted
2013 2014 2015
Street Fund
1/2 County
Road Tax
Gas Turnback
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City of Little Rock, Arkansas 2015 Operating Budget
an increase of 2.47%. Methane gas captured by the landfill is piped to a single
vendor and is expected to generate $95,000 in annual revenues.
VEHICLE STORAGE
Vehicle Storage revenues are generated from storage fees, wrecker fees, and
auction sales. These revenue sources contributed approximately 87% of total
2014 revenues which was a decrease of 10.2% from one year ago. Overall Vehicle
Storage revenues increased 1.0%. 2013 had some one-time reimbursements that
skewed revenues up for that year. The largest increase in 2014 was associated
with vehicle auctions which increased over $104,000 from one year ago, primarily
from an increase in available vehicles. The 2015 overall revenue budget remains
flat compared to 2014 actuals. There were 3,138 tows to the Little Rock Vehicle
Storage facility in 2014 compared to 3,257 in 2013. The average sales price per
vehicle auctioned in 2014 was $561.67.
$0
$4,000,000
$8,000,000
$12,000,000
$16,000,000
$20,000,000
Budget Budget Budget
Actual Adopted Adopted
2013 2014 2015
Waste Fund
Sanitation
Fees
Landfill
Fees
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City of Little Rock, Arkansas 2015 Operating Budget
PARKING GARAGE FUND
The City of Little Rock operates two downtown parking garages. Garage revenues
are generated by daily and monthly parking fees at the Second and Main Street
Parking Facility and the RiverMarket Parking Garage. In addition to garage fees,
annual business license fees received from the rental and/or leasing of
automobiles and trucks, parking meter revenues, and street repair fees collected
from utility companies are pledged to debt service on the bonds issued to construct
the parking garages. Overall parking garage revenues were less than 1.00%
higher in 2014 than 2013. Monthly revenues from the Statehouse and the
RiverMarket Garages were 3.88% lower in 2014 but slightly above budget. Daily
revenues from both garages increased 29.10% with the majority of that increase
attributed to the RiverMarket Garage which has experienced increased parking
due to the growing popularity of the RiverMarket district and an overall reduction
in available parking spaces downtown.
Street cut revenues increased approximately $48,600 with the majority of this
increase coming from CenterPoint repairs and maintenance in the city’s right-of-
way. Overall parking Garage Fund revenues are expected to increase
approximately 2% compared to one year ago.
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General Fund Revenues
Sources and Trends
2010-2015
Revenues increased significantly with the implementation of a new
sales tax in 2012. The 5/8-cent portion of the tax for on-going
operations increased the existing 1/2-cent tax to a total of 1.125%.
Note: 2011 and 2012 Actual revenues have been adjusted to reflect
the consolidation of the River Market, Golf, Jim Dailey Fitness &
Aquatic Center, and Zoo Funds with the General Fund.
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Expenditures
CITY OF LITTLE ROCK
2015 BUDGET SUMMARY
ALL FUNDS EXPENSES
$248,768,085
Street
Fund
8.06%
Fleet
Services
5.34%
Waste
Disposal
6.88%
General
Fund
78.28%
Vehicle Storage
Facility
.55%
Parking
Garages
.88%
109
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2013 2014 2014 2015 14/15 %
GENERAL FUND ACTUAL ADOPTED AMENDED* ADOPTED DIFF CHANGE
General Administrative $24,518,576 $20,296,290 $25,661,788 $28,062,042 $2,400,254 9.35%
Board of Directors 276,766 338,527 338,527 342,027 3,500 1.03%
Community Programs 372,737 388,081 490,370 423,578 (66,792) -13.62%
City Attorney 1,565,809 1,769,774 1,692,254 1,836,901 144,647 8.55%
District Court First Division 1,179,375 1,392,505 1,375,750 1,405,790 30,040 2.18%
District Court Second Division 1,186,390 1,247,286 1,247,286 1,248,245 959 0.08%
District Court Third Division 583,991 627,185 621,029 626,782 5,753 0.93%
Finance 2,900,097 3,136,992 3,088,125 3,204,124 115,999 3.76%
Human Resources 1,519,584 1,632,677 1,677,692 1,673,177 (4,515) -0.27%
Information Technology 3,788,479 4,358,322 4,183,585 4,679,784 496,199 11.86%
Planning Development 2,052,072 2,583,968 2,250,412 2,564,192 313,780 13.94%
Housing & Neighborhood Programs 5,129,094 5,673,839 4,710,980 5,790,389 1,079,409 22.91%
Public Works 974,942 1,166,482 1,050,592 1,159,922 109,330 10.41%
Parks & Recreation 8,575,043 9,739,691 9,231,574 9,958,932 727,358 7.88%
River Market 1,188,197 1,208,675 1,208,675 1,209,164 489 0.04%
Golf 2,386,862 2,187,165 2,187,165 2,308,904 121,739 5.57%
Jim Dailey Fitness and Aquatic Center 847,286 896,565 897,168 901,127 3,959 0.44%
Zoo 6,056,684 6,488,801 6,143,673
6,733,727 590,054 9.60%
Fire 43,859,037 45,774,586 45,497,791 46,232,253 734,462 1.61%
Police 63,934,472 67,200,859 65,487,491 68,885,072 3,397,581 5.19%
Vacancy Savings (5,000,000) (6,000,000)
(6,000,000)
Sub-total General Operating 172,895,492 173,108,270 179,041,927 183,246,132 4,204,205 2.35%
TRANSFERS OUT/OTHER EXPENSES
Transfer out to Street Fund 1,282,000 1,082,000 1,282,000 1,082,000 (200,000) -15.60%
Special Projects/PIT 10,130,538 9,074,260 9,542,603 9,412,079 (130,524) -1.37%
Contingency/Reserve 1,000,000 1,000,000 1,000,000
Sub-total of Transfers Out 11,412,538 11,156,260 10,824,603 11,494,079 669,476 6.18%
TOTAL GENERAL FUND 184,308,030 184,264,530 189,866,530 194,740,211 4,873,681 2.57%
OTHER FUNDS
Public Works - Street 15,336,023 19,363,696 19,363,696 20,050,226 686,530 3.55%
Fleet Services 12,683,067 13,135,688 13,259,688 13,294,275 34,587 0.26%
Vehicle Storage Facility 1,333,661 1,321,150 1,321,150 1,359,144 37,994 2.88%
Waste Disposal 16,617,509 17,655,926 17,655,926 17,127,479 (528,447) -2.99%
Parking Garages 2,104,780 2,224,167 2,224,167 2,196,750 (27,417) -1.23%
Sub-total Other Operating Funds 48,075,040 53,700,627 53,824,627 54,027,874 203,247 0.38%
TOTAL ALL FUNDS 232,383,070$ 237,965,157$ 243,691,157$ 248,768,085$ 5,076,928$ 2.08%
* The 2014 Amended Budget includes a reduction in departmental budgets for vacancy savings achieved throughout the year.
Vacancy savings represents savings from authorized but unfilled positions. The 2014 vacancy savings goal was fully realized.
CITY OF LITTLE ROCK
2015 OPERATING & OTHER BUDGETED EXPENDITURES
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$0
$20,000,000
$40,000,000
$60,000,000
$80,000,000
2013 2014 2015
Police Fire
All Others General Administration
Transfers Parks & Recreation
General Government
Summary of Appropriations
2013-2015
111
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2013 2014 2015
CATEGORY Actual Budget Budget
Salaries Wages and Employee Benefits $133,090,473 $137,290,586 $139,939,883
Supplies and Materials 6,188,960 6,403,155 6,338,170
Repairs and Maintenance 6,485,281 6,796,658 7,093,723
Contractual 20,887,311 20,914,528 21,789,639
Capital Outlay 380,000 370,000
Debt Service 5,993,200 1,323,343 7,714,717
Transfers 11,662,806 11,156,260 11,494,079
Net City Expenditures $184,308,030 $184,264,530 $194,740,211
Staffing Level 1,696 1,708 1,722
Ratio 9.22 9.28 8.83
GENERAL FUND SUMMARY
EXPENDITURES BY CATEGORY
8.60
8.80
9.00
9.20
9.40
2013 2014 2015
STAFFING LEVEL PER MILLION DOLLARS BUDGETED
112
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2013
Actual
Expend.
2014
Adopted
Budget
2015
Adopted
Budget
GENERAL FUND
GENERAL ADMINISTRATIVE
101001 City Clerk 207,125$ 189,276$ 190,541$
101002 Administrative & General 18,471,416 14,763,384 21,480,968
101003 Employee Benefits 3,954,029 3,468,472 4,514,550
101004 Racial and Cultural Diversity 158,273 150,368 154,688
101006 Mayor & City Manager Administration 1,343,573 1,374,533 1,361,815
101007 Emergency Management 65,637 59,668 64,162
101008 Small & Minority Women Owned Bus. Dev. 62,180 55,061 53,443
101009 Little Rock Television 256,343 235,528 241,875
Total General Administrative 24,518,576 20,296,290 28,062,042
BOARD OF DIRECTORS
101111 Board of Directors 276,766 338,527 342,027
COMMUNITY PROGRAMS
101501 Administration 288,975 299,358 334,441
101503 Operations 83,763 88,723 89,137
Total Community Programs 372,737 388,081 423,578
CITY ATTORNEY
101801 City Attorney 1,565,809 1,769,774 1,836,901
LITTLE ROCK DISTRICT COURT
102101 District Court First Division 1,179,375 1,392,505 1,405,790
LITTLE ROCK DISTRICT COURT
102201 District Court Second Division 1,186,390 1,247,286 1,248,245
LITTLE ROCK DISTRICT COURT
102301 District Court Third Division 583,991 627,185 626,782
FINANCE
102501 Administration 533,535 576,786 579,508
102515 Budget 164,528 173,999 175,177
102520 Internal Audit 163,026 169,346 170,225
102530 Accounting and Reporting 477,150 499,843 539,657
102531 Accounts Payable 312,880 331,036 341,316
102535 Payroll 203,615 212,873 212,409
102540 Treasury Management 533,397 573,309 609,081
102550 Purchasing 217,986 262,640 240,909
102555
Print Shop 36,661
68,673 65,517
102560 Grants Management 257,319 268,487 270,325
Total Finance 2,900,097 3,136,992 3,204,124
HUMAN RESOURCES
102701 Human Resources 1,519,584 1,632,677 1,673,177
INFORMATION TECHNOLOGY
103001 Administration 636,053 1,011,402 1,010,105
103010 Application Programming 1,092,868 1,205,301 1,376,331
103030 Networking 2,059,559 2,141,619 2,293,348
Total Information Technology 3,788,479 4,358,322 4,679,784
CITY OF LITTLE ROCK
2015 OPERATING EXPENSES
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2013
Actual
Expend.
2014
Adopted
Budget
2015
Adopted
Budget
CITY OF LITTLE ROCK
2015 OPERATING EXPENSES
PLANNING AND DEVELOPMENT
103301 Administration & Budget 247,781 309,532 305,083
103310 Planning 295,069 430,229 440,589
103320 Zoning & Subdivision 687,127 856,908 850,885
103330 Building Codes 822,095 987,299 967,635
Total Planning and Development 2,052,072 2,583,968 2,564,192
HOUSING AND NEIGHBORHOOD PROGRAMS
103501 Administration 509,313 356,306 369,781
103510 Animal Services 951,756 1,162,608 1,209,089
103520 CDBG - Housing Programs 7,872 5,157 14,367
103530 Neighborhood Programs 2,382,845 2,936,213 2,936,131
103539 Neighborhood Alert Centers 710,451 744,129 791,325
103540 Neighborhood Resource Center 358,115 230,755 231,506
103550 Environmental Services 208,742 238,671 238,190
Total Housing and Neighborhood Programs 5,129,094 5,673,839 5,790,389
PUBLIC WORKS
104010 Building Services 974,942 1,095,023 1,088,666
104020 Asset Management 71,459 71,256
Total Public Works 974,942 1,166,482 1,159,922
PARKS AND RECREATION
104501 Administration 383,416 448,055 448,472
104503 Design Scheduling 339,932 308,473 312,062
104510 Resources Administration 359,877 464,904 455,154
104511 Cultural Museum 183,235 198,913 199,896
104512 Therapeutic 134,435 173,329 174,482
104521 Development and Maintenance 124,725 126,258 99,794
104522 Operations and Improvement Development 1,001,940 1,148,078 1,119,932
104523 Park Maintenance 2,234,435 2,407,313 2,472,819
104524 Horticulture 762,861 929,517 950,727
104525 Urban Forestry 334,632 449,953 509,081
104530 Recreation Administration 152,568 160,733 155,774
104531 Community Center Administration 86,477 113,169 113,418
104532 Dunbar Community Center 459,674 441,096 447,420
104533 East Little Rock Recreation Center 74,264 79,241 79,852
104534 Senior Programs 75,945 102,900 102,900
104536 Southwest Community Center 558,989 640,472 647,196
104537 Stephens Community Center 236,939 252,724 256,282
104538 The Centre at University Park 182,330 327,231 297,195
104539 West Central Community Center 136,680
104556 Athletics/Playgrounds 566,083 596,296 606,794
104557 Tennis Center Operations 268,401 287,969 289,935
104558 N.W. Hill Community Complex 53,886 83,067 83,067
Total Parks and Recreation 8,575,043 9,739,691 9,958,932
RiverMarket 1,188,197 1,208,675 1,209,164
Golf
104701 Administration 91,022 94,495 94,927
104710 Rebsamen Golf Pro 453,129 391,941 433,183
104711 Rebsamen Golf Maintenance 591,473 521,777 519,608
104712 Rebsamen Pro Golf Concessions 97,397 58,533 77,520
104720 War Memorial Golf Pro 280,572 257,262 284,502
104721 War Memorial Golf Maintenance 281,041 314,459 315,714
104740 Hindman Pro Golf 301,979 292,934 324,015
104741 Hindman Golf Maintenance 290,249 255,764 259,435
Total Golf Fund 2,386,862 2,187,165 2,308,904
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2013
Actual
Expend.
2014
Adopted
Budget
2015
Adopted
Budget
CITY OF LITTLE ROCK
2015 OPERATING EXPENSES
Jim Dailey Fitness and Aquatic Center 847,286 896,565 901,127
ZOO
106501 Zoo Administration 337,705 322,369 381,953
106510 Zoo Concessions 373,527 306,769 368,343
106520 Zoo Education 317,540 350,311 384,918
106530 Zoo Gift Shop 155,970 243,680 270,077
106540 Zoo Membership 35,623 57,966 68,215
106550 Zoo Special Events 179,360 103,430 108,297
106560 Zoo Marketing & Promotions 482,137 498,097 449,970
106570 Zoo Facilities Operation 1,698,718 1,989,065 2,051,227
106580 Animal Management 1,988,817 2,206,573 2,312,555
106590 Visitor Service Administration 487,287 410,541 338,172
Total Zoo Fund 6,056,684 6,488,801 6,733,727
FIRE
105101 Administration 1,039,751 1,082,358 1,069,476
105102 Fire Pension 5,346,879 5,556,595 5,581,664
105120 Fire Suppressing and Rescue 35,490,421 37,144,014 37,664,970
105130 Fire Prevention - Investigation 488,570 512,823 515,932
105140 Fire Training 574,396 579,130 490,762
105150 Crash Fire Rescue - Airport 919,020 899,666 909,449
Total Fire 43,859,037 45,774,586 46,232,253
POLICE
105201 Administration 2,789,549 3,184,485 3,238,656
105202 Police Pension 6,394,938 6,345,547 6,203,185
105215 Organized Crime - Intelligence 5,515,388 5,744,576 4,867,077
105220 Training and Crime Prevention 3,380,340 2,233,737 4,254,310
105225 Detectives 5,522,638 5,666,861 5,783,778
105230 Downtown Patrol 10,564,098 11,291,529 11,058,451
105235 Southwest Patrol 8,273,696 8,354,085 9,321,418
105245 WW Willams Northwest Substation 8,991,895 9,979,196
10,633,826
105250 Airport Police 2,063,714 1,929,214 1,751,517
105255 Police Records Support Service 6,986,535 8,360,054 7,684,011
105260 Communication Center 3,451,681 4,111,575 4,088,843
Total Police 63,934,472 67,200,859 68,885,072
Less Vacancy Reduction (5,000,000) (6,000,000)
General Fund Operating Total 172,895,492 173,108,270 183,246,132
TRANSFER/OUT OTHER EXPENSES
Transfer out to Street Fund 1,282,000 1,082,000 1,082,000
Special Projects/PIT 10,130,538 9,074,260 9,412,079
Contingency/Reserve 1,000,000 1,000,000
Sub-total 11,412,538 11,156,260 11,494,079
GENERAL FUND TOTAL 184,308,030 184,264,530 194,740,211
115
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2013
Actual
Expend.
2014
Adopted
Budget
2015
Adopted
Budget
CITY OF LITTLE ROCK
2015 OPERATING EXPENSES
PUBLIC WORKS - STREET
204001 Administration 759,294 1,058,292 1,116,215
204002 Operations Administration 526,884 1,229,701 892,662
204003 Street and Drainage Maintenance 6,076,025 8,586,915 9,385,249
204005 Storm Drain Maintenance 831,054 925,032 970,330
204006 Work Pool 121,048 170,122 188,669
204007 Resource Control and Scheduling 393,203 406,340 399,335
204008 Control Devices 832,037 912,809 912,765
204010 Signals 841,052 917,220 1,048,178
204015 Parking Meters 98,144 106,689 107,143
204020 Civil Engineering 1,259,144 1,486,133 1,472,255
204025 Traffic Engineering 3,379,342 3,277,281 3,280,654
204030 Parking Enforcement 218,796 287,162 276,771
Total Street Fund 15,336,023 19,363,696 20,050,226
FLEET SERVICES
600001 Administration 851,563 825,640 676,715
600011 Acquisition & Disposal 7,421,279 7,823,780 8,109,464
600020 Financial Management 261,889 308,520 729,618
600031 Maintenance Administration 4,148,335 4,177,748 3,778,478
Total Fleet Services 12,683,067 13,135,688 13,294,275
VEHICLE STORAGE FACILITY 1,333,661 1,321,150 1,359,144
WASTE DISPOSAL
603101 Administration 1,878,738 1,907,192 1,638,137
603110 Collection 10,432,022 11,357,804 11,079,966
603120 Disposal 3,321,968 3,608,284 3,594,424
603125 Composting 558,489 563,746 591,402
603130 Waste Management 426,291 218,900 223,550
Total Waste Disposal Fund 16,617,509 17,655,926 17,127,479
PARKING GARAGES 2,104,780 2,224,167 2,196,750
GRAND TOTAL ALL FUNDS 232,383,070$ 237,965,157$ 248,768,085$
116
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CITY OF LITTLE ROCK
2015 ALLOCATION OF
FULL TIME PERSONNEL
Police
33.76%
Fire
19.82%
Parks
7.44%
All Other
General Fund
17.18%
Fleet
3.58%
Street
10.03%
Waste
5.32%
Zoo
2.87%
Police 717 Fire 421 Street 213
Waste 113 Zoo 61 All Other 365
General
Fleet & Vehicle Fund
Storage Facility 76 Parks 158
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2013 2014 2015
Adopted Adopted Adopted
Budget Budget Budget
General Fund
General Administrative 26 31 31
Board of Directors 1 1 1
Community Programs 10 10 11
City Attorney 18 18 19
District Court First Division 21 21 21
District Court Second Division 17 17 17
District Court Third Division 7 8 8
Finance 41 41 42
Human Resources 19 19 20
Information Technology 39 39 39
Planning & Development 39 39 39
Housing & Neighborhood Programs 103 103 104
Public Works - General 13 13 13
Parks & Recreation 119 122 127
Golf 21 21 22
Jim Dailey Fitness Center 9 9 9
Zoo 57 59 61
Fire 421 421 421
Police 715 716 717
Subtotal General Fund 1,696 1,708 1,722
Other Funds
Public Works - Street 215 213 213
Fleet Services 61 61 61
Vehicle Storage Facility 15 15 15
Waste Disposal 113 113 113
Subtotal Other Funds 404 402 402
Total Personnel 2,100 2,110 2,124
CITY OF LITTLE ROCK
FULL TIME PERSONNEL BUDGET SUMMARY
118
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CITY OF LITTLE ROCK
FULL-TIME PERSONNEL AUTHORIZATIONS
2011 - 2015
2016
2073
2100
2110
2124
2000
2020
2040
2060
2080
2100
2120
2140
2011 2012 2013 2014 2015
EMPLOYEES
The net change in personnel between 2014 and 2015 total positions are as indicated
in the chart below.
2014 Adopted Budget 2,110
Community Programs 1
City Attorney 1
Finance 1
Information Technology 1
Housing & Neighborhood Programs 1
Parks and Recreation 5
Golf 1
Zoo 2
Police 1
2015 Adopted Budget 2,124
119
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CITY OF LITTLE ROCK
2015 OTHER GENERAL FUND EXPENDITURES
2013 2014 2015 Increase
Budget Budget Budget (Decrease)
SPECIAL PROJECTS
Children, Youth, & Families (CYF
)
$5,500,000 $5,500,000 $5,500,000
Facility Improvements 975,000 975,000 975,000
Annual Fleet Replacement 850,000 850,000 850,000
Homelessness Outreach 250,000 350,000 350,000
Land Bank 168,420 84,210 168,420 84,210
Demolition (Residential & Commercial) (1) 300,000
Demolition (Residential) (1) 250,000 250,000
Demolition (Commercial) (1) 100,000 100,000
Parks Master Plan (2) 150,000 150,000
Board & Secure 100,000 50,000 50,000
Weed Lot Maintenance (1) 150,000 150,000 200,000 50,000
Curran Hall 35,000 35,000 35,000
State Legislative Consulting 45,000 45,000 45,000
Environmental Youth (Parks) 37,500 37,500 37,500
American Disability Act (ADA) 30,000 30,000 30,000
Work Boots 25,000 25,000 25,000
Junction Bridge 25,000 25,000 25,000
Sister Cities 30,000 30,000 40,000 10,000
Sustainability Summit 20,000 20,000 20,000
Neighborhood Challenge Grant 30,000 30,000 30,000
National Night Out 10,000 10,000 10,000
Worldfest 10,000 10,000 10,000
Neighborhood Connection 2,400 2,400 2,400
Total General Fund Projects 8,593,320 8,609,110 8,903,320 294,210
GRANT MATCH
Undesignated 150,000 150,000 150,000
AEDC-CNG Station Grant 400,000
EPA Main Street Water 165,150 160,150 (160,150)
Cities of Service 140,601 20,000 137,695 117,695
AmeriCorps Housing Rehabilitation Program 75,000 75,000
Rockefeller Foundation 45,000 45,000
Outdoor Grant - Parks 60,000 60,000
Museum of Discovery 35,706 35,706
Juvenile Accountability Block Grant (JABG) 5,358 5,358
JARC DOT Van/Drivers for Homeless Center 56,276
Fire Grant Match:
Rescue Truck (20%) 75,000 (75,000)
Expanded Fire Program (20%) 10,000 (10,000)
Jumpstart (Metroplan) 50,000 (50,000)
Total Grant Match Requirement 912,027 465,150 508,759 43,609
GRAND TOTA
L
$9,505,347 $9,074,260 $9,412,079 $337,819
(1) The General Fund increased funding for demolition and weed lot maintenance to accommodate
the reduction in funding from Waste Disposal. In addition, the demolition budget was separated.
(2) Funding to update the Parks Master Plan for accreditation purposes was added to the 2015 budget.
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CITY OF LITTLE ROCK
2015 OPERATING BUDGETS
BY SERVICE PROGRAM CATEGORY
Public Safety
$130,649,488
Public
Health/
Public
Utilities
$18,641,572
Economic
Development
$653,042
Housing &
Neighborhood
Revitalization
$8,353,112
Transportation
$27,135,511
Leisure
Services
$22,483,042
General
Government
$26,708,043
All Other
Expenditures
$14,144,275
$248,768,085
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2014 % to 2015 % to
Service/Program Categor
y
Budget Total
B
u
d
get
Total
Public Safety
Police $67,200,859 $68,885,072
Fire 44,874,920 45,322,804
Street Lights, Traffic Signals & Signs 5,107,310 5,241,597
Little Rock District Court First Division 1,392,505 1,405,790
Animal Services 1,162,608 1,209,089
Little Rock District Court Second Division 1,247,286 1,248,245
Children, Youth & Families 5,500,000 5,500,000
Community Programs 738,081 773,578
Pulaski County Regional Detention Facility (1) 1,050,000 1,063,313
Total Public Safety 128,273,569 53.90% 130,649,488 52.52%
Public Health/Public Utilities
Waste Disposal 17,455,426 16,926,979
Little Rock District Court Third Division 627,185 626,782
Arkansas Emergency Physician Foundation 36,000 36,000
Saint Vincent's 25,381 25,381
Storm Drainage 925,032 970,330
Pulaski County Health Department 56,100 56,100
Total Public Health/Public Utilities 19,125,124 8.04% 18,641,572 7.49%
Economic Development/Employment
Little Rock Chamber of Commerce 200,000 200,000
Metroplan 178,042 178,042
Downtown Partnership/Empowerment Zone 160,000 175,000
Metro Little Rock Alliance 100,000 100,000
Total Economic Development/Employment 638,042 0.27% 653,042 0.26%
Housing and Neighborhood & Waste
Disposal Revitalization,
Growth & Development
Planning & Development Department 2,719,768 2,699,992
Alert Centers 744,129 791,325
Neighborhood Resource Center 230,755 231,506
Demolition, Weed Lot Maintenance, Board/Secure 937,610 1,071,820
Housing & Neighborhood Prog. Admin. 3,536,347 3,558,469
Total Housing & Neighborhood
Revitalization, Growth
8,168,609 3.43% 8,353,112 3.36%
CITY OF LITTLE ROCK
ADOPTED OPERATING BUDGETS BY SERVICE PROGRAM CATEGORY
2014 - 2015
(1) Supplemental jail funding is provided by a $20 local jail fine.
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2014 % to 2013 % to
Service/Program Categor
y
Budget Total
B
u
d
get
Total
Transportation Services
Central Arkansas Transit Authority 8,922,333 8,686,869
Streets 12,694,833 13,599,385
Parking 393,851 383,914
Parking Garages 2,224,167 2,196,750
Vehicle Storage Facility 1,321,150 1,359,144
Airport Rescue 899,666 909,449
Total Transportation Services 26,456,000 11.12% 27,135,511 10.91%
Leisure Services/Cultural Support
/
Conventions & Tourism
Parks & Recreation 9,615,778 9,984,036
Golf 2,278,665 2,500,404
Jim Dailey Fitness Aquatic Center 896,565 901,127
River Market 1,208,675 1,209,164
Zoo 6,488,801 6,733,727
Cultural Institutes:
Arts Center 400,000 550,000
Museum of Discovery 200,000 200,000
MacArthur Military Museum 198,913 199,896
Sister Cities Commission 30,000 40,000
Racial & Cultural Diversity Commission 160,368 164,688
Total Leisure Services/Cultural
Support/Conventions
21,477,765 9.03% 22,483,042 9.04%
G
enera
l
G
overnmen
t
S
uppor
t
Board of Directors 338,527 342,027
General Administrative 6,437,586 12,812,108
Finance 3,136,992 3,204,124
Human Resources 1,657,677 1,698,177
City Attorne
y
1,769,774 1,836,901
Information Technolog
y
4,358,322 4,679,784
Building Services/Asset Management 2,141,482 2,134,922
Total General Government Support 19,840,360 8.34% 26,708,043 10.74%
All
Oth
er
E
xpen
dit
ures
Fleet Services 13,985,688 14,144,275
Total Other Expenditures 13,985,688 5.88% 14,144,275 5.69%
Grand Total $237,965,157 100% $248,768,085 100%
Adopted Operating Budgets by Service Program Category
2014 - 2015
City of Little Rock
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$120,288,316
$126,585,371
$128,834,687
$-
$50,000,000
$100,000,000
$150,000,000
2013 2014 2015
CITY OF LITTLE ROCK
PUBLIC SAFETY REVENUES &
EXPENDITURES
COMPARISIONS
2013 2014 2015
Fire $43,859,037 $45,774,586 $46,232,253
Police 63,934,472 67,200,859 68,885,072
District Court First Division 1,179,375 1,392,505 1,405,790
District Court Second Division 1,186,390 1,247,286 1,248,245
District Court Third Division 583,991 627,185 626,782
Alert Centers 710,451 744,129 791,325
Neighborhood Programs (Rental Inspection) 2,382,845 2,936,213 2,936,131
Animal Services 951,756 1,162,608 1,209,089
Prevention Intervention & Treatment 5,500,000 5,500,000 5,500,000
Public Safety Expenditures $120,288,316 $126,585,371 $128,834,687
General Fund Revenue $185,532,008 $184,264,530 $194,740,211
Percentage of General Fund Expenditures Devoted
to Public Safety 65% 69% 66%
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CITY OF LITTLE ROCK
PUBLIC SAFETY OPERATING
EXPENDITURES AS A PERCENTAGE
OF GENERAL FUND REVENUE
2006-2015
$0
$50
$100
$150
$200
$250
2006
Actual
2007
Actual
2008
Actual
2009
Actual
2010
Actual
2011
Actual
2012
Actual
2013
Actual
2014
Forecast
2015
Forecast
(Millions)
General Fund Revenue Public Safety Expenditures
$119.7
$137.3
$143.9
$144.1
$141.1
$150.5
$180.2
$185.5
$128.8
$71.5
$85.2
$88.9
$97.2
$94.7
$91.1
$112.3
$120.3
$126.6
$184.3
58% 62% 62% 67% 67% 61% 62% 65% 69% 66%
$194.7
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Capital Improvements
City of Little Rock, Arkansas 2015 Operating Budget
CAPITAL FUNDING
State laws limit the use of borrowing for municipal purposes. General obligation
bonds, when approved by voters and secured by property tax levies, may be
issued for long-term capital improvements. Revenue bonds are not general
obligations of the City but are secured by specific revenues associated with a
project. They may be issued for certain specified municipal purposes.
The Capital Improvement Program (CIP) is a multi-year plan for capital
expenditures to replace and expand the City’s infrastructure, vehicles and
equipment. The program is updated annually to reflect the latest priorities, updated
cost estimates and available revenue sources.
The purpose of the CIP is to fund capital projects and capital acquisitions that will
be of a long-term benefit to the citizens of Little Rock. The CIP is financed over a
period of time due to the long-term benefit of the projects. For program purposes,
the City defines a capital improvement as a major improvement or acquisition that
results in a capital asset costing more than $5,000 and having a useful life
(depreciable life) of two years or more. Exceptions are for infrastructure assets
which are defined as having a constructed cost greater than $250,000.
Capital assets are depreciated using the straight-line method over their estimated
useful lives ranging from 15 – 50 years for infrastructure, 10 – 75 years for buildings
and 3 - 25 years for land improvements, vehicles and equipment. Depreciation
expense is charged directly to the department/function based on the department
that utilizes the related asset.
In addition, appropriations for special projects are made each year by the Mayor
and Board of Directors to finance specific events and capital outlays. These
projects are carried forward from year to year until they are fully expended or
repealed by the Mayor and Board of Directors by ordinance.
CAPITAL PROJECT FUNDS PROVIDED BY BOND ISSUES
These funds are derived from the proceeds of selling City general obligation bonds
and are used for major capital improvements.
2007 Capital Improvements – The 2007 Capital Improvements were issued to
finance the advance refunding of the City’s Capital Improvement Revenue
Bonds1998A and to pay the cost associated with the issuance of the Series 2007
Bonds. The Series 2007 bonds are not a general obligation of the City but are a
special obligation payable solely from the revenue received by the City from all
franchise fees charged to public utilities for the privilege of using the City’s streets
and right-of-way. The remaining funds available from interest earnings on these
bond funds have been allocated to the South Loop and Scott Hamilton Drive
improvements described in the Other Significant Non-recurring Capital
Improvements section.
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City of Little Rock, Arkansas 2015 Operating Budget
2012 Library Construction and Refunding Bonds – The 2012 Library
Construction and Refunding Bonds are limited obligations payable through 2032.
The Library Bonds were issued to finance the cost of acquiring, constructing, and
equipping capital improvements to the City’s public libraries operated by the
Central Library System, to refund the City’s outstanding Library Construction
Bonds, Series 2004A, and to pay the cost of issuance of the bonds. The bonds
are limited tax obligations payable solely from a 0.9 mill annual ad valorem tax.
2013 Capital Improvement Bonds – On September 11, 2012, citizens of Little
Rock approved the issuance of $105 million in Capital Improvement Bonds for the
purpose of Street and Drainage infrastructure improvements. The bonds are
limited tax general obligations secured by all proceeds derived from a separate 3.0
mills annual ad valorem tax on real and personal property located within the City.
The first series of bonds were issued in July 2013 in the amount of $58,105,000.
A second series will likely be issued around 2016. Overall, a maximum of
$73,500,000 will be issued to finance street improvements and a maximum of
$31,500,000 will be issued to finance drainage projects throughout the City.
CAPITAL PROJECT FUNDS PROVIDED BY OTHER SOURCES
2012 – 2021 Capital Project Fund – Accounts for the proceeds of a three eighths
(3/8)-cent local sales tax, implemented on January 1, 2012 for the purpose of
funding capital projects over a ten (10) year period. The temporary sales tax will
sunset in 2021 and is expected to raise approximately $196 million over the ten
(10) year period for the following projects:
3/8-Cent Sales Tax Capital Project Description Project Cost Estimate
Public Safety:
Police:
Police Equipment $303,000
Public Safety Radio System Upgrade 9,000,000
911 / 311 Communications Software 2,600,000
12
th
Street Mid-Town Police Station 9,970,000
Main Police Headquarters & Courts Building 9,000,000
West Little Rock Police Station 1,000,000
Fire:
West Little Rock Fire Station 800,000
Southwest Fire Station 4,050,000
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City of Little Rock, Arkansas 2015 Operating Budget
Housing and Neighborhood Programs:
Code Enforcement Vehicles and Equipment 397,000
Animal Village Expansion 602,000
Fleet for New Public Safety Initiatives:
Fleet for new Police Staffing and Fire Stations 3,567,000
Total Public Safety $41,289,000
Public Works:
Street Resurfacing and Maintenance, and
Street and Drainage Reconstruction and Traffic
Signals
$67,500,000
Sidewalks 4,500,000
Total Public Works $72,000,000
Jobs/Economic Development:
Port Expansion: land acquisition, utilities, streets $10,000,000
Research Park: land acquisition, utilities, streets 22,000,000
Economic Development Infrastructure 6,000,000
Total Jobs/Economic Development $38,000,000
Parks and Recreation, Zoo and Tourism:
Parks and Recreation:
Equipment for Expanded Maintenance $250,000
Park Upgrades 4,500,000
West Central Community Center 6,000,000
Senior Center 980,000
Ottenheimer Center 54,000
War Memorial Park 500,000
MacAuthur Park & Museum 500,000
Otter Creek Park 500,000
Crump Park 1,000,000
Natural Steps Ball Complex 500,000
Western Hills Park 1,000,000
Trails 1,500,000
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City of Little Rock, Arkansas 2015 Operating Budget
Zoo:
Capital Upgrades 8,000,000
Tourism:
State Fair Infrastructure 3,000,000
Total Parks and Recreation, Zoo and Tourism $28,284,000
Other Priorities:
Fleet Replacement $9,250,000
Information Technology Capital 7,020,000
Total Other Priorities $16,270,000
Grand Total $195,843,000
Short-term Financing – Accounts for proceeds of Short-term Financing, five year
notes, issued for the purpose of acquiring, constructing, installing, or renting real
property or tangible personal property having an expected useful life of more than
one year under and pursuant to and in full compliance with the Constitution and
laws of the State of Arkansas, including particularly Section 2 of Amendment 78 to
the Constitution of the State of Arkansas, and pursuant to an ordinance of the
Board of Directors of the City.
The City issued short-term financing notes in 2012, 2013, and 2014 in the amount of
$18,850,000, $7.7 million, and $5,916,000, respectively, to accelerate the completion
of projects that will ultimately be funded by 2012 – 2021 Capital Project Fund (3/8)-
cent sales tax. Proceeds of the three-eighths (3/8)-cent sales tax will be utilized to
fund principal payments on the notes, with transfers to the General Fund. Principal
and interest payments on the notes will be appropriated from General Fund
revenues. In addition, the City may consider the issuance of additional short-term
notes to further accelerate projects funded by the sales tax.
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City of Little Rock, Arkansas 2015 Operating Budget
The 2012 note included funding for the following projects:
The 2013 note included funding for the following projects:
The 2014 note included funding for the following projects:
Land and Buildings
12th Street Mid-town Police Station $7,976,000
West Little Rock Police Station 1,000,000
West Little Rock Fire Station 543,000
Southwest Fire Station - Land Acquisition 366,000
9,885,000
Equipment and Vehicles
Public Safety Radio Communication System Upgrade 6,109,000
Fleet - Police vehicles for new officers and Fire Truck for
West Little Rock Station 2,189,000
Code Enforcement Vehicles and Equipment 397,000
8,695,000
$18,580,000
Land and Buildings
Southwest Fire Station $459,000
459,000
Equipment and Vehicles
Public Safety Radio System Upgrade 2,891,000
311/911 Communications Software 2,350,000
Information Technology Capital 2,000,000
7,241,000
$7,700,000
Land and Buildings
12th Street Police Station - Final Phase $1,994,000
1,994,000
Equipment and Vehicles
Information Technology Capital 1,000,000
Fire Vehicles and Equipment 2,922,000
3,922,000
$5,916,000
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City of Little Rock, Arkansas 2015 Operating Budget
A 2015 Short-term note is anticipated to fund the following:
Land and Buildings
West Central Community Center $4,371,812
4,371,812
Equipment and Vehicles
Thirty (30) Police Vehicles 1,338,000
One hundred (100) Police Tasers 200,000
1,538,000
$5,909,812
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City of Little Rock, Arkansas 2015 Operating Budget
2015 CAPITAL IMPROVEMENTS
In September 2012, citizens authorized the issuance of up to $105 million in limited
tax general obligation bonds for street and drainage improvements. The City
issued the first series of bonds for this purpose in the amount of $58,105,000 in
July 2013.
In September 2011, citizens approved a new three-eighths (3/8)-cent sales tax
dedicated to capital improvements. The sales tax became effective on January 1,
2012. The tax is temporary, with a ten (10) year sunset. Several short-term notes
have been issued to advance key capital projects funded by the tax.
In addition, limited funding for capital improvements has been available from
capital grant awards or from the remaining unspent proceeds and interest in the
2007 Capital Improvements Bond fund, and other short-term financing. The
remaining balances are authorized primarily for street and drainage improvements,
waste collection and disposal vehicles and equipment, and fire and police buildings
and equipment.
The injection of new capital provided by the three-eighths (3/8)-cent sales tax,
bond issues, grant funds, and short-term financing, and the future impact of
completed projects on ongoing operations is considered in preparation of annual
departmental operating budgets.
Projects in the CIP can include:
Obligations for labor and materials and contractors involved in completing
a project
Acquisition of land or structures
Engineering or architectural services, professional studies, or other
administrative costs
Expenses for City vehicles and equipment
Renovating or expanding City facilities, grounds, or equipment
When both restricted and unrestricted resources are available for use, it is
generally the City’s policy to utilize restricted resources first. For projects funded
by tax-exempt debt proceeds and other sources, the debt proceeds are utilized
first.
Purchased or constructed capital assets are reported at cost or estimated historical
cost. Donated capital assets are recorded at their estimated fair value at the date
of donation.
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City of Little Rock, Arkansas 2015 Operating Budget
MAJOR CAPITAL PROJECTS
Capital expenditures in the amount of approximately $38,155,000 are planned in
2015 and are funded by a variety of sources as described in detail below.
CIP – Significant Routine Capital Expenditures:
These expenditures are recurring in nature, replace existing assets on a rotating
schedule and do not have additional operating expense requirements.
CIP – Significant Non-Routine Capital Expenditures and Projects:
These expenditures occur less frequently and are more material. However; they
also replace existing assets and do not have additional operating expense
requirements.
Department Quanity
Estimated
Cost
Estimated
Useful Life Funding Source
Zoning/Planning
Crew Trucks for Codes 3 $70,000 6 - 8yrs 3/8-cent Sales Tax - Capital Project
Housing & Neighborhood Programs
Dodge Ram Tradesman 4 96,000 6 - 8yrs 5/8-cent Sales Tax - Special Project
Ford Fiesta 2 30,000 6 - 8yrs 5/8-cent Sales Tax - Special Project
Kubota Mowers 2 14,000 6 - 8yrs 5/8-cent Sales Tax - Special Project
Parks & Recreation
Grapale Truck 1 225,334 8 - 10yrs 5/8-cent Sales Tax - Special Project
Golf Equipment Var. 239,666 6 - 8yrs 5/8-cent Sales Tax - Special Project
Fire Administration
Sedans 2 50,000 6 yrs 5/8-cent Sales Tax - Special Project
Police Patrol
Various Patrol & Detective Cars TBD 156,000 6yrs 5/8-cent Sales Tax - Special Project
Zoo
Sky Lift 1 65,000 6-8yrs 3/8-cent Sales Tax - Capital Project
Carts 3 37,000 6 yrs 3/8-cent Sales Tax - Capital Project
Fleet
Conversion of CNG vehicles 5 30,000 8-10yrs 3/8-cent Sales Tax - Capital Project
Other $21,600
$1,034,600
CNG=Compressed Natural Gas
Department Quanity
Estimated
Cost
Estimated
Useful Life Funding Source
Fire
Fire Trucks (Lease Program) TBD 610,244 15-20yrs 3/8-cent Sales Tax - Capital Project
$610,244
TBD=To be determined
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City of Little Rock, Arkansas 2015 Operating Budget
CIP - Other Significant Non-recurring Capital Improvements:
These projects are unusual, non-recurring capital improvement projects funded by
the new 3/8-cent sales tax, grant awards, short term financing, private donations
and other sources.
12
th
Street Police Station – The 12th Street Police Station will be a police facility
capable of eventually supporting a police patrol division similar to those currently
in service on Kanis Road in Northwest Little Rock and on Baseline Road in
Southwest Little Rock. The building is anticipated to be approximately 11,000
square feet and will provide office and equipment space for patrol officers and
detectives assigned to the general area surrounding the facility.
Estimated Total Project Cost: $13,152,028
Funding Sources: Short Term Financing allocations, Justice Assistance
Grant funds, CDBG Disaster Grant funds, Seized Money funds, and 3/8 cent
sales tax
2015 Estimated Expenditures: $600,052
Estimated Completion Date: April, 2015. Partial occupancy took place in
July, 2014. Full occupancy is expected by April, 2015
Estimated Increase to Operating Expenditures: Increased operating
expense of $150,000 is projected for utilities, maintenance, and supplies,
which is included in the 2015 Police Department general fund budget
allocation. Existing personnel and equipment will be reassigned to the new
station.
West Little Rock Police Station Renovation – The City plans to acquire and
renovate an existing structure in West Little Rock along the Highway 10 corridor.
The station will provide an additional fueling location and mini-substation for
officers assigned to the far west area of Little Rock.
Estimated Total Project Cost: $1,000,000
Funding Sources: Short Term Financing allocation, 3/8-cent sales tax
2015 Estimated Expenditures: $995,000
Estimated Completion Date: December 2015
Estimated Increase to Operating Expenditures: Increased operating
expense of approximately $150,000 is projected for fuel, utilities, and
supplies, which will be included in the 2015 Police Department budget
allocation.
911/311 Communications Software – Upgrade of the existing telephone and
recording systems in the Communications Center; upgrade of the 9-1-1 Computer
Assisted Dispatch (CAD) software; upgrade of the existing 3-1-1 Customer Service
Request (CSR) software; upgrade of consoles, furnishing and hardware support
environment in the Communications Center to accommodate new systems.
Estimated Total Project Cost: $2,600,000
Funding Sources: Short Term Financing allocation, 3/8-cent sales tax
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City of Little Rock, Arkansas 2015 Operating Budget
2015 Estimated Expenditures: $895,000
Estimated Completion Date: December, 2015
Estimated Increase to Operating Expenditures: There should not be any
additional operating expense associated with this upgrade, as the
anticipated maintenance expense is expected to be comparable to or less
than current maintenance requirements.
Southwest Little Rock Fire Station – The Little Rock Fire Department is
beginning plans for a new fire station in Southwest Little Rock, which will be funded
with proceeds of the 3/8-cent sales tax. The City completed the purchase of land
for the new station in 2014 and begin architectural plans. Construction of the
station has been delayed until 2016.
Estimated Total Project Cost: $4,050,000
Funding Sources: Short-term financing allocation; 3/8-cent sales tax
proceeds
2015 Estimated Expenditures: $0
Estimated Completion Date: December, 2016
Estimated Increase to Operating Expenditures: Twenty-four (24) new fire
fighters will be added to staff the new station at an estimated first year cost
of approximately $1.6 million. The fire firefighters may be phased in with
initial staffing of twelve (12). In addition, increased operating expense of
$50,000 is projected for utilities and supplies, which will be included in the
Fire Department budget allocation upon completion of the new facility.
Animal Village Expansions – Animal Village expansion includes an animal intake
area that will allow staff to assess, treat and clean animals. In addition, a cat
communal display area for citizens to view and interact with adoptable cats is
planned, along with a volunteer prep area, animal control officer quarters, and a
vehicle bay. 2015 expansion is dedicated to a new crematorium and euthanasia
area.
Estimated Total Project Cost: $602,000
Funding Sources: 3/8-cent sales tax proceeds
2015 Estimated Expenditures: $160,000
Estimated Completion Date: October, 2015 (crematorium and
euthanasia); 2021 for other phases of the project.
Estimated Increase to Operating Expenditures: An increase in operating
expenses of $10,000 is anticipated for utilities to be included in the Housing
and Neighborhood Programs – Animal Village budget.
AR Heritage Farm Project – Little Rock received Federal Parks Grant funding to
assist with the renovation of the Zoo Farm Exhibit. The construction will include a
new barn, poultry buildings and interactive animal feeding area. This project will
be ADA accessible for all guests.
Estimated Total Project Cost: $756,000
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City of Little Rock, Arkansas 2015 Operating Budget
Funding Sources: 3/8-cent sales tax $631,000, Federal Parks Grant
$125,000.
2015 Estimated Expenditures: $742,050
Estimated Completion Date: July 2015 (2014-2015 Project)
Estimated Increase to Operating Expenditures: Increased operating
expenses of $87,400 are projected for utilities, maintenance, animal food,
supplies and staffing, which will be included in the 2015 Zoo general fund
budget allocation.
AR Heritage Farm Graphics Project – All area signage including, interpretive
educational and animal ID signage for new exhibit. This signage is to identify each
species and interpretation to teach guests and school groups need for
conservation, necessity of AR farming and how it affects our economy.
Estimated Total Project Cost: $75,000
Funding Sources: 3/8-cent sales tax $75,000,
2015 Estimated Expenditures: $75,000
Estimated Completion Date: July 2015 (2014-2015 Project)
Estimated Increase to Operating Expenditures: There should not be any
additional operating expenses associated with this exhibit other than routine
maintenance covered by Zoo operating budget.
Reticulated Python Project – To meet AZA accreditation requirements the Zoo
will convert the existing Animal Enrichment Display to the reticulated python exhibit
for holding of a very large snake.
Estimated Total Project Cost: $25,000
Funding Sources: 3/8-cent sales tax $25,000
2015 Estimated Expenditures: $25,000
Estimated Completion Date: June 2015
Estimated Increase to Operating Expenditures: There should not be any
additional operating expenses associated with this exhibit other than routine
maintenance covered by Zoo operating budget.
Train Pit Renovation – To meet AR OSHA requirements an expanded pit must
be constructed for use to service the new train at the Zoo. This pit is used for fluid
changes and other routine maintenance.
Estimated Total Project Cost: $25,000
Funding Sources: 3/8-cent sales tax $25,000
2015 Estimated Expenditures: $25,000
Estimated Completion Date: May 2015
Estimated Increase to Operating Expenditures: There should not be any
additional operating expenses associated with this exhibit other than routine
maintenance covered by Zoo operating budget.
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City of Little Rock, Arkansas 2015 Operating Budget
Gray Water Treatment Plant – In partnership with the Parks Department to
promote conservation and to reduce Zoo water consumption. This plant will also
catch the water run-off from the War Memorial Water Park repurposing to gray
water for use at the Bear/Otter/Bush Dog Exhibits.
Estimated Total Project Cost: $46,000
Funding Sources: Zoo General Deferred Maintenance Fund, Special
Project Fund from Sale of Ray Winder Field
2015 Estimated Expenditures: $23,860
Estimated Completion Date: July 2015 (2014-2015 Project)
Estimated Increase to Operating Expenditures: The only additional
costs for this project are utilities and chemicals (approximately $1200 per
year) to operate the plant, which will be covered by the savings from
reduction in water expenses.
Bush Dog & Otter Exhibit Renovation – To upgrade the exhibit to meet current
AZA, USDA and AR OSHA requirements. The open moats will be filled in,
secondary containments built and adequate shading to protect the animals along
with visitor viewing areas for better guests experiences.
Estimated Total Project Cost: $550,000
Funding Sources: 3/8-cent sales tax $550,000
2015 Estimated Expenditures: $550,000
Estimated Completion Date: May 2015
Estimated Increase to Operating Expenditures: There should not be any
additional operating expenses associated with this exhibit other than routine
maintenance covered by Zoo operating budget.
War Memorial Park Improvements – War Memorial Park is undergoing a
transformation to create it as a premier park. Improvements are proposed to
increase participation from a large cross section of the community and to become
a destination park from early morning to late at night. Utilizing spaces focused on
Coleman Creek, park upgrades will entail better access and enhancements to the
pond area and along the entire stretch of Coleman Creek; restoration of Coleman
Creek; entry enhancements; approximately one mile of trail; playground; water
feature; new parking areas and supporting amenities.
Estimated Total Project Cost: $1,375,000
Funding Sources: 2009 Parks and Recreation bonds funded the first
$1,225,000 of the project. Additional improvements including the stream
restoration will be funded by the 3/8-cent sales tax.
2015 Estimated Expenditures: $150,000
Estimated Completion Date: December, 2015
Estimated Increase to Operating Expenditures: Increased operating
expense of $162,690 is projected for staffing, utilities, maintenance, and
supplies based on the acreage of the Park.
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City of Little Rock, Arkansas 2015 Operating Budget
West Central Community Center – The West Central Community Center and
Pool will be constructed over the next few years with proceeds from the new 3/8-
cent sales tax. The community center will be an approximately 24,000 square feet
facility to provide life style leisure and educational choices for family members.
Estimated Total Project Cost: $6,200,000
Funding Sources: 3/8-cent sales tax proceeds
2015 Estimated Expenditures: $5,500,000
Estimated Completion Date: April, 2016
Estimated Increase to Operating Expenditures: The operating expense
for staffing, utilities, maintenance, and supplies is expected to be
approximately $565,000 in the first full year of operation. Parks staff will
determine costs in preparation for the 2016 operating budget.
Information Technology –.The City will be upgrading various technology
infrastructure, hardware and software over the next ten (10) years with proceeds
from the temporary 3/8-cent sales tax. The total estimated allocation of proceeds
for technology expenditures from 2012 – 2021 is $7,020,000. The primary
expenditure for 2015will be City website upgrade and Voice over Internet Protocol
(VoIP) phone system.
Estimated Total Project Cost: $7,020,000
Funding Sources: 3/8-cent sales tax proceeds
2015 Estimated Expenditures: $400,000
Estimated Completion Date: December, 2015
Estimated Increase to Operating Expenditures: Ongoing maintenance
expenditures will be phased in with the completion of various projects and
will be included in the repairs and maintenance budget for the Information
Technology Department operations each year. The repairs and
maintenance for the VoIP phone system will be cost allocated across all City
departments based on the number of phones in use.
Cantrell Road (Mississippi Street to the Perryville Road) – The City of Little
Rock has agreed to partner with the Arkansas State Highway Department,
providing a local match for approximately a $10 million project to improve State
Highway10, Cantrell Road from Mississippi Street to Perryville Road. The AHTD
will handle construction.
Estimated Total Project Cost: Includes engineering, land acquisition,
utility relocation and construction cost.
Funding Sources: Federal Highway Administration $9,540,000. City
share: 2013 Infrastructure Bonds – $954,000;
2015 Estimated Expenditures: $10,000 (possible ROW)
Estimated Completion Date: December, 2015
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
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City of Little Rock, Arkansas 2015 Operating Budget
Scott Hamilton Drive – The City of Little Rock expects to receive approximately
$2.25 million from federal highway grants and the Arkansas State Highway
Department’s Transportation Improvement Program for improvement to the street
from Baseline Road to JE Davis Drive. The AHTD will handle the land acquisition
process and construction for the City.
Estimated Total Project Cost: $2,885,000; Includes engineering and
construction cost of $2,249,000 and right-of-way and utility relocation cost of
$636,000.
Funding Sources: Federal Highway Administration Discretionary Allocation
through Metroplan for Local Urban Projects (LUZA) - $2,250,000; 1998
Infrastructure Bonds - $635,000;
2015 Estimated Expenditures: $20,000 (change orders)
Estimated Completion Date: December, 2015
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
South Loop Grade Separation – The City of Little Rock received approximately
$6.82 million from federal highway administration grants and the Arkansas State
Highway Department’s Transportation Improvement Program for construction of a
new street and railroad overpass connecting Mabelvale West Road to Alexander
Road. The initial right-of-way acquisition process was completed in 2011 and
construction was substantially completed in 2013.
Estimated Total Project Cost: $8.53 million; Includes engineering and
construction cost of $6.88 million and right-of-way and utility relocation cost
of $1.65 million.
Funding Sources: Federal Highway Administration Grants - High Priority
Project Funding $6,822,000; 1988 Capital Improvement Bonds - $1,147,000;
Street Fund $469,700.
Estimated Completion Date: The project was placed in service in 2013
and is now pending final inspection and payment by the AHTD in 2015.
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
Arkansas River Trail Western Termini of the River Bluffs Section – Little Rock
received funding from the Department of Transportation, Transportation
Alternative Program (TAP) to complete another section of the trail. The new
construction will start from the eastern end of the North Cantrell Road at the Gill
Street Bridge and run along the river of the Dillard Department Store Headquarters’
western property line. The City of Little Rock funded an eight foot connector trail
that will tie trail to the sidewalk on the north side of Cantrell Road.
Estimated Total Project Cost: $960,000
Funding Sources: TAP Grant $590,000; match amount of $97,500 from
the General fund; and capital improvement funds of $272,500
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City of Little Rock, Arkansas 2015 Operating Budget
2015 Estimated Expenditures: $750,000
Estimated Completion Date: 2015
Estimated Increase to Operating Expenditures: Not Applicable. Trail
maintenance will be performed with the current allocation included in the
Parks & Recreation budget.
North Cantrell at Gill Street Bridge Replacement – Little Rock expects to
receive a State Aid Bridge Replacement grant from the Arkansas Highway and
Transportation Department. The project will replace an obsolete and deteriorating
bridge over Rose Bayou (Capitol Drain) with a new two lane bridge that will include
dedicated bike lanes for the River Trail.
Estimated Total Project Cost: $650,000
Funding Sources: Metroplan (Federal Highway Administration) $520,000;
and City matching funds $130,000.
2015 Estimated Expenditures: $350,000
Estimated Completion Date December, 2016
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual allocations for street
maintenance in the Street Fund budget and from the Parks and Recreation
maintenance budget.
Arkansas River Trail Union Pacific Bridge – Little Rock received General
Improvement funds from Act 1210 of 2005 and the State of Arkansas to build a
pedestrian/bike bridge over the Union Pacific Rail Road Bridge as part of the
Arkansas River Trail.
Estimated Total Project Cost: $1,033,000
Funding Sources: State of Arkansas General Improvement Fund in the
amount of $1,033,000.
2015 Estimated Expenditures: $750,000
Estimated Completion Date: August, 2016
Estimated Increase to Operating Expenditures: The operating expenses
are included in the Parks & Recreation budget.
University Avenue Signal System Optimization – Little Rock received notice
from Metroplan that funding would be available to construct an adaptive traffic
signal control system in the University Avenue corridor from Cantrell Road (State
Highway 10) to Interstate 30. This system would reduce delay at signalized
intersection and improve traffic flow through the corridor.
Estimated Total Project Cost: $1,152,000
Funding Sources: Transportation Improvement Project Funds $921,600;
Street Fund $230,400
2015 Estimated Expenditures: $200,000
Estimated Completion Date: December, 2016
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City of Little Rock, Arkansas 2015 Operating Budget
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
Geyer Springs Railroad Overpass – Little Rock received notice from Metroplan
and the Arkansas Highway and Transportation Department that funding would be
available to construct a long-planned street railroad on Geyer Springs just north of
65
th
.
Estimated Total Project Cost: $10 million
Funding Sources: Transportation Improvement Project Funds $8 million;
2013 Bond Funds $2 million
2015 Estimated Expenditures: $750,000
Estimated Completion Date: September, 2016
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
Main Street Water Quality Grant – Little Rock has received a grant from the
Arkansas Natural Resources Commission (ANRC) and the Environmental
Protection Agency to construct low impact development improvements on Main
Street from Markham to Capitol Avenue. The project includes a partnership with
the E-Stem School for water quality education.
Estimated Total Project Cost: $2.42 million
Funding Sources: ANRC Grant $900,000 million; Designated Grant Match
$478,000; 3/8-cent Sales Tax Funds $555,000; and 2013 Bond Funds
$487,000.
2015 Estimated Expenditures: $1 million
Estimated Completion Date: August, 2015
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
Public Works 3/8-Cent Sales Tax Street Resurfacing and Drainage Projects
The new 3/8-cent sales tax will provide funding for approximately $72 million in
street resurfacing and maintenance, street drainage reconstruction, traffic signals,
traffic calming, and sidewalks over the next ten (10) years. The Board specified
projects for the 2012 improvement program and all those projects are substantially
complete. Following a series of community meetings, the Board has specified
projects for the 2013 - 2015 improvement program. Additional community
meetings will be held beginning in 2015 to determine the 2016-2018 program and
in 2018 for the 2019-2021 program.
Estimated Total Project Cost: $72,000,000
Funding Sources: 3/8-cent sales tax
2015 Estimated Expenditures: $6.0 million
Estimated Completion Date: December, 2016 (2012-2015 projects)
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City of Little Rock, Arkansas 2015 Operating Budget
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
Ward Project Location Project Cost
1 23rd Street Drainage Drainage Pettaway Park to 23rd St. $80,000
1 26th Street Fair Park to Harrison 525,000
1 8th & Brown St Drainage improvements 500,000
1 Daisy L Gatson Bates Drainage improvements 2400 block 100,000
1 Elm Street West 26th south to West 27th. 150,000
1 MLK Blvd Drainage improvements 28th to 30th. 100,000
1 N Gaines Connect north end of Gaines to River Trail 25,000
1 Schiller St Drainage improvements 23rd to Roosevelt 100,000
1 South Tyler West 30th to West 32nd. 370,000
1 Valmar Repair drainage at 2209 Valmar. 110,000
1 Woodlane St Drainage improvemetns Victory to Capitol Drain 400,000
1 Ward 1 Sidewalk Miscellaneous Sidewalk 140,000
1 Total 2,600,000
2 Abigail St 8th to 10th 370,000
2 Adams St 12th St north to I-630. 1,000,000
2 Butler Rd Butler Road at Allyson Circle 15,000
2 Lancaster Drainage 5900 block Lancaster Rd and Lyndell Dr. 150,000
2 Tamela Dr Drainage improvements Valley to Ramona Dr. 45,000
2 Westminister Dr Street and drainage improvements at #45 20,000
2 Windamere Phase 2 Continuation of drainage work Windamere to Carlyle 100,000
2 Woodson Rd Young Road to Hallifax 900,000
2 Total 2,600,000
3 Clarkson St C Street to H Street 300,000
3 Florida Street L Street to M Street 280,000
3 Hawthorne / Tyler Drainage improvements at Tyler Street 170,000
3 N Pine St Lee to Kavanaugh 375,000
3 Overlook Drive Drainage Rebsamen to Greathouse 120,000
3 P St Peirce to Taylor 430,000
3 Sherrill Road Rebsamen Park to N Sherrill 650,000
3 W Street Grant to University 275,000
3 Total 2,600,000
4 Breckenridge Drive Drainage improvements 2600 block 95,000
4 Echo Valley Ct Drainage improvements 9900 block 100,000
4 Gristmill Rd Drainage improvements 190,000
4 Longlea Ct Drainage improvements at #63 105,000
4 Northbrook Circle Drainage improvemetns Northbrook to Brookhaven 100,000
4 Pleasant Valley Drainage improvements near Fulbright School 120,000
4 Pleasant Valley Roundabout at Pleasant Valley and Arkansas Valley 600,000
4 River Mtn Rd Corrugated metal pipe rehabilitation 175,000
4 Rodney Parham Bike lanes markings Valley Club north to Cantrell 470,000
4 Rodney Parham at Buff Drainage improvements at Buff Lane 175,000
4 Russ St Cantrell to Pankey Park 250,000
4 White Willow Ct Drainage improvements 120,000
4 Ward 4 Sidewalk Miscellaneous Sidewalk 100,000
4 Total 2,600,000
Public Works 3/8-Cent Sales Tax
Street and Drainage Projects (2012-2015 Projects)
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City of Little Rock, Arkansas 2015 Operating Budget
Ward Project Location Project Cost
5 Bradberry Dr Drainage improvements Bradberry to Sawgrass 60,000
5 Dorado Beach Dr Replace culvert 1600 block 120,000
5 Dorado Beach Dr Drainage improvements 1400 block 40,000
5 Gamble Rd Arthur north to mid 200 block 960,000
5 Heatherbrae/Glenn Valley Culvert crossing Glenn Valley at Stone Creek 60,000
5 LaMarche Drive New roadway LaMarche Dr north to Taylor Loop 900,000
5 Ledgelawn Dr Replace culvert at #7 80,000
5 Maywood Subdivision Drainage improvements Aberdeen to Cantrell 200,000
5 Taylor Loop Drainage Improvements on Taylor at Gooch 150,000
5 Traffic Calming Miscellaneous 30,000
5 Total 2,600,000
6 36th St & Schackleford Shackleford to Dartmoth w/sidewalk on Shackford 515,000
6 Broadmoor Subdivision Repair curb and gutter at multiple locations 20,000
6 Malloy St 42nd St to Col. Glenn 1,100,000
6 Potter St Colonel Glenn to 40th St. 800,000
6 Ward 6 Sidewalk Miscellaneous Sidewalk 165,000
6 Total 2,600,000
7 Dartmoor at Mann Rd Drainage improvements 20,000
7 Marlborough St Young Road to Halifax 600,000
7 Meadowcliff Sidewalk Meadowcliff School on Sheraton Dr. and Edgemont 330,000
7 Sandy Lane / Shady Brook Drainage improvements 150,000
7 Shelia Lane & Meyer Rd Drainage improvemetns Shelia Lane at Meyer 220,000
7 Thompson Rd Drainage improvements 85,000
7 Victoria / Woodford Install underground drainage system. 250,000
7 Ward 7 Sidewalk Miscellaneous Sidewalk 50,000
7 Yarberry Lane Chicot to Deer Meadow 895,000
7 Total 2,600,000
rand Total $18,200,000
Estimated 2015 Expenditure $6 million
Public Works 3/8-Cent Sales Tax
Street and Drainage Projects (2012-2015 Projects)
FROM TO
1 W. 22nd St Harrison St Cedar Street 4,212
1 S. Van Buren St W. 21st St W. 22nd St 316
1 Battery St Roosevelt Rd W. 29th St 1,300
1 W. 30th St Wolfe St Martin Luther King Jr 1,050
1 3-M Rd HWY 365 S. Rangel Rd 2,670
1 W. 28th St Martin Luther King Jr Wolfe St 1,000
1 W. 17th St Main St Broadway St 1,400
1 Wright Ave Chester St Martin Luther King Jr 1,500
1 Joshua St Asher Ave S. to end at gate 170
1 Ventura Ave E. 9th St S. to end at gate 495
1 S. Cross St W. 2nd St W. Capitol Ave 960
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FROM TO
1 Wolfe St Roosevelt Rd Wright Ave 2,580
1 W. 33rd ST Center St Arch St 1,105
1 Broadway St W. 33rd St W. 34th St 500
1 Baltimore St Springer Blvd Detroit St 1,450
1 Spring St W. 18th W. 23rd 1,876
1 Park St Wright Ave 24th Street 2,160
1 Center Street (conc 23rd
to 20th)
Charles Bussey Roosevelt Rd 2,111
1 Chester Street I-630 Roosevelt Rd 5,960
1 W. 6th Street Main Street Chester Street 3,170
1 East 6th Street I-30 Rock Street 1,380
1 W. 30th Street Wolfe Street Martin Luther King Jr 1,050
1 Battery Street Roosevelt Road W. 29th Street 1,300
1 W. 28th Street Martin Luther King Jr Wolfe Street 1,000
1 Marshall Street Roosevelt Road end south of W. 33rd 3,160
1 Gaines Street W. 17th Street Roosevelt Road 3,210
1 Summit Street W. 29th Street Valliere Street 1,315
1 Valliere Street Battery Street Summit Street and 323
1 Valentine Street W. 25th Street Asher Avenue 340
1 Brown Street W. 23rd Street Asher Avenue 310
1 Daisey Bates Drive Martin Luther King Jr Woodrow Street 4,260
1 Daisey Bates Drive Martin Luther King Jr Commerce Street 6,360
1 Sherman Street E. Capitol Avenue E. 9th Street 1,290
1 Rock Street East 21st Street East 24th Street 1,030
1 W. 35th Street Chester Street Martin Luther King Jr 1,190
1 Minor Street W. 18th Street Charles Bussey Avenue 655
1 W. 23rd Street Main Street Broadway Street 1,415
1 Short Spring Street W. 33rd Street south to end 340
1 W. 22nd Street Wolfe Street Park Street 1,300
1 W. 29th Street Asher Ave Fair Park Boulevard 4,487
1 E. 4th Street Main Street Ferry Street 2,220
1 W. Roosevelt Road
(AHTD ROW)
Battery Street Woodrow Street 2,975
1 7th Street Broadway Street Ferry Street 3,640
1 W. 15th Street Woodrow Street Brown Street 1,365
1 State Street W. 28th Street Short W. 32nd Street 1,575
1 Main Street (AHTD grant
- bike lanes, full mill)
17th Street Roosevelt Road 2,900
1 Main Street (AHTD grant
- bike lanes, full mill)
I-630 17th Street 1,870
1 Main Street (overlaps
AHTD grant project)
Roosevelt Road W. 24th Street 525
STREET NAME
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City of Little Rock, Arkansas 2015 Operating Budget
FROM TO
2 Hendrix Ave W. 14th St South to End 600
2 Scott Hamilton Dr
(MILLING/civil project?)
I:30 R.O.W. W. 65th St 3,100
2 Lovett Dr Sunset Lane East to end of pavement 665
2 Margie Cir Loetscher Lane, South to
90° turn to the East
Sunset Ln 1,428
2 South Heights Rd Baseline Rd, South to
begin private section @
entrance to Southern
Pines Mobil Home Park
Entrance to Southern
Pine Mobile Park
1,226
2 Community Rd Baseline Rd Dead End 2,034
2 Christian Dr Scott Hamilton Rd Community Rd 647
2 Republic Lane Valley Drive Rinke Road 2,100
2 Palo Alto Dr Geyer Spring Road East to end 740
2 Trenton Lane Geyer Spring Road Republic Lane 1,100
2 Elmore Rd Warren Rd Stillman Dr 1,465
2 Arnold St Baseline Rd N. to end 627
2 Redwood Dr Warren Dr Oakgrove Ln 1,375
2 Valley Dr Mabelvale Cutoff Valley Dr 2,534
2 W. 28th St S. University Ave S. Fillmore St 1,270
2 Geyer Springs Rd Valley Drive Mabelvale Cutoff 2,375
2 Knollwood Rd Warren Dr Oakgrove Ln 1,375
2 Woodfield Rd Warren Dr Stillman Dr 1,485
2 Warren Dr Valley Drive N. Dead end @ Fairfield Dr 1,345
2 Sunnydale Dr Mabelvale Pike Mabelvale Pike 1,580
2 Primrose Ln Mabelvale Pike W. 51st St 664
2 W. 51st St Maureen Dr Mabelvale Pike 1,585
2 Hinkson Rd Geyer Spring Rd Oman Rd 1,950
2 Windamere Drive Geyer Springs Road east to end incl culdesac 1,233
2 S.University Ave (East
half)
Asher Avenue W. 19th Street 6,300
2 Saxony Circle Queensboro Drive Queensboro Drive 3,650
2 Shelly Drive Baseline Road Keats Drive 1,422
2 Kipling Lane Dickens Lane Dreher Lane 665
2 Kipling Court Kipling Lane east to end 250
2 Dickens Lane Keats Drive Dreher Lane 980
2 Wordsworth Drive Dreher Lane east to end 150
2 Dreher Court Dreher Lane east to end 85
2 Worton Drive Dreher Lane north to end 135
2 Chaucer Lane Keats Drive Carlyle Drive 1,630
2 Carlyle Drive Geyer Springs Road Chaucer Lane 1,340
2 Terryson Drive Chaucer Lane Walpole Drive 210
2 Queensboro Drive Geyer Spring Road Saxony Circle 840
2 Wemberly Drive Saxony Circle Saxony Circle 1,040
STREET NAME
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FROM TO
2 Northcliff Drive Saxony Circle Susanne Drive 290
2 Susanne Drive Fairfield Drive South to End 1,130
2 Fairfield Drive Susanne Drive Oakgrove Lane 2,200
2 Jacques Road Fairfield Drive Tena Lane 985
2 Tena Lane Jacques Road Susanne Drive 510
2 Delilah Lane Jacques Road Susanne Drive 530
2 Ricky Lane Lara Lane Malabri Drive 840
2 Reck Road Baseline Road 9216 Reck Road 1,170
2 Rinke Road Geyer Springs Road east to end 2,040
2 W. 8th Street Peyton Street Elm Street 980
2 Lewis Street W. 12th Street W. 8th Street 1,300
2 W. 24th Street Fairpark Boulevard Fillmore Street 600
2 W. 26th Street Fairpark Boulevard Fillmore Street 600
2 W. 26th Street Harrison Street Fairpark Boulevard 625
2 Loetscher Lane Baseline Road Valley Drive 2,330
2 Loetscher Lane Valley Drive Sunset Lane 635
2 Stanton Road Baseline Road I-30 Frontage Road 3,430
2 Adams Street (Civil
project?)
W. 12th Street I-630 1,200
2 Maryland Avenue Washington Street Elm Street 1,400
2 W. 10th Street Abigail Street Washington Street 700
2 Baseline Road (AHTD
HWY)
Geyer Springs Road Hilaro Springs Road 7,950
2 Baseline Road (AHTD
HWY)
Hilaro Springs Road Arch Street 3,550
2 Doyle Springs Road Baseline Road I-30 Frontage Road 3,615
2 Butler Road W. 65th Street Ballinger Road 2,290
2 Patterson Road 65th Street Ballinger Road 3,700
2 Eva Lane Valley Drive south of Milford Drive 2,160
2 Milford Drive Chicot Road Eva Lane 1,360
3 Ridgecrest "H" Street N. University Ave 1,670
3 Cleveland Street "H" Street Rridecrest Dr 485
3 Garfield Circle "H" Street South to end plus cul de 265
3 Arthur Street "H" Street Ridgecrest Dr 485
3 S. Scenic Dr N. Grandview St 5200 5500 Grandview 1,196
3 N. Plaza Dr W. Markham St N. McKinley 1,478
3 Blue Ridge Cir N. Grandview St Scenic Dr 1,410
3 Amherst Dr Mcadoo St Auburn Dr 765
3 Cedar Hill Rd Rebsamen Park Rd Riverfront Dr 1,352
3 W. 2nd St S. Summit St Dead End 330
3 Battery St W. 2nd St W. Markham 300
3 "C" St N. Pierce St east to end at guardrail 700
3 N. Oak St Kavanaugh Blvd Hill Rd 285
STREET NAME
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FROM TO
3 N. Pierce St Lee Ave B St 700
3 Walnut St S. Lookout Rd Kenyon St 298
3 Oriole Cir Sandpiper Dr N. to end (Inc Cul-De- 164
3 Stonewall Rd Newton St east Dead End east of N.
Jackson St
1,190
3 Pine Manor Drive Shannon Drive Ranch Valley Drive 1,450
3 Overlook Drive (civil
project?)
Rebsamen Park Rd Rockwood Road 5,900
3 "P" Street University Avenue Polk Street 1,710
3 W. 4th Street Booker Street Johnson Street 320
3 McAdoo Street (civil
project?)
Markham Street "H" Street 2,590
3 Cantrell Road (AHTD
ROW)
N. Grant Street Normandy Drive 600
3 Cantrell Road (AHTD
ROW)
Georgia Avenue "T" Street 1,260
3 Marham/Boone/3rd Bridge near Wolfe Street Pine Street 7,400
3 Normandy Road Cantrell Road Cantrell Road 1,400
3 Normandy Lane Shannon Drive Normandy Road 550
3 Pine Manor Drive Ranch Valley Road Ranch Valley Road 2,405
3 W. 7th Street Woodrow Street Pine Street 3,140
4 Woodberry Road Pebble Beach Dr South to Hinson Road 1,350
4 Edgemond Dr Woodberry Rd Hinson Road 950
4 Longlea Court Pebble Beach Dr North to end plus Cul-de- 830
4 Valley View Dr Pleasant Forest Dr 4216 Valley View Dr 1,362
4 Sugar Maple Lane 4224 Sugar Maple Ln Sam Peck Road 1,250
4 White Fir Cove White Fir Lane North to end plus Cul-de- 300
4 Sierra Forest Dr Pleasant Forest Dr Pleasant Ridge Rd 1,165
4 Agate Cove Garnet Ct East to end plus cul-de- 500
4 Christopher Cove Sugar Maple Ln Northeast to end plus cul-
de-sac
465
4 Christopher Drive Sugar Maple Ln Sugar Maple Ln 1,400
4 Valley View Dr 4216 Valley View Dr North to end plus Cul-de- 875
4 Sugar Maple Lane Valley View Dr 4224 Sugar Maple Ln 2,175
4 Forest Maple Court Sam Peck Rd East to end plus cul-de- 450
4 Forestwood Cove Sugar Maple Ln south to end plus cul-de- 425
4 Shadywood Court Sugar Maple Ln south to end plus cul-de- 610
4 Sam's Cove Sugar Maple Ln East to end plus cul-de- 310
4 Sugar Maple Court Sugar Maple Ln North to end plus Cul-de- 400
4 White Fir Lane Pleasant Forest Dr N. & W. to end 1,400
4 Longview Rd Hinson Rd Pleasant Forest Drive 1,325
4 Cherry Creek Cove Pleasant Forest Dr North to end plus Cul-de- 768
4 Summerdale Ln Butterfield @ Piedmont
Cir.,
N.E. thru Piedmont Ln. to
end, including Cul de
750
STREET NAME
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FROM TO
4 River Ridge Ct River Ridge Cir E. to end ( Inc Cul-De-
Sac )
391
4 Painted Valley Dr Hidden Valley Dr Cocono Valley Dr 1,160
4 Gristmill Rd Old Forge Dr Old Forge Dr 3,553
4 Pamela Dr Loretta Ln Biscayne Drive 2,190
4 Hinson Loop Rd Hinson Rd Rainwood Rd 1,270
4 Rocky Valley Drive Rodney Parham Road East to end 2,345
4 Pleasant Valley Drive Platte Valley Drive Rodney Parham Drive 2,870
5 Point West Dr Kanis Rd Point West Cir 320
5 Point West Cir Point West Dr Point West Dr 3,284
5 Point West Cv Point West Cir west end (inc Cul-De-Sac) 636
5 Woodcreek Dr Cherrybark Dr Pride Valley Dr 1,705
5 Patriot Ct Pebble Beach Dr S. end (inc Cul-De-Sac) 170
5 Cape Cod Ct Pebble Beach Dr S. end (inc Cul-De-Sac) 258
5 Turtle Creek Ct Saint Charles Blvd N. to end ( Inc Cul-De- 880
5 Loyola Drive at
Wellington Roundabout
Traffic Circle Traffic Circle
5 Chenal Parkway Kanis Road (east) Gamble Road 9,500
6 Oak Lane W. Markham St, South to end 1,254
6 Meadowbrook Dr Markham, S. thru
Meadowbrook Ln.,
then W. then N. back to
Meadowbrook Ln.
1,995
6 Meadowbrook Ln E. Intersection w/
Meadowbrook Dr.,
West thru W. Inter.
MeadowbrookDr(End
430
6 Longcoy St W. 40th St W. 42nd St 600
6 Leander Dr Parham Pointe Dr Boyle Park entrance 3,040
6 Karon Ct Labette Dr N. to end (Inc Cul-De- 660
6 S. Shackleford Rd Shackleford Pass W. 36th St 1,560
6 S. Shackleford Rd W. 36th St Colonel Glenn Rd 3,410
6 Shackleford Drive N. Shackleford Rd W. Markham St 1,475
6 Pride Valley Drive 14400 Pride Valley Dr South then West to end 745
6 Point West Drive Kanis Rd 1600 Point West Dr 1,400
6 Zion St W. 38th St W. 39th St 335
6 W. 20th St Aldersgate Rd Jr. Deputy Rd 1,255
6 Nichols Rd 2317 Nichols Rd 1601 Nichols Rd 2,575
6 Wilson St 1600 Wilson St W. 24th St 2,644
6 Perry St W. 24th St 1522 Perry St 2,475
6 Vista Dr Cooper Orbit Rd Misty Ln PVT 1,820
6 W. Markham St S. Shackleford Rd Shackleford Dr 1,400
6 Monette Dr Jr. Deputy RD Glenda Dr 210
6 Glenda Dr Marlyn Dr E. Twin Lakes Dr 2,465
6 Barbara Dr Berkshire dr Broadmoor Dr 1,500
6 Barbara Cir Broadmoor Dr Broadmoor Dr 1,010
6 Bellemeade Drive Lakeshore Dr W. 32nd Street 1,092
7 Nash Ln Sibley Hole Rd Mabelvale West Rd 2,610
7 Sophia Dr Edwina Dr; N. to end 436
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City of Little Rock, Arkansas 2015 Operating Budget
Public Works 2013 Capital Improvement Bond Street Resurfacing, Street and
Drainage Projects – Following a series of community meetings, the Board
approved $60 million in projects to be completed for street resurfacing, street and
drainage reconstruction projects, traffic signals, traffic calming, and sidewalks.
Estimated Total Project Cost: $60,000,000
Funding Sources: 2013 Capital Improvement Bond Issue
2015 Estimated Expenditures: $15 million
Estimated Completion Date: December, 2016
Estimated Increase to Operating Expenditures: Not applicable.
Maintenance will be performed with current annual public works allocations
for street maintenance in the Street Fund budget.
FROM TO
7 Boydston Rd Herndon Rd N. to private Dr; Fonda
LN
978
7 Eagle Nest Ct Davis Cup Ln W. to end Inc Cul-De- 1,008
7 Mallard Cove Hunters Woods Drive Quail Run Drive 1,430
7 Hunters Woods Drive Quail Run Drive end 900
7 Eagle Nest Court Davis Cup Lane end including cul-de-sac 960
7 Tedburn Drive Merrivale Drive Dartmoor Drive 870
7 Merrivale Drive Baseline Road Woodford Drive 1,700
7 Goldleaf Dr Crystal Valley Rd Redleaf Cir 1,145
7 Redleaf Cir Crystal Valley Rd Goldleaf Dr 2,100
7 Silverleaf Ct Crystal Valley Rd E. to end Inc Cul-De-Sac 840
7 Greencrest Drive Oak Park Drive W. to end Inc Cul-De- 300
7 Greencrest Drive Greencrest Drive W. 43rd Street 1,010
7 Holy Springs Boulevard Geyer Springs Road Hilaro Springs Road 2,640
7 Eagle Drive Chicot Road west to end 1,125
7 Distribution Drive Baseline Road I-30 Access Road 3,610
7 Production Drive Baseline Road I-30 Access Road 1,640
7 Crystal Valley Road Stagecoach Rd 13805 Crystal Valley 3,760
STREET NAME
STREET
Length W A R D
2015 STREET RESURFACING PROGRAM
Ward Project Location Total
1 Asphalt Overlay Program Asphalt Overlay - Ward 1 $3,000,000
1 17th St. Woodrow St to Brown St 1,000,000
1 Asher Ave Oak to Woodrow 3,000,000
1 Plantation Pickett Plantation Dr at Pickett Dr 200,000
1 Wright Avenue Viaduct Grant match, bridge at the railroad 500,000
1 Total 7,700,000
Public Works 2013 Capital Improvement Bonds
Street and Drainage Projects (2014-2016)
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City of Little Rock, Arkansas 2015 Operating Budget
Ward Project Location Total
2 Asphalt Overlay Program Asphalt Overlay - Ward 2 3,000,000
2 Dailey Drive Sidewalk Baseline south to the Health Clinic 50,000
2 Elm St and Maryland St 8th to Maryland to Lewis 500,000
2 Fair Park Traffic Calming 12th to Asher 400,000
2 Geyer Springs Railroad Overpass 58th St to 65th St Grant Match 500,000
2 Scott Hamilton I-30 to 65th St 3,800,000
2 West 10th St Abigail St to Washington St 550,000
2 Total 8,800,000
3 Asphalt Overlay Program Asphalt Overlay - Ward 3 3,000,000
3 Cedar Hill Bridge Repair Riverdale 600,000
3 Coleman Creek Buchanon to H St. 50,000
3 Kingsrow Drive 200 Block of Kingsrow 510,000
3 McAdoo Drainage Markham to Amherst, Pinnacle to H 1,050,000
3 Pine Manor Drainage Ranch Valley 500,000
3 Pine Valley Roundabout Pine Valley at Mckinley 400,000
3 Polk Street Improvements Lee Ave. to A St. 690,000
3 Scenic Drive Drainage Grant St. to N. Taylor St. 500,000
3 Zoo Dr. Roundabout Zoo Dr at Fairpark 400,000
3 Total 7,700,000
4 Asphalt Overlay Program Asphalt Overlay - Ward 4 3,000,000
4 Cecil Drive Drainage Cecil Drive and Shephards Drive 500,000
4 El Dorado / Hinson Drainage Hinson Rd at Eldorado Dr 250,000
4 Ellis / Steven Drainage Intersection of Ellis and Steven Dr 500,000
4 Hinson / Pebble Beach Intersection Hinson Rd at Pebble Beach Dr 250,000
4 Pinnacle Valley Cantrell to City Limits 1,500,000
4 Rodney Parham / 430 Interchange Rodney Parham 700,000
4 Total 6,700,000
5 Asphalt Overlay Program Asphalt Overlay - Ward 5 3,000,000
5 El Dorado / Hinson Drainage Hinson Rd at Eldorado Dr 250,000
5 Hinson / Pebble Beach Intersection Hinson Rd at Pebble Beach Dr 250,000
5 Kanis Road Bowman to Point West 1,850,000
5 Pinnacle Valley Cantrell to City Limits 1,500,000
5 Ranch Blvd Signal Ranch Blvd at Cantrell Rd 150,000
5 Taylor Loop Road Rahling to LaMarche Dr. 1,300,000
5 Total 8,300,000
6 36th Street Roundabout 36th Street and Romine Rd 300,000
6 44th St 44th Street West of Potter 700,000
6 Asphalt Overlay Program Asphalt Overlay - Ward 6 3,000,000
6 Barrow Road Streetscape Kanis to 36th St. 2,000,000
6 Kanis Road Shackleford to Embassy Suites Dr. 1,000,000
6 Total 7,000,000
7 Asphalt Overlay Program Asphalt Overlay - Ward 7 3,000,000
7 Chicot Rd & Mabelvale Pike Mabelvale Pike south to Chicot to Shetland 2,000,000
7 Mabelvale Cutoff Shiloh to Sardis 2,800,000
7 Total 7,800,000
City-wide Projects Projects of city-wide significance 6,000,000
Grand Total $60,000,000
Estimated 2015 Expenditures: $15,000,000
Public Works 2013 Capital Improvement Bonds
Street and Drainage Projects (2014-2016)
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City of Little Rock, Arkansas 2015 Operating Budget
152
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Debt Management
City of Little Rock, Arkansas 2015 Operating Budget
DEBT MANAGEMENT
The City of Little Rock is authorized to issue General Obligation Bonds payable
from ad valorem taxes to finance capital improvements. These bonds require
majority voter approval prior to issuance. The Arkansas State constitution provides
that the amount payable out of property taxes shall not exceed 20% of the City’s
assessed valuation. The City of Little Rock falls well below this statutory
requirement. As of 12/31/14, the net amount of debt outstanding was
$101,657,006. The legal debt margin allows the City flexibility to issue up to an
additional $897,304,020.
Generally, the City has experienced a stable financial condition as well as sound
debt administration. For example, the City’s net general obligation long-term debt
per capita is $525.31 well below $1,200 per capita which would be a warning trend.
This has allowed the City to enjoy favorable bond ratings on its General Obligation
Bonds. The City has received an AA bond rating from Standard & Poor’s and an
Aa2 rating from Moody’s Investor Services. An AA rating from Standard & Poor’s
indicates that the bonds are high quality with a very strong capacity to pay principal
and interest.
Amount
2014 Assessed Value
(2014 Assessment to be Collected in 2015)
Real Property $2,926,034,180
Personal Property 794,678,602
Utility:
Personal Property 275,131,322
Total Assessment 3,995,844,104
Debt Limit (20% of assessment) 799,168,821
Short-Term Financing Debt Limit (5% of assessment) 199,792,205
Sub-Total Debt Limit 998,961,026
G.O. & Short Term Bonds Outstanding @ 12/31/14 122,502,871
Less:
Amt avail. In Debt Service (at 12/31/14) 20,845,865
Outstanding Bonds, Net of Debt Service 101,657,006
Legal Debt Margin $897,304,020
City of Little Rock, Arkansas
Computation of Legal Debt Margin
December 31, 2014
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City of Little Rock, Arkansas 2015 Operating Budget
The legal debt limit is the maximum issuance of general obligation bonds. The
debt limit is determined by combining the twenty percent (20%) of the assessed
value of real estate in the Little Rock city limits for General Obligation Bonds with
five percent (5%) of the assessed value of real estate in the Little Rock city limits
for Short-Term Financing. For 2014, the legal debt limit is $998,961,026 based on
a total assessment of $3,995,844,104.
The City of Little Rock has three areas of current debt levels, which combined,
equal the total debt level of the city. Current general obligation level as of
December 31, 2014 is $97,190,000. The current revenue bond level is
$38,000,000. The short-term debt level is $25,312,872 for an overall current debt
level of $160,502,872.
Although the City may increase the general obligation and the short-term debt
levels to $998,961,026, resources to repay the bonds would require an increase in
the value of existing and new property and/or an increase in millage. For the City
of Little Rock, the millage required to fund $999 million in debt is approximately
15.74 mills. Currently, the property tax millage for the retirement of general
obligation debt is 4.9 mills. The millage may be increased to provide funds up to
the legal debt limit with voter approval. The City of Little Rock issued the
$70,635,000 Limited Tax General Obligation Bonds Series in 2004, secured with
a property tax millage of 3.3 mills, to finance capital improvements within the City
of Little Rock. In April 2013, the $70,635,000 bonds were redeemed in full and the
bonds were defeased. The citizens of Little Rock approved a new annual ad
valorem tax at a lesser rate of 3.0 mills at a special election held on September 11,
2012. As a result of the new millage, the City’s master plan is to issue up to
$105,000,000 in general obligation debt to fund $73,500,000 in street
Legal Debt Legal Debt
Margin Limit
2004 556,368,641 664,883,347
2005 611,096,546 713,061,578
2006 659,726,412 761,730,525
2007 725,407,499 820,379,036
2008 800,758,307 887,078,087
2009 807,405,018 899,996,683
2010 824,122,887 902,775,323
2011 869,712,492 931,761,237
2012 876,979,992 942,877,678
2013 845,829,289 965,793,157
2014 897,304,020 998,961,026
Debt Applicable to Debt Limit 2004 - 2014
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City of Little Rock, Arkansas 2015 Operating Budget
improvements and $31,500,000 in drainage Improvements. In July 2013, the City
of Little Rock issued the first series of Limited Tax General Obligation Bonds for
streets and drainage in the amount of $58,105,000. The City does not plan to
issue a second series of bonds until the 2016 – 2017 timeframe.
To issue additional general obligation debt without a dedicated revenue stream
would negatively impact the General Fund. The City will not issue such debt
without a voter approved millage increase to fund the retirement. By law, five (5)
mills is the maximum allowed to fund General Fund operations. The City’s current
operating millage is the maximum.
PRINCIPAL PRINCIPAL BONDS PRINCIPAL INTEREST
ORIGINAL MATURITY INTEREST BALANCE BONDS PAID IN RETIRED BALANCE PAID IN
GENERAL OBLIGATION DEBT
TRUSTEE AMOUNT DATE RATE AT 12/31/13 ISSUED 2014 2014 AT 12/31/2014 2014
-
2008 Library Construction and Imp. Bonds Regions Bank 4,000,000 3/1/2028 3.00% - 4.75% 2,775,000 0 165,000 175,000 2,435,000 112,878
2009 Library Construction and Imp. Bonds Regions Bank 28,000,000 3/1/2028 3.00% - 5.00% 20,590,000 0 1,175,000 1,295,000 18,120,000 809,803
2012 Library Construction and Imp. Bonds Regions Bank 31,015,000 3/1/2032 2.00% - 4.00% 29,945,000 0 1,185,000 1,295,000 27,465,000 940,430
2013 Limited Tax Capital Improvement First Security Bank 58,105,000 4/1/2033 1.00% - 5.00% 58,105,000 0 5,230,000 3,705,000 49,170,000 1,620,330
REVENUE BONDS
2007 Infrastruture Refunding U.S, Bank 13,350,000 10/1/2019 4.00% - 5.00% 7,390,000 0 1,105,000 0 6,285,000 334,213
2002 Junior Lien Revenue Bonds U.S. Bank 3,630,000 10/1/2018 3.50% - 4.65% 1,410,000 0 255,000 0 1,155,000 62,880
2009A Parks & Rec Revenue Bonds Bank of the Ozarks 7,830,000 1/1/2039 2.00% - 5.50% 7,120,000 0 140,000 0 6,980,000 361,063
2003 Capital Imp.and Refunding Projects U.S. Bank 11,855,000 7/1/2028 1.50% - 5.30% 9,080,000 0 425,000 0 8,655,000 464,535
2007 Waste Disposal Revenue Bond Citizens Bank 3,400,000 5/1/2022 5.30% - 5.87% 2,360,000 0 210,000 0 2,150,000 128,770
2009B Parks & Rec Bank of the Ozarks 12,120,000 1/1/2039 2.00% - 5.375% 11,345,000 0 220,000 0 11,125,000 575,148
2010 Waste Disposal Revenue Bonds BancorpSouth 6,570,000 5/1/2016 1.90% - 3.77% 2,435,000 0 785,000 0 1,650,000 70,338
TEMPORARY NOTE
2011 Temporary Note Pinnacle Public Finance 4,600,000 12/22/2016 1.75% 2,807,737 0 919,723 0 1,888,014 49,135
2012 Temporary Note Banc of America Public Capital Corp. 18,580,000 3/28/2017 1.38% 14,964,709 0 3,664,647 0 11,300,062 206,513
2013 Temporary Note U.S. Bank 7,700,000 7/30/2018 1.61% 7,700,000 0 1,491,204 0 6,208,796 123,970
2014 Temporary Note SunTrust Finance & Leasing Corp. 5,916,000 6/27/2019 1.46% 0 5,916,000 0 0 5,916,000 0
Grand Total
$216,671,000 $178,027,446 $5,916,000 $16,970,574 $6,470,000 $160,502,872 $5,860,006
SUMMARY OF BOND INDEBTEDNESS
For the month ended December 31, 2014
PRINCIPAL PRINCIPAL BONDS PRINCIPAL INTEREST
ORIGINAL MATURITY INTEREST BALANCE BONDS PAID IN RETIRED BALANCE PAID IN
GENERAL OBLIGATION DEBT
TRUSTEE AMOUNT DATE RATE AT 12/31/14 ISSUED 2015 2015 AT 12/31/2015 2015
-
2008 Library Construction and Imp. Bonds Regions Bank 4,000,000 3/1/2028 3.00% - 4.75% 2,435,000 0 175,000 0 2,260,000 102,343
2009 Library Construction and Imp. Bonds Regions Bank 28,000,000 3/1/2028 3.00% - 5.00% 18,120,000 0 1,210,000 0 16,910,000 741,853
2012 Library Construction and Imp. Bonds Regions Bank 31,015,000 3/1/2032 2.00% - 4.00% 27,465,000 0 1,215,000 0 26,250,000 871,457
2013 Limited Tax Capital Improvement First Security Bank 58,105,000 4/1/2033 1.00% - 5.00% 49,170,000 0 4,200,000 4,965,000 40,005,000 1,508,022
REVENUE BONDS
2007 Infrastruture Refunding U.S, Bank 13,350,000 10/1/2019 4.00% - 5.00% 6,285,000 0 1,150,000 0 5,135,000 287,250
2002 Junior Lien Revenue Bonds U.S. Bank 3,630,000 10/1/2018 3.50% - 4.65% 1,155,000 0 270,000 0 885,000 52,042
2009A Parks & Rec Revenue Bonds Bank of the Ozarks 7,830,000 1/1/2039 2.00% - 5.50% 6,980,000 0 140,000 0 6,840,000 356,564
2003 Capital Imp.and Refunding Projects U.S. Bank 11,855,000 7/1/2028 1.50% - 5.30% 8,655,000 0 440,000 0 8,215,000 445,835
2007 Waste Disposal Revenue Bond Citizens Bank 3,400,000 5/1/2022 5.30% - 5.87% 2,150,000 0 220,000 0 1,930,000 116,782
2009B Parks & Rec Bank of the Ozarks 12,120,000 1/1/2039 2.00% - 5.375% 11,125,000 0 230,000 0 10,895,000 567,915
2010 Waste Disposal Revenue Bonds BancorpSouth 6,570,000 5/1/2016 1.90% - 3.77% 1,650,000 0 810,000 0 840,000 45,154
TEMPORARY NOTE
2011 Temporary Note Pinnacle Public Finance 4,600,000 12/22/2016 1.75% 1,888,014 0 935,819 0 952,195 33,040
2012 Temporary Note Banc of America Public Capital Corp. 18,580,000 3/28/2017 1.38% 11,300,062 0 3,715,219 0 7,584,843 155,941
2013 Temporary Note U.S. Bank 7,700,000 7/30/2018 1.61% 6,208,796 0 1,515,212 0 4,693,584 99,962
2014 Temporary Note SunTrust Finance & Leasing Corp. 5,916,000 6/27/2019 1.46% 5,916,000 0 1,149,151 0 4,766,849 86,374
Grand Total
$216,671,000 $160,502,872 $0 $17,375,401 $4,965,000 $138,162,471 $5,470,534
SUMMARY OF BOND INDEBTEDNESS
For the month ended December 31, 2015
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City of Little Rock, Arkansas 2015 Operating Budget
FUTURE DEBT SERVICE
YEAR PRINCIPAL INTEREST TOTAL
2015 $17,375,400.66 $5,507,588.39 $22,882,989.05
2016 $17,114,001.43 $5,058,598.36 $22,172,599.79
2017 $13,925,919.71 $4,621,373.78 $18,547,293.49
2018 $10,469,804.21 $4,209,226.54 $14,679,030.75
2019 $8,892,745.80 $3,825,910.39 $12,718,656.19
2020 $6,605,000.00 $3,456,291.29 $10,061,291.29
2021 $6,910,000.00 $3,149,421.91 $10,059,421.91
2022 $7,235,000.00 $2,825,237.53 $10,060,237.53
2023 $7,240,000.00 $2,491,345.03 $9,731,345.03
2024 $7,550,000.00 $2,170,835.03 $9,720,835.03
YEAR
PRINCIPAL INTEREST TOTAL
2015 $14,115,400.66 $3,636,043.85 $17,751,444.51
2016 $13,714,001.43 $3,323,174.32 $17,037,175.75
2017 $11,245,919.71 $3,023,722.49 $14,269,642.20
2018 $7,654,804.21 $2,740,856.50 $10,395,660.71
2019 $6,302,745.80 $2,484,687.86 $8,787,433.66
2020 $5,310,000.00 $2,237,010.02 $7,547,010.02
2021 $5,550,000.00 $1,996,497.52 $7,546,497.52
2022 $5,805,000.00 $1,742,727.52 $7,547,727.52
2023 $6,075,000.00 $1,473,996.27 $7,548,996.27
2024 $6,330,000.00 $1,213,361.27 $7,543,361.27
YEAR
PRINCIPAL INTEREST TOTAL
2015 $3,260,000.00 $1,871,544.54 $5,131,544.54
2016 $3,400,000.00 $1,735,424.04 $5,135,424.04
2017 $2,680,000.00 $1,597,651.29 $4,277,651.29
2018 $2,815,000.00 $1,468,370.04 $4,283,370.04
2019 $2,590,000.00 $1,341,222.53 $3,931,222.53
2020 $1,295,000.00 $1,219,281.27 $2,514,281.27
2021 $1,360,000.00 $1,152,924.39 $2,512,924.39
2022 $1,430,000.00 $1,082,510.01 $2,512,510.01
2023 $1,165,000.00 $1,017,348.76 $2,182,348.76
2024 $1,220,000.00 $957,473.76 $2,177,473.76
OVERALL FUTURE DEBT SERVICE
GENERAL OBLIGATION FUTURE DEBT SERVICE
REVENUE BOND FUTURE DEBT SERVICE
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City of Little Rock, Arkansas 2015 Operating Budget
Little Rock's
Debt Available for Percentage Share of
Governmental Unit Retirement Applicable Overlapping Debt
City of Little Rock, Arkansas $122,502,871 100% $122,502,871
Little Rock Public School District 191,076,454 100% 191,076,454
Total direct and overlapping debt $313,579,325 $313,579,325
City of Little Rock, Arkansas
Direct and Overlapping Governmental Activities Debt
As of December 31, 2014
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Departmental
Information
City of Little Rock, Arkansas
Mayor
Mayor
Mission Statement
To make policies and provide representation for the citizens
of Little Rock; provide executive management and
administration of City affairs; provide legal advice and
representation for the City; serve as official recorder and
custodian of public documents; and to conduct municipal
judicial proceedings for criminal and traffic offences.
Citizens
Mayor
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City of Little Rock, Arkansas
Mayor
2014 Department Priorities Status
City of Little Rock opened the 12th Street Police
Station. Completed
Implement an apartment safety/crime free diagram.
Ongoing
Continue the Neighborhood Stabilization Program for the
redevelopment of neighborhoods in the Midtown
Neighborhoods south of Interstate 630.
Ongoing
Finalize the 12th Street Corridor Plan through the
Metroplan Jump Start Grant; work with partners to
identify development opportunities along the corridor.
Ongoing
Continue to develop, with private sector investment, the
Creative Corridor; concentrating on art, culture, science
and technology.
Ongoing
Complete the "Low Impact Development" Project along
Main Street; working with the development community
to further invest along the Main Street Corridor.
Ongoing
Developed and implemented an ordinance to provide
recycling at the City's various multi-family housing
complexes.
Completed
Improve programming and operations of the Homeless
Day Resource Center.
Ongoing
Begin the analysis on the revitalization of the residential
areas east of Interstate 30.
Ongoing
Begin the implementation of a Master Plan for Western
Hills, Hindman parks and First Tee recreational areas.
Ongoing
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City of Little Rock, Arkansas
Mayor
2015 Department Goals
Open the West Little Rock Police Substation on Highway 10.
Continue to fund and complete the Arkansas River Trail.
Continue to support the Mayor's Commission on Sustainability to promote
sustainable initiatives and continue to host an annual summit on sustainability.
Continue with the City's 'Love Your School' initiative focused on the childhood
obesity epidemic by promoting healthy living, eating and exercising while
reducing the City's food deserts.
Ensure that the local sales tax increased, which was approved by voters in
2011, is spent responsibly and according to the plan laid out to the citizens
before the election.
Work with the various economic development organizations to attract and
retain jobs for the community.
The departmental goals and objectives link with the
Overall City Goals and Objectives.
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City of Little Rock, Arkansas
General Government and Administration
General Administrative
Mission Statement
To deliver the highest level of quality information on policies,
services, and activities of Little Rock City Government to the citizen
and facilitate the delivery of emergency response information to the
general public and make available, through electronic media,
information about city and community events.
Citizens
Mayor & Board
of Directors
City Attorney City Manager District Court Judges
Assistant City Manager
City Clerk
Racial & Cultural
Diversity
Small & Minority Women
Owned Business
Development
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City of Little Rock, Arkansas 2015 Operating Budget
General Administrative
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $28,062,042 38.26%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $5,908,554 $6,274,458 $7,324,779
Supplies and Materials 115,582 60,665 53,804
Contractual 12,488,284 12,620,896 12,932,401
Repairs and Maintenance 12,956 16,928 36,341
Capital 000
Debt Service 5,993,200 1,323,343 7,714,717
$24,518,576 $20,296,290 $28,062,042
Staffing 26 31 31
$0
$3,250,000
$6,500,000
$9,750,000
$13,000,000
2013
2014
2015
Debt Service CapitalRepairs and
Maintenance
ContractualSupplies and
Materials
Salaries and
Employee
Benefits
Total Allocations By Fiscal Year And Account Category
General Government includes Mayor and City Manager, City Clerk, Racial and Cultural
Diversity, Emergency Management, Small and Women Owned Business Development, and
LRTV. The personnel cost in the Employee Benefits Division is primarily for General Fund
workers compensation, retiree benefits, and actuarially determined pension contributions.
Debt service will increase by approximately $1.2 million in 2015 due to the addition of debt
service on the 2014 Short-term note. Approximately $6.4 million will be transferred in from
the 3/8-cent sales tax fund to fund principal payments on debt issued from 2012 - 2014 to
accelerate 3/8-cent capital projects.
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City of Little Rock, Arkansas
City Manager
2014 Department Priorities Status
Completed construction of the 12th Street Station and
developed a schedule for occupancy.
Completed
Improved and expanded Police Officer and Fire Fighter
recruiting efforts and conducting at least one (1) Recruit
School for Police and Fire in 2014.
Completed
Acquire suitable facility for additional Northwest Patrol
Substation along Cantrell Road corridor and begin
rehabilitation of the structure.
Ongoing
Completed construction of Cell 5 in the Class 1 landfill and
Cell 3 in the Class 4 landfill.
Completed
Developed web applications for staff to better utilize
Geographical Information System (GIS) and moved the
current City of Little Rock web page zoning and land use
applications from Pulaski Area Geographical Information
System (PAGIS) maintenance and storage to the
Department.
Completed
Continue the development of a Re-Entry Employment
Readiness Training Program throughout all City
Departments and fully implement the pre-release process
and programming for returning Little Rock residents.
Ongoing
In collaboration with the Little Rock School District,
implemented a Skills Training Pilot Project for eighteen
(18) to twenty-four (24) year-old youth who are out of
school
Completed
Opened the City's new Compressed Natural Gas (CNG)
fueling station at 501 Ferry Street.
Completed
Initiated an eighteen (18) month plan and converted 20%
of the City's current late model pick-up trucks to (CNG).
Completed
Initiated Quiet Title Actions on sixteen Land Bank
properties to spur redevelopment in targeted
neighborhoods; utilized Federal Funds to outsource and
provide a more efficient turn-around for obtaining those
actions.
Completed
Completed the first phase construction of Natural Steps
Athletic Complex to include four (4) athletic fields,
entrance road and parking.
Completed
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City of Little Rock, Arkansas
City Manager
2014 Department Priorities (Continued) Status
Begin construction on a new Arkansas Farm exhibit set for
a grand opening in 2015.
Ongoing
Continue making improvements to the Animal Village Dog
Park to include the addition of water fountains for
individuals and the installation of a water play area for
dogs.
Ongoing
Continue providing support and making regular reports to
the LR Cent Committee and the Board of Directors
regarding the status of the one (1) Cent Local Sales Tax
revenues and the progress toward the completion of
capital projects authorized under the 3/8 Cent portion of
the tax.
Ongoing
Increase the utilization of social media to market City
programs and services. Inform and educate the public
regarding activities and issues within the community to
broaden the constituency base.
Ongoing
Develop a Request for Proposal to conduct a Disparity
Study for the City of Little Rock.
Ongoing
2015 Department Goals
Continue to improve and expand Police Officer and Fire Fighter recruiting
efforts and conduct at least one (1) Recruit School for Police and Fire.
Continue to utilize and make improvements to crime analysis driven
enforcement programs.
Complete the design of all infrastructure bond projects currently approved and
move 90% of the remaining bond projects to bidding, contract award and
construction phase. Complete the design of all sales tax projects currently
approved and move 75% of the remaining sales tax projects to bidding,
contract award and construction phase.
To become Industry Certified through Fleet Consulting Services and
Government Fleet Management Alliance as recognition for having met or
exceeded all twenty (20) Mission Critical Factors of Fleet Management,
verifying that the City of Little Rock Fleet Services Department is industry
competitive and cost-efficient.
Upgrade the hardware and software of the 311 System, which is used to log
and dispatch citizen request across multiple City Departments.
Explore the feasibility and cost of placing kiosk in the Neighborhood Resource
Centers to provide access to other City services and information.
Provide on-going training to improve the accuracy of code violation notices,
citations, affidavits and condemnation files.
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City of Little Rock, Arkansas
City Manager
2015 Department Goals (Continued)
Develop and implement a community-oriented process to determine the
needs/interest of the 12th Street area for approximately 4,400 square-feet of
unoccupied space in the 12th Street Station.
Complete construction of the West Central Community Center.
Update the 2001 Little Rock Parks & Recreation Master Plan that is more than
ten (10) years old, and needs to be updated to reflect progress and maintain
accreditation.
Continue the refinement and implementation of the War Memorial
Redevelopment Plan, which will include properties south of Interstate 630 that
were purchased in 2013.
Update walkways, rails and graphics to enhance American Disability Act (ADA)
accessibility at the Zoo.
Develop a loan program utilizing Home Investment Partnership Program
(HOME) Funds that can be utilized to further development activities with limited
funds from HUD.
Explore additional funding sources for the Elderly Home Repair Program (EHP)
through a possible partnership with a local bank to create and develop a loan
program to assist recipients of EHP Grants to cover costs over the $25,000
grant maximum.
Complete the construction of a quarantine area at the Little Rock Animal
Village to segregate incoming dogs to reduce exposure to healthy animals.
Monitor and report on infrastructure projects funded by the issuance of the
2013 Capital Improvement Bonds for Street and Drainage Projects.
Develop and implement a strategy to increase minority and women-owned
business procurement opportunities within the City.
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City of Little Rock, Arkansas
City Manager
Department: City Manager
Funding Source: General Fund
Budget: $28,062,042
Department Description:
To ensure the effective implementation, administration and evaluation of City programs established
through the policy directives of the Board of Directors; to provide administrative support to the City
Manager and Board of Directors and to serve as a resource for citizens and neighborhood groups.
2013
2014
2015
Actual
Budget
Budget
Objective: Provide responses to City Board of Director requests in a timely manner.
Demand: Number of City Board of Director
requests.
250
250
275
Workload: Number of City Board of Director
requests completed.
225
225
273
Efficiency: Number of City Board of Director
requests completed in a timely manner.
225
225
273
Effect/Outcome: Percentage of City Board of
Director requests completed in a timely manner.
100%
100%
100%
Objective: Provide responses to citizen requests within a timely manner.
Demand: Number of citizens requests for
information.
200
200
225
Workload: Number of citizen requests for
information completed.
200
200
225
Efficiency: Number of citizen requests for
information completed in a timely manner.
180
180
210
Effect/Outcome: Percentage of total citizen
requests completed a timely manner.
90%
90%
93%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Basic City Services.
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City of Little Rock, Arkansas
Board of Directors
Board of Directors
Mission Statement
To make policies and provide representation for the citizens
of Little Rock; provide executive management and
administration of City affairs; provide legal advice and
representation for the city; serve as official recorder and
custodian of public documents; and to conduct municipal
judicial proceedings for criminal and traffic offences.
Citizens
Board of Directors
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City of Little Rock, Arkansas 2015 Operating Budget
Board of Directors
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $342,027 1.03%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $229,349 $280,348 $283,848
Supplies and Materials 14,420 2,990 2,990
Contractual 32,996 55,097 55,097
Repairs and Maintenance 0 92 92
Total $276,766 $338,527 $342,027
Staffing 111
$0
$75,000
$150,000
$225,000
$300,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Board staffing reflects the one (1) full time assistant dedicated to the Board of
Directors. The Board consists of ten (10) part-time elected officials representing the
City’s seven (7) Wards with three (3) at large positions. The increase in expenditures
is attributed to salary, health care, and benefit cost changes for non-uniform
employees.
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City of Little Rock, Arkansas
Board of Directors
2014 Department Priorities
Status
Participate in professional development opportunities
offered by the U.S. Conference of Mayors, the National
League of Cities, the Arkansas Municipal League and
other professional organizations.
Ongoing
Develop policies and programs to improve the City of Little
Rock; focus on the priority areas of public safety,
economic development, infrastructure, basic City services
and quality of life.
Ongoing
Meet with neighborhoods and community groups to
discuss and resolve issues of concern.
Ongoing
Ensure the successful implementation of the City's 3/8-
Cent Capital Projects and the 5/8-Cent Operating Sales
Tax Funds.
Ongoing
2015 Department Goals
Participate in professional development opportunities offered by the U.S.
Conference of Mayors, the National League of Cities, the Arkansas Municipal
League and other professional organizations.
Develop policies and programs to improve the City of Little Rock; focus on the
priority areas of public safety, economic development, infrastructure, basic
City services and quality of life.
Meet with neighborhoods and community groups to discuss and resolve
issues of concern.
Ensure the successful implementation of the City's 3/8-Cent Capital Projects
and the 5/8-Cent Operating Sales Tax Fund.
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City of Little Rock, Arkansas
Board of Directors
Department: Board of Directors
Funding Source: General Fund
Budget: $342,027
Department Description:
To provide executive management and administration of City affairs; provide legal advice and
representation for the city; serve as official recorder and custodian of public documents.
The departmental goals and objectives link with the
Overall City Goals and Objectives.
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City of Little Rock, Arkansas
Community Programs
Community Programs
Mission Statement
To effectively administer and maximize the Future Little Rock PIT/CYF
funds authorized under Ordinance 16,496 (and other funds) in order to
provide the community with quality programs that utilize citizen
involvement, proven practices, and standardized process with the goal of
improving positive outcomes and the quality of life for the children, youth,
and families of Little Rock.
Assistant City
Manager
Director of
Community Programs
Administration Programs
Children, Youth &
Family
Anti - Tobacco
PIT
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City of Little Rock, Arkansas 2015 Operating Budget
Community Programs
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $423,578 9.15%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $366,924 $380,059 $415,556
Supplies and Materials 11 1,874 1,874
Contractual 5,803 6,000 6,000
Repairs and Maintenance 0 148 148
Total $372,737 $388,081 $423,578
Staffing 10 10 11
$0
$100,000
$200,000
$300,000
$400,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The majority of changes to the Community Programs budget is included in
programs funded by the $5.5 million contribution to Children Youth and
Family prevention, intervention and treatment, and re-entry programs. An
office assistant position was added to the 2015 budget.
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City of Little Rock, Arkansas
Community Programs
2014 Department Priorities Status
Continued development of the Re-entry Employment
Readiness Training Program.
Completed
Developed specifications for an evidence based mentoring
component for the Re-entry program.
Completed
Implemented tracking software to monitor program
performance.
Completed
Revised contracting process so that all contracts are
executed within six weeks following board action.
Completed
Worked with community youth council to address Tobacco
ordinance revisions.
Completed
Implemented a skills training pilot project in collaboration
with the Little Rock School District for 18-24 year old
citizens who are out of school.
Completed
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City of Little Rock, Arkansas
Community Programs
2015 Department Goals
Create a comprehensive, sustainable, long-term Master Plan that will serve
as a comprehensive Action Plan to directly improve and enhance the overall
quality of life for the children, youth, and families of Little Rock, Arkansas
while building and strengthening the entire community.
Secure the full utilization of the Management Information System (MIS) with
all funded programs.
Create targeted tobacco cessation programs for Little Rock Police
Department (LRPD) and Little Rock Fire Department (LRFD).
Expand Re-Entry services to provide support services to juveniles and
young adults through partnerships with Division of Youth Services (DYS)
and the Little Rock School District.
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City of Little Rock, Arkansas
Community Programs
Department: Community Programs
Funding Source: General Fund
Budget: $423,578
Department Description:
To ensure the effective implementation, administration and evaluation of City social services and
human services programs assigned to the department and to serve as a resource for citizens,
resident groups, neighborhood associations and other community based organizations providing
these services.
2013
2014
2015
Actual
Budget
Budget
Objective: To recruit youth, provide orientation, and approve youth to hire for summer
employment.
Demand: Youth available for recruitment and
orientation.
750
750
750
Workload: Youth recruited and processed through
orientation.
500
600
600
Efficiency: Youth processed and available for
employment in June.
500
600
600
Effect/Outcome: Percentage of youth processed
and available for work in June.
67%
80%
80%
Objective: To audit, approve, and process all reimbursement requests for payment within 14
days.
Demand: Requests available for process and
reimbursement.
570
756
756
Workload: Requests processed for
reimbursement.
570
710
725
Efficiency: Requests processed per month.
48
59
60
Effect/Outcome: Percentage of total requests
processed.
100%
94%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Ma
nagement Policy for a
Safe City and Quality of Life.
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City of Little Rock, Arkansas
City Attorney
City Attorney
Mission Statement
To provide legal assistance and representation for the City of
Little Rock and its Boards and Commissions.
Mayor and
Board of
Directors
City Attorney
Legal
Litigation Transaction
City Manager
Administration
Litigation
Transaction
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City of Little Rock, Arkansas 2015 Operating Budget
City Attorney
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $1,836,901 3.79%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,404,865 $1,600,553 $1,667,680
Supplies and Materials 86,781 77,202 77,202
Contractual 74,163 90,953 90,953
Repairs and Maintenance 1,066 1,066
Total $1,565,809 $1,769,774 $1,836,901
Staffing 18 18 19
$0
$450,000
$900,000
$1,350,000
$1,800,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Approximately $55,000 of the personnel increase is attributed to salary,
health care, and pension contribution increases for non-uniform employees,
including the cost of a new Real Estate Attorney position.
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City of Little Rock, Arkansas
City Attorney
2014 Department Priorities Status
Continue transparent communication methods through
reports, alerts and various updates.
Ongoing
Continue providing legal advice on the Criminal Abatement
Program.
Ongoing
Continue to prepare legal research memoranda in a timely
manner.
Ongoing
Maintain awareness of recent changes in Federal law and
regulations that may impact Little Rock government.
Ongoing
Assist City departments with the drafting of proposed
ordinances and resolutions.
Ongoing
Continue to review, research and draft contracts for City
departments and commissions.
Ongoing
Implemented Concourse software program. Completed
Continue to handle litigation cases. Ongoing
Continue to prosecute traffic, truancy and code violations. Ongoing
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City of Little Rock, Arkansas
City Attorney
2015 Department Goals
Continue transparent communication methods through reports, alerts and
various updates.
Continue to provide legal advice on the Criminal Abatement Program.
Continue to prepare legal research memoranda in a timely manner.
Maintain awareness of recent changes in State and Federal law and
regulations that may impact Little Rock government.
Assist City departments with the drafting of proposed ordinances and
resolutions.
Continue to review, research and draft contracts for City departments and
commissions.
Continue to represent the City in litigation cases for or against the City.
Continue to prosecute traffic, truancy and code violations.
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City of Little Rock, Arkansas
City Attorney
Department: City Attorney
Funding Source: General Fund
Budget: $1,836,901
Department Description:
To provide adequate administrative controls to ensure the delivery of effective legal review of all City
programs established by the Board of Directors and the administration of the City; to ensure that
effective legal representation is provided for all lawsuits brought by or against the City; and to
ensure that legal counsel is provided for all City boards, commissions, and departments.
2013 2014 2015
Actual
Budget Budget
Objective: To litigate cases.
Demand: Cases to be litigated. 82 63 70
Workload: Cases litigated. 82 63 70
Efficiency: Cases litigated per year. 82 63 70
Effect/Outcome: Percentage of litigated cases
closed per year.
n/a n/a n/a
Objective: To prosecute health and safety code
Violations.
Demand: Violations presented for final
judgment. 2,738 2,475 2,500
Workload: Violations prosecuted for final
judgment. 2,738 2,475 2,500
Efficiency: Violations convictions. 1,695 815 1,000
Effect/Outcome: Conviction rate. 62% 33% 40%
Objective: To prosecute DUI/DWI violations.
Demand: DUI/DWI pleas and trials. 357 324 340
Workload: Court appearances for DUI/DWI pleas
and trials. 357 324 340
Efficiency: Guilty DUI/DWI pleas and convictions 250 192 221
Effect/Outcome: Percentage guilty. 70% 59% 65%
Objective: Prepare contract and legal memoranda
in a timely manner.
Demand: Request for contracts and legal
research. 212 194 200
Workload: Contracts and research memoranda
prepared. 212 194 200
Efficiency: Contracts and memoranda prepared in
a timely manner. 212 194 200
Effect/Outcome: Percentage of contracts and
memoranda prepared in a timely manner. 100% 100% 100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
District Court First Division
District Court
First Division
Mission Statement
To provide the public with impartial and timely adjudication of
criminal offenses; to divert offenders from criminal activity
and increase public accountability through probation, drug
testing, victim restitution and community service programs.
Citizens
District Judge
Administration
Domestic Violence Criminal Court Probation
City Manager
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City of Little Rock, Arkansas 2015 Operating Budget
District Court First Division
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $1,405,790 0.95%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,108,014 $1,310,333 $1,323,617
Supplies and Materials 38,565 42,100 42,100
Contractual 25,146 38,350 38,350
Repairs and Maintenance 7,650 1,722 1,723
Total $1,179,375 $1,392,505 $1,405,790
Staffing 21 21 21
There is an increase of approximately $13,300 attributed to employee
bonuses, health care, and benefit cost changes for non-uniform employees.
$350,000
$700,000
$1,050,000
$1,400,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
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City of Little Rock, Arkansas
District Court First Division
2014 Department Priorities Status
Provide a new court building for all three (3) District
Courts, adding space for employees, a security for the
Judge, public, staff, and attorneys.
Ongoing
Provide a more user friendly workplace. Ongoing
Administer and provide justice to all in an equitable,
professional manner.
Ongoing
Continue to direct the overall operations of the court within
the laws and policies of the State of Arkansas and the
City of Little Rock.
Ongoing
Provide management direction to staff to ensure
accountability, accessibility and professional courteous
customer service to citizens.
Ongoing
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City of Little Rock, Arkansas
District Court First Division
2015 Department Goals
Provide better access to the courts through a new web based computer
system that will allow limited public access for information purposes and
access to other courts.
Provide fair and impartial adjudications for all cases heard.
Continue community outreach with educational information.
Provide court informed sentencing recommendations, monitoring, and
compliance with court orders.
Continue to direct the overall operations of First District Court within the
guidelines of the State of Arkansas and the City of Little Rock ordinances,
statutes and policies.
Provide management direction to staff and ensure accountability and
accessibility to citizens, while providing courteous customer service.
Stay informed on all changing legislation regarding fees and new statute
requirements.
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City of Little Rock, Arkansas
District Court First Division
Department: District Court Criminal
Funding Source: General Fund
Budget: $1,405,790
Department Description:
To direct overall operations of Criminal proceedings ensuring legal compliance, efficiency, and
public accountability.
2013
2014
2015
Actual
Budget
Budget
Objective: To process Criminal Bond information on a daily basis.
Demand: Bonds to be processed.
100
100
100
Workload: Bonds actually processed.
100
100
100
Efficiency: Bonds processed per court session.
100
100
100
Effect/Outcome: Percentage of Bonds processed
daily.
100%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
District Court Second Division
District Court
Second Division
Mission Statement
We seek to administer justice and equity.
Citizens
District Judge
Administration
Probation
&
Support Staff
Court Clerks
&
Support Staff
City Manager
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City of Little Rock, Arkansas 2015 Operating Budget
District Court Second Division
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,003,756 $1,055,621 $1,056,580
Supplies and Materials 23,380 22,200 22,200
Contractual 157,729 167,369 167,369
Repairs and Maintenance 1,524 2,096 2,096
Total $1,186,390 $1,247,286 $1,248,245
Staffing 17 17 17
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
100 General Fund $1,248,245 0.08%
$0
$300,000
$600,000
$900,000
$1,200,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
There is an increase of approximately $950 attributed to salary, health care,
and benefit cost changes for non-uniform employees. There are no other
changes anticipated in the 2015 budget.
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City of Little Rock, Arkansas
District Court Second Division
2014 Department Priorities Status
Second District Court processed 32,432 traffic violations. Completed
Second District Court disposed 66,200 traffic violations. Completed
Second District Court processed 387 "Driving While
Intoxicated" (DWI) violations.
Completed
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City of Little Rock, Arkansas
District Court Second Division
2015 Department Goals
Second District Court will continue to find innovative ways to improve overall
operations and provide the best customer service possible.
Implement a new case management and e-filing system offered through the
Arkansas Administrative Office of the Courts.
Second District Court will provide the best customer service possible.
Second District Court hopes to have an e-filing system also implemented
though the Administrative Office of the Courts.
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City of Little Rock, Arkansas
District Court Second Division
Department: District Court Traffic
Funding Source: General Fund
Budget: $1,248,245
Department Description:
To direct the overall operation of the traffic court within established policies and laws; to provide
management direction to staff; to insure accountability and accessibility to the public; and to make
sure that the best customer service possible is provided. Management also seeks to provide the
necessary needs to staff members enabling them to perform their jobs to the best of their ability and
to provide the opportunity to obtain any additional training needed or requested.
2013
2014
2015
Actual
Budget
Budget
Objective: To enter violations into the public safety system the same day received.
Demand: Violations to be entered.
31,019
32,432
32,000
Workload: Violations entered and processed.
31,019
32,432
32,000
Efficiency: Violations entered and processed per
month.
2,584
2,702
2,666
Effect/Outcome: Percentage of violations
processed same day received.
99%
99%
99%
Objective: To update dispositions into the public safety system within 24 hours.
Demand: Violations to be disposed.
34,455
66,200
34,000
Workload: Violations disposed.
34,455
66,200
34,000
Efficiency: Violations disposed of per month.
2,871
5,516
2,833
Effect/Outcome: Percentage of dispositions
processed within 24 hours.
99%
99%
99%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
District Court Third Division
District Court
Third Division
Mission Statement
To provide impartial and timely adjudication and impose
sanctions for code violations to insure that neighborhood
conditions are improved to comply with accepted health and
safety standards. To provide the public with timely and
impartial adjudication of civil and small claim matters.
Citizens
District Judge
Administration
Environmental Court Civil/Small Claims
Court
City Manager
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City of Little Rock, Arkansas 2015 Operating Budget
District Court Third Division
Expenditure Budget
2013 2014 2015
Description
A
ctual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $558,611 $595,856 $587,984
Supplies and Materials 9,271 11,813 11,813
Contractual 16,110 17,016 24,485
Repairs and Maintenance 0 2,500 2,500
Total $583,991 $627,185 $626,782
Staffing
788
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
100 General Fund $626,782 -0.06%
$0
$175,000
$350,000
$525,000
$700,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
There is a decrease of approximately $7,900 attributed to salary, health
care, and benefit cost changes for non-uniform employees.
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City of Little Rock, Arkansas
District Court Third Division
2014 Department Priorities Status
Continue to find substantive programming for youth who
are under our jurisdiction for day and night time curfew
violations.
Ongoing
Continue to seek ways to improve neighborhood
conditions to comply with the city code standards.
Ongoing
Continue to provide educational training to court staff
relating to their jobs.
Ongoing
Continue to improve and update court security. Ongoing
Upgraded computer and scanning system. Completed
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City of Little Rock, Arkansas
District Court Third Division
2015 Department Goals
Continue to provide training and certification for the Judges, Probation
Officers and Clerks.
Implement the new Administrative Office of the Courts' (AOC) Contexte
computer program system.
Implement prevention, intervention and treatment programs for juvenile
offenders.
Convert our Civil/Small Claims forms and filing information to Spanish.
Provide and administer justice and equity in a professional manner in the
courtroom and work place.
Continue to purse getting truancy petitions filed in Environmental Court.
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City of Little Rock, Arkansas
District Court Third Division
Department: District Court Environmental
Funding Source: General Fund
Budget: $626,782
Department Description:
To direct the overall operation of the Court to ensure legal compliance, provide
management direction, public accountability, impartial and timely adjudication and the
imposition of sanctions for code violations ensuring that neighborhood conditions are
improved to comply with accepted health and safety standards.
2013
2014
2015
Actual
Budget
Budget
Objective: To process 100% of life-threatening violations within seven (7) days of the date
citation is written.
Demand: Citations to be processed.
85
90
95
Workload: Citations processed, recorded, and
entered into computer.
95
95
100
Efficiency: Citations processed.
95
95
100
Effect/Outcome: Percentage of Citations
processed within thirty (30) days.
99%
99%
100%
Objective: Issue Warrants within twenty-four (24) hours of failure to appear in court.
Demand: Warrants to be processed.
60
60
50
Workload: Warrants issued, recorded and
Entered into computer.
60
60
50
Efficiency: Warrants issued per court session.
6
5
5
Effect/Outcome: Percentage of Warrants
processed.
100%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
Finance
Finance
Mission Statement
To manage the financial affairs of the City in accordance with
all legal requirements in the highest standards of ethical and
professional conduct; and to advise the City Manager and
other City departments on any financial issues.
City Manager
Director of
Finance
Administration
Budget and
Research
Controller
Accounting &
Reporting
Accounts
Payable/
Special Projects
Payroll
Grants
Management
Internal Audit Purchasing
Printshop
Treasury &
Revenue
Management
Parking
Garages
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City of Little Rock, Arkansas 2015 Operating Budget
Finance
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $2,453,952 $2,607,924 $2,620,056
Supplies and Materials 137,495 169,713 194,713
Contractual 174,921 225,677 249,177
Repairs and Maintenance 133,729 133,678 140,178
Capital 0 0 0
Total $2,900,097 $3,136,992 $3,204,124
Staffing
40 41 41
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $3,204,124 2.14%
$0
$700,000
$1,400,000
$2,100,000
$2,800,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The change in the personnel budget is attributed to employee bonuses and
changes in health care and other benefit cost. The supplies budget has
been increased to accommodate new software for electronic submission of
bids and minority vendor tracking. Other increases reflect software
maintenance contract increases.
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City of Little Rock, Arkansas
Finance
2014 Department Priorities Status
Obtained Government Finance Officers (GFOA)
Certificate of Recognition for Budget Preparation.
Completed
Obtained GFOA Certificate of Achievement for
Excellence in Financial Reporting for FY13
Comprehensive Annual Financial Report (CAFR). Completed
Provided support and quarterly reporting to the LRCent
Committee and the Board of Directors on the status of
the one (1) cent local sales tax revenues and on
progress toward completion of capital projects
authorized under the 3/8 cent portion of the tax. Ongoing
Developed 3/8-Cent Capital Project financing plan,
issued short-term financing note, and ensured timely
purchase of items. Completed
Staff will monitor and report on infrastructure projects
funded by the issuance of the 2013 Capital
Improvement Bonds for Street and Drainage Projects. Ongoing
Continued on-going employee training program for all
Lawson financial applications. Ongoing
Continue efforts to implement an integrated budget
module for the Citys Financial system. Ongoing
Continued the aggressive pursuit of Federal, State,
Local and private grant opportunities. Completed
Updated the Grant Compliance Manual to include
requirements of new OMB circulars as they are
released. Completed
Review the current bid process and explore the
possibility of alternatives for implementation of a
process that allows acceptance of electronic bids. Ongoing
Performed quarterly review and maintenance of
outstanding purchase orders. Completed
Staff will work with Information Technology to replace
the current mainframe false alarm system and
implement a web-based application to process false
alarm payments. Ongoing
Continued to capture e-mail addresses for business
license holders and continued efforts to improve and
promote the utilization of e-commerce for assessment
forms, statements and license applications. Ongoing
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City of Little Rock, Arkansas
Finance
2015 Department Goals
Staff will work to obtain the Government Finance Officers Association (GFOA)
Certificate of Recognition for the 2015 Budget Preparation and the GFOA
Certificate of Achievement for Excellence in Financial Reporting for the 2014
Comprehensive Annual Financial Report (CAFR).
Finance Staff will continue to offer training to Departmental users on grants,
purchasing, and all financial applications.
Continue efforts to implement an Integrated Budget Module for the Citys
financial system. Evaluate whether the Infor Budgeting and Financial Planning
module will be available in 2015. Issue an RFQ for other budget software if
the Info solution will not be available.
The Finance budget includes an allocation for software and maintenance to
implement an electronic bid solution. In addition, the solution chosen will be
utilized for minority vendor participation tracking.
Evaluate and potentially expand the range of services to reduce operating
costs from the print shop
Continue the aggressive pursuit of Federal, State, Local and private grant
opportunities.
Issue an RFP for the City's banking services. The new contract will go into
effect January 1, 2016.
Staff will work with Information Technology to complete the replacement of the
current mainframe false alarm system and implement a web-based
application to process false alarm payments.
Treasury Staff will complete the transition to the Contexte Court Management
System mandated by the Administration of the Courts. The new system will be
integrated with the Citys financial software.
Review the current bid process and explore the possibility of alternatives for
implementation of a process that allows acceptance of electronic bids.
Perform quarterly review and maintenance of outstanding purchase orders.
Staff will research opportunities to partner with a vendor to send email
notifications to business license holders to inform them of due dates, overdue
balances, and other pertinent information.
Staff will obtain training and continue to update the Grant Compliance Manual
to include requirements of new OMB circulars and policies as they are
released.
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City of Little Rock, Arkansas
Finance
2015 Department Goals
Fill the Internal Audit Manager position that will be vacated in March and
implement new programs to perform periodic reviews and testing of the City’s
internal controls, perform random cash counts, and provide regular reports on
the status of the Citys internal control system, with recommendations for
improvements as needed.
Provide support and quarterly reporting to the LR Cent Committee and the
Board of Directors regarding the status of the new one (1)-cent local sales tax
revenues and the progress toward completion of capital projects authorized
under the 3/8-cent portion of the tax.
Staff will monitor and report on infrastructure projects funded by the issuance
of the 2013 Capital Improvement Bonds for Street and Drainage Projects.
Development of a 3/8-Cent Capital Project Financing Plan, issue short-term
financing note if required, and ensure timely purchase of items.
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City of Little Rock, Arkansas
Finance
Department: Finance
Funding Source: General Fund
Budget: $3,204,124
Department Description:
The Finance Department provides accounting and reporting, budgeting, internal audit, pension
administration, accounts payable, payroll, purchasing, treasury management, grants management,
and print shop services. In addition, Finance advises the City Manager and other departments on
financial issues. Monthly financial reports are presented to the Board of Directors and posted to the
City’s web site for transparency to citizens and other interested parties.
2013 2014 2015
Actual
Budget Budget
Objective: To monitor compliance with the annual adopted budget.
Demand: To prepare consolidated monthly
variance reports for department variances >
$50,000 and 5% of budget. 12 12 12
Workload: Prepared consolidated monthly
variance reports for department variances >
$50,000 and 5% of budget. 12 12 12
Efficiency: Consolidated variance reports
prepared monthly. 11 1
Effect/Outcome: Percentage of consolidated
monthly variance reports for department variances
> $50,000 and 5% of budget completed. 100% 100% 100%
Objective: To provide accurate and efficient accounting and reporting for all public funds
received for the City and maintained by the Finance Department.
Demand: Number of journal entries to be
processed and completed. 1,531 1,500 1,500
Workload: Number of journal entries
processed and completed. 1,531 1,500 1,500
Efficiency: Average number of journal entries
processed and reviewed per month. 128 125 125
Effect/Outcome: Percentage of journal entries
completed per year. 100% 100% 100%
Objective: To provide accurate and timely payment of all invoices properly submitted
according to policy and procedure guidelines. Payments should be issued within 30 days.
Demand: Number of invoices to be processed
and recorded. 101,225 75,000 100,000
Workload: Number of invoices processed,
recorded, and completed. 101,225 75,000 100,000
Efficiency: Number of invoices processed per
hour. 49 36 49
Effect/Outcome: Percentage of invoice
payments issued within 30 days. 95% 95% 95%
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City of Little Rock, Arkansas
Finance
2013 2014 2015
Actual
Budget Budget
Objective: To provide and maintain a systematic method of accounting for and controlling
City’s assets.
Demand: Number of departmental annual asset
inventory counts scheduled. 41 41 41
Workload: Number of addition, retirement, and
depreciation, transfer, and adjustment
transactions processed. 33,880 30,000 30,000
Efficiency: Number of departmental asset
inventory counts completed. 41 41 41
Efficiency: Transactions processed per month. 2,823 2,500 2,500
Effect/Outcome: Percentage of departmental
annual asset inventory counts conducted. 100% 100% 100%
Objective: To produce accurate and timely payroll service to the employees of the City.
Demand/Workload: Number of Payroll
transactions lines processed and recorded. 2,184,000 2,500,000 2,500,000
Efficiency: Payroll transaction lines processed
and posted per month. 182,000 208,333 208,333
Effect/Outcome: Percentage of payroll
transactions processed in the regular bi-weekly
cycle. 98% 98% 98%
Objective: To achieve a current business license fee collection rate of 99%.
Demand/Workload: Net amount billed annually
for business licenses. $6,433,095 $6,490,260 $6,583,571
Efficiency: Revenue collected from business
license fees. $6,304,434 $6,363,000 $6,451,900
Effect/Outcome: Percentage of business
license fees collected. 98% 98% 98%
The departmental goals and objectives link with the
Statement of Management Policy for Financial Reporting.
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City of Little Rock, Arkansas
Human Resources
Human Resources
Mission Statement
To provide managers, administrators, and other employees
with services consistent with sound human resource
principles, that contributes to an effective and efficient work
force supportive of Little Rock Municipal Government
operations.
City Manager
Director of Human
Resources
Risk Management
Occupational Health
Safety/Loss Control
Benefits
A
dministration
Labor and Employee
Relations
HRIS/Records
Employment and
Classification
Employee
Classifications
Employment
Services
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City of Little Rock, Arkansas 2015 Operating Budget
Human Resources
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $1,673,177 2.48%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,257,373 $1,315,171 $1,341,071
Supplies and Materials 24,518 13,200 13,200
Contractual 232,377 302,514 302,514
Repairs and Maintenance 5,317 1,792 16,392
Total $1,519,584 $1,632,677 $1,673,177
Staffing 19 19 20
$0
$350,000
$700,000
$1,050,000
$1,400,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The increase in personnel cost is associated with the addition of a benefits
analyst in 2015. The increase in repairs and maintenance reflects the
annual software maintenance contract cost for the Human Resource
personnel management system, Neogov.
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City of Little Rock, Arkansas
Human Resources
2014 Department Priorities Status
Review onboarding procedures and implement changes
to enhance City processes.
Ongoing
Conducted an audit and reviewed all current department
independent contractors to ensure compliance with
Internal Revenue Service (IRS) regulations.
Completed
Conducted a self-audit of all overtime exempt
classifications to ensure compliance with Fair Labor
Standards Act (FLSA) regulations.
Completed
Reviewed Health Care Insurance renewal proposal and
additional impacts from the Patient Protection and
Affordable Health Care Act (PPACA).
Completed
Conducted training on the Employment Section of the
Administrative Policies and Procedures Manual.
Completed
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City of Little Rock, Arkansas
Human Resources
2015 Department Goals
Analyze results of training survey to determine employee training needs
identifying additional training that can be developed in-house and published
on intranet.
Develop quarterly division training calendar to be published on intranet, in the
newsletter, and email to announcements.
Create leadership/supervisory equivalents for City employees who do not
possess the one or two years of supervision, which is required for
promotional opportunities.
Implementation of a review and monitoring process for licenses and
certifications required of City employees for specific classifications.
Review and update the uniformed Police Officer job descriptions.
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City of Little Rock, Arkansas
Human Resources
Department: Human Resources
Funding Source: General Fund
Budget: $1,673,177
Department Description:
To provide administrative human resource management support to all departments; to establish,
implement, review, and modify policies and procedures.
2013
2014
2015
Actual
Budget
Budget
Objective: To administer benefit programs provided for city employees, including insurance
coverage and to ensure that quality benefits are provided within financial and legal
parameters.
Demand: Total Enrollment meetings.
44
46
40
Workload: Number of enrollment meetings
conducted.
44
46
40
Efficiency: Completed enrollment meeting
materials by contract and or payroll deadlines.
100%
100%
99%
Effect/Outcome: Percentage of enrollment
meeting materials completed by payroll and
Contract targets.
100%
100%
99%
Objective: To process and maintain job descriptions and job
specifications.
Demand: Number of active job classifications.
417
430
440
Workload: Number of classifications requests or
new position requests per year (includes LRCVB).
155
301
331
Efficiency: Complete research and submit
completed documents for review by requesting
department within 60 days.
26
34
60
Effect/Outcome: Average number of days to
complete research and submit proposed job
descriptions/specification.
26
34
60
Objective: To receive, process and maintain applications
and related documents for all City Positions; to
recruit applicants for all City positions needed
(including Civil Service, non-Civil Service, and
Part-time positions).
Demand: The average number of days required to
announce, screen/test and refer applicants.
25
23
23
Workload: The number of actual positions which
were processed (i.e. posted, screened/tested, and
referred).
148
139
145
Efficiency: Number of all applicants for posted
full-time positions.
21,928
15,735
17,500
Effect/Outcome: Average number of days to
submit/refer a list (from the receipt of a requisition
to the referral of a list).
16.27
15.46
20
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City of Little Rock, Arkansas
Human Resources
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services and Quality of Life.
Objective: Provide a cost-effective self-funded Workers’
Compensation program which meets legal
requirements and to reduce the City’s risk of loss due
to accidents.
Demand: Year to date cost per claim.
3,946
3,635
3,750
Workload: Number of claims.
347
375
375
Efficiency: Percentage of claims properly reported
to the Workers’ Compensation Commission within
the ten (10) day requirement.
100%
99%
99%
Effect/Outcome: Proper claim management
driven by on time reporting percentages.
95%
95%
95%
Objective: Ensure that City property is protected
and restored in the event of casualty, vandalism,
theft or other destructive acts and to minimize the
impact of loss of property on the operating
department responsible for the property.
Demand: Approximate building valuation (in
millions).
335
350
365
Workload: Actual Value.
335
350
365
Efficiency: Maintain or improve coverage without
Unnecessary increase in premium rates.
0%
7%
5%
Effect/Outcome: Percent increase in premium
rates.
0%
7%
5%
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City of Little Rock, Arkansas
Information Technology
Information Technology
Mission Statement
To provide systems management, administration, review and
development of IT policies and standards, technical support,
training, technology design and selection, technology
acquisition, and strategic planning services for all City
departments.
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City of Little Rock, Arkansas 2015 Operating Budget
Information Technology
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $4,679,784 7.38%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $2,654,676 $2,876,466 $3,038,713
Supplies and Materials 91,470 105,375 104,720
Contractual 388,507 468,119 588,119
Repairs and Maintenance 594,557 539,362 579,232
Capital 59,270 369,000 369,000
Total $3,788,479 $4,358,322 $4,679,784
Staffing 39 39 39
$0
$875,000
$1,750,000
$2,625,000
$3,500,000
2013
2014
2015
CapitalRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The 2015 Personnel Budget for IT is approximately $162,000 more than the
original 2014 Personnel Budget, reflecting funding for two (2) vacant
positions that were not included in the 2014 budget. The increases in
repairs and maintenance and contracts reflect Cyber Security training,
consumer credit card security compliance software and training, and Internet
security. Many of these increases are a direct result of recent security
breaches at ma
j
or retailers.
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City of Little Rock, Arkansas
Information Technology
2014 Department Priorities Status
Active-Active Data Center: Project provided the City with
an active-active high availability data center environment
with enterprise grade storage located in two separate
facilities.
Completed
Dell KACE Patch Management & Software Distribution
System: Added functionality to KACE system which
included patch management, software distribution,
software and hardware inventory and enhanced service
desk system.
Completed
Microsoft Office Upgrade: Moved users to the latest
version of Microsoft Office that their respective machine
could handle and provided user training on Office 2013.
Completed
Develop Graphical Information System (GIS) for Public
Safety: Developed a GIS system utilizing open source
software providing better graphical information for the
Police and Fire departments.
Completed
John Barrow – West Central Community Center: Assist
Parks Department with technical requirements for this new
facility. Work with Parks staff to identify technology needs
for the facility.
Ongoing
Predictive policing: Assisted the Little Rock Police
Department in implementing a crime prediction and
analysis system.
Completed
Management Information System (MIS) for Community
Programs (cloud-based) –Assisted the Community
Programs Department in implementing a contract
management and service tracking system.
Completed
Administrative Office of the Courts System (AOC): Assist
the Little Rock District Courts with conversion to the State
of Arkansas (AOC) system by develop interfaces to Little
Rock Police Department information required by the Little
Rock District Courts.
Ongoing
Police Incident Module project: Upgrade and replace the
current Little Rock Police Department Incident System on
the mainframe.
Ongoing
False Alarm: Assist Finance with the upgrade of the False
Alarm billing system.
Ongoing
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City of Little Rock, Arkansas
Information Technology
2014 Department Priorities (Continued) Status
Apartment Complex Billing System: Create an Apartment
Complex Billings to track the police responses, billing, and
payments.
Ongoing
Police Arrest – Warrant – Citations Module: Upgrade and
replace Little Rock Police Department's “Persons World
System.
Ongoing
311 Upgrade: Assist Little Rock Police Department with
the upgrade of the 311 System, both hardware and
software.
Ongoing
911 Computer Aided Dispatch (CAD) System: Assist Little
Rock Police Department with the upgrading of the CAD
system.
Ongoing
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City of Little Rock, Arkansas
Information Technology
2015 Department Goals
Predictive Analytic System: Build in house predictive analytic system using
information from existing Police, Fire and Housing City data sets.
911 Computer-Aided Dispatch (CAD) System Hardware Upgrade: Upgrade
911 (CAD) hardware in two locations for redundancy.
AOC Web Services: Implement all available web services and receive all
necessary arrest and adjudication information to update our local database.
Citywide Website Upgrade: Work with vendor to upgrade City's website to
more mobile friendly version.
Payment Card Industry Compliance (PCI) Audit Training: Research,
purchase and implement a PCI Training program.
Security Awareness Training: Research, purchase and implement a Security
Awareness Training program.
Pankey Police Substation: Assist Police Department with technical
requirements for this new facility.
John Barrow West Central Community Center: Assist Parks Department with
technical requirements for this new facility.
911 Personal Computer (PC) replacement: All Windows XP (911) clients will
be replaced with Windows 7 clients to insure the security of the CAD
System.
Management Information System (MIS) for Community Programs (Cloud-
Based) 2nd Phase: Implementation of the Grants Management module
provided by nFocus.
Open Data System: Implement an Open Data Portal System that can publish
data sets for the citizens of Little Rock utilizing standard views, mapping
tools, and file formats.
Cartegraph: Implement Code Enforcement Application for the Housing
Department.
Replace City Windows XP Computers: Continue to work with departments to
identify workstations that need to be replaced.
311 Upgrade: Implement a new 311 solution.
Broadband Firewalls: Configure and install the firewalls purchased for the
locations that connect to City network via broadband connection.
Two-Way Interface from Cartegraph to 311: Work with Housing Department
to create an interface.
LRFD Records Management System Update: Work with Fire Department to
update the Fire Departments Records Management System.
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City of Little Roc
k, Arkansas
Information Technology
Department: Information Technology
Funding Source: General Fund
Budget: $4,679,784
Department Description:
To provide systems management, administration, review and development of Information
Technology policies and standards, technical support, training, technology design and selection,
technology acquisition, and strategic planning services for all city departments.
2013
2014
2015
Actual
Budget
Budget
Objective: To insure that the City's local area computer network is available 99% of the
available work hours.
Demand: Hours available in the work year.
8,760
8,760
8.760
Workload: Hours available for use per year.
8,760
8,760
8,760
Efficiency: Actual hours available for use per year.
8.685
8,730
8,672
Effect/Outcome: Percentage network is available
during work hours.
99%
99%
99%
Objective: To insure that the City's Mainframe is available 99% of the available work hours.
Demand: Hours available in the work year.
8,760
8,760
8.760
Workload: Hours available for use per year.
8,760
8,760
8,760
Efficiency: Actual hours available for use per
year.
8,720
8,745
8,672
Effect/Outcome: Percentage of available work
hours.
99%
99%
99%
Objective: To insure that 97% of the city staff trouble tickets receive a satisfactory or better
rating.
Demand: Number of trouble ticket per year.
8,333
7,274
8,300
Workload: Number of ticket processed within the
year.
8,333
7,199
8,300
Efficiency: Number of satisfactory or better
tickets.
8,166
7,127
8,247
Effect/Outcome: Percent of satisfactory or better
rated tickets.
97%
98%
98%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services.
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City of Little Rock, Arkansas
Planning and Development
Planning & Development
Mission Statement
To enhance the quality of life for the citizens of Little Rock by
providing a department, which encourages quality growth,
development and redevelopment and stabilization of
neighborhoods through a concentrated effort of planning,
land use controls, permitting, and enforcement.
City Manager
Director of Planning and
Development
Administration
Zoning & Subdivisions
Plans Review
Plans & Enforcement
Subdivision Administration
Code Enforcement Zoning
& Sign
Planning
GIS/Graphics
Planners
Building Codes
Plans Examination
Permits & Inspection
Administration
Building Inspections
Plumbing & Gas Inspections
Electrical Inspections
Mechanical Inspections
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City of Little Rock, Arkansas 2015 Operating Budget
Planning and Development
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $2,564,192 -0.77%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,892,499 $2,356,928 $2,339,473
Supplies and Materials 48,896 75,132 77,665
Contractual 52,406 72,357 73,057
Repairs and Maintenance 58,271 68,551 73,997
Capital 0 11,000 0
Total $2,052,072 $2,583,968 $2,564,192
Staffing 39 39 39
$0
$600,000
$1,200,000
$1,800,000
$2,400,000
2013
2014
2015
CapitalRepairs and
Maintenance
ContractualSupplies
and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
There is a decrease of approximately $17,500 attributed to salary, health
care, and benefit cost changes for non-uniform employees. The increase in
repairs and maintenance and supplies includes funding for replacement of
office furniture and ARCGIS software licensing. This increase was funded
b
y
other decreases from the 2014 bud
g
et.
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City of Little Rock, Arkansas
Planning and Development
2014 Department Priorities Status
Continue to provide staff support for various boards,
commissions and committees including Planning
Commission, Board of Adjustment, City Beautiful
Commission, Historic District Commission, Bicycle Friendly
Community Committee and the Board of Directors.
Ongoing
Continue to work on the implementation of the Historic
Preservation plan and begin the process to review areas
for creation of a local ordinance district.
Ongoing
Completed the review and update for the area west of I-
430 and south of Chenal Parkway/Kanis Road and begin
the review process for the final area, the northwest part of
the City.
Completed
Coordinated with Planning Commission, City Beautiful
Commission and Board of Directors needed review of the
ordinances.
Completed
Staff reviewed and processed approximately 150 requests
for rezoning, conditional uses, variances, preliminary plats
and planned developments.
Completed
Adopted the 2012 Arkansas Fire Prevention Code,
Building and Residential Code, the 2014 International
Energy Conservation Code (subject to State of Arkansas
action) and the 2014 National Electrical Code.
Completed
Continue effort to address the issue of unsafe structures. Ongoing
Continue to be involved with the Main Street Revitalization
Committee and Subcommittees (Downtown Little Rock
Partnership).
Ongoing
Completed the John Barrow Neighborhood, design overlay
district.
Completed
Developed web applications for staff to better use
Geographic Information System (GIS) and moved the
current City of Little Rock web page zoning and land use
applications from Pulaski Area Geographic Information
System (Pagis) maintenance and storage to the
department.
Completed
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City of Little Rock, Arkansas
Planning and Development
2015 Department Goals
Continue to provide staff support for various boards, commissions and
committees including Planning Commission, Board of Adjustment, City
Beautiful Commission, Historic District commission, Bicycle Friendly
Community Committee and the Board of Directors.
Continue to work on the implementation of the Historic Preservation plan.
Complete the review of the MacArthur Park Design Guidelines with a
consultant and work on a local ordinance district around Central High School.
Complete the review of the area east of I-540/Union Pacific Railroad and
initiate a second land use plan area review. Review of the land use
classifications for possible consolidations.
Coordinate with Planning Commission, City Beautiful Commission and Board
of Directors any needed review of the ordinances, relating to the Cedar Pine
Design Overlay regulations (Jump Start 12th Street core area).
Staff will review and process 230 requests for rezoning, conditional uses,
variances, preliminary plats and planned developments.
Adopt the 2015 International Property Maintenance Code, the Arkansas
Mechanical Code and Arkansas Plumbing and Gas Codes.
Continue to work on various planning efforts or groups, including a design
overlay district for Kanis Road, a neighborhood action plan for the Wright
Avenue area and the Jump Start Action Plan.
Continue to be involved with the Main Street Revitalization Committee and
Subcommittees (Downtown Little Rock Partnership).
Continue to work on the development of possible design overlay districts for
Main Street and Kanis Road. Review the River Market Design Overlay
District for possible changes to the signage section.
Complete software update of the GIS for Desktop to the current version for
the department and data clean-up of zoning GIS data to improve accuracy.
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City of Little Rock, Arkansas
Planning and Development
Department: Planning and Development
Funding Source: General Fund
Budget: $2,564,192
Department Description:
To administer and enforce the City’s development ordinances and construction codes.
2013
2014
2015
Actual
Budget
Budget
Objective: To process 95% of all applications within forty-five (45) days.
Demand: Land Use, Historic District, and River
Market District cases to be processed.
24
23
26
Workload: Land Use, Historic District, and River
Market District cases processed.
24
23
26
Efficiency: Cases reviewed/completed per month.
2
2
2
Effect/Outcome: Completion of cases
100%
100%
100%
Objective: To process all inspection request within one (1) day.
Demand: Building, Plumbing Mechanical, and
Electrical inspection requests possible.
14,000
14,000
14,250
Workload: Building, Plumbing Mechanical, and
Electrical inspection requests completed.
14,000
14,000
14,250
Efficiency: Inspection requests completed per
year.
14,000
14,000
14,250
Effect/Outcome: Percentage of requests
completed.
100%
100%
100%
Objective: To complete zoning, subdivision, and sign code enforcement inspections,
and re-inspections within policy-directed time frames.
Demand: Zoning, subdivision and sign code
inspections and re-inspections to be completed.
6,000
6,000
5,000
Workload: Zoning, subdivision and sign code
inspections, and re-inspections completed.
6,000
6,000
5,000
Efficiency: Cases processed per year.
6,000
6,000
5,000
Effect/Outcome: Compliance and completion of
cases.
100%
100%
100%
Objective: To process 85% of all applications within forty-five (45) days of fling for Board of
Adjustment and Planning Commission and within ninety (90) days of filing for final Board action.
Demand: Processing of Conditional Use, Tower
Use, Special Use, Variances, Preliminary or Final
Plats, Planned Developments and Site Plan
Reviews.
280
275
265
Workload: Total Cases available per year.
280
275
265
Efficiency: Cases processed per year.
280
275
265
Effect/Outcome: Compliance and completion of
cases.
100%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Basic City Services.
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City of Little Rock, Arkansas
Housing and Neighborhood Programs
Housing & Neighborhood
Programs
Mission Statement
To enhance the quality of life for the citizens of Little Rock by
encouraging quality, affordable development and
redevelopment while working closely with neighborhood
organizations to identify resources needed to strengthen and
make improvements in their areas; and to protect the health
and safety of the citizenry through the efficient
implementation and enforcement of environmental and
animal services codes.
Assistant City Manager
Director of Housing &
Neighborhood Programs
Administration
/
Landbank
Program
Neighborhood Programs
Code Enforcement
Demolition & Contract
Service
Neighborhood Alert
Centers
Neighborhood Resource
Center
CDBG & Housing
Programs
Community Development
Neighborhood
Revitalization
Housing Programs
Emergency Shelter
Grants
Animal Services
Enforcement
Shelter
Educations
Environmental Services
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City of Little Rock, Arkansas 2015 Operating Budget
Housing and Neighborhood Programs
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $5,790,389 2.05%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $3,813,011 $4,702,178 $4,796,086
Supplies and Materials 340,595 339,930 334,671
Contractual 553,883 414,866 429,866
Repairs and Maintenance 239,263 216,865 229,766
Capital 9,075
Transfers Out 173,268 00
Total $5,129,094 $5,673,839 $5,790,389
Staffing 103 103 104
$0
$1,250,000
$2,500,000
$3,750,000
$5,000,000
2013
2014
2015
Transfers
Out
CapitalRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Approximately $93,900 of the personnel increase is attributed to salary,
health care, and pension contribution changes for non-uniform employees,
including the cost of an Alert Center Facilitator position added during 2014.
Other changes reflect the additional fleet charges for code and animal
service officers.
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City of Little Rock, Arkansas
Housing and Neighborhood Programs
2013 Department Priorities Status
Housing developed a quarterly news letter. Completed
Housing will implement a "Neighborhood of the Year"
program.
Ongoing
Developed divisional brochures for the entire department. Completed
To increase public awareness, Housing will develop Public
Service Announcements for each division.
Ongoing
Provide ongoing Code Officer training. Ongoing
Continue to acquire Land Bank properties through
donations, lien foreclosures and purchases for future
development.
Ongoing
Expand the capacity at the dog park and animal village. Ongoing
Increased the number of animal adoptions exceeding
1,500 annually.
Completed
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City of Little Rock, Arkansas
Housing and Neighborhood Programs
2014 Department Goals
Housing will continue publishing a department quarterly newsletter.
Implement a "Neighborhood of the Year Program".
Develop Public Service Announcements (PSA) to highlight each division.
Increase staffing levels of Code Enforcement Officers while providing training
opportunities for both new and existing employees.
Continue city-wide adoption events to aid in the increase of adoptions and
sales of pet licenses.
Develop single family units within the Land Bank and the Neighborhood
Stabilization Program 2 (NSP2) boundaries.
Develop and implement a comprehensive marketing strategy that will
promote the housing availability within Rolling Pines subdivision.
Expand the Dog Park to include water fountains for people and a water play
area for dogs.
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City of Little Rock, Arkansas
Housing and Neighborhood Programs
Department: Housing and Neighborhood Programs
Funding Source: General Fund
Budget: $5,790,389
Department Description:
To provide administrative and managerial support to the Department of Housing and Neighborhood
Program’s divisions and program activities; Community Development Block Grant, Neighborhood
Programs, Neighborhood Services/Alert Centers, Willie L. Hinton Neighborhood Resource Center,
and Environment Services.
2013
2014
2015
Actual
Budget
Budget
Objective: To inspect neighborhood rental property.
Demand: Rental property to be inspected.
1,500
1,500
1,500
Workload: Rental property inspected.
944
1,293
1,500
Efficiency: Average Rental property inspected per
month.
79
107
125
Effect/Outcome: Percentage of rental inspections
completed yearly.
63%
86%
100%
Objective: To enforce nuisance codes through property inspections.
Demand: Nuisance code inspections to be
performed.
24,000
22,000
18,000
Workload: Nuisance code inspections
performed.
16,358
16,198
18,000
Efficiency: Average nuisance code inspections
done per month.
1,363
1,349
1,500
Effect/Outcome: Percentage of nuisance code
inspections completed annually.
68%
74%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a
Safe City and Basic City Services.
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City of Little Rock, Arkansas
Public Works General Fund
Public Works
General Fund
Mission Statement
To ensure all construction, remodeling and repairs of City
owned buildings are construction according to plans and
specifications in the most economical, environmentally
friendly manner.
City Manager
Director of Public Works
Building Services
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City of Little Rock, Arkansas 2015 Operating Budget
Public Works General Fund
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $1,159,922 -0.56%
Expenditure Budget - General Fund
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $643,970 $677,498 $680,608
Supplies and Materials 44,231 58,248 59,758
Contractual 68,151 135,690 135,690
Repairs and Maintenance 214,891 295,046 283,866
Capital 3,700 0 0
Total $974,942 $1,166,482 $1,159,922
Staffing 13 13 13
$0
$187,500
$375,000
$562,500
$750,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
There is an increase of approximately $3,100 attributed to salary, health care,
and benefit cost changes for non-uniform employees. The Fleet allocation
has been reduced based on actual usage.
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City of Little Rock, Arkansas
Public Works General Fund
2014 Department Priorities Status
Energy Efficient Building Maintenance: Continue to
support maintenance and construction that will make
buildings more energy efficient, less expensive to maintain
and environmentally friendly.
Ongoing
Installation of Motion Sensors: Continue to install motion
sensors on lighting to conserve energy as funds become
available.
Ongoing
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City of Little Rock, Arkansas
Public Works General Fund
2015 Department Goals
Energy Efficient Building Maintenance: Continue to support maintenance and
construction that will make buildings more energy efficient, less expensive to
maintain and environmentally friendly.
Installation of Motion Sensors: Continue to install motion sensors on lighting to
conserve energy as funds become available.
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City of Little Rock,
Arkansas
Public Works General Fund
Department: Public Works
Funding Source: General Fund
Budget: $1,159,922
Department Description:
To ensure all construction, remodeling and repairs of City owned buildings are constructed
according to plans and specifications in the most economical, environmentally friendly manner.
2013
2014
2015
Actual
Budget
Budget
Objective: To complete all building-related service work orders in a timely fashion.
Demand:
Work orders to be completed from City
departments.
1,709
1,350
1,600
Workload: Work orders completed.
1,709
1,350
1,600
Efficiency: Work orders completed per month.
142.41
112.50
133.33
Effect/Outcome: Total percentage of work orders
completed.
100%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services.
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City of Little Rock, Arkansas
Parks and Recreation
Parks and Recreation
Mission Statement
To create a meaningful parks and recreation system that
provides quality leisure services, promotes the natural
environment, local economy and health of the community and
strengthens the diversity of a democratic society.
Assi stant
City Manager
Di rector of Parks
And
Recreation
Maintenance
Horticulture
Urban Forestry
Recreation
Programs
Program
Design
Cultural
Museum
Administration
Marathon River Market
Golf
Jim Dailey
Fi
t
n
ess
Ce
n
te
r
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City of Little Rock, Arkansas 2015 Operating Budget
Parks and Recreation
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $9,958,932 2.25%
Expenditure Budget - General Fund
2013 2014 2015
Description
Actual
Expenditures
A
dopted
Budget
Adopted
Budget
Salaries and Employee
Benefits $5,915,363 $6,957,661 $7,084,495
Supplies and Materials 486,007 529,592 535,475
Contractual 1,325,874 1,451,465 1,495,340
Repairs and Maintenance 811,538 800,973 842,622
Capital 6,261 0 1,000
Transfers 30,000
Total $8,575,043 $9,739,691 $9,958,932
Staffing
117 119 122
$0
$1,875,000
$3,750,000
$5,625,000
$7,500,000
2013
2014
2015
CapitalRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The increases in the Parks Department reflect the continuation of the new
sales tax allocation to provide enhanced park maintenance and support. In
addition, funding has been added for the new West Central Community
Center and five (5) new positions for the last quarter of the year.
Approximately $126,800 of the personnel cost increase is attributed to
salary, health care, and benefit changes for non-uniform employees,
including the new positions. Funding for an update of the Parks Master Plan
in the amount of $150,000 will be included in Special Project allocations.
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City of Little Rock, Arkansas
Parks and Recreation
2014 Department Priorities Status
Arkansas River Trail - Continue to seek solutions to
complete the construction of the Arkansas River Trail
while working with City management and Bicycle Friendly
Community Committee to design and develop trail where
there are gaps.
Ongoing
Parks Maintenance Upgrade -Continue to maintain our
parks system at a class "B" level which has as its goal to
mow parks one (1) time every ten (10) days.
Ongoing
Parks Sustainable Margins: Continue researching the
feasibility of developing sustainable margins adjacent to
woodlands in order to reduce mowing time and enhance
wildlife habitats.
Ongoing
Parks Revenue Bond Projects - Complete the Coleman
Creek restoration within War Memorial Park.
Ongoing
Natural Steps Complex - Completed first phase
construction of Natural Steps athletic complex including
four (4) athletic fields, entrance road and parking.
Completed
Little Rock Parks and Recreation Master Plan - Update
the 2001 Little Rock Parks and Recreation Master Plan
that is more than ten (10) years old. Plan needs to be
updated to reflect progress and maintain accreditation.
Ongoing
MacArthur Park Master Plan - Continue the
implementation of the MacArthur Park Master Plan.
Ongoing
War Memorial Redevelopment Plan - Continue the
refinement and implementation of the War Memorial
Redevelopment Plan. Redevelopment plan to include
properties purchased south of I-630 in 2013.
Ongoing
Little Rock Marathon Improvements - Increased Little
Rock Marathon participation and revenue by 10% in 2014.
Completed
Parks & Recreation Playground Inspection Program -
Conducted a thorough and detailed annual inspection of
every playground within Parks and Recreation inventory.
Completed
Step Up to Health Initiative - Continue promotion of the
Step Up to Health Initiative, which will inspire citizens to
pursue healthier lifestyles, creating a more livable
community.
Ongoing
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City of Little Rock, Arkansas
Parks and Recreation
2015 Department Goals
Little Rock Parks and Recreation Master Plan: Update the 2001 Little Rock
Parks and Recreation Master that is more than ten (10) years old. Plan
needs to be updated to reflect progress and maintain accreditation.
$150,000 dollars was appropriated during the 2015 budget process to
update the plan. Projected completion of the updated plan is late 2015.
Park Maintenance Upgrade: Continue to maintain our park system at a class
"B" level which has as its goal to mow parks one (1) time every ten (10)
days.
Arkansas River Trail: Continue to seek solutions to complete the construction
of the Arkansas River Trail. Staff will continue to work with City management
and Bicycle Friendly Community Committee to design and develop trail
where there are gaps.
West Central Community Center: Begin construction of West Central
Community Center in early 2015.
Little Rock Parks and Recreation Accreditation: Begin process for 2016 re-
accreditation.
Park Master Plan. Staff will continue to work with the MacArthur Group to
implement the plan.
Western Hills Park Master Plan: Complete the Western Hills Park Master
Plan.
Little Rock Marathon Improvements: Increase Little Rock Marathon
participation and revenue by 10% in 2015.
Summer Playground Program: Operate an eight (8) week Summer
Playground Program at seven (7) sites around the City for youth between the
ages of six (6) and fifteen (15).
Parks and Recreation Playground Inspection Program: Continue to conduct a
thorough and detailed annual inspection of every playground within Parks and
Recreation inventory.
Lights on After School: Continuation of the "Lights on After School" initiative,
which will continue to promote the critical importance of quality after-school
programs within the lives of children, their families and community.
Coleman Creek Restoration: Complete the Coleman Creek restoration within
War Memorial Park in 2015.
Park Master Plan. Staff will continue to work with the MacArthur Park
Group.
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City of Little Roc
k, Arkansas
Parks and Recreation
Department: Parks and Recreation
Funding Source: General Fund
Budget: $9,958,932
Department Description:
To ensure that all programs and facilities successfully promotes the natural environment, local
economy and health of the community such as; horticulture, urban forestry, recreation programs,
program design, cultural museum, the Little Rock Marathon, and various parks enterprises.
2013
2014
2015
Actual
Budget
Budget
Objective: Provide the citizens and visitors of Little Rock accessible recreational program
opportunities, experiences and activities which promote active living, health and wellness,
socialization, self-esteem, growth and achievement.
Demand: Total recreational opportunities
available.
337,687
336,797
346,901
Workload: Recreational opportunities attended.
309,058
289,697
310,500
Efficiency: Average seasonal attendance.
77,264
84,199
86,725
Effect/Outcome: Percentage of attendance
versus opportunities available.
92%
86%
90%
Objective: Evaluate and upgrade existing capital projects based on need and fund availability.
Demand: Capital projects to be managed
annually.
97
82
90
Workload: Actual projects managed annually.
92
66
50
Efficiency: Projects actively managed monthly.
66
49
45
Effect/Outcome: Percentage of capital projects
managed.
95%
80%
56%
Objective: Mow each park every ten (10) days during the mowing season.
Demand: Number of desired mowing cycles.
3
3
3
Workload: Number of mowing cycles.
2
3
3
Efficiency: Number of monthly mowing cycles
completed.
2
3
3
Effect/Outcome: Percentage of annual mowing
cycles completed
67%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Quality of Life.
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City of Little Rock, Arkansas
River Market
River Market
Mission Statement
The River Market strives to be a carefully crafted, intentional,
and diverse medley of owner-operated shops, stalls, and/or
day tables existing to fill a public purpose and reflecting that
which is distinctive about a community while meeting its
everyday shopping needs.
Director of Parks and Recreation
River Market
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City of Little Rock, Arkansas 2015 Operating Budget
River Market
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $1,209,164 0.04%
Expenditure Budget - River Market
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $553,116 $605,930 $606,419
Supplies and Materials 65,605 33,000 33,000
Contractual 519,551 524,300 524,300
Repairs and Maintenance 49,925 45,445 45,445
Total $1,188,197 $1,208,675 $1,209,164
Staffing 000
$0
$162,500
$325,000
$487,500
$650,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The Little Rock Convention and Visitor’s Bureau will continue to operate the
River Market on behalf of the City in 2015.
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City of Little Rock, Arkansas
River Market
2015 Department Goals
Little Rock Convention and Visitors Bureau (LRCVB) will continue
management of River Market operations on behalf of the City for 2015.
The City will continue to provide support to the River Market at the level of
$250,000.
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City of Little Rock, Arkansas
Golf
Golf
Mission Statement
To provide the best golfing experience possible at an
affordable price, featuring quality facilities and friendly service
to all golfers.
Director of Parks and Recreation
Golf
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City of Little Rock, Arkansas 2015 Operating Budget
Golf
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $1,329,268 $1,301,109 1,326,977
Supplies and Materials 217,829 183,091 178,443
Contractual 487,083 443,384 543,384
Repairs and Maintenance 352,681 259,581 260,100
Total $2,386,862 $2,187,165 $2,308,904
Staffing 21 21 22
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
100 General Fund $2,308,904 5.57%
$0
$375,000
$750,000
$1,125,000
$1,500,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The 2015 budget reflects the conversion of a part-time concessionaire
position at Rebsamen Golf to a full-time position. In addition, the
contribution to support First Tee operations will be increased by $100,000.
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City of Little Rock, Arkansas
Golf
2014 Department Priorities Status
Generate a minimum of $390,000 in revenue at Hindman
Golf Course, while keeping expenditures within budget.
Not Completed
Generate a minimum of $389,850 in revenue at War
Memorial Golf Course, while keeping expenditures
within budget.
Not Completed
Generate a minimum of $992,800 in revenue at
Rebsamen Golf Course, while keeping expenditures
within budget.
Not Completed
Maintain Rebsamen, Hindman and War Memorial Golf
Courses to established standards.
Not Completed
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City of Little Rock, Arkansas
Golf
2015 Department Goals
Generate a minimum of $943,600 in revenue at Rebsamen Golf Course, while
keeping expenditures within budget.
Generate a minimum of $340,500 in revenue at War Memorial Golf Course,
while keeping expenditures within budget.
Generate a minimum of $347,300 in revenue at Hindman Golf Course, while
keeping expenditures within budget.
Maintain Rebsamen, Hindman and War Memorial Golf Courses to established
maintenance standards.
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City of Little Rock, Arkansas
Golf
Department: Golf
Funding Source: General Fund
Budget: $2,308,904
Department Description:
Provide and maintain quality, affordable public golf facilities, and programs for citizens of Little Rock
as well as visitors to the City, while generating revenue to maintain courses at a high standard and
make improvements to existing facilities.
2013
2014
2015
Actual
Budget
Budget
Objective: To provide affordable golfing experiences for the citizens of Little Rock.
Demand: Projected golf rounds.
67,500
70,000
63,000
Workload: Actual golf rounds.
55,963
55,808
63,000
Efficiency: Average rounds per month.
4,664
4,651
5,250
Effect/Outcome: Percentage of actual rounds of
golf.
83%
80%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Quality of Life.
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City of Little Rock, Arkansas
Jim Dailey Fitness and Aquatic Center
Jim Dailey Fitness and
Aquatic Center
Mission Statement
Our goal is to increase quality customer service and to offer a
variety of health and fitness programs to the citizens of Little
Rock.
Director of Parks and Recreation
Jim Dailey Fitness and
Aquatic Center
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City of Little Rock, Arkansas 2015 Operating Budget
Jim Dailey Fitness and Aquatic Center
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $568,951 $639,032 $645,220
Supplies and Materials 47,005 46,293 44,885
Contractual 203,279 179,307 179,307
Repairs and Maintenance 28,050 31,933 31,715
Total $847,286 $896,565 $901,127
Staffing 999
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
100 General Fund $901,127 0.51%
$0
$175,000
$350,000
$525,000
$700,000
2013
2014
2015
Repairs and
Maintenance
ServicesSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The Fitness & Aquatics budget is consistent with 2014. However, funding
will be allocated from the Building Services special project to replace four
(4) sand filters and the pump system for the pool.
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City of Little Rock, Arkansas
Jim Dailey Fitness and Aquatic Center
2014 Department Priorities Status
Jim Dailey Fitness and Aquatic Center: Continue to seek
creative ways in which to market the Jim Dailey Fitness
and Aquatic Center.
Ongoing
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City of Little Rock, Arkansas
Jim Dailey Fitness and Aquatic Center
2015 Department Goals
Examine the needs of fitness programs throughout the city and provide city
residents the opportunity to have access to those fitness programs
Provide a variety of fitness options for the city of Little Rock residents and
fitness center members by providing "Destination Worksite Wellness"
Publicize Jim Dailey Fitness and Aquatics Center local events throughout the
various media venues.
Provide alternative programming for the outdoors enthusiast utilizing local,
state and federal agencies such as the Game and Fish Commission and their
resources that are cost effective.
Start a "Silver Sneakers" program for Senior Citizens.
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City of Little Rock, Arkansas
Jim Dailey Fitness and Aquatic Center
Department: Jim Dailey Fitness Center
Funding Source: General Fund
Budget: $901,127
Department Description:
To provide a Fitness Center which provide citizens an opportunity to participate in a variety of health
and fitness activities.
2013
2014
2015
Actual
Budget
Budget
Objective: To provide a safe, healthy, and clean environment that offers a variety of aquatic, fitness
and sport activities that will improve the health and fitness of the citizens of Little Rock at the Jim
Dailey Aquatic and Fitness Center.
Demand: Potential Program attendance capacity.
154,524
113,668
163,933
Workload: Actual program attendance.
99,253
81,000
105,296
Efficiency: Attendance per month.
14,166
10,367
11,381
Effect/Outcome: Percentage of actual attendance
over potential attendance.
64%
71%
64%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Quality of Life.
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City of Little Rock, Arkansas
Zoo
Zoo
Mission Statement
To create and maintain an outstanding zoological institution,
which serves as a model for others in education, animal care
and response to community needs; providing our visitors with
recreation, educational and cultural experience and operating
on a sound financial basis.
Assistant City
Manager
Director of Zoo
Visitor Services Education Animal Care Facilities
Operation
Development
Marketing
Gift Shop
Ticket/
Membership
Zoo Cafe
Special Events
Administration
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City of Little Rock, Arkansas 2015 Operating Budget
Zoo
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $6,733,727 3.77%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $3,317,842 $3,447,038 $3,754,832
Supplies and Materials 1,015,635 1,081,353 1,078,267
Contractual 1,340,907 1,260,648 1,170,648
Repairs and Maintenance 463,333 699,762 729,980
Total $6,056,684 $6,488,801 $6,733,727
Staffing 57 59 61
$0
$1,000,000
$2,000,000
$3,000,000
$4,000,000
2013
2014
2015
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Approximately $307000 of the increased personnel cost is associated with
salary, health care and benefit changes for non-uniform employees. This
includes approximately $100,000 for health care for several part-time
positions, increased funding for part-time positions in animal management,
and the conversion of two (2) part-time positions to full-time. Funding for
new positions and deferred maintenance supported by the 5/8-cent sales tax
have been continued in 2015.
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City of Little Rock, Arkansas
Zoo
2014 Department Priorities Status
Begin Implementation of the Zoo's Master Plan. Ongoing
Continue to Implement Recommendations of the Zoo's
Strategic Plan.
Ongoing
Installed new train tracks & train owned & operated by the
Zoo.
Completed
Upgrade the Zoo's Chimpanzee, Elephant, Bear, & Otter
Exhibits.
Ongoing
Break ground on the Zoo's new Arkansas Farm Exhibit. Not Completed
Implement engaging educational experiences throughout
the Zoo.
Ongoing
Establish new events & outreach programs to underserved
communities.
Ongoing
Replaced & updated animal Identification graphics. Completed
Updated walkways, rails, and graphics to enhance
Americans with Disabilities Act (ADA) accessibility.
Completed
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City of Little Rock, Arkansas
Zoo
2015 Department Goals
Continue implementation of Zoo Master and Strategic Plans.
Begin construction on a new Arkansas Farm Heritage exhibit and continue
fundraising for expansion.
Institute staff development program for more regular and better professional
development for staff.
Acquire a new black rhinoceros, modify giraffe yard for temporary camel
exhibit, build new reticulated python exhibit, and move primates to east side
of primate house.
Fill vacant positions within the Zoo and create new needed staffing positions
in the administrative area.
Continue to establish new events and outreach programs to minority and
underserved communities.
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City of Little Rock, Arkansas
Zoo
Department: Zoo
Funding Source: General Fund
Budget: $6,733,727
Department Description:
The Little Rock Zoo provides educational and recreational opportunities in a fun environment that
inspires people to conserve the natural world. The Zoo is accredited by the Association of Zoos and
Aquariums (AZA) and displays more than 700 animals on 33 acres of beautifully landscaped
parkland. The Zoo offers educational programming, special events, and other activities to entertain
and educate the public and is a leading cultural attraction in central Arkansas.
2013
2014
2015
Actual
Budget
Budget
Objective: To track annual gate attendance.
Demand: Anticipated annual attendance.
214,468
222,487
215,000
Workload: Actual annual attendance.
211,766
203,256
215,000
Efficiency: Average attendance per month.
17,647
14,394
17,917
Effect/Outcome: Percentage of workload over
demand.
99%
91%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Quality of Life.
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City of Little Rock, Arkansas
Fire
Fire
Mission Statement
Protecting life and property through service and education.
LRFD 24/7
City Manager
Fire Chief
Administration
Assistant Chief
Operations
Assistant Chief
Fire Prevention &
Community Outreach
Assistant Chief
Training &
Professional
Develo
p
ment
Assistant Chief
Administration &
Planning
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City of Little Rock, Arkansas 2015 Operating Budget
Fire
% Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $46,232,253 1.00%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $40,502,272 $42,231,299 $42,680,541
Supplies and Materials 1,131,196 1,035,644 1,032,706
Contractual 611,551 743,250 739,250
Repairs and Maintenance 1,614,019 1,764,393 1,779,756
Total $43,859,037 $45,774,586 $46,232,253
Staffing 421 421 421
$0
$12,500,000
$25,000,000
$37,500,000
$50,000,000
2013
2014
2015
Repairs and
Maintenance
ContractualSuppliesPersonnel
Total Allocations By Fiscal Year And Account Category
The Fire Department increases reflect funding for step and grade salary
increases for existing staff including the twelve (12) new positions for the
West Little Rock Fire Station added during 2012 and the full cost of
previously funded SAFER grant positions. In addition, the LOPFI
contribution rate will increase by 1%.
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City of Little Rock, Arkansas
Fire
2014 Department Priorities Status
Continue the process of Accreditation as we embark on
Step II of the accreditation process.
Ongoing
Implemented a web-based training curriculum. Completed
Transition Little Rock School District/Little Rock Fire
Department Fire Cadet Program to the Senior Fire Cadet
Program.
Ongoing
Collaborate with Fire Service agencies within Central
Arkansas to create and support a comprehensive Crisis
Intervention Team to better serve first responders.
Ongoing
Developed a Battalion Chief's Academy and completed a
correlation developmental task book.
Completed
Establish a partnership with Central Arkansas Transit
Authority (CATA) to develop strategies to equip each
CATA bus with an Automatic Electronic Defibrillator
(AED).
Ongoing
Enhance public awareness of departmental activities. Ongoing
Collaborate with Emergency Management to ensure
department knowledge of: The Hazard Mitigation Plan;
Little Rock's Emergency Response Plan and Emergency
Support Functions.
Ongoing
Upgrade and utilize technology to better communicate and
deploy resources.
Ongoing
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City of Little Rock, Arkansas
Fire
2015 Department Goals
Expand the Fire Safety Education Initiative, and the smoke alarm installation
program, to include hard of hearing, persons with physical disabilities and non-
English speaking immigrant groups.
Establish a Hispanic Fire Safety Day in conjunction with "Cinco De Mayo".
Develop a program titled "Put Me In Chief" to provide a free CPR class to
teach civilians how to save the life of an adult or child.
Complete an extensive professionally prepared annual report for distribution to
constituent stakeholders.
Review and update current policies and procedures.
Implement a more extensive inspection and cleaning program of all personal
protective equipment including turnouts, helmets, hoods, gloves and boots
assuring that they remain in compliance with legal requirements.
All divisions within the Little Rock Fire Department (LRFD) will establish a
mission statement to ensure that the goals and objectives of the division are
met.
Implement annual inspection of all fire stations by LRFD Fire Marshals and City
Building Code Inspectors to ensure fire code and building code compliance.
Provide Fire Officer I training to all members successfully completing the
promotional process to Captain.
Initiate a mental awareness campaign: "We Are One" by establishing an
internal peer support group.
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City of Little Rock, Arkansas
Fire
Department: Fire
Funding Source: General Fund
Budget: $46,232,253
Department Description:
To protect the safety, health and general welfare of the public through fire prevention and
community outreach, fire suppression, Emergency Medical Service, and
special operations
response; and to ensure a competent workforce through training and education.
2013
2014
2015
Actual
Budget
Budget
Objective: Train certified personnel to meet the individual training hours required by Insurance
Services Organization (ISO) and improve the competence level of the workforce.
Demand: Total number of hours of training
completed.
91,440
88,356
88,356
Workload: Total number of hours of individual
training required per year.
138,383
144,878
144,878
Efficiency: Average number of training hours per
person.
349
364
364
Effect/Outcome: Percentage of training hours vs.
required hours.
151%
164%
164%
Objective: Perform inspections of commercial structures including schools, daycare centers,
nursing homes, high-rise buildings, and hospitals.
Demand: Number of inspections on commercial
structures required annually.
2,430
2,673
2,940
Workload: Commercial Building and Structures
inspected annually.
6,304
6,988
7,756
Efficiency: Commercial Building and Structures
inspected per month.
525
582
646
Effect/Outcome: Percentage of inspections
completed annually.
259%
261%
264%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
Police
Police
Mission Statement
To provide essential law enforcement service to the residents
of Little Rock by performing those tasks necessary to protect
life and property and to preserve the peace.
City Manager
Chief of Police
Executive Services Bureau
Administrative Services
Manger
Detective Bureau Uniformed Services Bureau
Public Affairs
Accreditation/ Staff Inspection
Internal Affairs Division Detective Division
Special Investigations
Divisions
Downtown Patrol
Northwest Patrol
Special Operations
Support Services Division
Training/Crime Prevention
Central Communications Southwest Patrol
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City of Little Rock, Arkansas 2015 Operating Budget
Police
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
100 General Fund $68,885,072 2.51%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $57,608,109 $61,075,124 $62,365,348
Supplies and Materials 2,250,467 2,513,740 2,422,392
Contractual 2,128,889 1,697,270 2,044,332
Repairs and Maintenance 1,897,576 1,914,725 2,053,000
Capital Outlay 2,432
Transfers Out 47,000
Total $63,934,472 $67,200,859 $68,885,072
Staffing 715 716 717
$0
$16,250,000
$32,500,000
$48,750,000
$65,000,000
2013
2014
2015
Transfers OutCapital OutlayRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Police Department increases reflect the continued effort to fill vacant uniform
and 911/311 call taker positions. In addition, the full cost of twenty-seven
(27) officer positions previously funded by grants are included in the 2015
budget. The budget includes scheduled step and grade salary increases
and an increase of 1% in the LOPFI contribution rate. In addition, operating
cost for the 12th Street Station has been added to the budget. The overtime
allocation has been increased by approximately $254,000.
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City of Little Rock, Arkansas
Police
2014 Department Priorities Status
Continue the "Click It or Ticket" seatbelt usage
campaign.
Ongoing
Reduce the number of crimes against persons and
property.
Ongoing
Continue Partnership with the State Highway Safety
Project for DWI/DUI enforcement.
Ongoing
Continue Command Staff development. Ongoing
Conduct at least one (1) Recruit School for new officers. Ongoing
Complete construction of the 12th Street Police Station. Ongoing
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City of Little Rock, Arkansas
Police
2015 Department Goals
Complete the 12th Street Police Station.
Continue to improve and expand Police Officer recruiting efforts and conduct at
least one (1) Recruit School during 2015.
Continue to emphasize the utilization of the Criminal Abatement Program and
maintain coordination with the City Attorney's Office.
Reduce the overall incidents of violent and property crime by 3.0%.
Enhance the supervisory skills and abilities of mid-level and Command Staff by
increased attendance at management schools and training seminars.
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City of Little Rock, Arkansas
Police
Department: Police
Funding Source: General Fund
Budget: $68,885,072
Department Description:
The Police Department is to provide the citizens of Little Rock with a law enforcement system that
effectively integrates and utilizes departmental, civic and community resources, to protect life and
property, preserve law and order, and enforce state law and city ordinances, within the framework of
the Constitution.
2013
2014
2015
Actual
Budget
Budget
Objective: To respond to high priority calls.
Demand: Calls to respond.
155,525
155,687
155,785
Workload: Calls responded.
155,525
155,687
155,785
Efficiency: Total minutes from dispatch to arrival.
9.3
9.1
8.9
Effect/Outcome: Percentage of calls with
response time under 14 minutes.
98%
98%
98%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for a Safe City.
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City of Little Rock, Arkansas
Public Works Street Fund
Public Works
Street Fund
Mission Statement
To provide an efficient and economical infrastructure for the
City of Little Rock, provide quality management in all
activities of the Public Works Department, and to provide
professional service to our customers.
City Manager
Director of Public Works
Administration
Assistant Director Assistant Director
Building Services
Civil Engineering
Parking Enforcement
Traffic Engineering
Composting
Public Works Operations
Solid Waste Services
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City of Little Rock, Arkansas 2015 Operating Budget
Public Works Street Fund
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
200 Street Fund $20,050,226 3.55%
Expenditure Budget - Street Fund
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee
Benefits $8,379,047 $9,983,570 $10,291,815
Supplies and Materials 1,100,482 1,176,055 1,188,902
Contractual 2,876,167 2,890,856 2,931,714
Repairs and Maintenance 2,752,577 2,784,328 2,826,578
Capital Outlay 11,247 1,680,000 2,342,000
Transfers Out 216,217 848,887 469,217
Total $15,336,023 $19,363,696 $20,050,226
Staffing
215 213 213
$0
$3,000,000
$6,000,000
$9,000,000
$12,000,000
2013
2014
2015
Transfers OutCapital OutlayRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
Expenditure changes include an additional allocation for infrastructure from
the ½-cent sales tax. In addition, vacancy savings has been reduced to
enable positions to be filled to support a crew for street light repairs.
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City of Little Rock, Arkansas
Public Works Street Fund
2014 Department Priorities Status
2013-2015 Infrastructure Program: Begin to transition
projects from design to right-of-way acquisition to utility
relocation work to construction during 2014.
Ongoing
Scott Hamilton: Assist Arkansas Highway and
Transportation Department (AHTD) in contract award and
construction with a goal of construction completion in
2014.
Ongoing
City Stormwater Drainage System Mapping: Completed
initial process of data collection and updated maps of
City's stormwater drainage system.
Completed
2014 Street Resurfacing Program: Complete the street
resurfacing for the 2014 Program.
Ongoing
Installed street lights along Stagecoach Road. Completed
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City of Little Rock, Arkansas
Public Works Street Fund
2015 Department Goals
2013-2015 Infrastructure Program (Bond Projects): Complete design of all
Bond Projects currently on the books and move 90% of the remaining bond
projects to bidding, contract award and construction phase in 2015.
2013-2015 Infrastructure Program (Sales Tax Projects): Complete design of all
Sales Tax Projects currently on the books and move 75% of the remaining
sales tax projects to bidding, contract award and construction phase.
2016-2018 Infrastructure Program: Attend public meetings, provide preliminary
cost estimates for potential projects, and make recommendations for next
three-year infrastructure improvement program.
2014 Street Resurfacing Program: Complete the 2014 Street Resurfacing
Program.
2015 Street Resurfacing Program: Coordinate the annual street resurfacing
program.
2015 Sidewalk Program: Coordinate the annual sidewalk program with revenue
from the 2011 Sales Tax Plan.
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City of Little Roc
k, Arkansas
Public Works Street Fund
Department: Public Works
Funding Source: Street Fund
Budget: $20,050,226
Department Description:
To maintain and improve a comprehensive infrastructure system that meets the changing needs of
the community while protecting the integrity of the environment.
2013
2014
2015
Actual
Budget
Budget
Objective: To review and approve commercial building permits for consistency with Code
requirements for streets, drainage, and environmental programs.
Demand: Permits for review
89
90
92
Workload: Permits reviewed
89
90
92
Efficiency: Permits processed per month.
7.42
7.5
7.6
Effect/Outcome: Percentage of permits completed.
100%
100%
100%
Objective: Administer Street Sweeping Program to clean the streets, remove debris, and
prevent interference with the City’s drainage system and providing a clean and aesthetically
pleasing environment.
Demand:
Annual Street Sweeping Program
miles.
30,000
30,000
30,000
Workload: Sweeping Program Street Lane
miles.
20,773
24,996
30,000
Efficiency: Program Miles Completed per
month.
1,731
2,083
2,500
Effect/Outcome: Percentage of miles completed.
69%
83%
100%
Objective: To respond to citizen requests/complaints regarding Traffic Issues affecting
neighborhoods and/or other parts of the City.
Demand: Requests for review.
360
321
350
Workload: Requests reviewed
360
321
350
Efficiency: Requests completed per month.
30
26.75
29.17
Effect/Outcome: Percentage of requests
submitted/completed.
100%
100%
100%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for
Infrastructure and Quality of Life.
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City of Little Rock, Arkansas
Fleet Services
Fleet Services
Mission Statement
It is the mission of the City of Little Rock Fleet Services Department
to provide quality and cost efficient vehicles and work equipment,
fuel, vehicle storage and other fleet support services to our
customers in a timely, environmentally friendly atmosphere. We
seek to maintain a safe and wholesome work environment and
opportunity for all employees while being frugal with the tax dollars
of the citizens of Little Rock.
Assistant City
Manager
Director of
Fleet Services
Special Programs
Support Services
Maintenance
Administration
Vehicle Storage
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City of Little Rock, Arkansas 2015 Operating Budget
Fleet Services
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $3,156,553 $3,686,321 $3,693,450
Supplies and Materials 6,388,377 6,694,650 6,640,515
Contractual 2,595,038 2,399,642 2,549,210
Repairs and Maintenance 126,231 249,875 254,450
Depreciation 0 105,200 156,650
Transfers Out 296,000 00
Total $12,683,067 $13,135,688 $13,294,275
Staffing
61 61 61
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
All Operating Departments $13,294,275 1.21%
$0
$1,750,000
$3,500,000
$5,250,000
$7,000,000
2013
2014
2015
Transfers OutDepreciationRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The Fleet Services budget is balanced with projected net income of
approximately $107,850. The decrease in transfers is associated with a
one-time allocation for the CNG station included in the 2014 budget
amendment.
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City of Little Rock, Arkansas
Fleet Services
2014 Department Priorities Status
Opened a new fueling station at 501 Ferry Street, with
diesel, unleaded, and compressed natural gas (CNG).
Completed
Developed and implemented a fleet unit pool program. Completed
Continued effects to established and maintain a Fleet
Replacement fund and investigate creative financing
options.
Ongoing
Convert 20% of the late model pick-up trucks to
compressed natural gas (CNG) and convert small engine
lawn equipment to propane power.
Ongoing
Continue to acquire alternative fueled vehicles, including
idle mitigation and CNG conversions.
Ongoing
Continue effects to become industry Certified through
Fleet Consulting Services (aka Fleet Sentinel), and
Government Fleet Management Alliance (GFMA).
Ongoing
Assist in locating and applying for Clear Air grants for
purchasing alternatively fueled vehicles, vehicle retrofitting,
etc.
Ongoing
Investigate the feasibility of upgrading to a web-based
fleet management software system, which would enable
Automotive Technicians to order parts without leaving the
work station.
Ongoing
Conduct, execute and complete the annual Nation Fire
Protection Association(NFPA) inspectors of all Fire
Department apparatus.
Ongoing
Continue to provide staff the opportunity to attend
Emergency Vehicle Technician (EVT), Automotive Service
Excellence (ASE) and Compressed Natural Gas (CNG)
training classes; to achieve Automotive Service Excellence
(ASE) and Blue Seal shop certification status.
Ongoing
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City of Little Rock, Arkansas
Fleet Services
2015 Department Goals
Establish an Apprentice Program to train assistants who are hired through the
City's Re-entry Program in various divisions. These assistants will be in the
program for nine (9) months.
Purchase and install an additional CNG compressor for increased capacity and
reliability.
Upgrade our barcode Scanner System by purchasing new scanners and
computers that will operate Windows 7 Professional operating system.
Upgrade and add additional surveillance cameras to provide more surveillance
coverage of the facility thereby controlling property theft and monitoring
employees activities on the facility.
Install an addition (pre-engineered steel building) to the existing Landfill
Maintenance Shop and add a walk-through side door in the Small Engine Shop
for cross ventilation and emergency access.
Fleet plans to convert five (5) existing City vehicles to Compressed Natural
Gas (CNG). Also, continue to acquire alternative fueled vehicles, including idle
mitigation and CNG conversions.
Conduct a Citywide hands on Fleet inventory. A hands on inventory is
scheduled every two (2) years to maintain the integrity of the fleet count.
Establish and maintain a Fleet Replacement Fund. Initiate plans for creative
financing that will lessen the strain on the Fleet budget while increasing
purchasing power for the City's fleet.
Locate, acquire or write a database for vehicles and equipment insurance files.
Research and implement plans to reduce the City's expense for vehicle and
equipment insurance coverage.
Continue effects to achieve the certificates for one of the "100 Best Fleets"
and the "Leading Fleet" for the top fleets in the country.
Seek industry certification through Fleet Consulting Services (aka Fleet
Sentinel), and Government Fleet Management Alliance; as recognition for
having met or exceeded all 20 Mission Critical Factors of Fleet Management,
verifying that the City of Little Rock Fleet Services Department is industry
competitive and cost efficient.
Review individual staff expectations for professional growth and development in
2015.
Continue to participate in the "GO Red" grant program. This grant provides
additional funding for the conversion of a diesel fueled unit to a greener fuel.
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City of Little Rock, Arkansas
Fleet Services
Department: Fleet Services
Funding Source: Fleet Services Internal Service Fund
Budget: $13,294,275
Department Description:
To provide quality and cost efficient vehicles and work equipment, fuel and other fleet support
services to our customers in a timely, environmentally friendly atmosphere.
2013
2014
2015
Actual
Budget
Budget
Objective: To complete 95% of fleet unit preventative maintenance before or on the due
date, as per Fleet Sentinel standards.
Demand: Preventative work orders scheduled.
2,895
3,168
3,263
Workload: Preventative work orders opened and
closed.
2,655
2,909
3,100
Efficiency: Preventative work orders closed on or
before due date.
910
1,169
2,945
Effect/Outcome: Percentage of work orders
closed on or before due date vs. total scheduled
work orders.
31%
37%
90%
Objective: To increase the number of direct shop hours to 85% of total shop hours.
Demand: Total number of shop hours.
82,396
83,613
84,500
Workload: Shop hours categorized as direct shop
hours.
57,964
60,933
68,000
Efficiency: Average direct shop hours per month.
4,830
5,078
5,667
Effect/Outcome: Percentage of direct shop hours
/total available shop hours.
70%
73%
80%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services and Infrastructure.
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City of Little Rock, Arkansas
Vehicle Storage Facility
Vehicle Storage Facility
Mission Statement
To provide support to City law enforcement entities by
providing safe storage for vehicles until they are reclaimed by
the registered owner(s) and disposal of unclaimed and
abandoned vehicles through public auction as required by
law.
Director of
Fleet Services
Vehicle Storage
Facility Manager
Storage
Operations
Auction
Operations
Transportation
Code
Enforcement
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City of Little Rock, Arkansas 2015 Operating Budget
Vehicle Storage Facility
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $630,921 $656,232 $693,048
Supplies and Materials 50,402 47,750 47,384
Contractual 598,524 562,980 562,980
Repairs and Maintenance 27,779 28,188 23,832
Depreciation 26,034 26,000 31,900
Total $1,333,661 $1,321,150 $1,359,144
Staffing 15 15 15
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Yea
r
601 Vehicle Storage Facility Fund $1,359,144 2.88%
$0
$225,000
$450,000
$675,000
$900,000
2013
2014
2015
DepreciationRepairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
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City of Little Rock, Arkansas
Vehicle Storage Facility
2014 Department Priorities Status
Purchased and installed a backup generator. Completed
Partnered with the Little Rock Convention and Visitors
Bureau to provide taxicab driver training. Training was
completed April 8, 2014.
Completed
Collaborate with Little Rock Police Department to relocate
the crime scene bay from it's current location to an area
located on the Vehicle Storage lot where vehicles are
stored.
Ongoing
Provide leadership and management training to
supervisors.
Ongoing
Provide customer service training to staff. Ongoing
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City of Little Rock, Arkansas
Vehicle Storage Facility
2015 Department Goals
Collaborate with Little Rock Police Department to relocate the crime scene
bay from it's current location to an area located on the Vehicle Storage lot
where a vehicles are stored.
Pave the auction parking lot.
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City of Little Rock, Arkansas
Vehicle Storage Facility
Department: Vehicle Storage Facility
Funding Source: Vehicle Storage Enterprise Fund
Budget: $1,359,144
Department Description:
Provide entities safe storage for vehicles until they are reclaimed by the registered owner(s) and
disposal of unclaimed and abandoned vehicles.
2013
2014
2015
Actual
Budget
Budget
Objective: To release 100% of eligible vehicles within 60 days of impoundment.
Demand: Impounded vehicles.
3,241
3,000
3,000
Workload: Impounded vehicles eligible for release.
2,460
2,950
2,950
Efficiency: Eligible vehicles released within 60
days.
2,460
2,950
2,950
Effect/Outcome: Percentage of eligible vehicles
released within 60 days.
76%
98%
98%
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services and Infrastructure.
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City of Little Rock, Arkansas
Waste Disposal
Waste Disposal
Mission Statement
To enhance citywide aesthetics and improve the quality of life
of our citizens by providing solid waste collection, recycling,
composting, and disposal.
Director of
Public Works
Assistant Director of
Public Works
Solid Waste Manager
Administration
Solid Waste
Waste Management
Waste Collections
Waste Disposal
Waste Composting
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City of Little Rock, Arkansas 2015 Operating Budget
Waste Disposal
FY 15 % Change
Proposed from
Resources for Budget Budget Prior Year
603 Waste Disposal Fund $17,127,479 -2.99%
Expenditure Budget
2013 2014 2015
Description
Actual
Expenditures
Adopted
Budget
Adopted
Budget
Salaries and Employee Benefits $5,056,615 $5,338,107 $5,307,784
Supplies and Materials 1,641,053 1,666,100 1,668,363
Contractual 3,157,658 3,422,715 3,529,400
Repairs and Maintenance 2,970,146 3,137,296 3,218,465
Closure/Post Closure 280,105 247,945 247,945
Depreciation 1,707,387 2,060,000 1,474,900
Debt Service 426,291 218,900 223,550
Transfers Out 1,378,254 1,564,863 1,457,072
Total $16,617,509 $17,655,926 $17,127,479
Staffing 113 113 113
$0
$1,500,000
$3,000,000
$4,500,000
$6,000,000
2013
2014
2015
Transfers
Out
Debt ServiceDepreciationClosure/Post
Closure
Repairs and
Maintenance
ContractualSupplies and
Materials
Personnel
Total Allocations By Fiscal Year And Account Category
The budget for depreciation and amortization is approximately $445,000
greater than cash requirements forecast for principal payments. In addition to
the operating expenses presented above, approximately $750,000 in capital
expenditures for garbage trucks and replacement of a track hoe are planned.
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City of Little Rock, Arkansas
Waste Disposal
2014 Department Priorities Status
Landfill Operations: Solid Waste Services will continue
bidding on outside disposal contracts to increase
revenue.
Ongoing
Curbside Recycling Improvements: Evaluate the best
alternative to expand both commercial and residential
curbside recycling.
Ongoing
City Green Team: Continue to cultivate the City Green
Team participation and ideas to further sustainability in
City facilities.
Ongoing
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City of Little Rock, Arkansas
Waste Disposal
2015 Department Goals
Conduct geophysical study of Cells 3, 6, and western half of 5 Class 1
landfill with intent of designing future half of Cell 5.
Implement recycling for multi-family complexes of 100 units or more.
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City of Little Rock, Arkansas
Waste Disposal
The departmental goals and objectives link with the
Board of Directors Statement of Management Policy for Basic City
Services and Quality of Life.
Department: Waste Disposal
Funding Source: Waste Fund
Budget: $17,127,479
Department Description:
To provide all elements of effective efficient solid waste management in a manner
that meets
Environmental Protection Agency (EPA) and state regulations, protects health, improves the
t
environment, and provides cleaner neighborhoods to support a high quality of life for all citizens.
2013
2014
2015
Actual
Budget
Budget
Objective: To promote recycling and increase annual tonnage collected.
Demand: Curbside recycling tonnage to be
collected
10,800
10,000
10,200
Workload: Curbside recycling tonnage collected.
10,287
10,219
10,200
Efficiency: Curbside recycling tonnage
collected/month.
857
852
850
Effect/Outcome: Percentage of tonnage collected
annually.
95%
102%
100%
Objective: To monitor incoming tonnage to the Class I and Class IV Landfill Cells.
Demand: Class 1 & Class 4 tonnage to be
disposed.
104,000
130,000
125,000
Workload: Class 1 & Class 4 tonnage received.
131,773
119,013
125,000
Efficiency: Average monthly tonnage disposed
of in Class 1 and Class 4 landfills.
10,981
9,918
10,417
Effect/Outcome: Percentage of tonnage
collected annually.
127%
92%
100%
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Appendix
City of Little Rock, Arkansas 2015 Operating Budget
State and City Budget Statutes
State Statutes
Arkansas statutory law grants the City of Little Rock the authority to operate
under the City Manager form of government pursuant to the City’s form of
government.
1. The Mayor and City Manager shall prepare the municipal budget annually
and submit it to the Board for its approval or disapproval. The City
Manager is responsible for its administration after adoption.
2. The City Manager shall prepare and submit to the Board, within sixty (60)
days after the end of each fiscal year, a complete report on the finances
and administrative activities of the City during the fiscal year.
3. The City Manager shall keep the Mayor and Board advised of the financial
condition and future needs of the City and make such recommendations
as to him may seem desirable.
The City complies with item 1 above in its budget process. It complies with items
2 and 3 by submitting monthly, quarterly, and annual financial reports to the
Board.
City Ordinances
Sections 2-211 through 2-218, of the Code of Ordinances establish budget
requirements for preparation, administration and financial reporting. Sections 2-
222 and 2-226 also pertain to the budget.
Sec. 2-211. Nature and Scope.
The budget for the city shall set forth all proposed expenditures for the
administration, operation, maintenance and improvement of all offices and
departments and expenditures for capital projects to be undertaken and/or
executed during the year. In addition thereto, the budget shall set forth the
anticipated revenues and other means of financing proposed expenditures for the
fiscal year. The budget shall be adopted for the ensuing fiscal year period, while
information for subsequent fiscal periods shall be considered a fiscal plan.
Sec. 2-212. Preparation.
The City Manager shall submit to the Board of Directors a budget and an
explanatory budget message for the ensuing year. The City Manager shall
compile the budget with the assistance of the Finance Department and other
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City of Little Rock, Arkansas 2015 Operating Budget
departments or agencies, estimating all revenues and expenditures detailed by
organization unit, service program, or object or expenditure, as appropriate.
Sec. 2-213. Public records; distributing copies.
The budget and budget message and all supporting schedules shall be a public
record in the office of the City Clerk open to public inspection by anyone. The
City Manager shall cause sufficient copies of the budget and budget message to
be prepared for distribution to interested persons.
Sec. 2-214. Adoption. *
On or before December 30 of each year the Mayor and Board of Directors shall
adopt a budget for the ensuing year.
Sec. 2-214. Budget document – Generally.
The budget document, setting forth the financial plan of the city for the ensuing
fiscal period, shall include the following:
(1) Any explanatory budget message;
(2) A summary of the budget by fiscal year;
(3) A detail of the revenue projections upon which the budget is based; and
(4) The detailed budget plan.
Sec. 2-216. Budget message.
(a) The budget message submitted by the City Manager to the Mayor and
Board of Directors shall be explanatory of the budget, shall contain an
outline of the proposed financial policies of the city for the budget year and
shall describe in connection therewith the important features of the budget
plan. It shall set forth the reasons for salient changes from the previous
year in cost and revenue items and shall explain any major changes in
financial policy.
(b) Attached to the budget message shall be such supporting schedules,
exhibits and other explanatory material in respect to both current
operations and capital improvements, as the City Manager shall believe
useful to the Mayor and Board of Directors.
* Little Rock, Arkansas, Code of Ordinances
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City of Little Rock, Arkansas 2015 Operating Budget
Sec. 2-217. Summary.
At the head of the budget, there shall appear a summary of the budget, which
need not be itemized further than by principal sources of anticipated revenue and
total proposed expenditures of each department, in such a manner as to present
to taxpayers a simple and clear summary of the estimates of the budget.
Sec. 2-218. Complete budget plan.
The budget shall provide a complete plan for the operation of all City
Departments and offices for the ensuing budget year. It shall contain in tabular
form:
Detailed estimates of all anticipated revenues.
All proposed expenditures.
Sec. 2-222. Emergency appropriations.
At any time in any budget year, the Mayor and Board of Directors may make
emergency appropriations to meet a pressing public need.
Sec. 2-248 – 2-251. Financial reporting.
Fund balance reports shall be prepared and submitted to the Mayor and Board of
Directors by the City Manager and Director of Finance within 20 business days
after month end close. A quarterly fund report will also be prepared and widely
distributed. Semi annual reports will be prepared published in the newspaper and
made available to the public within 30 calendar days after the month end close
for June and December of each fiscal year.
Sec. 2-258 – 260.1. Restricted reserve fund.
Restricted reserve fund means a portion of the governmental fund type’s net
assets that are accounted for in a restricted fund balance that is not available for
appropriation without special actions of the Mayor and Board of Directors. This
fund shall be considered to be fully funded as a part of the annual City budget
when the restricted fund balance shows an amount equal to $10,000,000, or 10%
of the annual General Fund revenues for a budgeted year, whichever is greater.
Revenues shall be deposited in this fund in such amounts determined by the
Mayor and Board of Directors to assure that the fund shall be fully funded by
December 31, 2005.
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City of Little Rock, Arkansas 2015 Operating Budget
Sec. 2-260.2. Notice of downward economic trends.
The City Manager and Director of Finance shall notify the Mayor and Board of
Directors in writing at the first available opportunity if economic trends indicate
that the revenues projected as a part of the annual City budget are not meeting
projections and require the Board to consider reduction in force, city services or
the use of restricted reserve fund monies to meet the City’s obligations funded in
the annual City budget.
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City of Little Rock, Arkansas 2015 Operating Budget
STATISTICAL INFORMATION
Date of Incorporation November 7, 1831
Date of Adoption of Charter November 2, 1835
Form of Government City Manager
Date of City Manager Government July 27, 1993
Area - Square Miles 122.36
Miles of Streets and Alley:
Total Streets 2,464.63
Streets Graded and Surface Treatment 422.25
Paved - Permanent (Concrete and Asphalt) 2,046.03
Alleys Maintained 62.96
Drainage Ditches Maintained 1,578.55
Storm Sewers Maintained 361.35
Miles of Water Lines 1,396.60
Sanitary Miles 1,368.00
Traffic Controls:
Signals Malfunctions 2,288
Solid Waste/Garbage Collection:
Class I and IV tonnage 119,013
Curbside/Drop-off recycling 10,664
Yard Waste 30,562
On-call Service 28,148
Knuckleboom truck pick-ups 6,864
Number of Residential Users 58,145
Number of Commercial Users 415
Building Permits:
Year
Permits Issued Estimated Cost
2005 5,330 620,819,782$
2006 4,694 531,752,025$
2007 2,734 614,588,257$
2008 1,957 433,788,975$
2009 3,690 394,776,760$
2010 2,832 343,976,010$
2011 3,304 356,450,894$
2012 2,011 391,789,405$
2013 2,000 385,865,486$
2014 2,024 593,559,207$
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City of Little Rock, Arkansas 2015 Operating Budget
1276
825
1271
640
647
551
1350
670
618
916
0
200
400
600
800
1000
1200
1400
1600
2005 2006 2007 2008 2009 2010 2011 2012 2013 2014
Number of Permits
Years
City of Little Rock
Housing Unit Permits
2005 - 2014
Single-Family Multi-Family Total
Pulaski Heights/ Northwest West LR W. Pulaski/ SW LR Little Rock
Overall Hillcrest Little Rock Maumelle North Far W LR South Downtown
2013 $191,423 $303,664 $239,918 $224,313 $184,669 $390,111 $53,600 $171,802
2012 $187,078 $282,953 $245,866 $217,908 $189,924 $379,035 $67,868 $161,603
2011 $172,195 $305,893 $243,774 $211,311 $187,157 $377,467 $60,771 $142,711
2010 $175,794 $289,156 $230,183 $204,687 $183,438 $401,310 $69,816 $132,243
2009 $172,051 $259,219 $231,557 $206,126 $174,101 $372,225 $72,202 $163,358
2008 $174,018 $274,978 $236,749 $211,212 $189,401 $443,600 $83,413 $108,183
2007 $174,742 $283,178 $243,150 $208,178 $184,178 $403,413 $89,522 $236,286
2006 $172,907 $256,815 $240,033 $212,078 $176,725 $398,395 $82,000 $114,990
2005 $169,000 $288,489 $225,499 $209,970 $175,104 $397,294 $72,396
2004 $154,805 $223,637 $211,786 $190,552 $162,870 $370,972 $67,065
2003 $142,278 $196,602 $189,760 $180,773 $151,508 $317,548 $66,669
Chg 12-1
3
$4,345 $20,711 -$5,948 $6,405 -$5,255 $11,076 -$14,268 $10,199
2.5% 7.2% -2.6% 3.1% -2.9% 2.8% -20.4% 7.7%
Chg 03-1
3
34.5% 54.5% 26.4% 24.1% 21.9% 22.9% -19.6%
All prices represent average sales price.
Compiled by
Metroplan
Central Arkansas Real Estate Values
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City of Little Rock, Arkansas 2015 Operating Budget
Sales Tax Rate:
Local 1.5%
County 1.0%
State 5.9%
Bond Rating:
General Obligation Bonds
Standard and Poor’s AA
Moody’s Aa2
Fire Protection:
Number of Stations 21
Number of Uniformed Employees 415
Number of Calls 28,474
Insurance Rating for Insurance Service Office (ISO)
City of Little Rock Class II
Police Protection:
Number of Stations 8
Number of Uniformed Employees 574
Calls for Service 150,367
Recreation:
Number of Parks, Including Park Development 62
Total Acres (developed & undeveloped) 6,467
Number of Playgrounds 46
Number of Tennis Courts 48
Number of Basketball Courts 37
Number of Museums 1
Number of Golf Courses 3
Number of Ball Fields 25
Number of Play Fields 17
Number of Community Centers 4
Number of Swimming Pools 2
Number of Adult Centers 3
Number of Soccer Fields 12
Number of Fitness Centers 1
River Market 1
Riverfest Amphitheatre
Number of Pavilions
Number of Volleyball Courts
1
280
8
Total Recorded Park Attendance - 2014 613,042
Number of Zoos 1
Total Zoo Attendance – 2014 307,046
Total Zoo Outreach Program 44,070
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City of Little Rock, Arkansas 2015 Operating Budget
Medical Facilities Number of beds
(private occupancy rooms):
Arkansas Childrens
370
Arkansas Heart Hospital
112
Baptist – Little Rock
827
Baptist Rehabilitation Institute
120
Baptist Health Extended Care
37
Select Specialty Hospital
43
St. Vincent Infirmary Medical Center
615
University of Arkansas Medical Center
484
Veteran Health Care System
195
Total Number of Beds
2,803
Estimated Total Beds per 1,000 Population:
14.1
Year Number
1910 45,941
1920 65,142
1930 81,657
1940 88,039
1950 102,310
1960 107,813
1962 Special Census 125,671
1964 Special Census 128,929
1970 Census 144,824
1974 Special Census 139,703
1978 Special Census 144,824
1980 Census 159,024
1985 Special Census 178,134
1990 Census 175,795
1992 U.S. Census Bureau Estimate 176,870
2000 Census 183,133
2010 Census 193,524
2011 Special Census* 195,310
2012 Special Census** 194,439
2013 Special Census** 196,814
2014 Estimate 198,704
* Source: Arkansas Business 2015 Book of List
** Source: Metroplan
POPULATION
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City of Little Rock, Arkansas 2015 Operating Budget
Age
Ranges Male Female
Under 5 6,442 6,737
5 to 9 5,879 6,148
10 to 14 6,652 6,956
15 to 19 5,092 5,326
20 to 24 6,672 6,977
25 to 34 16,070 16,807
35 to 44 13,065 13,664
45 to 54 11,979 12,529
55 to 59 6,367 6,658
60 to 64 5,743 6,006
65 to 74 7,777 8,133
75 to 84 2,848 2,979
85 + 1,882 1,969
City of Little Rock 2013 Population By Age and Sex
0
2,000
4,000
6,000
8,000
10,000
12,000
14,000
16,000
18,000
Population
Age Ranges
City of Little Rock 2013 Census By Age And Sex
Age
Male
Age
Female
Gender:
Male 48.9%
Female 51.1%
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City of Little Rock, Arkansas 2015 Operating Budget
LITTLE ROCK AND ENVIRONS
Per Capita Income (2013) $29,382
Median household income (2013) $44,546
U.S. Consumer Price Index (November 2014) 236.1
Percent inflation over past year 0.7%
Average unemployment percentage rate 5.9%
Median Age (2013 special census) 36.1%
Race (2013):
White 51.8%
Black or African American 41.4%
Hispanic or Latino * 5.4%
American Indian and Alaska Native 0.1%
Other 1.3%
*Hispanic is an overlay category that includes multiples races.
Source: Metroplan
5.1%
4.6%
4.6%
5.8%
9.3%
9.6%
8.9%
8.1%
7.4%
6.2%
4.9%
5.1%
4.9%
4.8%
6.5%
7.4%
7.2%
6.8%
6.7%
5.9%
0.0%
2.0%
4.0%
6.0%
8.0%
10.0%
12.0%
2005 2006 2007 2008 2009 2010 2011 2012 2013 2014
Percentage
Years
Little Rock and United States
Unemployment Rate
2005 - 2014
United States Little Rock
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City of Little Rock, Arkansas 2015 Operating Budget
Education (Little Rock School District):
Number of School Buildings 48
Number of Teachers/including Principals, Supervisors 2,205
Number of Registered Students 24,738
Number of Kindergarten Students 2,047
Average Daily Attendance - Elementary Schools 9,983
Average Daily Attendance - High/ Middle Schools 10,826
Average Daily Attendance - Kindergarten 2,014
Tax Rate: (Mills)
Real 46.4
Personal 46.4
PULASKI COUNTY STATISTICS
Population 25 years and over 131,125
Percent of Population Age 25+ 67%
Education level in years of formal schooling:
High School or Equivalent 24.4%
Some college, no degree 21.3%
Bachelor’s degree 23.3%
MA/Professional degree or higher 15.8%
Institution 2005 Fall 2013
University of Arkansas at Little Rock 11,896 12,377 *
University of Arkansas for Medical Sciences 2,328 2,867
Philander-Smith College 785 556
Arkansas Baptist College 278 1,003
Webster University 448 159
Totals 15,735 16,962
1. Sources: Arkansas Business Book of Lists 2015, 22nd Edition
2. Arkansas Business Book of Lists, 2007 edition.
* Fall 2013 latest, as shown in 2015 Arkansas Book of Lists
LITTLE ROCK INSTITUTIONS OF HIGER EDUCATION
2005 - 2013
Enrollment
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City of Little Rock, Arkansas 2015 Operating Budget
City Government Total Full-Time Part-Time
AFSCME 390 390
IAFF 415 415
FOP 574 574
Non-union 1,215 745 470
2,594 2,124 470
Commissions
Wastewater Utility 209 208 1
Bill & Hillary Clinton National Airport 163 161 2
LR Convention & Visitors Bureau 181 112 69
Port Authority 8 8 0
Metropolitan Emergency Medical Services 335 289 46
Central Arkansas Transit Authority 196 195 1
Arkansas Museum of Discovery 27 14 13
Arkansas Arts Center 95 47 48
Central Arkansas Library 298 200 98 *
1,512 1,234 278
Total Employment 4,106 3,358 748
* Includes 48 temporary
EMPLOYEES AS OF DECEMBER 31, 2014
Company Industry Employees
1 State Government – within the MSA Government 32,200
2 Local Government – within the MSA Government 28,800
3 Federal Government – within the MSA Government 9,200
4 University of Arkansas for Medical Sciences Education/Medical Services 8,500
5 Baptist Health Medical Services 7,000
6 Little Rock Air Force Base Government 4,500
7 Acxiom Data Processing 4,380
8 Little Rock School District Schools/Colleges/Education 3,500
9 Central Arkansas Veterans HealthCare Medical Services 3,500
10 Entergy Arkansas Utility (Electric) 2,740
11 Pulaski County Special School District Schools/Colleges/Education 2,700
12 AT&T Utility (Telephone) 2,600
13 St. Vincent Health System Medical Services 2,600
14 Arkansas Children’s Hospital Medical Services 2,470
15 Dillard’s Inc. Department Store 2,400
16 Verizon Wireless Communications/Telecommunications 2,000
17 Union Pacific Railroad Transportation (Railroad) 2,000
18 Arkansas Blue Cross Blue Shield Insurance 1,800
19 Dassault Falcon Jet Corp. Falcon Aircraft Models 1,700
20 CenterPoint Energy Utility (Natural Gas) 1,600
Source: Greater Little Rock Chamber of Commerce
Compiled by Metroplan 02/09/2015
Little Rock Area Major Employers
2014
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City of Little Rock, Arkansas
Principal Sales Taxpayers
December 31, 2014
The City of Little Rock, Arkansas's largest own-source revenue is sale taxes.
Sale taxes revenues consist of a local 1.5% tax, with 1.125% dedicated to
ongoing operations and the remaining 0.375% dedicated to capital projects. The
capital portion of the tax is a temporary tax that will sunset on December 31,
2021. In 2014, the combined 1.5% local sales tax generated revenue of
$71,145,264. In addition, the City receives a share of the county’s 1% tax based
on population. The City of Little Rock makes up approximately 51% of the
county population.
According to Arkansas State Statutes, the City is required to keep the identity of
individual tax payers confidential. Therefore, the City of Little Rock is not able to
identify the top 10 payers. However, Little Rock enjoys a diverse economic sales
tax base.
Little Rock Top Ten 1 1/2 Cent Sales Taxpayers Tax
Industry Collected % of Total
All Other General Merchandise 6,837,060 9.61%
Full Service Restaurants 5,698,736 8.01%
Grocery Stores 4,375,434 6.15%
Electric Power Generation, Transmission and Distribution 3,543,034 4.98%
Building Materials and Supplies Dealers 2,781,780 3.91%
Electronics and Appliance Stores 2,767,551 3.89%
Clothing Stores 2,703,520 3.80%
Sporting Goods, Hobby, and Musical Instrument Stores 2,632,375 3.70%
Electrical Goods Wholesalers 2,575,459 3.62%
Department Stores 2,041,869 2.87%
Totals 35,956,816 50.54%
Little Rock Top Ten 1 Cent County Sales Taxpayers Tax
Industry Collected % of Total
All Other General Merchandise 4,759,608 11.92%
Full Service Restaurants 3,254,262 8.15%
Grocery Stores 2,443,692 6.12%
Electric Power Generation, Transmission and Distribution 2,168,177 5.43%
Building Materials and Supplies Dealers 1,553,261 3.89%
Electronics and Appliance Stores 1,497,360 3.75%
Sporting Goods, Hobby, and Musical Instrument Stores 1,321,670 3.31%
Telecommunications 1,277,747 3.20%
Clothing Stores 1,153,965 2.89%
Department Stores 1,098,064 2.75%
Totals 20,527,807 51.41%
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Glossary
City of Little Rock, Arkansas 2015 Operating Budget
GLOSSARY OF KEY BUDGET TERMS
Accrual Basis of Accounting - A basis of accounting that recognizes the
financial effect of transactions, events, and interfund activities when they occur,
regardless of the timing of related cash flow.
Agency - A division of City government commonly referred to as a City
department. Examples are Police, Fire, Parks and Recreation, and Public Works
departments. The term "other agencies" is used to identify entities outside of but
related to City operations. These include the County Health Department, Library,
Arts Center, Museum, and others.
Amusement Park Lease - Share of revenue from train rides at Civitan House at
the Little Rock Zoo.
Appropriation - An amount of money authorized by the Board of Directors to incur
obligations and to make expenditures/expenses of resources.
Assessed Valuation of Property - The taxable value of real and personal
property in Little Rock, established at 20 percent of market value by the Pulaski
County Assessor.
Board of Directors - The eleven elected Board members who form the City's
governing body.
Bonds - Certificates of indebtedness issued by an entity which guarantee payment
of principal and interest at a future date.
Basic Budget - An annual financial plan that identifies revenue sources and
amounts, services to be provided, and amounts of money appropriated to fund
these services.
Budget Amendment – Legal means by which an adopted estimated revenue or
expenditure authorization limit is increased or decreased.
Budget: Operating - A financial document designed to provide funding for
operating or "ongoing" annual programs of service.
Budget: Capital - A financial plan for the purchase or construction of major assets
such as buildings, land, streets, sewers, and recreation facilities.
Capital Assets – Assets of long-term character that are intended to continue to be
held or used, such as land, buildings, machinery, furniture, and other equipment.
Capital assets may also be referred to as fixed assets.
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Capital Equipment - Generally, equipment with a value greater than $5,000 and
an expected life of more than one year.
Capital Outlay - The portion of the annual operating budget that appropriates
funds for the purchase of long-lived items often separated from regular operating
items such as personal, supplies and maintenance and contractual. The capital
budget includes funds for purchases such as furniture, vehicles, machinery,
building improvements, data processing equipment and special tools, which are
usually distinguished from operating items according to their value and projected
useful life.
Commission - A unit of city government authorized under State statutes to
provide a municipal service without control by the City elected governing body.
For example, the Housing Commission.
Contingency Reserve - A budgetary reserve set-aside for emergencies or
unforeseen expenditures, not otherwise included in the basic budget.
Contractual Services - Goods and services acquired under contract that the city
receives from an outside company. Professional services, utilities, rentals, and
insurance are examples of contractual services.
Debt Service - Expenditures for principal and interest on outstanding bond issues.
Depreciation - An accounting allocation of a portion of the cost of an asset to the
operating expenditures of the current fiscal period, that is designed to indicate the
funds that will be required to replace the asset when it is no longer serviceable.
Discrete Component Unit - A separate fund that is ultimately dependent upon the
City Board of Directors for oversight or approval of its operations.
Encumbrance - An amount of money committed for payment of a specific good or
service not yet received. Funds so committed cannot be used for another
purpose.
Enterprise Fund - A self-contained fund operated to account for services
supported by user charges and fees. Examples are the Golf, Zoo and Waste
Disposal funds.
Expenditures - Decreases in net financial resources under the current financial
resources measurement focus, and pertains to payment of normal operating
costs and encumbrances. Expenditures are measured according to
governmental accounting rules.
Expenses - The cost of doing business in a proprietary organization, and can be
either direct outflows or the using up of an asset such as the depreciation of
capital assets.
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Fiduciary Fund - A separate fund utilized to account for the pension obligations to
a specific group of City employees. A Board of Trustees that exercises a fiduciary
responsibility for the fund governs each fund.
Fiscal Year - A period of twelve (12) consecutive months designated as the
budget year. Little Rock's fiscal year is the calendar year.
Fleet Services - A management organization accounted for as an internal service
fund and responsible for acquiring and maintaining the City's vehicle fleet.
FUTURE-Little Rock - A community goal setting process utilized to assess the
City's problems and needs and deliver recommended solutions to the Board of
Directors. The process which involved hundreds of citizens over an eighteen-
month period resulted in the City’s half cent local sales tax.
Fund - A fiscal entity composed of a group of revenue and expenditure accounts
maintained to account for a specific purpose. See the section "Little Rock's
Financial Structure" for a description of the funds controlled by the Board of
Directors, various Commissions, and by Pension Trustees.
Fund Balance - The balance in a fund remaining from all revenues, expenditures
and carryover funds that is subject to future appropriation.
Gain/Loss Sale of Fixed Assets – The amount of proceeds from the sale or
disposal of an asset after deduction of the cost of the asset net of depreciation.
General and Administrative Cost - Cost associated with the administration of
general City Services.
General Obligation Bonds - Bonds secured by the full faith and credit of the City.
Generally Accepted Accounting Principles (GAAP) – A widely accepted set of
rules, conventions, standards, and procedures for reporting financial information,
as established by the Financial Accounting Standards Board.
Government Fund Type - Funds generally used to account for tax-supported
activities. There are five different types of government funds: The General Fund;
Special Revenue Funds; Debt Service Funds; Capital Project Funds; and Trust
Funds.
Grant - Contribution by one government unit or funding source to another unit.
The contribution is usually made to aid in a part of a specified function, but is
sometimes available for general purposes.
Grant Match - City funds, private funds, or in-kind services required to be
contributed or raised by the receiving entity for the purpose of matching funds
obtained from Federal and State grant programs.
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Industrial Development Revenue Bonds - Bonds issued by the City to finance
construction or expansion of an industrial facility. The City is in no way obligated
to repay these bonds; rather they are the sole obligation of the industry that
benefits from the financing.
Infrastructure – Infrastructure includes the basic public works of a city, such as
roads, bridges, sewer and water systems, drainage systems, and essential public
utilities.
Internal Service Fund - This fund operates like an Enterprise Fund to account for
citywide vehicle and maintenance costs and the revenue from charge-backs to
user departments. It provides a mechanism for identifying vehicle costs and
charging them to the property budget program.
Investment - Securities purchased and held for the production of revenues in the
form of interest.
Lapsing Appropriation – An appropriation made for a certain period of time,
generally for the budget year. At the end of the specified period, any unexpected
or unencumbered balance lapses or ends, unless otherwise provided by law. Most
operating funds are lapsing funds.
Maintenance - Maintenance encompasses a variety of materials and services for
land and equipment of a permanent or semi-permanent nature or for software for
the renewal, replacement, repair, minor renovation, and other cost associated
with keeping an asset in proper condition or working order.
Millage - The tax rate(s) levied on real and personal property. One mill equals $1
per $1,000 of assessed property value.
Modified Accrual Basis of Accounting - A basis of Accounting according to
which (1) revenues are recognized in the accounting period in which they
become available and measurable and (2) expenditures are recognized in the
accounting period in which the fund liability is incurred, if measurable, except for
un-matured interest on general long-term debt and certain similar accrued
obligations, which should be recognized when due.
Net Position – The residual of all other elements presented in a statement of
financial position. The term incorporates deferred outflows of resources and
deferred inflows of resources as defined by GASB Statement No. 63 into the
definitions of the required components of the residual measure and by renaming
that measure as net position, rather than net assets.
Non-Lapsing Funds – A fund whose unencumbered appropriation balance
remains available for expenditure after the end of the fiscal year. A non-lapsing
fund remains open and available for use until all appropriations are expended,
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City of Little Rock, Arkansas 2015 Operating Budget
transferred, or closed by budgetary action. Grants and Capital Funds normally
operate as non-lapsing funds.
Non-Operating Fund - A fund established to account for revenue and
expenditures that are not recurring and, therefore, not part of the annual operating
budget. Examples of these revenues are sales taxes set aside for special items,
and one-time revenue collections such as litigation settlements. Examples of
expenditures are those for special programs and projects, and for capital projects.
Non-Operating Income or Expense - A non-recurring, unusual type of revenue or
expense that would distort financial results if presented as an operating item.
These items are reflected below the operating income line on statements of
income and expense.
Operating Revenues – Regular and recurring sources of income for an entity.
Operating Expenses – Recurring costs required to provide a service or maintain
an operation.
Other Reimbursements – Usually nonrecurring funds received from another
entity. Amounts refunded for costs incurred or expenses paid.
Outside or Other Agency - These are local organizations that are not a part of
City government, but that receive appropriations from the City in exchange for
services provided to citizens. Examples are the Central Arkansas Transit
Authority, the County Health Department, and the Pulaski County Jail.
Program - A division or sub-unit of an agency budget, which identifies a specific
service activity to be performed. For example, a snow and ice removal program is
funded in the Public Works Street Maintenance Budget.
Proprietary Fund Type - Funds that focus on the determination of operating
income, changes in net assets – or cost recovery – financial position, and cash
flows. There are two different types of proprietary funds: Enterprise Funds and
Internal Service Funds.
Rating - Ratings are issued by several institutions as an indication of the likelihood
that an obligation will be repaid. The highest rating is triple A, which is awarded to
debt securities of the U. S. Government. Little Rock's general obligation bonds are
rated AA by two rating agencies, which indicate a high level of confidence in the
City's ability to repay its obligations.
Recycling - Share of proceeds from the sale of newspaper, metal, and glass
collected by a private company from sanitation routes.
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Redemption - The repayment of a bonded indebtedness. Redemption can occur
at a specified date, or can be subject to early retirement, should funds be available
to do so.
Reserve - The Board of Directors may set aside moneys into an account called a
reserve to provide for future needs or to meet unknown obligations. For example,
the City self-insures for workers' compensation claims and maintains a reserve to
meet any unforeseen future claims. The City also maintains a general working
capital reserve to meet unknown emergency needs.
Restricted Reserve - A specific amount of cash set aside by action of the Board
of Directors for funding unforeseen contingencies such as destruction from a
tornado, flooding, or litigation.
Retained Earnings - The excess of revenue or expenditures that has
accumulated since the inception of a Proprietary Fund.
Revenue(s) - Increases in the net current assets of a Governmental Fund Type
from other than expenditure refunds, general long-term debt proceeds and
operating transfers in.
Risk Management - A program to effectively deal with the varied risks faced by
the City. This includes protecting the public and City employees by providing
commercial or self-insurance coverage for fire, vehicle, and public official and other
liabilities, developing and maintaining safe driving programs, and maintaining a
safe working environment.
Salaries Wages and Employee Benefits - All costs associated with providing
personnel for an agency or program including salaries, wages, social security and
Medicare tax payments, retirement contributions, health, dental, life, disability,
unemployment insurance and Workers' Compensation coverage.
Special Project - Generally, a project funded for a specific purpose. Special
projects may be for capital improvements or other non-operating items, or for
specific programs such as Children, Youth, and Family initiatives.
State Tax Turnback - The State of Arkansas returns a portion of its tax receipts to
incorporated cities within the state. Certain turnback revenues may be used for
general purposes, while other turnback funds are restricted to street
improvements.
Sundries - Revenue received from miscellaneous sources.
Supplies - Supplies are articles that when consumed or used, show a material
change in their physical condition. These items generally last less than one year.
Examples of supplies are office supplies, clothing, cleaning and janitorial
supplies, petroleum products and chemicals, medical & laboratory expenses.
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Transfers In - Reimbursements or allocations from other funds.
User Charges - The direct payment by the public for a specific service provided.
For example, a monthly charge for garbage pickup.
Undesignated Fund Balance - The amount of money remaining in a fund that
has not been appropriated or committed for any purpose.
Utility Franchise Fee - A City fee levied upon the gross receipts of local privately
owned utilities (power, gas, and telephone). Under State law, this fee may be
passed on to the utility user.
Vehicle Storage Fees - Charges for release from the impound lot of vehicles
that have been abandoned on the street, towed from illegal parking zones, or
seized after violation of vehicular laws.
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GLOSSARY OF KEY ACRONYMS
ADA American Disability Act prohibits discrimination and ensures equal
opportunity for persons with disabilities in employment, State and local
government services, public accommodations, commercial facilities, and
transportation. It also mandates the establishment of TDD/telephone relay
services.
AFSCME – American Federation of State, County and Municipal Employees
Union
ARNRC – Arkansas Natural Resource Commission.
ARRA American Recovery and Reinvestment Act of 2009
AZA – Association of Zoos and Aquariums
CAFR – Comprehensive Annual Finance Report
CATA – Central Arkansas Transit Authority
CDBG – Community Development Block Grant representing federal block grants
used primarily for street improvements, community services and community
center operations.
CIP – Capital Improvement Program is a multi-year plan for capital expenditures
to replace and expand the City’s infrastructure, vehicles and equipment.
COBRA/Retiree – Omnibus Budget Reconciliation Act of 1985 is an insurance
premium reduction plan for retired employees.
COPS – Community Oriented Policing Services funded by a federal grant.
CYF – Children, Youth and Families promotes a comprehensive and holistic
approach that reaches out to families and children that are most at risk of losing
a safe, nurturing, self-determining, drug-free and violence-free environment. The
Program requires the full partnership of City and government agencies, local
educational agencies, public and private business community, and dedicated
organizations working directly in the neighborhoods.
DWI/DUI – Driving while intoxicated/Driving under the influence.
FEMA – Federal Emergency Management Administration
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FCC Federal Communications Commission is an independent United States
government agency. The FCC was established by the Communications Act of
1934 and is charged with regulating interstate and international communications
by radio, television, wire, satellite and cable. The FCC's jurisdiction covers the 50
states, the District of Columbia, and U.S. possessions.
FULR – Future Little Rock initiatives paid from a half cent sales tax initiated in
1994.
FOP – Fraternal Order of Police Union
GAAP – Generally Accepted Accounting Principles are accounting rules used to
prepare, present, and report financial statements for a wide variety of entities,
including publicly traded and privately-held companies, non-profit organizations
and governments.
GASB Government Accounting Standards Board is currently the source of
generally accepted accounting principles used by State and Local governments
in the United States of America. It was established to improve standards of state
and local governmental accounting and financial reporting that will result in useful
information for users of financial reports and guide and educate the public,
including issuers, auditors, and users of those financial reports.
GFOA – Government Finance Officers Association promotes the professional
management of governments for the public benefit by identifying and developing
financial policies and best practices and promoting their use through education,
training, facilitation of member networking, and leadership.
IAFF International Association of Fire Fighters
HIPP – Home Investment Partnership Funds are expended to provide housing or
housing assistance to qualifying citizens, to improve neighborhood streets and
drainage and to operate community health and recreation facilities.
LR Cent Committee – Little Rock Citizens for Evaluation of New Tax is a
committee of citizens, which is made up of two (2) Co-Chairs, individuals from
each of the City’s seven (7) Wards, and three (3) At-Large Members. The LR
Cent Committee meets on a quarterly basis to evaluate the spending of the
additional revenue generated by the one (1)-cent sales tax increase approved by
voters in September 2011 that went into effect on January 1, 2012.
LUZA – Local Urban Projects is a program for land redevelopment in areas of
moderate to high density urban land use. Urban renewal may involve relocation
of businesses, the demolition of historic structures, the relocation of people, and
the use of eminent domain (government purchase of property for public use) as a
legal instrument to take private property for city-initiated development projects.
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MBE – Minority Business Enterprise is an American term which is defined as a
business which is at least 51% owned (male and female), operated and
controlled on a daily basis by one or more (in combination) American citizens of
the following ethnic minority classifications: African American, Asian American
(includes West Asian Americans (India etc.) and East Asian Americans (Japan
Korea etc.), Hispanic American – not of the Iberian peninsula and Native
American including Aleuts.
NHSP – Neighborhood Housing Special Project Fund - Section 108 Guaranteed
Loan Program to provide housing and housing assistance to qualifying citizens
and to improve neighborhood infrastructure.
NUSA – Neighborhoods, USA is a national non-profit organization committed to
building and strengthening neighborhood organizations. Created in 1975 to share
information and experiences toward building stronger communities, NUSA now
continues to encourage networking and information sharing to facilitate the
development of partnerships between neighborhood organizations, government
and the private sector.
PIT – Prevention, Intervention and Treatment Programs actively promote
collaborations between public and private organizations, citizen groups, and
other community-based organizations with its youth-oriented programming.
Through a multi-faceted approach, PIT programs seek to reduce crime levels
over time while encouraging the potential of local youth. The wide range of PIT
programming encompasses services for education, health, safety, and
employment for young people.
RFP/RFQ – Request for Proposal is a method of bidding used when there are
subjective qualifications which must be met before you consider pricing. A RFP
gives the buyer a chance to evaluate subjective offerings such as the sellers
approach to a project, references, personnel assigned to the task and history
with similar projects. The City typically uses the Two-Step RFP Method in which
qualifications are submitted in one envelope and evaluated and pricing is
included in another envelope for comparison with those qualified. A RFQ –
Request for Qualifications is a bid where qualifications are all that is submitted
and price is determined by negotiation with the selected vendor.
STF – Short Term Financing accounts for proceeds issued to acquire capital
equipment, building improvements and vehicles for the City.
UALR – University of Arkansas at Little Rock
WBE – Women Business Enterprise – a classification of business enterprises
wherein at least 51% of the business is women owned.
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