HomeMy WebLinkAbout09-27-04 4B ED Agenda PacketNotice of Westlake Development Corporation meeting Page 1 of 1
TOWN OF WESTLAKE, TEXAS-'
WESTL 'XE
NOTICE OF MEETING
TO THE CITIZENS OF THE TOWN OF WESTLAKE, TEXAS:
Notice is hereby given that the Board of Directors of the Westlake Development Corporation of the
Town of Westlake, Texas, will meet at 6:15 p.m. on Monday, September 27, 2004, in the Board room
located at 2650 J.T. Ottinger Road, Westlake, Texas. The Board will consider the following agenda:
1. Meeting called to order.
2. Review and approve minutes of the meetings held on July 14, 2003.
3. Conduct a Public Hearing to consider approving capital projects using 4B funds in the FY
2004/05 budget, in furtherance of the economic development projects of the Town of Westlake as
authorized in Section 4B of the Texas Revised Civil Statutes, Ann. Sec. 5190.6.
4. Adjournment.
CERTIFICATION
I certify that the above notice was posted at Town Hall of the Town of Westlake, 2650 J.T. Ottinger
Road, Westlake, Texas, on Friday, September 24, 2004, at 5:00 p.m., under the Open Meetings Act,
Chapter 551 of the Texas Government Code.
mge Crosswy, Town SZcretary
The Board of Directors may at any time convene into executive session as authorized by Chapter 551 of
the Texas Government Code to discuss any item posted on the agenda.
If you plan to attend this public meeting and have a disability that requires special needs, please advise
the Town Secretary 48 hours in advance at 817-430-0941 and reasonable accommodations will be made
to assist you.
htrn-//www_westlake-tx.oriz/agendas/4ba092704.htm 9/23/2004
Minutes of the Board of Aldermen meeting
TOWN OF WESTLAKE, TEXAS
MINUTES OF THE MEETING
OF THE BOARD OF DIRECTORS OF THE
WESTLAKE DEVELOPMENT CORPORATION
July 14, 2003
Present: Scott Bradley, Chairman
Dr. Joseph Bonola, Member
Buddy Brown, Member
David Brown, Member
Trent Petty, Town Manager
Stan Lowry, Town Attorney
Ginger Crosswy, Town Secretary
Absent: Randal Reed, Member
Fred Held, Member - excused on vacation
Don Redding, Member - excused on vacation
Page 1 of 2
FEWestlake, Texas
Item 41: Chairman Bradley called the meeting to order at 6:48 p.m. by announcing a quorum consisting
of Dr. Bonola, Mr. Buddy Brown, Mr. David Brown, and himself.
Item 92: Review and approve minutes of the meetings held on January 27, 2003. There was a motion by
Mr. Buddy Brown, seconded by Mr. David Brown, to approve the minutes as presented. There was no
discussion and the motion carried unanimously.
Item #3: Conduct a Public Hearing to consider amending the 2002/03 budget to increase funding for
the Westlake/Keller overhead storage tank connection to Dove Road from $401,000.00 to $411,000.00,
in furtherance of the economic development projects of the Town as authorized in Section 4B of the
Texas Revised Civil Statutes, Ann. Sec. 5190.6. Mr. Petty presented this item to the Board. After a short
question and answer session the Public Hearing was opened at 6:51 p.m. No one wished to address the
Board and the Public Hearing was closed. There was a motion by Mr. Buddy Brown, seconded by Dr.
Bonola, to approve the budget amendment presented by the Town Manager. There was no discussion
and the motion carried unanimously.
Item 44: Motion by Mr. Buddy Brown, seconded by Mr. David Brown, to adjourn. The motion carried
unanimously.
The meeting was adjourned at 7:03 p.m.
Approved on
ATTEST:
Ginger Crosswy, Town Secretary
Scott Bradley, Chairman
\T.o4.__ 9/21/2004
WESTLAKE 4B DEVELOPMENT CORPORATION
MEMO
TO: Chairman and Members of the Board of the Westlake 4B Development
Corporation
FROM: Trent Petty, Town Manager
DATE: September 22, 2004
SUBJECT: September 27, 2004 meeting
ITEM
Consider adopting the proposed FY 2004//2005 budget including final amendments to FY
2003/2004 for 4B Corporation.
RECOMMENDATIONS
Staff recommends approval.
BACKGROUND
The attached detail represents the approved budget for FY 04-05 and amendments to FY 03-04
budget as approved by the Board of Aldermen on August 23, 2004.
413 Corporation
Beginning Balance
Balance Sheet Affect to Cash
Revenues
Transfers In
Expenditures
Transfers Out
Ending Balance
B Corporation - Transfers In
WL/Keller Overhead Storage Tank Repz
4A Repayment
Duct Bank (transferred from 4B - S/B
Civic Campus
Repayment for Civic Campus Site
otal Transfers In
413 CORPORATION
Program Summary
Actual
FY 02103
104,830
Adopted
FY 03104
695,658
FY
Am!543V,800
otped
04105
347,062
1,063,577
- 742,080 742,080 1,027,804
1,155,912 - 354,255 -
600,819
359,000
688,042
-
581,431
442,284
-
6,000
150,000
150,000
-
1,155,912
742,080
1,096,335
1,027,804
607,313
744,009
347,062
7,300
Actual Adopted Amended Adopted
FY 02103 FY 03104 FY 03104 FY 04105
nt 37,259
- 1 442,284 1 -
544,172
581,4311 442,284 1-
Actual Adopted Amended Adopted
413 Corporation - Transfers Out
FY 02103 FY 03104 FY 03104 FY 04105
Debt Service for Civic Campus
- 742,080 742,080 1,027,804
Civic Campus
1,155,912 - 354,255 -
1,155,912 742,080 1,096,335 1,027,804
Total Transfers Out
* Balance sheet affect to cash represents balances
between the fiscal years that affect cash and are reflected
in current year revenues and expenditures, i.e. payables and receivables posted to current year's books but
cash is not paid nor received until the subsequent
year. Also included are inter -fund loans not yet paid or
received.
413 CORPORATION - FUND 200
Fiscal Year 2004/2005
EXPENDITURES
0
Adopted
Amendetl
Adopted
44312 00 Interest Expense
Actual
Budget
Budget
Budget
47900 00 Park & Open Space Planning
FY O?103
FY'03104 �
FY U3104
FY 04/05
REVENUES
597,074
350,000
540,000
650,000
31310 00
Sales Tax Revenue
3,745
9,000
_
3,800
2,500
36110 00
Interest Income
0
0
35,543
38805 00
Interfund Advance - Debt Receipt frorr
���.n�n
rA-ARnn
688.042
EXPENDITURES
0
0
0
0
--
44312 00 Interest Expense
1,063,577
0
0
0
47900 00 Park & Open Space Planning
2,000
0
150,000
_
150,000
0
47901 00 Ottinger Road Overlay
(6,000)
---0
0
0
X 00 Master Thoroughfare Update
2,000
581,431
(742,080)
0
0
X 00 Permanent DPS Facility
2,000
_ _
0
17„ nnn;;.
Rn nnn
0
TRANSFERS0
WL/Keller Overhead Storage Tank Repayment 0 37,259 0
284 0 0 442,
Duct Bank (transferred from 4B - S/8 4A) 0 0 0
RPDavment for Civic Campus site 0 544,172
Debt Service for Civic Campus 0 742,080 742,080 1,027,804
Civic Campus 1,155,912 0 354,255 0
SUMMARY
Projected Ending Fund Balance
104,830
695,658
607,3140
347,0620
Balance Sheet Affect to Cash
1,063,577
0
359,000
543,800
688,0420
Total Revenues
600,819
Total Expenditures
(6,000)
(150,000)
(150,000)
Transfers In
Transfers Out
0
(1,155,912)
581,431
(742,080)
442,284
(1,096,336)
0
(1,027,804)
SUMMARY
607,3'14
744,009
347,Ufi2
7,300
1 of 1
ottinger Road Overlay
Project Description:
The overlay is a safety need due to the immense traffic it will endure with the opening of the Westlake Academy
non -mr T GYR1=111.1E,
VARIANCE
0 0 0 0 1 68,4911 68,491 J 0
9/21/2004
3:31 PM
BUQGET
actual
Op/07 _
_ 0
0
actual
01/02
0
0I
actual
02/0.3
0I
0
actual
03/04
0
61,509
TOTAL
0
61,509
BALANCE
I 45,000
43,491
Engineering
Construction
45,000
105,0001
150,000
0
0
0
61,509
61,509
88,491
TOTAL
VARIANCE
0 0 0 0 1 68,4911 68,491 J 0
9/21/2004
3:31 PM
YKVJC�. ! r-vwunw
actual actual
Bt1D(%ET 0..0101 01/02..
I _
0 0
150,000 0 0
actual' actual
02/03 03/04
OI 0
0 130,000
TOTAL
130,000 I
BALANCE
68,491
20,000
Prior Year Remaining Fund
Grant from 4B I
II
150,000 1 0 0
0 130700
130,000
88,491
TOTAL
VARIANCE
0 0 0 0 1 68,4911 68,491 J 0
9/21/2004
3:31 PM
_
_.
Y-KVJCtl"i ` INF i%.AL-,
actual
actual
actual
03/04
:.,;,.. .
Land
Debt Service Issuance Cost
Bank Service Charge
Furniture
Liability Insurance
Interest Expense
Misc
Postage &Delivery
Appraisal Fees
Educational Materials
Debt Settlement Legal
Legal Fees
Engineering Fees
Water Utility Engineering
Architect Fees
Construction Expense
Educational Consultant
Utility Construction
Inspection Fees
Electric Utilities
Water Utilities
TOTAL
LTD
..:031D4
1,475,000
603,049
2,300
12,354
32,219
1,081,326
10,461
286
2,300
23,768
94,340
22,545
277,914
29,805
1,164,606
15,589,819
148,864
68,839
700
11,409
39,032
20,698,095
actual
00101
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
actual.
01102. ..
0I
p
0
0
0
0
0
0
0
0
0
0
0
0
0
0
p
0
0
0
0
0
actual
02103....
1,475,000
603,049
2,300
20,294
32,219
836,572
8,426
286
2,300
0
0
21,045
264,56713,347
29,805
1,164,606
12,904,460
148,864
68,839
7,860
11,409
26,320
17,628,220
actual
03/04
0
0
0
(7,940)
0
244,753
2,035
0
0
23,768
94'340
1,500
0
0
2,685,360
0
0
0
0
12,712
3,069,875
TOTAL
1,475,000
603,049
2,300
12,354
32,219
1,081,326
10,461
286
2,300
23,768
94,340
22,545
277,914
29,805
1,164,606
15,589,819
148,864
68,839
7,860
11,409
39,032
20,698,095
BALANCE
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
p
0
_
_.
- _.._..,
actual
actual
actual
actual
03/04
TOTAL
BALANCE
"DO/D1.01102:-.02!03
0
0
0
0
12,400,097
6351612
0
0
12,400,097
6,351,612
0
0
Prior Year Remaining Fund
Certificates of Obligation - 2002
Cert�cates of Obligation - 2003
12,400,097
6,351,612
0
0
225,000
0
225,000
0
Visitors Assoc
225,000
0
0
244,438
13,311
257,749
0
Interest Income
257,749
0
D
0
0
1,155,912
307,726
20,684,785
0
0
13,311
1,155,912
307,726
20,698,096
(0
p
0
4B Land Grant 1,155,912
4B Grant 307,726 I
TOTAL 20,698,095
66 (3,056,564
VARIANCE 0 p p 3,05 0
9/21/2004
4:45 PM
DEBT SERVICE FUND
2002 SERIES BOND AMORTIZATION SCHEDULE
Pa Yrnent Principal Interest Total
09/30/03
09/30/04
09/30/05
09/30/06
09/30/07
09/30/08
09/30/09
09/30/10
09/30/11
09/30/12
09/30/13
09/30/14
09/30/15
09/30/16
09/30/17
09/30/18
09/30/19
09/30/20
09/30/21
09/30/22
09/30/23
09/30/24
09/30/25
09/30/26
09/30/27
09/30/28
09/30/29
09/30/30
09/30/31
09/30/32
0
0
210,000
225,000
235,000
250,000
265,000
280,000
295,000
315,000
330,000
350,000
365,000
385,000
405,000
425,000
445,000
470,000
495,000
520,000
550,000
580,000
610,000
640,000
675,000
710,000
750,000
790,000
830,000
$ 12,400,000
Five year disclosure for report purposes
2005
$ -
2006
210,000
2007
225,000
2008
235,000
2009
250,000
Thereafter
11,480,000
$ 12,400,000
$ 927,600
742,080
742,080
742,080
728,430
713,805
698,530
682,280
665,055
646,855
627,680
607,205
585,755
563,005
539,280
514,255
490,968
466,530
440,943
413,918
385,455
355,555
323,930
290,290
254,910
217,790
178,640
137,460
93,960
48,140
$ 14,824,464
$ 742,080
742,080
728,430
713,805
698,530
9,529,859
$ 13,154,784
$ 927,600
742,080
742, 080
952,080
953,430
948,805
948,530
947,280
945,055
941,855
942,680
937,205
935,755
928,005
924,280
919,255
915,968
911,530
910,943
908,918
905,455
905,555
903,930
900,290
894,910
892,790
888,640
887,460
883,960
878,140
$ 27,224,464
$ 742,080
952,080
953,430
948,805
948,530
21,009,859
$ 25,554,784
DEBT SERVICE FUND
2003 SERIES BOND AMORTIZATION SCHEDULE
Payment Principal Interest T
09/30/05
09/30/06
09/30/07
09/29/08
09/29/09
09/29/10
09/29/11
09/28/12
09/28/13
09/28/14
09/28/15
09/27/16
09/27/17
09/27/18
09/27/19
09/26/20
09/26/21
09/26/22
09/26/23
09/25/24
09/25/25
09/25/26
09/25/27
09/24/28
09/24/29
09/24/30
09/24/31
09/23/32
140,000
145,000
145,000
150,000
155,000
160,000
165,000
170,000
175,000
185,000
190,000
200,000
210,000
220,000
230,000
240,000
250,000
260,000
275,000
290,000
300,000
315,000
335,000
350,000
365,000
385,000
405,000
$ 6,410,000
Five year disclosure for report purposes
2005
$ -
2006
140,000
2007
145,000
2008
145,000
2009
150,000
Thereafter
5,830,000
$ 6,410,000
$ 285,724
285,724
282,924
279,444
275,529
271,029
265,914
260,314
254,291
248,001
241,220
233,820
225,840
217,240
208,000
197,550
186,625
175,225
163,350
151,000
137,250
122,750
107,750
92,000
75,750
57,750
39,500
20,250
$ 5,361,764
$ 285,724
285,724
282,924
279,444
275,529
3,952,419
$ 5,361,764
$ 285,724
...........................__. _.
425,724
427,924
424,444
425,529
426,029
425,914
425,314
424,291
423,001
426,220
423,820
425,840
427,240
428,000
427,550
426,625
425,225
423,350
426,000
427,250
422,750
422,750
427,000
425,750
422,750
424,500
425,250
$ 11,771,764
$ 285,724
425,724
427,924
424,444
425,529
9,782,419
$ 11,771,764