2015 Final Adopted Budget
2015 ANNUAL BUDGET
Prepared by:
Department of Finance
Scott C. Wright, CPA, CPFO, Assistant Town Manager
TOWN OF AVON, COLORADO
2015 ANNUAL BUDGET
Town Council
Jennie Fancher, Mayor
Jake Wolf, Mayor Pro Tem
Megan Burch
Matt Gennett
Sarah Smith Hymes
Scott Prince
Albert Reynolds
Town Staff
Virginia Egger, Town Manager
Scott Wright, Assistant Town Manager
Matt Pielsticker, Planning Manager
John Curutchet, Recreation Director
Robert Ticer, Police Chief
Justin Hildreth, Town Engineer
Gary Padilla, Road and Bridge Superintendent
Jane Burden, Transit Superintendent
Dan Higgins, Fleet Manager
Cover Photo: 2014 Apres Avon
By Susan Fairweather
Town of Avon
2015 Annual Budget
Table of Contents
Page 1
I. Introduction
1 Organizational Chart
II. Financial Overview and Fund Summaries
Consolidated Financial Shedules and Graphs
1 Financial Overview - Total All Funds
2-3 Financial Overview - Total By Fund - 2015 Adopted Budget
Revenues
4 Graphs - 2014 & 2015 Total Operating Revenues by Source
5 Graph and Table - Taxes by Type
6 Graphs - Property Tax
Expenditures
7 Graphs - 2014 & 2015 Total Expenditures by Function
8 Graph and Table - Expenditures by Fund Type
9 Graph and Table - Operating Expenditures by Category
10 Graph and Table - Personnel Expenditures
General Fund
11 Fund Summary
12 Graphs - Operating Revenues and Operating Expenditures
13 Graph and Table - Tax Revenue
14 Graph and Table - Expenditures by Object Class and Function
15-17 Revenue Detail
18-19 Department Expenditure Summaries
20-21 Departmental Operating Costs
22-27 Town Center West Maintenance Fund
28-31 Avon Urban Renewal Authority Fund
32-33 Community Enhancement Fund
34-38 Water Fund
39-40 Affordable Housing Fund
41-42 Facilities Reserve Fund
43-44 Debt Service Fund
45-49 Transit Enterprise Fund
50-53 Fleet Maintenance Enterprise Service Fund
54-60 Equipment Replacement Internal Service Fund
III. Capital Projects
1-2 Capital Projects Fund Summary
3-4 Capital Projects Fund 5-Year Plan - Summary
5-7 Capital Projects Fund 5-Year Plan - Inventory Detail
8-17 Capital Project Descriptions
18 Funding Sources
Town of Avon
2015 Annual Budget
Table of Contents
Page 2
IV. General Fund Department Summaries
A. General Government
1-3 General Government Budget Summary
4-6 Mayor and Town Council
7-8 Boards and Commissions
9-10 Town Attorney
11-14 Town Clerk
15-17 Municipal Court
18-20 Town Manager
21-23 Community Relations
B. Finance & Administration Department
1-3 Finance and Administration Budget Summary
4-7 Human Resources
8-12 Finance
13-16 Information Systems
17-21 Nondepartmental
C. Community Development
1-3 Community Development Budget Summary
4 Administration
5-8 Planning
9-11 Building Inspection
12-15 Economic Initiatives
16-20 Town Produced Events
21-22 Signature Event Seed Funding
23-24 Community Grants
D. Police Department
1-3 Police Department Budget Summary
4-10 Administration
11-15 Patrol
16-19 Investigations
E. Road and Bridge
1-2 Road and Bridge Budget Summary
3-10 Road and Bridge
F. Engineering
1-2 Engineering Budget Summary
3-6 Engineering
7-14 Buildings and Facilities
Town of Avon
2015 Annual Budget
Table of Contents
Page 3
G. Parks and Recreation
1-4 Parks and Recreation Department Budget Summary
5-6 Special Events
7-11 Administration
12-14 Adult Programs
15-18 Aquatics
19 Child Care
20-22 Fitness
23-26 Guest Services
27-30 Youth Programs
31-33 Cabin
34-40 Parks and Grounds
41-42 Buildings and Facilities
V. Enterprise Fund Departments
H. Transportation
1-3 Transportation Department Budget Summary
4 Transit Enterprise Fund Summary
5-8 Administration
9-13 Operations
14-16 Wash Bay
I. Fleet Maintenance
1-2 Fleet Maintenance Department Budget Summary
3 Fleet Maintenance Enterprise Fund Summary
4-11 Fleet Maintenace
12 Wash Bay
VI. Supplemental
1-2 Personnel Schedule - Full-time Employees
3-5 Position Classifications and Salary Ranges
6-24 Chart of Accounts
THIS PAGE INTENTIONALLY LEFT BLANK
Town of Avon
Organizational Chart
To w n of Avon Ci tizens
-[
Mayor & Tow n Council
I I ~ T T
Boar d s & Town Manager M unicipal Co urt Town Attorney Com missioners
l
II II i II ~ I II
Co mmu nit y En ginee r ing Finance an d Gener al Go vern m en t Par ks an d Recreation Police Public Works De ve lopment Admin ist ra tio n
-·~ -·~ ·~ ·~ ··~
f-Building Inspections -Buildings -Budgeting f-Community Re lations -Administ ratio n f-Ad minis tration -Fleet M ai ntenance
r-Eco no m ic -Cap it al Proje cts -Fi nan ce r-Co urt -Park s and Grounds r-Invest igat ion s -Road and Br idge Development
'-Planning -Human Res ources '-To w n Cle r k -Recrea tion Prog r am s '-Patrol -Transportation
Informat ion -Technology
THIS PAGE INTENTIONALLY LEFT BLANK
Section II, Page 1
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 12,529,700$ 13,066,894$ 13,825,178 15,924,726$ 15,968,755$
Licenses and Permits 336,548 172,500 153,500 153,500 153,400
Intergovernmental 8,415,474 2,270,543 2,245,043 1,306,956 2,598,400
Charges for Services 3,445,308 3,899,203 3,795,810 3,680,356 3,903,932
Fines and Forfeitures 104,736 110,275 128,173 101,900 101,900
Investment Earnings 21,296 27,775 29,455 24,113 45,275
Other Revenue 547,271 435,130 544,388 458,709 535,034
Total Operating Revenues 25,400,333 19,982,320 20,721,547 21,650,260 23,306,696
Other Sources
Sales of Fixed Assets 59,511 3,500 12,555 27,000 4,000
Capital Lease Proceeds 175,326 188,062 188,062 - -
Bond and Loan Proceeds 6,825,000 - 9,829,000 - -
Transfers-In From Other Funds 3,282,160 4,714,736 6,244,282 4,118,822 3,056,552
Total Other Sources 10,341,997 4,906,298 16,273,899 4,145,822 3,060,552
TOTAL REVENUES 35,742,330 24,888,618 36,995,446 25,796,082 26,367,248
EXPENDITURES
General Government and Finance 2,595,654 3,207,774 3,206,214 2,849,698 2,912,006
Community Development 536,483 484,448 487,786 1,060,377 1,024,646
Public Safety 2,539,475 2,739,674 2,756,957 2,992,877 3,099,821
Road and Bridge, Engineering and Utilities 1,682,538 1,750,778 1,683,854 3,148,963 3,107,988
Transportation and Fleet Maintenance 2,692,039 2,952,221 2,998,630 3,558,517 3,244,067
Parks and Recreation 3,556,864 4,164,945 4,265,018 2,448,303 2,541,803
Total Operating Expenditures 13,603,053 15,299,840 15,398,459 16,058,735 15,930,331
Debt Service 7,895,962 1,985,077 1,991,931 2,051,276 2,289,853
Capital Improvements and Equipment Replacement 12,148,170 7,337,987 13,540,491 5,606,849 5,145,589
Contingency - 62,500 6,500 100,000 100,000
Other Uses
Transfers-Out To Other Funds 3,282,160 4,481,736 6,244,282 4,118,822 3,056,552
TOTAL EXPENDITURES 36,929,345 29,167,140 37,181,663 27,935,682 26,522,325
NET SOURCE (USE) OF FUNDS (1,187,015) (4,278,522) (186,217) (2,139,600) (155,077)
FUND BALANCES, Beginning of Year 17,468,923 16,103,284 16,281,908 16,095,691 13,956,091
FUND BALANCES, End of Year 16,281,908$ 11,824,762$ 16,095,691$ 13,956,091$ 13,801,014$
TOTAL - ALL FUNDS
TOWN OF AVON
Financial Overview
Section II, Page 2
Town Urban Community Affordable
General Center Renewal Enhancement Water Housing
Fund West Fund Fund Fund Fund
REVENUE
Taxes 10,820,041$ -$ 698,162$ -$ -$ -$
Licenses and Permits 153,500 - - - - -
Intergovernmental 948,956 - - - - -
Charges for Services 1,276,195 - - - 170,000 -
Fines and Forfeitures 101,900 - - - - -
Investment Earnings 15,000 - 3,141 - - 1,231
Other Revenue 309,119 - - 84,000 - 2,510
Total Operating Revenues 13,624,711 - 701,303 84,000 170,000 3,741
Other Sources
Sales of Fixed Assets - - - - - -
Capital Lease Proceeds - - - - - -
Bond and Loan Proceeds - - - - - -
Transfers-In From Other Funds 1,538,335 250,000 - - - -
TOTAL REVENUES 15,163,046 250,000 701,303 84,000 170,000 3,741
EXPENDITURES
General Government, Housing and Finance 2,848,748 - 950 - - -
Community Development 1,060,377 - - - - -
Police 2,992,877 - - - - -
Public Works, Engineering and Utilities 2,983,725 - - - 165,238 -
Transportation and Fleet Maintenance - - - - - -
Recreation and Culture 2,191,678 256,625 - - - -
Total Operating Expenditures 12,077,405 256,625 950 - 165,238 -
Debt Service - - 579,504 - - -
Capital Expenditures - - - - - -
Contingency 100,000
Other Uses
Transfers-Out To Other Funds 1,672,000 - 100,000 - - -
TOTAL EXPENDITURES 13,849,405 256,625 680,454 - 165,238 -
NET SOURCE (USE) OF FUNDS 1,313,641 (6,625) 20,849 84,000 4,762 3,741
FUND BALANCES, Beginning of Year 3,315,036 102,390 776,835 18,728 844,469 513,594
FUND BALANCES, End of Year 4,628,677$ 95,765$ 797,684$ 102,728$ 849,231$ 517,335$
Special Revenue Funds
TOTAL - BY FUND
TOWN OF AVON
Financial Overview
Section II, Page 3
Debt Service Internal
Facilities Fund Capital Service Percent
Reserve Bond Projects Transit Fleet Equipment of
Fund Redemption Fund Fund Maintenance Replacement Total Total
-$ 541,020$ 3,825,312$ 40,191$ -$ -$ 15,924,726$ 73.55%
- - - - - - 153,500 0.71%
- - 30,000 328,000 - - 1,306,956 6.04%
- - - 263,066 1,372,358 598,737 3,680,356 17.00%
- - - - - - 101,900 0.47%
- 1,000 3,741 - - - 24,113 0.11%
- - - 63,080 - - 458,709 2.12%
- 542,020 3,859,053 694,337 1,372,358 598,737 21,650,260 100.00%
- - - - - 27,000 27,000
- - - - - - -
- - - - - - -
- 808,487 120,000 1,102,000 300,000 - 4,118,822
- 1,350,507 3,979,053 1,796,337 1,672,358 625,737 25,796,082
- - - - - - 2,849,698 17.75%
- - - - - - 1,060,377 6.60%
- - - - - - 2,992,877 18.64%
- - - - - - 3,148,963 19.61%
- - - 1,869,598 1,688,919 - 3,558,517 22.16%
- - - - - - 2,448,303 15.25%
- - - 1,869,598 1,688,919 - 16,058,735 100.00%
- 1,350,507 121,265 - - - 2,051,276
- - 5,086,679 - - 520,170 5,606,849
100,000
- - 2,346,822 - - - 4,118,822
- 1,350,507 7,554,766 1,869,598 1,688,919 520,170 27,935,682
- - (3,575,713) (73,261) (16,561) 105,567 (2,139,600)
- 511,335 6,547,338 495,562 179,389 2,791,015 16,095,691
-$ 511,335$ 2,971,625$ 422,301$ 162,828$ 2,896,582$ 13,956,091$
Enterprise Funds
TOTAL - BY FUND
TOWN OF AVON
Financial Overview
Section II, Page 4
REVENUES
TOWN OF AVON
Financial Overview
Taxes
73.55%
Intergovernmental
6.04%
Charges for Services
17.00%
Investment Earnings
0.11% Licenses, Fines, Other
3.30%
2015 Total Operating Revenues
By Major Source
Taxes
66.72%
Intergovernmental
10.83%
Charges for Services
18.32%
Investment Earnings
0.14%
Licenses, Fines, Other
3.99%
2014 Total Operating Revenues
By Major Source
Section II, Page 5
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
TAXES
General Property Tax 2,982,657 2,805,947 2,732,393 2,772,917 2,982,119
Specific Ownership Tax 96,850 100,000 105,000 105,000 105,000
Real Estate Transfer Tax 1,574,502 1,600,000 2,100,000 3,825,312 3,318,080
Sales Tax 6,374,134 6,525,668 6,785,895 7,056,531 7,332,992
Utility Tax 110,474 110,000 110,000 110,000 110,000
Accomodations Tax 888,867 915,279 951,890 989,966 1,029,564
VAA Retail Sales Fee 118,622 625,000 625,000 650,000 676,000
Franchise Fees 383,594 385,000 415,000 415,000 415,000
Total Taxes 12,529,700$ 13,066,894$ 13,825,178$ 15,924,726$ 15,968,755$
REVENUES
TOWN OF AVON
Financial Overview
The Town of Avon anticipates collecting approximately $15,924,726 or 73.55% of its operating revenues, through an
assortment of taxes in 2015. The chart and table below depicts the amount and type of taxes projected for 2015.
The Town's sales tax rate is 4.0%. The sales tax is deposited into the General Fund to partially finance the operating costs
associated with providing general governmental type services to the community. The Town also has a 2.0% real estate
transfer tax. The tax is charged on all sales of real estate within the Town. Proceeds from this tax are deposited into the
Town's Capital Projects Fund and help pay for major capital improvement projects.
General Property Tax
17.41%
Specific Ownership Tax
0.66%
Real Estate Transfer Tax
24.02% Sales Tax
44.31%
Accomodations Tax
6.22%
VAA Retail Sales Fee
4.08% Franchise Fees
2.61%
2015 Taxes
By Type
Section II, Page 6
REVENUES
TOWN OF AVON
Financial Overview
Property Tax
For 2014, the Towns' property tax rate for the General Fund will remain at 8.956 mills. The property tax rate for
general bond redemption will decrease from 3.302 to 3.251 mills due to a small increase in the Town's net
assessed valuation. In addition, the Avon Urban Renewal Authority has budgeted $698,162 in property tax
increment. Total property tax revenues for the Town are budgeted at $2,772,917 or 17.41% of total tax
revenues. The two charts below show the Town's historical property tax levies and assessed valuations for the
$-
$50,000,000
$100,000,000
$150,000,000
$200,000,000
$250,000,000
2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016
Year
Historical Assessed Values
$-
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
$3,500,000
2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014
Year
Property Tax Levy
Section II, Page 7
*Total expenditures excluding operating transfers and contingencies
EXPENDITURES
TOWN OF AVON
Financial Overview
General Government
and Finance
10.37%
Community
Development
1.58% Public Safety
8.91%
Road and Bridge,
Engineering and
Utilities
5.44%
Transportation and
Fleet Maintenance
9.69%
Parks and Recreation
13.79%
Debt Service
6.44%
Capital Improvements
and Equipment
Replacement
43.78%
2014 Total Expenditures*
By Major Function
General Government
and Finance
12.02%
Community
Development
4.47% Public Safety
12.62%
Road and Bridge,
Engineering and
Utilities
13.28%
Transportation and
Fleet Maintenance
15.00%
Parks and Recreation
10.32%
Debt Service
8.65%
Capital Improvements
and Equipment
Replacement
23.64%
2015 Total Expenditures*
By Major Function
Section II, Page 8
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
EXPENDITURES
Governmental Funds:
General Fund 11,510,853$ 13,530,526$ 15,056,923$ 13,849,405$ 14,008,225$
Special Revenue Funds 8,438,535 3,009,098 3,228,765 1,102,317 1,312,279
Debt Service Funds 1,258,062 1,264,352 1,264,352 1,350,507 1,509,348
Capital Projects Fund 12,718,787 7,951,541 14,164,391 7,554,766 6,326,195
Total 33,926,237 25,755,517 33,714,431 23,856,995 23,156,047
Proprietary Fund Types:
Transit Fund 1,072,257 1,406,079 1,383,584 1,869,598 1,512,224
Fleet Maintenance Fund 1,619,782 1,546,142 1,615,046 1,688,919 1,731,843
Equipment Replacement Fund 311,069 459,402 468,602 520,170 122,211
Total 3,003,108 3,411,623 3,467,232 4,078,687 3,366,278
TOTAL EXPENDITURES 36,929,345$ 29,167,140$ 37,181,663$ 27,935,682$ 26,522,325$
EXPENDITURES
TOWN OF AVON
Financial Overview
General Fund
52.82%
Special Revenue Funds
4.95%
Debt Service Funds
5.69%
Capital Projects
Fund
11.46%
Transit Fund
5.70%
Fleet Maintenance Fund
6.53%
Equipment
Replacement Fund
1.02%
2015 Total Expenditures
By Fund Type
Section II, Page 9
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
OPERATING EXPENDITURES
Personnel 7,782,358$ 8,154,731$ 8,013,424$ 8,749,944$ 9,118,084$
Commodities 1,186,369 1,328,470 1,409,032 1,425,671 1,410,899
Contracted Services 1,227,543 1,842,876 2,029,650 1,941,337 1,851,042
Other Operating Costs 2,813,096 3,413,498 3,392,293 3,114,192 3,212,303
Debt Service 400,998 288,586 281,731 282,516 277,353
Capital Outlay 192,689 271,679 272,329 545,075 60,650
Total Operating Expenditures 13,603,053$ 15,299,840$ 15,398,459$ 16,058,735$ 15,930,331$
EXPENDITURES
TOWN OF AVON
Financial Overview
Personnel
54.49%
Commodities
8.88%
Contracted Services
12.09%
Other Operating Costs
19.39%
Debt Service
1.76%
Capital Outlay
3.39%
2015 Total Operating Expenditures
By Category
Personnel
52.04%
Commodities
9.15%
Contracted Services
13.18%
Other Operating Costs
22.03%
Debt Service
1.83% Capital Outlay
1.77%
2014 Total Operating Expenditures
By Category
Section II, Page 10
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
PERSONNEL COSTS
Salaries and Wages:
Full-time Employees 4,636,116$ 4,787,705$ 4,717,835$ 5,274,874$ 5,535,627$
PTS Employees 677,973 740,528 740,528 660,645 666,050
Overtime & Other Misc. Wages 280,522 309,779 313,396 284,201 281,164
Benefits:
Insurance 1,540,633 1,619,741 1,559,529 1,801,590 1,873,917
Taxes 76,765 85,147 84,103 90,581 94,393
Retirement 537,699 564,469 556,586 608,816 637,906
Other Benefits 32,652 47,362 41,447 29,236 29,027
Total Personnel Costs 7,782,360$ 8,154,731$ 8,013,424$ 8,749,943$ 9,118,084$
EXPENDITURES
TOWN OF AVON
Financial Overview
Full-time Employees
60.28%
PTS Employees
7.55%
Overtime & Other
Misc. Wages
3.25%
Insurance
20.59%
Taxes
1.04%
Retirement
6.96% Other Benefits
0.33%
2015 Personnel Expenditures
Full-time Employees
58.87% PTS Employees
9.24%
Overtime & Other
Misc. Wages
3.91%
Insurance
19.46%
Taxes
1.05%
Retirement
6.95%
Other Benefits
0.52%
2014 Personnel Expenditures
Section II, Page 11
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 9,590,230$ 10,138,185$ 10,416,007$ 10,820,041$ 11,293,368$
Licenses and Permits 336,548 172,500 153,500 153,500 153,400
Intergovernmental 905,213 964,199 964,699 948,956 993,400
Charges for Services 1,321,078 1,326,446 1,302,220 1,276,195 1,304,357
Fines and Forfeitures 104,736 110,275 128,173 101,900 101,900
Investment Earnings 5,413 15,000 15,000 15,000 25,000
Other Revenue 309,085 308,569 331,991 309,119 364,900
Total Operating Revenues 12,572,303 13,035,174 13,311,590 13,624,711 14,236,325
Other Sources
Capital Lease Proceeds 26,367 - - - -
Sales of Capital Assets 1,151 - - - -
Transfer-In From Capital Projects Fund 201,006 207,121 207,121 1,538,335 219,735
Total Other Sources 228,524 207,121 207,121 1,538,335 219,735
TOTAL REVENUES 12,800,827$ 13,242,295$ 13,518,711$ 15,163,046$ 14,456,060$
EXPENDITURES
General Government 2,593,954$ 3,006,824$ 3,005,264$ 2,848,748$ 2,911,056$
Community Development 536,483 484,448 487,786 1,060,377 1,024,645
Public Safety 2,539,475 2,739,674 2,756,957 2,992,877 3,099,821
Public Works 1,571,764 1,597,224 1,530,300 2,983,725 2,974,607
Parks and Recreation 3,328,177 3,919,856 4,040,116 2,191,678 2,273,096
Total Operating Expenditures 10,569,853 11,748,026 11,820,423 12,077,405 12,283,225
Contingency - 62,500 6,500 100,000 100,000
Other Uses
Transfers-Out to Town Center West Fund 15,000 45,000 45,000 150,000 200,000
Transfers-Out to Capital Projects Fund - 700,000 2,025,000 120,000 120,000
Transfers-Out to Transit 776,000 825,000 860,000 1,102,000 1,030,000
Transfers-Out to Fleet Maintenance 150,000 150,000 300,000 300,000 275,000
Total Other Uses 941,000 1,720,000 3,230,000 1,672,000 1,625,000
TOTAL EXPENDITURES 11,510,853 13,530,526 15,056,923 13,849,405 14,008,225
NET SOURCE (USE) OF FUNDS 1,289,974 (288,231) (1,538,212) 1,313,641 447,835
FUND BALANCES, Beginning of Year 3,563,274 4,853,248 4,853,248 3,315,036 4,628,677
FUND BALANCES, End of Year 4,853,248$ 4,565,017$ 3,315,036$ 4,628,677$ 5,076,512$
FUND BALANCES:
Nonspendable 7,442$ -$ -$ -$ -$
Restricted For:
3% TABOR Emergency Reserve 476,619 476,619 476,619 532,355 543,192
Assigned For:
Special Events - 44,114 300,000 300,000 300,000
2015 World Alpine Ski Championships - 87,700 25,000 - -
Unassigned:
25% Minimum Reserve Balance 2,877,713 3,382,632 3,764,231 3,462,351 3,502,056
Stabilitzation Balance 1,491,474 573,953 (1,250,814) 333,971 731,264
TOTAL FUND BALANCES 4,853,248$ 4,565,017$ 3,315,036$ 4,628,677$ 5,076,512$
MUNICIPAL SERVICES
General Fund #10
Section II, Page 12
MUNICIPAL SERVICES
General Fund
Taxes
79.41%
Licenses and Permits
1.13%
Intergovernmental
6.96%
Charges for Services
9.37%
Fines and Forfeitures
0.75%
Investment Earnings
0.11%
Other Revenue
2.27%
2015 Operating Revenues
General Government
23.59%
Community
Development
8.78%
Public Safety
24.78%
Public Works
24.71%
Parks and Recreation
18.15%
2015 Operating Expenditures
Section II, Page 13
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
TAXES
General Property Tax 1,617,689$ 1,477,238$ 1,423,222$ 1,493,544$ 1,624,812$
Specific Ownership Tax 96,850 100,000 105,000 105,000 105,000
Sales Tax 6,361,068 6,505,668 6,765,895 7,036,531 7,317,992
Utility Tax 110,474 110,000 110,000 110,000 110,000
Accommodation Tax 888,867 915,279 951,890 989,966 1,029,564
Other 13,066 20,000 20,000 20,000 15,000
VAA RSF 118,622 625,000 625,000 650,000 676,000
Franchise Fees 383,594 385,000 415,000 415,000 415,000
TOTAL TAXES 9,590,230$ 10,138,185$ 10,416,007$ 10,820,041$ 11,293,368$
Revenues
MUNICIPAL SERVICES
General Fund
General Property Tax
13.80%
Specific Ownership Tax
0.97%
Sales Tax
65.03%
Utility Tax
1.02%
Accommodation
Tax
9.15% Other
0.18%
VAA RSF
6.01%
Franchise Fees
3.84%
2015 Taxes
Section II, Page 14
Other
Personnel Contracted Operating Debt Capital
Services Commodities Services Costs Service Outlay Total
EXPENDITURES
General Government 1,861,837$ 75,037$ 457,988$ 404,650$ -$ 27,400$ 2,826,912$
Community Development 571,340 14,500 204,817 264,770 - 4,950 1,060,377
Public Safety 2,270,179 125,909 42,095 527,319 - 27,375 2,992,877
Public Works 1,033,465 326,062 826,692 789,442 - 29,900 3,005,561
Recreation and Culture 1,485,996 209,785 114,284 348,663 - 32,950 2,191,678
TOTAL OPERATING
EXPENDITURES 7,222,817$ 751,293$ 1,645,876$ 2,334,844$ -$ 122,575$ 12,077,405$
Expenditures
MUNICIPAL SERVICES
General Fund
Personnel Services
59.80%
Commodities
6.28%
Contracted Services
13.63%
Other Operating Costs
20.30%
Debt Service
0.00% Capital Outlay
0.98%
2015 Operating Expenditures
By Object Class
Section II, Page 15
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Taxes:
51101 General Property Tax 1,614,841$ 1,475,738$ 1,475,738$ 1,492,044$ 1,623,312$
51102 General Property Tax - Delinquent Collections 654 500 500 500 500
51103 General Property Tax - Interest 2,748 1,000 (19,514) 1,000 1,000
51104 General Property Tax - Abatements (554) - (33,502) - -
51201 Specific Ownership Tax 96,850 100,000 105,000 105,000 105,000
51301 Sales Tax 6,361,068 6,505,668 6,765,895 7,036,531 7,317,992
51302 Utility Tax 110,474 110,000 110,000 110,000 110,000
51303 Accommodation Tax 888,867 915,279 951,890 989,966 1,029,564
51304 Penalties and Interest 13,066 15,000 15,000 15,000 10,000
51305 Sales Tax Audit Assessments - 5,000 5,000 5,000 5,000
51307 VAA Retail Sales Fee 118,622 625,000 625,000 650,000 676,000
51402 Franchise Fees 383,594 385,000 415,000 415,000 415,000
51000 Total Taxes 9,590,230 10,138,185 10,416,007 10,820,041 11,293,368
Licenses and Permits:
52101 Liquor Licenses 5,956 10,000 8,000 7,000 7,000
52102 Business Licenses 21,075 23,000 20,000 20,000 20,000
52103 Contractor's Licenses 12,310 10,500 12,500 10,500 10,500
52201 Building Permits 273,878 107,900 107,900 107,900 107,900
52205 Road Cut Permits 22,989 21,000 5,000 8,000 8,000
52206 Other Licenses and Permits 340 100 100 100 -
52000 Total Licenses and Permits 336,548 172,500 153,500 153,500 153,400
Intergovernmental:
Federal Grants:
53106 Click It or Ticket 4,400 5,000 5,500 8,000 8,000
53107 Ballistic Vests 1,765 1,400 1,400 1,400 1,400
State Grants
53204 LEAF Grant 5,558 22,000 22,000 22,000 22,000
53206 High Visibility Grant 17,570 14,000 14,000 14,000 14,000
Local Government/Other Agency
53402 Eagle County- Trail Safety and Repair 9,157 - - - -
53900 Eagle River Youth Coalition 2,532 8,500 8,500 - -
Subtotal: Grants 40,982 50,900 51,400 45,400 45,400
State/County Shared Revenue:
53301 Conservation Trust 69,084 65,000 65,000 65,000 65,000
53302 Motor Vehicle Registration 23,423 22,000 22,000 22,000 22,000
Highway User's Tax 183,176 187,615 187,615 182,445 183,000
53304 Cigarette Tax 41,234 47,000 47,000 40,000 47,000
53305 County Sales Tax 395,913 435,684 435,684 453,111 475,000
53306 Road & Bridge Fund 150,413 153,000 153,000 140,000 153,000
53308 State Severance Tax 988 3,000 3,000 1,000 3,000
Subtotal: Shared Revenue 864,231 913,299 913,299 903,556 948,000
53000 Total Intergovernmental 905,213 964,199 964,699 948,956 993,400
Revenue Detail
MUNICIPAL SERVICES
General Fund #10
Section II, Page 16
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Revenue Detail
MUNICIPAL SERVICES
General Fund #10
Charges for Services:
General Government:
54101 Sales of Map and Publications - 100 100 - -
54102 Photocopying Charges 441 300 300 300 300
54103 License Hearing Fees 125 100 100 100 100
54104 Other Fees and Charges 2,775 1,250 1,250 1,250 1,250
54105 CC & Paper Filing Fees - - - 250 -
54201 Plan Check Fees 175,575 58,100 58,100 58,100 58,100
54202 Subdivision Review Fees 154 1,000 1,000 1,000 -
54203 Design Review Fees 18,516 20,000 20,000 20,000 20,000
54204 Animal Control Fees 1,110 1,000 1,000 500 500
54205 Abatement Services - 5,500 5,500 - -
54206 Fire Impact Fee Administration Fees 4,973 2,500 2,500 2,500 2,500
54301 Police Reports 442 600 600 600 600
54302 Police Extra Duty 17,044 12,600 12,600 20,000 20,000
54303 Fingerprinting Fees 6,140 4,000 4,000 4,000 4,000
54304 VIN Inspection Fees 13,280 12,500 12,500 13,000 13,000
54305 False Alarm Fees/Misc Police Dept Fees 2,040 4,500 4,500 1,000 1,000
54306 National Night Out 675 500 500 500 500
54399 DUI Reimbursement 13,474 3,000 20,000 14,000 14,000
Subtotal: General Govern.256,764 127,550 144,550 137,100 135,850
Recreation Facility:
54601 Admission Fees 741,394 802,226 750,000 751,500 774,045
54602 Program Fees 39,665 40,000 45,000 42,000 42,420
54603 Rentals 40,894 40,000 40,000 41,000 41,000
54604 Merchandise Sales 11,813 16,000 16,000 12,500 12,500
54605 Childcare 7,357 9,000 7,500 - -
54606 Rec Center Services 11,767 15,000 7,500 12,000 12,000
54607 Fitness Program Revenues 51,041 40,000 55,000 63,000 63,000
Other Recreation:
54651 Adult Program Revenues 7,792 12,000 12,000 11,000 11,000
54652 Cabin Equipment Rentals 1,223 28,000 28,000 30,000 30,000
54653 Athletic Field Rentals 5,339 5,000 5,000 5,500 5,500
54654 Cabin Concessions 65 5,000 5,000 3,000 3,000
54655 Youth Program Revenues 93,327 109,000 109,000 111,000 113,220
54676 Sponsorships 43,500 44,250 44,250 24,250 24,250
54678 Event Fees 9,137 15,750 15,750 9,275 9,275
54679 Special Event Admission Fees - 17,670 17,670 23,070 27,297
Subtotal: Recreation 1,064,314 1,198,896 1,157,670 1,139,095 1,168,507
54000 Total Charges for Services 1,321,078 1,326,446 1,302,220 1,276,195 1,304,357
Section II, Page 17
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Revenue Detail
MUNICIPAL SERVICES
General Fund #10
Fines and Forfeitures:
55101 Court Fines - Traffic 54,720 60,000 60,000 60,000 60,000
55102 Court Fines - Criminal 24,695 25,000 25,000 20,000 20,000
55103 Court Fines - Parking 6,728 5,000 5,000 5,000 5,000
55105 Court Costs 8,842 10,000 10,000 8,000 8,000
55106 Jury Fees - 150 150 150 150
55107 Bond Forfeitures 200 500 500 500 500
55109 Miscellaneous Court Revenues - 100 100 - -
55110 Police Training Surcharge 8,276 8,250 8,250 8,250 8,250
55120 Police Forfeiture Revenue 1,275 1,275 19,173 - -
55000 Total Fines and Forfeitures 104,736 110,275 128,173 101,900 101,900
Investment Earnings:
57101 Interest 5,413 15,000 15,000 15,000 25,000
57000 Total Investment Earnings 5,413 15,000 15,000 15,000 25,000
Other Revenues:
58101 Recreational Amenity Fees 214,315 214,450 225,000 230,000 285,000
58109 Bond Issuance Fees 10,410 10,100 10,100 - 9,800
58201 Lease of Town-Owned Property 23,363 44,019 44,019 44,019 40,000
58999 Miscellaneous Nonclassified Revenues 60,997 40,000 52,872 35,100 30,100
58000 Total Other Revenues 309,085 308,569 331,991 309,119 364,900
50000 TOTAL REVENUES 12,572,303$ 13,035,174$ 13,311,590$ 13,624,711$ 14,236,325$
Section II, Page 18
Department Expenditure Summaries
Original or Final
Prev. Amend.Revised Adopted Proposed
Dept./Div.Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
General Government:
111 Mayor and Town Council 194,852$ 578,920$ 574,520$ 233,000$ 211,917$
112 Boards and Commissions 13,016 15,299 15,299 15,299 15,299
113 Town Attorney 243,784 155,000 155,000 155,000 130,000
121 Municipal Court 116,180 98,234 96,234 99,349 103,607
115 Town Clerk 97,903 153,927 157,905 111,612 117,575
131 Town Manager 260,449 294,403 269,358 349,041 365,759
133 Community Relations 95,917 111,569 118,369 133,077 154,170
Subtotal General Government 1,022,101 1,407,352 1,386,685 1,096,378 1,098,327
Finance and Administration:
132 Human Resources 274,043 229,806 234,886 220,896 236,373
141 Finance 665,504 741,373 741,373 771,070 797,761
143 Information Systems 296,878 337,295 337,295 371,273 381,051
149 Nondepartmental 335,428 290,998 305,025 389,131 397,544
Subtotal Finance and Administration 1,571,853 1,599,472 1,618,579 1,752,370 1,812,729
Total General Government and Finance 2,593,954 3,006,824 3,005,264 2,848,748 2,911,056
Community Development:
211 Administration 38,518 - - - -
212 Planning 213,097 245,491 247,491 261,570 258,085
213 Building Inspection 117,543 127,352 129,165 136,402 144,617
214 Economic Development 167,325 111,605 111,130 170,035 158,270
215 Town Produced Events - - - 289,520 263,673
216 Signature Event Seed Funding - - - 5,000 -
217 Community Grants - - - 197,850 200,000
Total Community Development 536,483 484,448 487,786 1,060,377 1,024,645
Police Department:
311 Administration 516,491 553,700 554,422 594,777 618,489
312 Patrol 1,914,017 1,964,020 1,981,376 2,155,027 2,220,765
313 Investigations 108,967 221,954 221,159 243,073 260,567
Total Police Department 2,539,475 2,739,674 2,756,957 2,992,877 3,099,821
Engineering Department:
412 Engineering 205,328 219,708 228,708 478,850 485,055
418 Buildings and Facilities - - - 1,031,549 1,004,489
Subtotal Engineering Department 205,328 219,708 228,708 1,510,399 1,489,544
413 Roads and Bridges 1,366,436 1,377,516 1,301,592 1,473,326 1,485,063
Total Public Works 1,571,764 1,597,224 1,530,300 2,983,725 2,974,607
MUNICIPAL SERVICES
General Fund #10
Section II, Page 19
Department Expenditure Summaries
Original or Final
Prev. Amend.Revised Adopted Proposed
Dept./Div.Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
MUNICIPAL SERVICES
General Fund #10
Parks and Recreation Department:
513 Special Events 335,468 558,605 714,305 - -
514 Administration 233,674 223,114 222,256 202,850 211,708
515 Adult Programs 22,424 28,656 28,656 27,668 28,212
516 Aquatics 441,310 394,408 394,421 436,271 451,893
517 Childcare 32,178 36,487 36,487 - -
518 Fitness 142,393 158,236 158,236 137,141 143,163
519 Front Desk 197,999 235,050 235,074 252,799 254,312
521 Youth Programs 111,272 118,979 118,979 121,491 123,884
522 Cabin 5,673 43,643 43,643 27,741 28,271
551 Parks and Grounds 866,344 1,069,324 1,030,790 985,717 1,031,653
571 Buildings and Facilities 939,442 1,053,354 1,057,269 - -
Total Parks and Recreation 3,328,177 3,919,856 4,040,116 2,191,678 2,273,096
TOTAL OPERATING EXPENDITURES 10,569,853$ 11,748,026$ 11,820,423$ 12,077,405$ 12,283,225$
Section II, Page 20
Dept./Purchased &Other
Div.Personnel Contracted Operating Debt Capital
Number Description Services Commodities Services Costs Service Outlay Total
General Government:
111 Town Council 198,384$ 500$ 13,100$ 19,216$ -$ 1,800$ 233,000$
112 Boards and Commissions 13,299 - - 2,000 - - 15,299
113 Town Attorney - - 155,000 - - - 155,000
115 Town Clerk 97,248 3,540 4,454 4,470 - 1,900 111,612
121 Municipal Court 74,274 500 23,050 575 - 950 99,349
131 Town Manager 336,022 220 1,000 9,849 - 1,950 349,041
133 Community Relations 47,409 120 36,700 47,048 - 1,800 133,077
Subtotal General Govt 766,636 4,880 233,304 83,158 - 8,400 1,096,378
Finance and Administration:
132 Human Resources 187,756 10,490 10,700 11,950 - - 220,896
141 Finance Department 636,925 8,670 102,201 22,174 - 1,100 771,070
143 Information Systems 196,895 37,497 69,348 49,633 - 17,900 371,273
149 Nondepartmental 73,625 13,500 42,435 237,735 - - 367,295
Subtotal Finance and Admin 1,095,201 70,157 224,684 321,492 - 19,000 1,730,534
Total General Govt and Finance 1,861,837 75,037 457,988 404,650 - 27,400 2,826,912
Community Development:
212 Planning 211,102 4,090 35,587 8,591 - 2,200 261,570
213 Building Inspection 124,904 720 2,500 7,328 - 950 136,402
214 Economic Development 109,200 720 25,400 32,915 - 1,800 170,035
215 Town Produced Events 126,134 8,970 141,330 13,086 - - 289,520
216 Signature Event Seed Funding - - - 5,000 - - 5,000
217 Community Grants - - - 197,850 - - 197,850
Total Community Development 571,340 14,500 204,817 264,770 - 4,950 1,060,377
Public Safety:
Police Department:
311 Administration 517,110 11,090 30,346 30,130 - 6,101 594,777
312 Patrol 1,526,151 110,205 10,549 486,848 - 21,274 2,155,027
313 Investigations 226,918 4,614 1,200 10,341 - - 243,073
Total Public Safety 2,270,179 125,909 42,095 527,319 - 27,375 2,992,877
Public Works
412 Engineering 213,343 3,625 254,000 7,882 - - 478,850
413 Roads and Streets 547,302 231,283 316,370 377,421 - 950 1,473,326
418 Buildings & Facilities 272,820 91,154 256,322 404,139 28,950
Total Public Works 1,033,465 326,062 826,692 789,442 - 29,900 3,005,561
Departmental Operating Costs
MUNICIPAL SERVICES
General Fund
Section II, Page 21
Dept./Purchased &Other
Div.Personnel Contracted Operating Debt Capital
Number Description Services Commodities Services Costs Service Outlay Total
Departmental Operating Costs
MUNICIPAL SERVICES
General Fund
Parks and Recreation:
514 Administration 147,200 9,790 9,584 36,276 - - 202,850
515 Adult Programs 24,250 3,418 - - - - 27,668
516 Aquatics 354,615 35,178 - 46,478 - - 436,271
518 Fitness 77,235 3,300 - 56,606 - - 137,141
519 Guest Services 217,034 16,523 - 18,292 - 950 252,799
521 Youth Programs 102,805 9,600 700 8,386 - - 121,491
522 Cabin 20,681 1,350 - 5,710 - - 27,741
551 Parks and Grounds 542,176 130,626 104,000 176,915 - 32,000 985,717
Total Parks and Recreation 1,485,996 209,785 114,284 348,663 - 32,950 2,191,678
TOTAL OPERATING
EXPENDITURES 7,222,817$ 751,293$ 1,645,876$ 2,334,844$ -$ 122,575$ 12,077,405$
Section II, Page 22
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
Fund: Town Center West
Maintenance Fund Budget Summary
SEE THE GENERAL FUND - PARKS & RECREATION DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The Town Center West Maintenance Fund receives fund transfers in from the General and Urban Renewal Funds.
Monies are used for maintenance of the "pedestrian mall", including summer landscaping and winter snow
removal.
The Director of Parks and Recreation oversees the Fund uses, which are accounted for in the Parks and Recreation
Department.
Section II, Page 23
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Other Revenue:
Insurance Proceeds -$ -$ -$ -$ -$
Miscellaneous Nonclassified Revenues - - - - -
Total Operating Revenues - - - - -
Other Sources
Transfers In - General Fund 15,000 45,000 45,000 150,000 200,000
Transfers In - Urban Renewal Authority 275,000 200,000 200,000 100,000 50,000
TOTAL REVENUES 290,000 245,000 245,000 250,000 250,000
EXPENDITURES
Public Works:
Main Street Maintenance 228,687 245,089 224,902 256,625 268,707
Total Operating Expenditures 228,687 245,089 224,902 256,625 268,707
TOTAL EXPENDITURES 228,687 245,089 224,902 256,625 268,707
NET SOURCE (USE) OF FUNDS 61,313 (89) 20,098 (6,625) (18,707)
FUND BALANCES, Beginning of Year 20,979 59,938 82,292 102,390 95,765
FUND BALANCES, End of Year 82,292$ 59,849$ 102,390$ 95,765$ 77,058$
MUNICIPAL SERVICES
Town Center West Maintenance Fund #21
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 60,874 80,582 80,581 88,232 93,149
61106 Paid out Leave 0 775 775 837 891
61121 PTS Wages 0 17,680 17,680 21,660 21,660
61151 Overtime Wages 457 3,600 3,600 3,600 3,600
61202 Ski Pass 0 709 709 0 0
61301 FT Pension 6,659 8,949 8,949 9,798 10,344
61302 PTS Pension 0 708 663 812 812
61304 Employee Assistance Prog 38 48 48 49 48
61401 FICA/Medicare 873 1,509 1,498 1,658 1,730
61501 Group Health and Life Insu 12,051 30,353 14,311 15,800 16,618
61505 Long-term Disability Insura 552 741 741 801 852
61507 Dental Insurance 1,023 2,520 1,062 1,182 1,254
61509 Worker's Compensation 2,030 3,246 3,770 4,218 4,406
61510 Unemployment Insurance 184 310 310 343 358
61000 Personnel Services 84,740 151,730 134,698 148,989 155,724
62202 Sand and Gravel 0 650 650 650 650
62205 Plumbing and Electrical Su 2,894 3,000 3,000 3,000 3,000
62206 Landscaping and Plant Ma 4,055 4,700 4,700 5,350 5,350
62305 Chemicals 1,860 4,000 4,000 4,700 4,700
62401 Gasoline 1,166 2,600 2,600 1,500 1,500
62402 Diesel 1,234 3,133 3,133 1,700 1,700
62805 Clothing and Uniforms 808 980 980 1,860 1,860
62806 Safety Materials and Suppl 302 500 500 600 600
62807 Consumable Tools/Small 2,074 2,650 2,650 2,650 2,500
62899 Other Miscellaneous Oper 4,164 4,500 4,500 5,000 3,500
62000 Commodities 18,557 26,713 26,713 27,010 25,360
63999 Other Purchased and Cont 14,692 22,650 22,650 43,200 43,200
63000 Purchased and Contract 14,692 22,650 22,650 43,200 43,200
64203 Electric 73,672 7,000 7,000 10,000 10,000
64401 Fleet Maintenance Charge 12,214 12,000 8,845 9,565 10,516
64402 Equipment Replacement C 18,232 15,624 15,624 15,989 22,035
64403 Washbay Charges 820 1,872 1,872 1,872 1,872
64000 Other Operating Costs 104,938 36,496 33,341 37,426 44,423
66499 Other Machinery and Equi 5,761 7,500 7,500 0 0
66000 Capital Outlay 5,761 7,500 7,500 0 0
60000T Total Expenditures & O 228,687 245,089 224,902 256,625 268,707
Section II, Page 24
417 Town Center West Maintena Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 60,874 80,582 80,581 88,232 93,149
61106 Paid out Leave 0 775 775 837 891
61121 PTS Wages 0 17,680 17,680 21,660 21,660
[Entity] Budget Detail Desc.Note Total
[417] 1 @ 26 weeks 21,660
Total 21,660
61151 Overtime Wages 457 3,600 3,600 3,600 3,600
61202 Ski Pass 0 709 709 0 0
61301 FT Pension 6,659 8,949 8,949 9,798 10,344
61302 PTS Pension 0 708 663 812 812
61304 Employee Assistance Prog 38 48 48 49 48
61401 FICA/Medicare 873 1,509 1,498 1,658 1,730
61501 Group Health and Life Insu 12,051 30,353 14,311 15,800 16,618
61505 Long-term Disability Insura 552 741 741 801 852
61507 Dental Insurance 1,023 2,520 1,062 1,182 1,254
61509 Worker's Compensation 2,030 3,246 3,770 4,218 4,406
61510 Unemployment Insurance 184 310 310 343 358
61000 Personnel Services 84,740 151,730 134,698 148,989 155,724
62202 Sand and Gravel 0 650 650 650 650
62205 Plumbing and Electrical Su 2,894 3,000 3,000 3,000 3,000
[Entity] Budget Detail Desc.Note Total
[417] Irrigation Supplies 3,000
Total 3,000
62206 Landscaping and Plant Ma 4,055 4,700 4,700 5,350 5,350
[Entity] Budget Detail Desc.Note Total
[417] Mulch 1,000
[417] Compost 450
[417] Annual & Perenniels 3,000
[417] Sod 500
[417] Seed 400
Total 5,350
62305 Chemicals 1,860 4,000 4,000 4,700 4,700
[Entity] Budget Detail Desc.Note Total
[417] Fertilizer 1,200
[417] Icemelt 3,500
Total 4,700
62401 Gasoline 1,166 2,600 2,600 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[417] Unleaded 1,500
Total 1,500
Section II, Page 25
417 Town Center West Maintena Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62402 Diesel 1,234 3,133 3,133 1,700 1,700
[Entity] Budget Detail Desc.Note Total
[417] Diesel 1,700
Total 1,700
62805 Clothing and Uniforms 808 980 980 1,860 1,860
[Entity] Budget Detail Desc.Note Total
[417] Outerwear (3ppl)600
[417] Work Clothing (3ppl)1,260
Total 1,860
62806 Safety Materials and Suppl 302 500 500 600 600
[Entity] Budget Detail Desc.Note Total
[417] Work Boots 450
[417] Misc. Supplies 150
Total 600
62807 Consumable Tools/Small 2,074 2,650 2,650 2,650 2,500
[Entity] Budget Detail Desc.Note Total
[417] Hedge Trimmer 800
[417] Push Mower 1,400
[417] Hand Tools 450
Total 2,650
62899 Other Miscellaneous Oper 4,164 4,500 4,500 5,000 3,500
[Entity] Budget Detail Desc.Note Total
[417] Bollard Parts 1,500
[417] Replacement LED's 2,500
[417] Misc. Materials 1,000
Total 5,000
62000 Commodities 18,557 26,713 26,713 27,010 25,360
63999 Other Purchased and Cont 14,692 22,650 22,650 43,200 43,200
[Entity] Budget Detail Desc.Note Total
[417] Weed Control 3,200
[417] Tree Care 5,600
[417] Snow Removal Contract 21,000
[417] Misc. Other repairs 1,400
[417] Mall Landscape Maintenance Contract 12,000
Total 43,200
63000 Purchased and Contract 14,692 22,650 22,650 43,200 43,200
64203 Electric 73,672 7,000 7,000 10,000 10,000
Section II, Page 26
417 Town Center West Maintena Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[417] Avon Station, Lettuce Shed Lane 10,000
Total 10,000
64401 Fleet Maintenance Charge 12,214 12,000 8,845 9,565 10,516
[Entity] Budget Detail Desc.Note Total
[417] Annual Fleet Maintenance Charges 9,565
Total 9,565
64402 Equipment Replacement C 18,232 15,624 15,624 15,989 22,035
[Entity] Budget Detail Desc.Note Total
[417] Annual Equipment Rental Charges 15,989
Total 15,989
64403 Washbay Charges 820 1,872 1,872 1,872 1,872
[Entity] Budget Detail Desc.Note Total
[417] Annual Washbay Charges - 3 vehicles 1,872
Total 1,872
64000 Other Operating Costs 104,938 36,496 33,341 37,426 44,423
66499 Other Machinery and Equi 5,761 7,500 7,500 0 0
66000 Capital Outlay 5,761 7,500 7,500 0 0
60000T Total Expenditures & O 228,687 245,089 224,902 256,625 268,707
Section II, Page 27
417 Town Center West Maintena Town of Avon
Line Item Detail
Section II, Page 28
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services -$ -$ -$ -$ -$
Commodities - - - - -
Contract Services - 700 700 700 700
Other Operating Costs - 250 250 250 250
Capital Outlay - - - - -
Total -$ 950$ 950$ 950$ 950$
Department Expenditures by Program
SEE CAPITAL PROJECTS & TOWN CENTER WEST MAINTENENANCE FUND
Fund: Avon Urban Renewal Fund Budget Summary
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
DEPARTMENT OVERVIEW
The Urban Renewal Fund's main source of funding is property tax increment revenues for Urban
Renewal Plan areas within the Town. The Town Center West Urban Renewal Plan Area was created in
2008, and is the only plan area within Avon; it has a 25-year life of increment finance. Property tax
increment revenues for 2015 are based upon an increment of $11,597,340 and an overlapping mill rate
of 59.34, resulting in a 5.4% decrease in revenues from the previous year. Beginning in 2016, additional
tax increment revenues are anticipated from the completion of the Wyndham Vacation Ownership
development. In 2015 and 2016, funds transferred to the Town Center West Maintenance Fund are
reduced to $100,000 and $50,000, respectively.
The Urban Renewal Fund is administered by the Finance Director.
Section II, Page 29
FUND SUMMARY
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 777,838$ 738,187$ 738,187$ 698,162$ 766,566$
Investment Earnings 2,560 1,461 3,141 3,141 4,712
Total Operating Revenues 780,398 739,648 741,328 701,303 771,278
Other Sources
Loan Proceeds 6,825,000 - - - -
TOTAL REVENUES 7,605,398 739,648 741,328 701,303 771,278
EXPENDITURES
Current:
General Government - 950 950 950 950
Capital Improvements 33,986 - - - -
Debt Service:
Principal 6,295,000 305,000 305,000 320,000 410,000
Interest 184,111 239,573 239,573 229,504 218,240
Debt Issuance Costs 133,330 - - - -
Treasurer Fees 23,859 22,146 29,000 29,000 30,000
Fiscal Charges 1,600 1,000 1,000 1,000 1,000
Total Operating Expenditures 6,671,886 568,669 575,523 580,454 660,190
Other Uses
Transfers Out - Capital Projects Fund - 700,000 700,000 - -
Transfers Out - Town Center West Mtc. Fund 275,000 200,000 200,000 100,000 50,000
Total Other Uses 275,000 900,000 900,000 100,000 50,000
TOTAL EXPENDITURES 6,946,886 1,468,669 1,475,523 680,454 710,190
NET SOURCE (USE) OF FUNDS 658,512 (729,021) (734,195) 20,849 61,088
FUND BALANCES, Beginning of Year 852,518 1,360,825 1,511,030 776,835 797,684
FUND BALANCES, End of Year 1,511,030$ 631,804$ 776,835$ 797,684$ 858,772$
FUND BALANCES:
Restricted For:
Debt Service 628,240$ 628,240$ 628,240$ 628,240$ 628,240$
Capital Improvements 598,000 - - - -
Urban Renewal 284,790 3,564 148,595 169,444 230,532
TOTAL FUND BALANCES 1,511,030$ 631,804$ 776,835$ 797,684$ 858,772$
AVON URBAN RENEWAL AUTHORITY
Summary
Section II, Page 30
Debt Service Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
DEBT SERVICE
931 Series 2009, Vectra Bank Loan:
64303 Treasurer Fees 23,859$ -$ -$ -$ -$
65101 Principal 6,295,000 - - - -
65102 Interest 184,111 - - - -
65103 Fiscal Charges 1,600 - - - -
65104 Debt Issuance Costs - - - - -
60000 Sub-total 6,504,570 - - - -
932 Series 2013, Tax Increment Revenue Bonds
64303 Treasurer Fees - 22,146 29,000 29,000 30,000
65101 Principal - 305,000 305,000 320,000 410,000
65102 Interest - 239,573 239,573 229,504 218,240
65103 Fiscal Charges - 1,000 1,000 1,000 1,000
65104 Debt Issuance Costs 133,330 - - - -
60000 Sub-total 133,330 567,719 574,573 579,504 659,240
60000 TOTAL DEBT SERVICE 6,637,900 567,719 574,573 579,504 659,240
AVON URBAN RENEWAL AUTHORITY
Debt Service
Section II, Page 31
CIP Projects Inventory
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
CAPITAL IMPROVEMENT PROJECTS
Roads and Streets:
Street Improvements:
32012 Lake Street Realignment Design -$ -$ -$ -$ -$
32013 Lake Street Construction - - - - -
32014 Main Street Design - - - - -
32015 Main Street Easements - - - - -
32016 Main Street Construction 33,986 - - - -
32017 Benchmark Road Design - - - - -
Total Capital Improvement Projects 33,986$ -$ -$ -$ -$
AVON URBAN RENEWAL AUTHORITY
Capital Projects
Section II, Page 32
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Fund: Community Enhancement
SEE CAPITAL PROJECTS FUND
ADMINISTRATION OF THE DEPARTMENT
Budget Summary
DEPARTMENT FINANCIAL SUMMARY
DEPARTMENT OVERVIEW
The Community Enhancement Fund (CEF) originates from the Franchise Agreement the Town of Avon
has with Holy Cross Energy to sell electricity to the Town. One percent percent (1%) of the revenue
generated by Holy Cross Energy in the Town of Avon is placed in the Community Enhancement Fund and
is restricted to the following uses: Beautification Projects, Energy Conservation Projects, Equipment and
Technology Upgrades for Schools, Scholarship Funds, Acquisition of open space and/or park land and
development, Sponsorship of Special Community Events, Undergrounding of Overhead Electric and
Other Utility Lines.
The CEF generates approximately $84,000/year and at the end of 2014 there is estimated to remain
$18,728 in the CEF Fund Balance. Projects in the CIP proposed to be funded by the CEF include the the
Avon Mall Improvement project ($608,000) in 2014 and undergrounding of the power lines along the
Eagle Valley Trail between Eaglebend Apartments and Stonebridge Drive in 2016 ($100,000).
The Town Engineer administers the Community Enhancement Fund.
Section II, Page 33
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Other Revenue:
Community Enhancement Fees 84,398$ 75,000$ 84,000$ 84,000$ 84,000$
Total Operating Revenues 84,398 75,000 84,000 84,000 84,000
Other Sources
Transfers In - General Fund - - - - -
TOTAL REVENUES 84,398 75,000 84,000 84,000 84,000
EXPENDITURES
Public Works:
Community Enhancement - - - - -
Total Operating Expenditures - - - - -
Other Uses
Transfers Out - Capital Projects Fund - 275,000 608,000 - 100,000
TOTAL EXPENDITURES - 275,000 608,000 - 100,000
NET SOURCE (USE) OF FUNDS 84,398 (200,000) (524,000) 84,000 (16,000)
FUND BALANCES, Beginning of Year 458,330 533,330 542,728 18,728 102,728
FUND BALANCES, End of Year 542,728$ 333,330$ 18,728$ 102,728$ 86,728$
FUND BALANCES:
Restricted For:
Community Enhancement Projects 542,728$ 233,330$ 18,728$ 2,728$ 86,728$
Assigned For:
US Hwy 6 Trail Project Undergrounding - 100,000 - 100,000 -
TOTAL FUND BALANCES 542,728$ 333,330$ 18,728$ 102,728$ 86,728$
MUNICIPAL SERVICES
Community Enhancement Fund #23
Section II, Page 34
Fund: Water
Department: Water Utilities
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 41,009$ 42,804$ 42,804$ 45,738$ 47,882$
Commodities - - - - -
Contract Services 44,615 82,500 82,500 91,500 67,500
Other Operating Costs 25,150 28,250 28,250 28,000 18,000
Capital Outlay - - - - -
Total 110,774$ 153,554$ 153,554$ 165,238$ 133,382$
Department Expenditures by Program
Water Utilities 110,774$ 153,554$ 153,554$ 165,238$ 133,382$
Total 110,774$ 153,554$ 153,554$ 165,238$ 133,382$
1. Closeout the Lake Liner Project.
2. Managed water rights documentation for Nottingham Dam in Village (at Avon) and RICD.
3. Worked with Upper Eagle Regional Water Authority and Mountain Star HOA to resolve water tank issues.
Estimated Personnel Time 20%
Estimated Nonpersonnel Costs 25,900$
Total Activity Cost 33,048$
Performance Metric(s)Projects completed on time and on budget
Estimated Personnel Time 80%
Estimated Nonpersonnel Costs 36,590$
Total Activity Cost 132,190$
Performance Metric(s)Community Survey
2014 MAJOR ACCOMPLISHMENTS
DEPARTMENT OPERATIONS
DEPARTMENT FINANCIAL SUMMARY
Budget Summary
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT OVERVIEW
The Water Fund collects revenues, which are restricted to water related projects and expenses. Revenues
are generated by a $4,000 per Single Family Equivalent (SFE) water tap fee and a $3.25/SFE/month fee on
the water bill. Expenditures in the Water Fund include engineering and construction of projects, water
attorney fees and irrigation ditch maintenance. The 2014 ditch maintenance reflects significant work to
catch-up on deferred maintenance. In addition, revenues are contributed to third parties for water quality
monitoring, river clean-up and associated projects.
The Water Fund is administered by the Town Engineer. Approximately 20% of the Engineer's total
administration time is charged to the Water Fund.
Management of Capital Water Projects: Includes accounts payable and payroll processing and general
accounting; revenue collection, compliance, licensing and administration; procurement compliance and fixed
asset inventory; internal control structure and asset safekeeping; and preparation of the Town's comprehensive
annual financial report.
Long-range Planning: Includes oversight of water rights and work on the resolution of issues with the Water
Authority as identified in the 2013-14 Strategic Plan.
Section II, Page 35
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Charges for Services:
Water Surcharges 149,021$ 145,000$ 145,000$ 150,000$ 150,000$
Tap Fees 57,797 252,000 252,000 20,000 20,000
Tap Fees - Mountain Star 28,366 - - - -
Total Charges for Services 235,184 397,000 397,000 170,000 170,000
Other Revenues
Nonclassified Revenues - - - - -
TOTAL REVENUES 235,184$ 397,000$ 397,000$ 170,000$ 170,000$
EXPENDITURES
Water Utilities 110,774 153,554 153,554 165,238 133,382
Total Operating Expenditures 110,774 153,554 153,554 165,238 133,382
Other Uses
Transfers Out - Capital Projects Fund 1,150,488 253,535 153,535 - 100,000
TOTAL EXPENDITURES 1,261,262 407,089 307,089 165,238 233,382
NET SOURCE (USE) OF FUNDS (1,026,078) (10,089) 89,911 4,762 (63,382)
FUND BALANCES, Beginning of Year 1,780,636 754,558 754,558 844,469 849,231
FUND BALANCES, End of Year 754,558$ 744,469$ 844,469$ 849,231$ 785,849$
FUND BALANCES:
Restricted For:
Water Projects 754,558$ 144,469$ 244,469$ 249,231$ 185,849$
Assigned For:
Mountain Star Water Tank Contribution - 600,000 600,000 600,000 600,000
TOTAL FUND BALANCES 754,558$ 744,469$ 844,469$ 849,231$ 785,849$
MUNICIPAL SERVICES
Water Fund #24
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 30,771 31,665 31,665 33,728 35,334
61106 Paid out Leave 0 310 310 330 339
61151 Overtime Wages 95 0 0 0 0
61201 Automobile Allowance 900 900 900 900 888
61301 FT Pension 3,349 3,517 3,517 3,746 3,924
61304 Employee Assistance Prog 8 8 8 8 8
61401 FICA/Medicare 472 477 477 507 530
61501 Group Health and Life Insu 4,316 4,716 4,716 5,216 5,496
61505 Long-term Disability Insura 155 161 161 164 166
61507 Dental Insurance 352 368 368 410 434
61509 Worker's Compensation 497 585 585 624 653
61510 Unemployment Insurance 93 99 99 105 110
61000 Personnel Services 41,009 42,804 42,804 45,738 47,882
63101 Legal Services 18,460 45,000 45,000 35,000 45,000
63102 Audit and Accounting Servi 1,500 1,500 1,500 1,500 1,500
63104 Engineering Services 11,613 1,000 1,000 5,000 1,000
63999 Other Purchased and Cont 13,044 35,000 35,000 50,000 20,000
63000 Purchased and Contract 44,616 82,500 82,500 91,500 67,500
64902 Financial Support, Donatio 24,900 28,000 28,000 28,000 18,000
64905 Insurance Premiums 250 250 250 0 0
64000 Other Operating Costs 25,150 28,250 28,250 28,000 18,000
69101 Operating Transfers-Out 1,150,488 253,535 153,535 0 100,000
69000 Other Uses 1,150,488 253,535 153,535 0 100,000
60000T Total Expenditures & O 1,261,262 407,089 307,089 165,238 233,382
Section II, Page 36
424 Water Utilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 30,771 31,665 31,665 33,728 35,334
61106 Paid out Leave 0 310 310 330 339
61151 Overtime Wages 95 0 0 0 0
61201 Automobile Allowance 900 900 900 900 888
61301 FT Pension 3,349 3,517 3,517 3,746 3,924
61304 Employee Assistance Prog 8 8 8 8 8
61401 FICA/Medicare 472 477 477 507 530
61501 Group Health and Life Insu 4,316 4,716 4,716 5,216 5,496
61505 Long-term Disability Insura 155 161 161 164 166
61507 Dental Insurance 352 368 368 410 434
61509 Worker's Compensation 497 585 585 624 653
61510 Unemployment Insurance 93 99 99 105 110
61000 Personnel Services 41,009 42,804 42,804 45,738 47,882
63101 Legal Services 18,460 45,000 45,000 35,000 45,000
[Entity] Budget Detail Desc.Note Total
[424] Water Attorney Services 35,000
Total 35,000
63102 Audit and Accounting Servi 1,500 1,500 1,500 1,500 1,500
63104 Engineering Services 11,613 1,000 1,000 5,000 1,000
[Entity] Budget Detail Desc.Note Total
[424] Engineering Services for Benchmark Dam
and Nottingham Dam
5,000
Total 5,000
63999 Other Purchased and Cont 13,044 35,000 35,000 50,000 20,000
[Entity] Budget Detail Desc.Note Total
[424] Ditch Maintenace 50,000
Total 50,000
63000 Purchased and Contract 44,616 82,500 82,500 91,500 67,500
64902 Financial Support, Donatio 24,900 28,000 28,000 28,000 18,000
[Entity] Budget Detail Desc.Note Total
[424] Watershed Council 4,000
[424] River Water Quality Monitoring 13,000
[424] Eagle River Clean-Up 1,000
[424] Urban Runoff 10,000
Total 28,000
Section II, Page 37
424 Water Utilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64905 Insurance Premiums 250 250 250 0 0
64000 Other Operating Costs 25,150 28,250 28,250 28,000 18,000
69101 Operating Transfers-Out 1,150,488 253,535 153,535 0 100,000
69000 Other Uses 1,150,488 253,535 153,535 0 100,000
60000T Total Expenditures & O 1,261,262 407,089 307,089 165,238 233,382
Section II, Page 38
424 Water Utilities Town of Avon
Line Item Detail
Section II, Page 39
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
ADMINISTRATION OF THE DEPARTMENT
NO EXPENDITURES ARE PROVIDED IN THE 2015 BUDGET.
A PROGRAM FOR USE OF THE MONIES IN 2015-16 HAS YET TO BE DEVELOPED.
Fund: Affordable Housing Budget Summary
DEPARTMENT OVERVIEW
DEPARTMENT FINANCIAL SUMMARY
The Affordable Housing Fund was established to receive payment from two developments: $846,000
from the Westin Riverfront development, and $100,000 from the original Gates Development (now
known as The Ascent). The exactions were paid in full satisfaction of the employee housing impact
fee and mitigation requirements. Monies in the Fund may be used for any purpose deemed
appropriate by the Town Council. In late 2013, the Town Council approved a request to contribute
$200,000 towards the Augustana Castle Peak Senior Care facility in Eagle, Colorado. The original
budget adopted for 2014 was for a contribution of $50,000. A supplemental budget amendment was
made for the 2014 budget in May, 2014
The Town Manager administers the Affordable Housing Fund.
Section II, Page 40
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Investment Earnings 1,389$ 1,311$ 1,311$ 1,231$ 1,191$
Other Revenue:
Nonclassified Revenues 137,727 2,429 2,429 2,510 2,694
Total Operating Revenues 139,116 3,740 3,740 3,741 3,885
TOTAL REVENUES 139,116 3,740 3,740 3,741 3,885
EXPENDITURES
General Government:
Affordable Housing 1,700 200,000 200,000 - -
Total Operating Expenditures 1,700 200,000 200,000 - -
TOTAL EXPENDITURES 1,700 200,000 200,000 - -
NET SOURCE (USE) OF FUNDS 137,416 (196,260) (196,260) 3,741 3,885
FUND BALANCES, Beginning of Year 572,438 709,854 709,854 513,594 517,335
FUND BALANCES, End of Year 709,854$ 513,594$ 513,594$ 517,335$ 521,220$
MUNICIPAL SERVICES
Affordable Housing Fund #25
Section II, Page 41
Fund: Facilities Reserve Fund Budget Summary
DEPARTMENT OVERVIEW
The Facilities Reserve Fund (FRF) was originally established to accumulate funds to maintain major Town of Avon
equipment that have a limited useful life and will need refurbishment or replacement such as elevators, air
handlers, and vehicle lifts. The Town has not budgeted monies for the FRF since 2009. These expensive pieces
of equipment also are appropriate to fund, depending on magnitude of cost and expected useful life, from the CIP
Fund or the General Fund. To reduce duplicate purposes, and to better identify funding priorities, the balance of
the FRF has been consolidated into the 2014 CIP Fund revenues.
Section II, Page 42
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Other Revenue -$ -$ -$ -$ -$
Total Operating Revenues - - - - -
Other Sources
Transfers In - General Fund - - - - -
TOTAL REVENUES - - - - -
EXPENDITURES
Public Works:
Facilities Maintenance - - - - -
Total Operating Expenditures - - - - -
Other Uses
Transfers Out - Capital Projects Fund - 413,251 413,251 - -
TOTAL EXPENDITURES - 413,251 413,251 - -
NET SOURCE (USE) OF FUNDS - (413,251) (413,251) - -
FUND BALANCES, Beginning of Year 413,251 413,251 413,251 - -
FUND BALANCES, End of Year 413,251$ -$ -$ -$ -$
MUNICIPAL SERVICES
Facilities Reserve Fund #26
Section II, Page 43
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Fund: Debt Service
SEE FUND SUMMARY
ADMINISTRATION OF THE DEPARTMENT
Budget Summary
DEPARTMENT OVERVIEW
DEPARTMENT FINANCIAL SUMMARY
The Debt Service fund is used to account for the accumulation of resources for the payment of principal and
interest on the Town's debt not accounted for in any other fund. Property taxes are levied to pay the
Town's Series 2004 General Obligation Refunding bonds, which were issued to finance the Town's
roundabouts in 1996. The mill rate for 2015 is estimated to decrease slightly from 3.302 to 3.247 to
generate the amount of property taxes necessary to meet the debt service requirements. The Series 1999
Sales Tax Revenue Refunding Bonds matured and were paid in full in 2014. Also accounted for in this fund
are the Series 2010 Certificates of Participation issued or the Regional Transportation Facility, the proposed
2014A Certificates of Participation for the new proposed municipal town hall, and the proposed 2014B
Certificates of Participation that will be used for street improvements. Funding for these bonds in 2015-16
The Finance Director administers the Debt Service Fund.
Section II, Page 44
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
REVENUES
Taxes:
51101 General Property Taxes 545,793$ 550,523$ 550,523$ 541,020$ 546,531$
51102 Property Tax - Delinquent 220 - (7,194) - -
51103 Property Tax - Interest & Penalties 929 - (12,352) - -
51104 Property Tax - Abatement (187) - - - -
51000 Total Taxes 546,755 550,523 530,977 541,020 546,531
Investment Earnings:
57101 Investment Earnings 339 1,000 1,000 1,000 1,000
Other Sources:
59201 Transfers-In from Capital Projects Fund 714,666 712,829 732,375 808,487 961,817
59000 Total Other Sources 714,666 712,829 732,375 808,487 961,817
50000 TOTAL REVENUES 1,261,760 1,264,352 1,264,352 1,350,507 1,509,348
EXPENDITURES
Debt Service:
919 Series 1999, Sales Tax Revenue Refunding Bonds
65101 Principal 425,000 445,000 445,000 - -
65102 Interest 39,585 20,248 20,248 - -
922 Series 2004, G.O. Refunding Bonds
65101 Principal 455,000 475,000 475,000 490,000 515,000
65102 Interest 73,710 58,013 58,013 40,200 20,600
924 Series 2010, Certificates of Participation
65101 Principal 125,000 125,000 125,000 130,000 135,000
65102 Interest 126,081 123,581 123,581 119,832 115,932
925 Series 2014A, Certificates of Participation (Skier Bldg.)
65101 Principal - - - - 170,000
65102 Interest - - - 245,162 225,725
926 Series 2014B, Certificates of Participation (Street Improvements)
65101 Principal - - - 210,000 220,000
65102 Interest - - - 94,493 86,160
911
64303 County Treasurer Fees 10,936 11,010 11,010 10,820 10,931
65103 Fiscal Agent Fees 2,750 6,500 6,500 10,000 10,000
Total Debt Service 1,258,062 1,264,352 1,264,352 1,350,507 1,509,348
60000 TOTAL EXPENDITURES 1,258,062 1,264,352 1,264,352 1,350,507 1,509,348
NET SOURCE (USE) OF FUNDS 3,698 - - - -
FUND BALANCES, Beginning of Year 507,637 494,552 511,335 511,335 511,335
FUND BALANCES, End of Year 511,335$ 494,552$ 511,335$ 511,335$ 511,335$
MUNICIPAL SERVICES
Debt Service Fund #31
Section II, Page 45
Fund: Transit
Dept: Transportation
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 401,181$ 482,125$ 457,122$ 634,659$ 669,502$
Commodities 86,788 119,785 119,785 124,178 124,329
Contract Services 12,916 95,503 95,503 94,894 95,521
Other Operating Costs 398,035 527,346 529,854 545,647 562,652
Debt Service 60,220 60,220 60,220 60,220 60,220
Capital Outlay 113,117 121,100 121,100 410,000 -
Total 1,072,257$ 1,406,079$ 1,383,584$ 1,869,598$ 1,512,224$
Department Expenditures by Program
Administration 54,793$ 219,197$ 219,197$ 240,302$ 246,175$
Operations 1,017,464 998,124 999,913 1,408,165 1,038,244
Wash Bay - 188,758 164,474 221,131 227,805
Total 1,072,257$ 1,406,079$ 1,383,584$ 1,869,598$ 1,512,224$
Authorized Positions
Transit Superintendent 1 1 1 1 1
Fleet Care Coordinator 0 0 1 1 1
Bus Driver/CDL Driver 3 3 3 3 3
Total 4 4 5 5 5
1. Redesigned Avon core bus service to include service to Buffalo Ridge along with Wal-Mart and Home Depot.
2. Developed joint winter season work schedule to maximize CDL needs in the Transit
Parks and Road and Bridge Departments saving two (2) FTE
3. Administered continuation of the lease agreement with ECO for bus storage, with the
addition of WiFi and vault room use for the upcoming winter season.
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
2014 MAJOR ACCOMPLISHMENTS
The Transportation Department is the singular department of the Transit Fund and is responsible for all
transportation related activities for the Town of Avon. The Department's core responsibilities consist of developing
and sustaining effective, safe, and consistent community transportation programs for the residents and guests of
the Town of Avon. The Transit Fund operates as an enterprise fund and is used to account for operations that are
financed and operated a manner similar to private business enterprises, where the intent of the Town Council is
that the costs of providing services to the general public on a continuing basis be financed or recovered through
user charges. Monies may also be provided to the Transit Fund from general taxes collected by the Town of Avon,
when appropriate, to ensure a positive net income on an annual basis.
The Transportation Department is administered by the Transit Superintendent who coordinates both the operational and
administrative areas; with operational oversight greater is the winter and general non-operational duties heavier in the
summer.
Section II, Page 46
Fund: Transit
Dept: Transportation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:118,947$
Total Activity Cost:240,302$
Performance Metric(s):Internal Survey
Community Survey
Estimated Personnel Time:67%
Estimated Nonpersonnel Costs:684,323$
Total Activity Cost:943,471$
Performance Metric(s):Winter cost per rider per route - Skier Shuttle@ $1.76
Black Line @ $2.54
Restaurant Shuttle @ $2.55
Winter on time performance 99%
Community Survey
Estimated Personnel Time:33%
Estimated Nonpersonnel Costs:337,054$
Total Activity Cost:464,694$
Performance Metric(s):Summer cost per rider per route - Black Line @ $2.54
Summer on time performance
Community Survey
99%
PROGRAM ACTIVITIES AND OPERATIONS
Administration: The Transit Superintendent oversees the day-to-day bus service routes, transit program development,
strategic planning, funding allocations, establishes performance goals, pursues coordination strategies, develops a
passenger feedback systems, designs and implements advertising and promotion, completes annual reports, budgets,
ADA certification and compliance, drug/alcohol program, vehicle procurement, Federal Transit Administration, Region
VIII/Colorado Department of Transportation grant solicitation/management, and Intergovernmental Agreement/Third Party
contract execution. The Transit Superintendent occasionally fills in for drivers on sick leave or during hiring transitions.
Route Operations: Includes service design/service implementation schedule and policy, system safety and security, fleet
management, customer (guest) service protocols, employee standards, seasonal employee recruitment, training, and
certification, performance metric(s), and day to day field operational supervision.
Winter Service: Three (3) route operations occur during the winter months: The Black Line serving the Avon Core and
residential areas other than Wildridge, a Skier Shuttle, supported with funding from Beaver Creek, and evening
Restaurant Shuttle. Hours and route frequency are summarized in the table below. The Town provides in-kind bus
service for The Birds of Prey World Cup, running additional buses.
Summer Service: The seven-day per week Black Line Route operates occur during the summer months: The Black Line
serves the Avon Core and residential areas other than Wildridge. In 2014, a smaller 25-seat shuttle van will operate the
route. Hours and route frequency are summarized in the table below.
Section II, Page 47
Fund: Transit
Dept: Transportation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:94,614$
Total Activity Cost:221,131$
Performance Metric(s):Internal Survey
Cost Recovery
Wash Bay: Located in the Bus Storage Facility, a wash bay is sized for large buses and smaller vehicles and equipment.
The bay also includes a service station for checking fluids and daily checklists. Charges are estimated each year based
upon the operational and maintenance costs of operating the wash bay, including staff time for servicing vehicles.
Winter Winter Winter Loop Winter Summer Summer Summer Loop Summer Annual
Route Op Hrs Frequence # Buses Time Serv. Hr.Op Hrs Frequence # Buses Time Serv. Hr.Cost
Blue Line 6:30-10:30 15-20 Min 1 30 Min 1,330 6:30-10:30 15-20 Min 1 30 Min 2,043 $274,663
1:30-6:30 1:30-6:30
Red Line 6:30-10:30 15-20 Min 1 30 Min 1,330 6:30-10:30 15-20 Min 1 30 Min 2,043 $274,663
1:30-6:30 1:30-6:30
Skier Shuttle 8:00-6:00 15 -30 Min 2 30 Min 2,913 $237,206
Restaurant Shuttle 6:00-10:00 30 Min 1 30 Min 635 $51,708
Black Line 11:00-2:00 30 Min 1 30 Min 490 11:00-2:00 30 Min 1 30 Min 795 $104,638
Total Service Hrs 6,698 Total Service Hrs 4,881 $942,878
Grand Total Service Hours 11,579
Section II, Page 48
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 40,375$ 39,999$ 40,007$ 40,191$ 44,210$
Intergovernmental 90,494 96,000 100,000 328,000 -
Charges for Services 94,884 312,252 261,382 263,066 288,066
Other Revenues 8,903 47,632 57,025 63,080 83,440
Total Operating Revenues 234,656 495,883 458,414 694,337 415,716
Other Sources
Transfers In from General Fund - Operating 776,000 825,000 860,000 1,020,000 1,030,000
Transfers In from General Fund - Capital - - - 82,000 -
Total Other Sources 776,000 825,000 860,000 1,102,000 1,030,000
TOTAL REVENUES 1,010,656 1,320,883 1,318,414 1,796,337 1,445,716
EXPENDITURES
Administration 54,793 219,197 219,197 240,302 246,175
Operations 1,017,464 998,124 999,913 1,408,165 1,038,244
Washbay - 188,758 164,474 221,131 227,805
TOTAL EXPENDITURES 1,072,257 1,406,079 1,383,584 1,869,598 1,512,224
NET SOURCE (USE) OF FUNDS (61,601) (85,196) (65,170) (73,261) (66,508)
FUND BALANCES, Beginning of Year 622,333 560,732 560,732 495,562 422,301
FUND BALANCES, End of Year 560,732$ 475,536$ 495,562$ 422,301$ 355,793$
MUNICIPAL SERVICES
Transit Enterprise Fund #52
Section II, Page 49
Revenue Detail
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Taxes:
Property Taxes
51101 Property Tax/ Gates GID 40,311$ 39,999$ 39,999$ 40,191$ 44,210$
51103 Current & Delinquent interest 64 - 8 - -
51000 Total Taxes 40,375 39,999 40,007 40,191 44,210
Intergovernmental:
Federal Grants:
53104 FTA Grant 90,494 96,000 100,000 328,000 -
53000 Total Intergovernmental 90,494 96,000 100,000 328,000 -
Charges for Services:
Transportation:
54501 Beaver Creek 90,000 90,000 100,000 100,000 125,000
54507 Wash Bay Services- External 4,884 144,870 84,000 84,000 84,000
54902 Wash Bay Services- Internal - 77,382 77,382 79,066 79,066
54000 Total Charges for Services 94,884 312,252 261,382 263,066 288,066
Other Revenues:
58201 Lease of Town-owned Property 4,419 43,632 53,025 55,080 73,440
58995 Bus Advertising Revenues 4,303 4,000 4,000 8,000 10,000
58999 Miscellaneous Nonclassified Revenues 181 - - - -
58000 Total Other Revenues 8,903 47,632 57,025 63,080 83,440
Other Sources:
59201 Transfers In from General Fund - Operating 776,000 825,000 860,000 1,020,000 1,030,000
59201 Transfers In from General Fund - Capital - - - 82,000 -
59000 Total Other Sources 776,000 825,000 860,000 1,102,000 1,030,000
50000 TOTAL REVENUES 1,010,656 1,320,883 1,318,414 1,796,337 1,445,716
MUNICIPAL SERVICES
Transit Enterprise Fund #52
Section II, Page 50
Fund: Fleet
Dept: Fleet Maintenance
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 645,961$ 649,526$ 642,039$ 697,740$ 731,988$
Commodities 506,620 434,384 486,912 523,191 528,901
Contract Services 82,290 67,280 86,221 65,167 69,337
Other Operating Costs 106,813 114,310 119,232 128,205 136,153
Debt Service 253,747 261,522 261,522 262,116 258,064
Capital Outlay 24,351 19,120 19,120 12,500 7,400
Total 1,619,782$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Department Expenditures by Program
Fleet Maintenance 1,608,101$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Wash Bay 11,681 - - - -
Total 1,619,782$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Authorized Positions
Fleet Manager 1 1 1 1 1
Accounting Assistant II 1 1 1 1 1
Mechanic I-II 5 5 5 5 5
Mechanics Helper 1 1 1 1 1
Total 8 8 8 8 8
1. Continue "right sizing" Towns Fleet by selling under utilized vehicles on a public auction website.
2. Completed Annual Inseptions on the entire Town Transit fleet in the second quarter of the year.
3. Continue working with Beaver Creek in the planning and maintenance of critical vehicles and equipment for the 2015
WASC.
Budget Summary
DEPARTMENT OVERVIEW
2014 MAJOR ACCOMPLISHMENTS
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The Fleet Maintenance Fund is an enterprise fund and is used to account for operations that are financed and
operated a manner similar to private business enterprises, where the intent of the Town Council is that the costs of
providing services to the general public on a continuing basis be financed or recovered through user charges.
Monies may also be provided to the Fleet Maintenance Fund from general taxes collected by the Town of Avon,
when appropriate, to ensure a positive net income on an annual basis. The Fleet Department is the only division in
the Fund and provides vehicle and rolling stock service for Town of Avon as well as other third party governmental
agencies.
The Fleet Department is administered by the Fleet Manager who spends approximately 90% on general department
administration, and the balance on mechanic training and hands-on support.
Section II, Page 51
Fund: Fleet
Dept: Fleet Maintenance Budget Summary
Estimated Personnel Time:35%
Estimated Nonpersonnel Costs:346,913$
Total Activity Cost:591,122$
Performance Metric(s):70% Cost Recovery
Internal Survey
Estimated Personnel Time:65%
Estimated Nonpersonnel Costs:644,266$
Total Activity Cost:1,097,797$
Performance Metric(s):70% Cost Recovery
Internal Survey
PROGRAM ACTIVITIES AND OPERATIONS
Town of Avon Vehicles and Rolling Stock: Town departments are charged a competitive “fully
burdened” shop rate for regular maintenance and repair. The Fleet Department targets a billable total cost
recovery of 70% from work through the year.
Third Party Vehicles and Rolling Stock: Third party governmental agencies are charged a competitive “fully burdened”
shop rate for regular maintenance and repair. The Fleet Department targets a cost recovery of 70% from total work
through the year.
Section II, Page 52
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Charges for Services 1,344,126$ 1,299,935$ 1,271,638$ 1,372,358$ 1,505,438$
Other Revenue 2,475 - - - -
Total Operating Revenues 1,346,601 1,299,935 1,271,638 1,372,358 1,505,438
Other Sources
Transfers-In from General Fund 150,000 150,000 300,000 300,000 275,000
Capital Lease Proceeds 24,351 - - - -
Total Other Sources 174,351 150,000 300,000 300,000 275,000
TOTAL REVENUES 1,520,952 1,449,935 1,571,638 1,672,358 1,780,438
EXPENDITURES
Public Works:
Fleet Maintenance 1,608,101 1,546,142 1,615,046 1,688,919 1,731,843
Washbay 11,681 - - - -
Total Operating Expenditures 1,619,782 1,546,142 1,615,046 1,688,919 1,731,843
TOTAL EXPENDITURES 1,619,782 1,546,142 1,615,046 1,688,919 1,731,843
NET SOURCE (USE) OF FUNDS (98,830) (96,207) (43,408) (16,561) 48,595
FUND BALANCES, Beginning of Year 321,627 304,827 222,797 179,389 162,828
FUND BALANCES, End of Year 222,797$ 208,620$ 179,389$ 162,828$ 211,423$
MUNICIPAL SERVICES
Fleet Maintenance Enterprise Fund #61
Section II, Page 53
Revenue Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Charges for Services:
54806 3rd Party Fleet Maintenance Charges 797,616$ 722,814$ 756,225$ 815,815$ 894,549$
54901 Departmental Fleet Maintenance Chrgs 499,561 557,121 505,413 546,543 600,889
54902 Wash Bay Charges 42,662 - - - -
54903 Sales of Fuel 4,287 20,000 10,000 10,000 10,000
54000 Total Charges for Services 1,344,126 1,299,935 1,271,638 1,372,358 1,505,438
Other Revenues:
58205 Insurance Reimbursements - - - - -
58999 Miscellaneous Nonclassified Revenues 2,475 - - - -
58000 Total Other Revenues 2,475 - - - -
Other Sources:
59201 Transfers In - General Fund 150,000 150,000 300,000 300,000 275,000
59303 Capital Lease Proceeds 24,351 - - - -
59000 Total Other Sources 174,351 150,000 300,000 300,000 275,000
50000 TOTAL REVENUES 1,520,952$ 1,449,935$ 1,571,638$ 1,672,358$ 1,780,438$
MUNICIPAL SERVICES
Fleet Maintenance Enterprise Fund #61
Section II, Page 54
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Fleet and Heavy Equipment 256,862 277,199 277,199 246,977 47,054
Recreation Center Equipment 28,034 104,703 113,903 182,888 11,252
Computer and Office Equipment 26,173 77,500 77,500 51,305 45,048
Machinery and Equipment - - - 39,000 18,857
Total 311,069$ 459,402$ 468,602$ 520,170$ 122,211$
Fund: Equipment Replacement Fund Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
This fund is used to account for the rental of certain vehicles and equipment to other departments for
the accumulation of funds for future replacements.
The Equipment Replacement Fund is administered by the Finance Director with assistance from other department
heads..
Section II, Page 55
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Charges for Services 450,036$ 563,570$ 563,570$ 598,737$ 636,071$
Total Operating Revenues 450,036 563,570 563,570 598,737 636,071
Other Sources
Police Forfeiture Revenue 4,155 - - - -
Sales of Fixed Assets 58,360 3,500 12,555 27,000 4,000
Capital Lease Proceeds 124,608 188,062 188,062 - -
Total Other Sources 187,123 191,562 200,617 27,000 4,000
TOTAL REVENUES 637,159 755,132 764,187 625,737 640,071
EXPENDITURES
Capital Outlay:
Fleet and Heavy Equipment 256,862 277,199 277,199 246,977 47,054
Recreation Center Equipment 28,034 104,703 113,903 182,888 11,252
Computer and Office Equipment 26,173 77,500 77,500 51,305 45,048
Machinery and Equipment - - - 39,000 18,857
TOTAL EXPENDITURES 311,069 459,402 468,602 520,170 122,211
NET SOURCE (USE) OF FUNDS 326,090 295,730 295,585 105,567 517,860
FUND BALANCES, Beginning of Year 2,169,340 2,169,340 2,495,430 2,791,015 2,896,582
FUND BALANCES, End of Year 2,495,430$ 2,465,070$ 2,791,015$ 2,896,582$ 3,414,442$
Fund Summary
MUNICIPAL SERVICES
Equipment Replacement Internal Service Fund #63
Section II, Page 56
Original or Final
Prev. Amend.Revised Adopted Proposed
Account Actual Budget Budget Budget Budget
Number Description 2013 2014 2014 2015 2016
Charges for Services:
Equipment Rental Charges
54904 Town Manager 462$ 211$ 211$ -$ -$
54904 Finance 382 381 381 - -
54904 Information Systems 25,381 31,663 31,663 42,216 44,834
54904 Nondepartmental 13,753 13,510 13,510 17,635 17,635
54904 Comm Dev - Administration 234 - - - -
54904 Comm Dev - Planning 1,621 1,855 1,855 1,621 847
54904 Comm Dev - Building Inspection 2,903 2,148 2,148 2,148 2,148
54904 Comm Dev - Town Produced Events - - - 1,467 1,482
54904 Police - Administration 7,462 7,222 7,222 10,683 10,683
54904 Police - Patrol 81,871 82,762 82,762 87,194 106,806
54904 Police - Investigations 5,244 4,427 4,427 5,443 5,443
54904 Engineering - 2,539 2,539 2,539 2,539
54904 Public Works - Administration 2,539 - - - -
54904 Public Works - Roads and Streets 75,932 86,254 86,254 86,700 79,965
54904 Public Works - Parks 62,797 - - - -
54904 Town Center West 18,232 15,624 15,624 15,989 22,035
54904 Transit - Operations 2,476 39,838 39,838 44,076 44,076
54904 Transit - Wash Bay - 22,003 22,003 22,237 22,237
54904 Fleet Maintenance 4,559 4,021 4,021 3,623 3,623
54904 Parks & Recreation - Special Events 2,588 2,099 2,099 - -
54904 Parks & Recreation - Administration 5,031 4,507 4,507 7,472 7,472
54904 Parks & Recreation - Aquatics 39,811 42,479 42,479 42,479 47,796
54904 Parks & Recreation - Fitness 54,870 56,670 56,670 55,856 61,334
54904 Parks & Recreation - Maintenance 38,143 - - - -
54904 Parks & Recreation - Youth Programs 209 209 209 - -
54904 Parks & Recreation - Cabin 3,536 1,496 1,496 5,710 6,240
54904 Parks & Recreation - Parks and Grounds - 63,028 63,028 60,482 60,709
54904 Parks & Recreation - Bldgs and Facilities - 78,625 78,625 83,167 88,167
54000 Total Charges for Services 450,036 563,570 563,570 598,737 636,071
Other Sources:
55120 Police Forfeiture Revenue 4,155 - - - -
59101 Sale of Fixed Assets 58,360 3,500 12,555 27,000 4,000
59303 Capital Lease Proceeds 124,608 188,062 188,062 - -
59000 Total Other Sources 187,123 191,562 200,617 27,000 4,000
50000 TOTAL REVENUES 637,159$ 755,132$ 764,187$ 625,737$ 640,071$
Revenue Detail
MUNICIPAL SERVICES
Equipment Replacement Internal Service Fund #63
TOWN OF AVON
DETAILED BUDGET REQUESTS
2015
Section II, Page 57
Department:N/A
Program: Fleet and Heavy Equipment #811
Account 2015 2016
Number Account Name Justification Budget Budget
EQUIPMENT REPLACEMENT:
Fleet and Heavy Equipment
Road/Bridge Dept:
Pickup Truck with Plow - Replace #291 37,631$
Town Center West Maintenance:
Pickup Truck with Plow - Replace #280 34,664$
Police Dept - Patrol:
Chevy Tahoes (4) + Equipment for New
Body Style
Replace #330, 336, 334, 335 193,142
66501 Automobiles and Light Duty Trucks 227,806 37,631
Parks and Rec Dept - Parks:
Snowblower Attachment - Replace #577 5,202
ATV - Replace #294s 9,423
Town Center West Maintenance:
Club Car w Snow Blade - Replace #293 13,969
66599 Other Transportation Equipment 19,171 9,423
66000 Total Capital Outlay 246,977$ 47,054$
Fleet & Heavy Equip. to Auction in 2015:
#334 Chevrolet Tahoe
#335 Chevrolet Tahoe
#321 Chevrolet Tahoe
#322 Chevrolet Tahoe
#280 Chevy Pickup Truck
2016:
#267 GMC Pickup Truck
#293 Club Car
TOWN OF AVON
DETAILED BUDGET REQUESTS
2015
Section II, Page 58
Department:N/A
Program:Recreation Equipment #812
Account 2015 2016
Number Account Name Justification Budget Budget
EQUIPMENT REPLACEMENT:
Recreation Center
Aquatics:
Steam Room Generator 9,968$ -
66202 Building Improvements 9,968 -
Aquatics:
Diving Board 4,700
Tumble Bucket 4,400
New Aquatic Feature 13,489
Climbing Wall 7,137
Fitness:
Stepmill (1)5,268
Ellipticals (8)48,800
AMT (1)8,640
FreeMotion Incline Trainers (2)11,279
Functional Trainer (1)4,268
Spin Bikes (11)19,507
Treadmills (5)43,572
Bench Press Station (1)1,290$
Cable Crossover (1)4,319
Dip Chin (1)3,669
Town Produced Events:
10 x10 Tent 1,974
66407 Athletic and Recreational Equipment 171,060 11,252
Town Produced Events:
Mackie Powered Speakers 1,860
66499 Other Machinery and Equipment 1,860 -
66000 Total Capital Outlay 182,888$ 11,252$
TOWN OF AVON
DETAILED BUDGET REQUESTS
2015
Section II, Page 59
Department:N/A
Program:Computers and Office Equipment #813
Account 2015 2016
Number Account Name Justification Budget Budget
EQUIPMENT REPLACEMENT:
Computers and Office Equipment
Police:
Fingerprint System 15,486$
Toughbook MDTs (2)6,653$ 6,653
Engineering:
Large Format Copier, Printer, Scanner 9,309
Information Systems:
Virtual Server Host (2)36,699
Fleet Switch 7,953
Parks Garage Switch 800
Cabin Switch 800
TOA-CORE02 Switch 12,000
66402 Computers and Peripherals 51,305 45,048
66000 Total Capital Outlay 51,305$ 45,048$
TOWN OF AVON
DETAILED BUDGET REQUESTS
2015
Section II, Page 60
Department:N/A
Program:Machinery and Equipment #814
Account 2015 2016
Number Account Name Justification Budget Budget
EQUIPMENT REPLACEMENT:
Machinery and Equipment
Police Dept - Patrol:
Radar Trailer - Replace #867 11,489$
66405 Public Safety Equipment - 11,489
Road and Bridge Dept:
Plotter/Sign Maker - Replace #1127 7,368
Parks and Rec Dept - Parks:
Mower/Sidewinder - Replace #660 & 775 39,000$
66499 Other Machinery and Equipment 39,000 7,368
66000 Total Capital Outlay 39,000$ 18,857$
Section III, Page 1
Original or Final
Prev. Amend.Revised Proposed Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Fund: Capital Projects Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
SEE LINE ITEM DETAIL
DEPARTMENT FINANCIAL SUMMARY
The Capital Projects Fund is primarily funded with a 2% real estate transfer tax (RETT). Projected revenues reflect
the current real estate market and new development, including the Wyndham timeshare project. The projects
recommended in the Fund were selected based on several criteria including major maintenance of the Town’s
existing facilities, preparation for the 2015 World Cup Skiing Championships, and projects identified has high
priorities in adopted planning documents such as the H.A. Nottingham Park Master Plan, Comprehensive
Transportation Plan and the Recreation Trails Master Plan. The Town prepares a Five-Year Capital Improvements
Program, which is important to the long-term planning of infrastructure development and maintenance.
The Capital Projects Fund is administered by the Town Engineer. Two engineers in the Engineering Department spend
approximately 45% of each position's time on planning and implementation of the Fund and Five-Year Program.
Proportional monies for the engineer's salary are transferred to the General Fund.
Section III, Page 2
Fund Summary
Original or Final
Prev. Amend.Revised Proposed Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 1,574,502$ 1,600,000$ 2,100,000$ 3,825,312$ 3,318,080$
Intergovernmental 7,419,767 1,210,344 1,180,344 30,000 1,605,000
Investment Earnings 11,595 9,003 9,003 3,741 13,372
Other Revenue 528 1,500 68,943 - -
Total Operating Revenues 9,006,392 2,820,847 3,358,290 3,859,053 4,936,452
Other Sources:
Bond Proceeds - - 9,829,000 - -
Operating Transfers-In 1,150,488 2,574,786 3,899,786 120,000 320,000
Total Other Sources 1,150,488 2,574,786 13,728,786 120,000 320,000
TOTAL REVENUES 10,156,880 5,395,633 17,087,076 3,979,053 5,256,452
EXPENDITURES
Capital Improvements:
Facilities 8,885,980 1,583,290 7,468,290 2,705,000 80,000
Land and Land Improvements 1,043,943 140,000 120,000 - 500,000
Roads and Streets 633,623 4,775,760 4,987,089 2,381,679 4,343,378
Utilities - - - - -
Water Fund Projects 1,150,488 239,535 139,535 - 100,000
Communications and Technology 85,581 135,000 135,000 - -
Strategic Planning 3,500 5,000 5,000 - -
Debt Service:
Bond Issuance Costs - - 216,975 - -
Capital Leases - 153,006 153,006 121,265 121,265
Total Capital Improvements 11,803,115 7,031,591 13,224,895 5,207,944 5,144,643
Other Uses
Operating Transfer-Out - General Fund 201,006 207,121 207,121 1,538,335 219,735
Operating Transfer-Out - Debt Service Fund 714,666 712,829 732,375 808,487 961,817
- -
Total Other Uses 915,672 919,950 939,496 2,346,822 1,181,552
TOTAL EXPENDITURES 12,718,787 7,951,541 14,164,391 7,554,766 6,326,195
NET SOURCE (USE) OF FUNDS (2,561,907) (2,555,908) 2,922,685 (3,575,713) (1,069,742)
FUND BALANCE, Beginning of Year 6,186,560 3,624,653 3,624,653 6,547,338 2,971,625
FUND BALANCE, End of Year 3,624,653$ 1,068,745$ 6,547,338$ 2,971,625$ 1,901,883$
Fund Balances
Restricted For:
Capitalized Interest -$ -$ 245,162$ -$ -$
Town Hall Tenant Finish - - 2,520,000 - -
Street Improvements - - 3,706,200 1,624,521 626,143
Asphalt Overlay - - - 120,000 240,000
Unassigned:
Unreserved 3,624,653 1,068,745 75,976 1,227,104 1,035,740
Total Fund Balances 3,624,653$ 1,068,745$ 6,547,338$ 2,971,625$ 1,901,883$
MUNICIPAL SERVICES
Capital Projects Fund #41
CAPITAL PROJECTS FUND 5-YEAR PLAN
SUMMARY
Section III, Page 3
Proposed
Current Revised Proposed
Actual Budget Budget Budget
2013 2014 2014 2015 2016 2017 2018 2019
REVENUES
Real Estate Transfer Tax:1,574,502$ 1,600,000$ 2,100,000$ 3,825,312$ 3,318,080$ 3,190,368$ 2,000,000$ 2,000,000$
Interest Earnings 11,595 9,003 9,003 3,741 13,372 10,460 16,388 19,675
Intergovernmental:
Federal/State:
FTA 90 SGR 6,311,171 44,894 44,894 - - - - -
FTA / CDOT - ARRA 523,000 - - - - - - -
CDOT FASTER 585,596 100,000 100,000 - - - - -
GOCO Grant - Eagle Valley Trail - Phase 1 - 498,000 498,000 - - - - -
CDOT Grant - Eagle Valley Trail - Phase 3 - - - - 1,355,000 - - -
GOCO Grant - Playground - - - - 250,000 - - -
Local Government:
ECO Grant - Traer Creek Bus Stop - 30,000 - 30,000 - - - -
Eagle County Trails Grant - Phase 2 - 522,000 522,000 - - - - -
Eagle County Trails Grant - Saddleridge Trail - 15,450 15,450 - - - - -
Other Revenues:
Fireplace Fees - 1,500 1,500 - - - - -
Donations and Contributions - - 27,000 - - - - -
Developer Reimbursements - - 25,693 - - - - -
Nonclassified 528 - 14,750 - - - - -
Total Operating Revenues 9,006,392 2,820,847 3,358,290 3,859,053 4,936,452 3,200,828 2,016,388 2,019,675
Other Sources:
Debt Proceeds - Street Improvements - - 3,800,000 - - - - -
Debt Proceeds - Avon Town Hall - - 6,029,000 - - - - -
Transfers-in General Fund:
- Nottingham Park Pavilion - 700,000 700,000 - - - - -
- Short-term Loan - - 1,325,000 - - - - -
- Asphalt Overlay - - - 120,000 120,000 120,000 120,000 120,000
Transfers-in Avon URA (Mall Improvement Project)- 700,000 700,000 - - - - -
Transfers-in Community Enhancement Fund
- Nottingham Park Pavilion 508,000 -
- Mall Improvement Project - - 608,000 - - - - -
- 2016 Power line Undergrounding - - - - 100,000 - - -
Transfers-in Facilities Reserve Fund (Capital Projects Fund
Consolidation)- 413,251 413,251 - - - - -
Transfers-in Water Fund 1,150,488 253,535 153,535 - 100,000 - - -
Total Other Sources 1,150,488 2,574,786 13,728,786 120,000 320,000 120,000 120,000 120,000
Total Revenues and Sources of Funds 10,156,880$ 5,395,633$ 17,087,076$ 3,979,053$ 5,256,452$ 3,320,828$ 2,136,388$ 2,139,675$
Projected
CAPITAL PROJECTS FUND 5-YEAR PLAN
SUMMARY
Section III, Page 4
Proposed
Current Revised Proposed
Actual Budget Budget Budget
2013 2014 2014 2015 2016 2017 2018 2019
Projected
EXPENDITURES
Capital Improvements:
Facilities 8,885,980 1,583,290 7,468,290 2,705,000 80,000 - 75,000 300,000
Land and Land Improvements 1,043,943 140,000 120,000 - 500,000 625,000 - -
Roads and Streets 633,623 4,775,760 4,987,089 2,381,679 4,343,378 776,143 650,000 950,000
Utilities - - - - - - - -
Water Fund Projects 1,150,488 239,535 139,535 - 100,000 - - -
Communications and Technology 85,581 135,000 135,000 - - - - -
Strategic Planning 3,500 5,000 5,000 - - - - -
Debt Service:
Debt Issuance Costs - - 216,975 - - - - -
Capital Leases - 153,006 153,006 121,265 121,265 121,265 121,265 94,986
Total Expenditures 11,803,115 7,031,591 13,224,895 5,207,944 5,144,643 1,522,408 846,265 1,344,986
Other Uses:
Operating Transfers Out - General Fund:
- Engineering Department Salary and Operations 176,006 207,121 207,121 213,335 219,735 226,327 233,117 240,110
- 2014 Winter Wondergrass Festival 25,000 - - - - - - -
- Repayment of Short-term Loan - - - 1,325,000 - - - -
Operating Transfers Out - Debt Service Fund:
- 2010 Certificates of Participation Notes 250,081 247,581 257,854 252,165 253,265 254,214 254,664 250,133
- Town Hall & Parking Facility - - - 248,495 399,058 395,658 397,258 398,758
- 1999 Revenue Refunding Bonds (Rec Center)464,585 465,248 474,521 - - - - -
- 2015-17 Street Improvements - - - 307,827 309,494 302,926 302,931 302,825
Total Other Uses 915,672 919,950 939,496 2,346,822 1,181,552 1,179,125 1,187,970 1,191,826
Total Expenditures and Uses of Funds 12,718,787 7,951,541 14,164,391 7,554,766 6,326,195 2,701,533 2,034,235 2,536,812
Net Source (Use) of Funds (2,561,907) (2,555,908) 2,922,685 (3,575,713) (1,069,742) 619,296 102,153 (397,137)
Fund Balance, Beginning of Year 6,186,560 3,624,653 3,624,653 6,547,338 2,971,625 1,901,883 2,521,178 2,623,331
Fund Balance, End of Year 3,624,653$ 1,068,745$ 6,547,338$ 2,971,625$ 1,901,883$ 2,521,178$ 2,623,331$ 2,226,194$
Fund Balances
Restricted For:
Capitalized Interest -$ -$ 245,162$ -$ -$ -$ -$ -$
Town Hall Tenant Finish - - 2,520,000 - - - - -
Street Improvements - - 3,706,200 1,624,521 626,143 - - -
Asphalt Overlay - - - 120,000 240,000 360,000 480,000 600,000
Unassigned:
Unreserved 3,624,653 1,068,745 75,976 1,227,104 1,035,740 2,161,178 2,143,331 1,626,194
Total Fund Balances 3,624,653$ 1,068,745$ 6,547,338$ 2,971,625$ 1,901,883$ 2,521,178$ 2,623,331$ 2,226,194$
CAPITAL PROJECTS INVENTORY 5-YEAR PLAN
INVENTORY DETAIL
Section III, Page 5
Proposed Estimated
Total 2012 and Current Revised Project Cost Proposed
Project Prior Yr.Actual Budget Budget To-Date Budget
Budget Actuals 2013 2014 2014 2014 2015 2016 2017 2018 2019
CAPITAL IMPROVEMENT PROJECTS
Project #Facilities:
General Government Facilities:
11010 IT Server Room HVAC Upgrades 14,830$ -$ 14,830$ -$ -$ 14,830$ -$ -$ -$ -$ -$
11011 Town Hall Acquisition and Closing Costs 3,200,000 - - - 3,200,000 3,200,000 - - - - -
11012 Town Hall Tenant Finish 2,520,000 - - - - - 2,520,000 - - - -
Transit / PW Facilities Improvement Project:
13005 Public Works Improvements, (On-site and Lot 5)719,474 405,609 171,693 142,172 142,172 719,474 - - - - -
13008 Final Design /Engineering Services (Grant #90)857,333 678,370 178,963 - - 857,333 - - - - -
13009 Transit Facility Construction (Grant #90)8,543,719 1,325,508 7,162,093 56,118 56,118 8,543,719 - - - - -
13010 Transit Facility Construction (FASTER Grant)1,250,000 575,560 674,440 - - 1,250,000 - - - - -
13011 Transit Facility Construction (ARRA Grant)524,183 - 524,183 - - 524,183 - - - - -
Public Works Facilities
13012 Cinder De-icer Storage 200,000 - - - - - - - - - 200,000
13013 Large Vehicle Storage 100,000 - - - - - - - - - 100,000
Transportation Facilities
14005 Fuel Spill Cleanup 86,093 84,915 1,178 - - 86,093 - - - - -
14006 Avon Station / Lot 61 Encroachment 799 - 799 - - 799 - - - - -
14010 Fleet Maintenance EPDM Roof Replacement 80,000 - - - - - - 80,000 - - -
13005 Transit Bus Stop - I70 RTF 8,471 - 8,471 - - 8,471 - - - - -
14013 Transit Bus Stop Improvements 75,000 - - - - - - - - 75,000 -
14011 Transit Bus Stop - Christy Sports/City Market 125,000 - - 125,000 - - 125,000 - - - -
14012 Transit Bus Stop - Traer Creek Plaza 60,000 - - 60,000 - - 60,000 - - - -
Cultural and Recreational Facilities:
15008 Recreation Center EPDM Replacement 149,330 - 149,330 - - 149,330 - - - - -
15009 Recreation Center - Locker Room Remodel 120,000 - - 100,000 120,000 120,000 - - - - -
15010 Recreation Center Remodel - Yoga & Weight Room 80,000 - - 100,000 80,000 80,000 - - - - -
15011 Nottingham Park Stage Design 70,000 - - 70,000 70,000 70,000 - - - - -
15012 Nottingham Park Stage Construction 3,800,000 - - 930,000 3,800,000 3,800,000 - - - - -
Land and Land Improvements:
21009 Forest Service Land Acquisition 1,031,171 29,371 1,001,800 - - 1,031,171 - - - - -
H.A. Nottingham Park Improvements
21015 Nottingham Park Capital Imprvmnts 2013 Program 42,143 - 42,143 - - 42,143 - - - - -
21016 Nottingham Park Zone C Imprvmnts - Playground 550,000 - - 70,000 50,000 50,000 - 500,000 - - -
21017 Nottingham Park - Remodel Restrooms 275,000 - - - - - - - 275,000 - -
21018 Nottingham Park Athletic Field Drainage Imprvmnts 70,000 - - 70,000 70,000 70,000 - - - - -
21019 Upper Athletic Field Replacement 350,000 - - - - - - - 350,000 - -
Projected
CAPITAL PROJECTS INVENTORY 5-YEAR PLAN
INVENTORY DETAIL
Section III, Page 6
Proposed Estimated
Total 2012 and Current Revised Project Cost Proposed
Project Prior Yr.Actual Budget Budget To-Date Budget
Budget Actuals 2013 2014 2014 2014 2015 2016 2017 2018 2019
CAPITAL IMPROVEMENT PROJECTS
Projected
Project #Roads and Streets:
Streetscape Improvements
31014 Avon Rd. Streetscape Update 484,000 - - 300,000 184,000 184,000 300,000 - - - -
31020 Avon Rd. Street Lights 200,000 - - 200,000 200,000 200,000 - - - - -
32014 Avon Rd. UPRR Bridge Façade 104,295 - 104,295 - - 104,295 - - - - -
31018 Post Blvd. Landscaping Improvements 368,000 - - 331,000 368,000 368,000 - - - - -
31019 Post Blvd. Electrical Assessment and Street Lights 78,000 - - 8,000 78,000 78,000 - - - - -
35003 Roundabout #4 TCW Feature 60,000 - - - 60,000 60,000 - - - - -
31022 Avon Rd./I70 Overpass Pedestrian Improvements 100,000 - - - - - - 100,000 - - -
31023 Metcalf Road - Retaining Wall Stabilization 100,000 - - - - - - 100,000 -
31024 Roundabout #4 TCW Art Element 250,000 - - - - - - 250,000 - - -
Street Improvements:
31015 2014 Mall Improvements 1,992,703 - - 1,900,000 1,992,703 1,992,703 - - - - -
33015 Annual Paving/Road Improvements N/A - 495,016 763,760 763,760 NA 2,081,679 998,378 626,143 500,000 250,000
32015 US Hwy 6 Shoulder Widening Contribution 50,000 - - 50,000 50,000 50,000 - - - - -
32016 Buck Creek Road Bridge Approach Slab Repair 95,000 - - - - - - 95,000 - - -
34024 B/C Blvd. Bike Lanes - - - 35,000 - - - - - - -
32017 Metcalf Road Bike Climbing Lane - Phase 2 700,000 - - - - - - - - - 700,000
Multi-Modal/Alternative Mobility:
34017 Eagle Valley Trails Phase 1 (GOCO Grant Funded)561,000 - - 561,000 561,000 561,000 - - - - -
34023 Eagle Valley Trails Phase 2 (ECO Funded)522,000 - - 522,000 522,000 522,000 - - - - -
34015 Eagle Valley Trails Phase 3 (CDOT Funded)2,850,000 - - - 50,000 50,000 - 2,800,000 - - -
34016 Eagle Valley Trails Undergrounding Project (CEF)100,000 - - - - - - 100,000 - - -
Recreational Trails Program:-
34018 Beaver Creek Overlook Trail Improvements 34,312 - 34,312 - - 34,312 - - - - -
34019 West Avon Preserve Trail Improvements 157,626 - - 95,000 157,626 157,626 - - - - -
34020 West Avon Parcel Access Improvements - - - 10,000 - - - - - - -
34021 Nottingham Trail-Buck Creek Trail connector 50,000 - - - - - - - 50,000 - -
34022 Buck Creek Trail Improvements 150,000 - - - - - - - - 150,000 -
Utilities - - - - - - - - - - -
Water Fund Projects:
61010 Nottingham Lake Liner Replacement 1,300,000 9,977 1,150,488 139,535 139,535 1,300,000 - - - - -
21020 Pump House Pump Replacement 100,000 - - 100,000 - - - 100,000 - - -
Communications and Technology
Communications:
81006 UHF Radio System and Repeater 32,380 - 32,380 - - 32,380 - - - - -
81007 Enterprise-wide Security Camera System Upgrade 30,760 - 30,760 - - 30,760 - - - - -
e-Gov.:
81008 Digital Ticketing 60,000 - - 60,000 60,000 60,000 - - - - -
81005 Paperless Packets 22,441 - 22,441 - - 22,441 - - - - -
81009 CityVision Budgeting and BPM Software 40,000 - - 40,000 40,000 40,000 - - - - -
81010 Timekeeping Software and Peripheral Devices 35,000 - - 35,000 35,000 35,000 - - - - -
CAPITAL PROJECTS INVENTORY 5-YEAR PLAN
INVENTORY DETAIL
Section III, Page 7
Proposed Estimated
Total 2012 and Current Revised Project Cost Proposed
Project Prior Yr.Actual Budget Budget To-Date Budget
Budget Actuals 2013 2014 2014 2014 2015 2016 2017 2018 2019
CAPITAL IMPROVEMENT PROJECTS
Projected
Project #Strategic Planning
Planning and Consulting:
79108 Feasibility Study - Town Center West Lots B & C 3,500 - 3,500 - - 3,500 - - - - -
79110 Recreation Center Expansion: Exhibits & Displays 5,000 - - 5,000 5,000 5,000 - - - - -
Total Capital Improvement Projects 35,538,563$ 3,109,310$ 11,803,115$ 6,878,585$ 12,854,914$ 26,508,563$ 5,086,679$ 5,023,378$ 1,401,143$ 725,000$ 1,250,000$
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 8
Facilities
Town Hall Server Room HVAC Project
Description: The current server room is prone to overheating when the power goes out or the air
condition units fail which will damage the servers. The project includes fail-over protection
with another air conditioning unit on a different circuit, UPS protection for electrical spikes
and surges, UPS fail notification system for IT staff and shut down of servers, new
environmental monitors, and improved venting and circulation of the rack systems.
Budget: 2013 $14,830
Town Hall Acquisition, Closing Costs and Tenant Finish
Description: The Skier Building is located on Mountain Vista Lot 4 and has been evaluated for purchase
and finish completion for use as Avon’s Town Hall. The Skier Building is in a most desirable
location in the core of Avon and located on the Pedestrian Mall. It will bring vibrancy to
the Pedestrian mall.
Budget: 2014 $3,200,000 – Acquisition & Closing Costs
2015 $2,500,000 – Tenant Finish
Relocating Public Works Operations
Description: Public Works operations and modular building will be relocated at the existing site located
at 500 Swift Gulch Road to make way for new bus storage building. The proposed
improvements consist of relocating the existing modular office facility and accessory
structures 500 feet north on the site. Also, the project includes installing improvements
such as fencing and landscaping at 375 Yoder Avenue so that some Public Works
operations can be located there. The office furniture for the bus storage facility and
mezzanine that is not grant eligible is included with this project.
Status: The project started in June 2012 and will be completed in 2014.
Budget: 2012 $405,609
2013 $171,693
2014 $142,172
I-70 Regional Transportation Operations Facility (I70-RTOF) Project
Description: The I-70 RTOF project consists of improvements to site infrastructure, construction of a 24-
stall bus storage and maintenance facility and relocation of the public works modular
building. The project is funded with $2,100,000 of Town Funds, $7,500,000 Federal Transit
Administration Grant, $1,000,000 Colorado Department of Transportation FASTER Grant
and $523,000 American Resource and Recovery Act Grant.
Status: The project construction started in June 2012 and was completed in Fall of 2014.
Budget: 2012 $2,579,438
2013 $8,539,679
2014 $56,118
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 9
Cinder and De-Icer Storage
Description: The uncovered cinder pile leaches deicer into the soil and drainage ways when it rains or
snows on the pile. Also the cinders regularly freeze into large clumps making it difficult to
load into the snowplows. The structure will prevent snow from landing on the pile and
causing these issues thus improving snowplowing efficiency and mitigating environmental
impacts. A dome-style structure would be constructed where the existing pile is located
and will be partially obstructed from public view.
2019 $200,000
Large vehicle storage for the Road and Bridge Department
Description: When snow accumulates in the V-Box located on the back of the snow plow, it will freeze
the auger that discharges the cinders onto the road. It takes up to 4-hours to defrost the
cinders and auger in a garage. This lowers the reliability and efficiency of the snowplowing
operations. A covered, non-heated structure will prevent snow from landing in the V-Box.
2019 $100,000
Fuel Spill Clean-up
Description: The clean-up of a fuel spill that was discovered during excavation for the I-70 ROTF around
the oil water separators.
Budget: 2012 $84,915
2013 $1,178
Fleet Maintenance EPDM Roof Replacement
Description: EPDM roofs have an expected life span of 20-years and the existing room will reach its
expected life in 2016. This project will replace the EPDM roof with a similar material.
Budget: 2016 $80,000
Transit Bus Stop Improvements
Description: Most of the existing transit stops have minimal signage, seating and no shelters. This
project would improve the signage and add seating or shelters to improve the bus riding
experience.
Budget: 2018 $75,000
Transit Bus Stop – Christy Sports/City Market
Description: This project will place bus shelters at Christy Sports and City Market bus stops. CDOT
grant funds will be applied for the shelters.
Budget: 2015 $125,000 (2 shelters)
Transit Bus Stop - Traer Creek Plaza
Description: This project will place a bus stop at Traer Creek Plaza in East Avon. ECO CDOT funds will
provide for 50% of the funding.
Budget: 2015 $60,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 10
Recreation Center EPDM Replacement
Description: The existing flat EPDM roofs are approaching the end of their 20-year life span. The roofs
frequently leak during rain events and snowmelt events, particularly in the aerobic room.
This project will replace the existing EPDM on the three flat roofs on the recreation center.
Budget: 2013 $149,330
Recreation Center - Locker Room Remodel
Description: The existing showers in the recreation center are nearly 20-years old and are due for an
upgrade. The showers will be re-tilled, new plumping fixtures installed, and shower stalls
replaced. The concrete slabs around the pool deck have settled causing a trip hazard and
need to be repaired. The project is recommended to occur in 2014 in order spruce up the
recreation center for the 2015 Alpine World Ski Championships.
Budget: 2014 $120,000
Recreation Center Remodel - Yoga Studio and Weight Room
Description: A Yoga studio will be created in existing space and the Weight Room will be relocated
upstairs to provide more space. As these two amenities are used frequently by guests,
these enhancements would not only benefit patrons, but would enhance the visual quality
of the Recreation Center.
Budget: 2014 $40,000
2015 $40,000
Nottingham Park Stage Design
Description: Design and planning for construction of a permanent stage in H.A. Nottingham Park near
the upper athletic field to house numerous type of events including music, and stage.
Budget: 2014 $70,000
Nottingham Park Stage Construction
Description: Construct a permanent stage in H.A. Nottingham Park near the upper athletic field to
house numerous type of events including music, and stage. The performing arts pavilion
will require a minimum stage size of approximately 25 feet by 35 feet, a roof, back of house
space and electrical service. The stage can be constructed so that it will not encroach into
the existing field by constructing the back of house operations to the side of the stage.
Budget: 2013 $ 70,000
2014 $3,800,000
Land and Land Improvements
Forest Service Land Acquisition
Description: Participation with the US Forest Service, Eagle County, the Colorado State Land Board, and
the Eagle Valley Land Trust, in a series of land exchanges that will permanently protect
2,140 acres of public lands.
Status: The land acquisition closed on May 9th, 2013.
Budget: 2012 $29,371
2013 $1,001,800
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 11
2013 Nottingham Park Capital Improvements 2013 Program
Description: The scope of these improvements in the park includes upgrading the playground
equipment to meet current standards, resurfacing the tennis courts and replacing some
park benches.
Budget: 2013: $42,123
Nottingham Park – Zone C Improvements - Playground
Description: This project will replace the existing playground equipment with a new facility in its current
location. The Park Master Plan recommended moving the playground to the current
location of the restrooms. The location is recommended to be changed due to funding
constraints. The new playground will be designed in 2014 for construction in 2016. Staff
will seek out grant opportunities in 2015 to assist with funding the playground.
Budget: 2014 $50,000
2016 $500,000
Nottingham Park – Remodel Restrooms
Description: The existing restrooms are due for a remodel because of their location in the park and the
on-going vandalism that occurs in the facility. The remodel will incorporate vandalism
resistant fixtures and security features.
Budget: 2017 $275,000
Nottingham Park Athletic Field Drainage Improvements ($14,000 from Water Fund)
Description: Drainage improvements corrected the low level of the southwestern portion of the
athletic field.
Budget: 2014 $70,000
Nottingham Park – Athletic Field Replacement
Description: The replacement of the 15-year old turf is also overdue. Most sand based athletic fields
have a life span of 10-15 years under normal wear and tear and with yearly maintenance
(aeration, fertilizing, top-dressing and over-seeding). Due to wear and tear from events
such as Lacrosse, Soccer, Pond Hockey, Snowball, etc., the turf has been replaced in
sections causing thin spots which have an impact on athletic play as well as overall
aesthetics. Also, athletic field technology has advanced in the last 15 years to the point
that sand based fields are no longer recommended. The new standard is for a sand/soil
hybrid which better stands up to use.
Budget: 2017 $350,000
Roads, Streetscape, and Trails
Avon Road Streetscape Update
Description: The landscaping and streetscape was installed in 1998 and is showing signs of wear. Also,
some of the landscaping is not compatible with the high traffic environment and needs to
be replaced with hardier species. The project will repair and update the streetscape and
modify the landscaping plan to include drought tolerant species that are compatible with a
high traffic environment.
Budget: 2014 $184,000
2015 $300,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 12
Avon Road Streetlights
Description: The streetlights along Avon Road are depreciated and not energy efficient. The project will
repair and update the streetlights.
Budget: 2014 $200,000
Avon Road/Railroad Bridge Façade Update
Description: The railroad bridge over Avon Road has a façade that is owned by the Town of Avon. The
design and color scheme has not changed since the bridge was constructed in 1994. The
project updated the color scheme, repaired damage and added design features to update
the aesthetic look. This project is a priority for the 2015 World Cup Ski Championships.
Status: The project was completed in 2013.
Budget: 2013 $104,295
Post Boulevard Landscaping Improvements
Description: The landscaping and streetscape along Post Boulevard is now maintained by the Town of
Avon. The project will upgrade the landscaping along Post Boulevard as in recent past
there was a lack of maintenance by Traer Creek. This project is a priority for the 2015 World
Cup Ski Championships.
Budget: 2014 $368,000
Post Boulevard Electrical Assessment and Street Lights
Description: The streetlights along Post Boulevard are showing signs of wear and some do not work.
The project includes an electrical assessment and will repair and update the streetlights.
Budget: 2014 $78,000
Roundabout #4 TCW Feature
Description: Construct a temporary 2015 AWSC monument for the 2015 World Ski Championships. This
will be constructed at Roundabout #4 along Avon Road.
Budget: 2014 $60,000
Avon Road/I-70 Interchange Pedestrian Improvements
Description: The pedestrian experience along Avon Road underneath I-70 is important because it
connects the Nottingham Road trail, Swift Gulch Road trail and the Nottingham Road
neighborhood with the Town Core. It has poor connectivity, light poles in the way, and
winter icing issues. The project will widen the path to the west separating it from traffic,
replace the lighting and improve the safety in the area.
Budget: 2016 $ 100,000
Metcalf Road Retaining Wall Stabilization
Description: The sandstone cliff above Metcalf Road just prior to the upper switchback was not
stabilized during its original construction. The cliff is made up of loose sandstone that is
steadily eroding and causing the lot immediately above to gradually erode toward the
existing structure’s foundations. This project will install a retaining wall to prevent further
erosion of the steep slope.
Status: The condition of the slope does not present an immediate concern. Therefore, the design
and construction of the project has been budgeted for 2017.
Budget: 2017 $ 100,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 13
Roundabout #4 TCW Art Element
Description: This central roundabout requires a distinctive monument to identify the Avon core. A
specialized piece will be designed and constructed by not later than June, 2016.
Budget: 2016 $250,000
2014 Pedestrian Mall Improvements in West Town Center
Description: The project scope begins at the roundabout intersection of West Benchmark Road
and Avon Road, extending west past the ‘old’ transit stop and thereafter follows the
existing pedestrian mall to the Prater Lane Day Care at intersection with Benchmark
Road. Lettuce Shed Lane, between the Seasons and Lot 61 is also included in the
study area. The project goals are to enhance the overall pedestrian experience of the
mall, by improving landscape, paving, site furnishings, signage, and lighting and
establish better spatial relationships with surrounding properties including office and
residential buildings, restaurants, shops, businesses, civic services and parking lots.
The overarching goal is to elevate the setting, image and appeal of Town Center by
and establishing a more successful pedestrian connection between Avon Road with
the civic area of town to west, which includes Nottingham Park, the Recreation
Center, and Library.
Budget: 2014 $1,970,000
Annual Paving/Road Improvements
Description: The Town’s annual street resurfacing and pavement maintenance program generally
consists of asphalt overlays, slurry seals and related surface treatments such as curb and
gutter, storm drainage repair, ADA Ramp updates and guardrail replacement or
adjustment. New to this program is the addition of slurry seals to residential roads and
rural roads in the Town. The slurry seals will extend the life of the asphalt by 4 to 5 years
and is used in neighboring communities, including Vail and Eagle. The cost-benefit is
significant because slurry seals cost 10% of what a road overlay costs resulting in a 2.5
return on investment. The slurry seal extends the life by preventing moisture from
entering the road structure and reducing deterioration of the asphalt by ultra-violet
radiation. The goal of the program is to start a 5-year slurry seal rotation and 20-year
rebuild rotation for the roads. The paving locations are determined annually based on the
Asphalt Paving Association rating system. The 2014 COP issue of $3,800,000 provided
funding for the first three years of improvements.
Budget: 2014 $763,760
2015 $2,081,679
2016 $998,378
2017 $626,143
2018 $500,000
2019 $250,000
U.S. Hwy. 6 Shoulder Widening
Description: Contribution to CDOT to widen the shoulders along Hwy. 6 near Avon. This a partnership
with CDOT, Eagle County, Edwards Community Authority, and Edwards Metro District to
widen the shoulders to at least 4 feet to improve bicyclist safety.
Budget: 2014 $50,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 14
Buck Creek Road bridge approach slabs
Description: Replace the existing approach slabs of the lower bridge with a different slab to prevent
the excessive heaving. The slab heaving creates a drivability issue and makes
snowplowing difficult.
Budget: 2016 $95,000
B/C Blvd. Bike Lanes
Description: Design and construct bike lanes along Beaver Creek Boulevard to enhance sustainability
and promote a bike-friendly culture in the Town of Avon. The design and construction of
the project was budgeted for 2014, but now is included in the 2015 street improvement
program.
Metcalf Road Bike Climbing Lane – Phase 2
Description: Complete the construction of a bike climb lane along Metcalf Road to enhance
sustainability and promote a bike-friendly culture in the Town of Avon. Phase 1 is planned
in the 2015 street improvements. The design and construction of the project has been
budgeted for 2019.
Budget: 2019 $700,000
Eagle Valley Trails Phase 1 (GOCO Grant Funded)
Description: Project included construction of a pedestrian/bike bridge over the Eagle River and trail
from Hurd Lane to Avon Road.
Budget: 2014 $561,000
Eagle Valley Trails Phase 2 (ECO Funded)
Description: With ECO Trail funding, the regional trail was extended from Avon Road across Beaver
Creek.
Budget: 2014 $522,000
Eagle Valley Trails Phase 3 – Avon Road to Stonebridge (CDOT Funded)
Description: The final phase of the trail will be completed in 2016. CDOT grant funds will provide
$1,350,000 of the project costs.
Budget: 2014 $50,000
2016 $2,900,000
Beaver Creek Overlook Trail Improvements
Description: This project includes adding 6 stall parking lot across the street from Town owned
property to alleviate neighborhood impacts of the trailhead. The project is included with
the 2013 Street Improvement program.
Budget: 2013 $30,000
West Avon Preserve Trail Improvements
Description: This project will provide for six plus miles of new multi-trails in the West Avon Preserve.
Expenditures include signage, land acquisition and construction costs.
Budget: 2014 $157,600
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 15
West Avon Preserve Access Improvements
Description: This project will provide for several on-street parking spaces. No funding is needed to
meet the objectives.
Nottingham Trail-Buck Creek Trail Connector
Description: This spur trail will connect the existing Nottingham Road Bike Path to the Buck Creek
Road/Nottingham Road intersection. The scope includes a paved trail from path to
Nottingham Road, pedestrian improvements at the intersection, and pedestrian
improvements from the intersection to the Buck Creek Trailhead. A portion of this scope
was originally proposed as part of the postponed Nottingham Road improvement project.
Status: This project is scheduled for implementation in 2017 and is dependent on available funding.
Budget: 2017 $50,000
Buck Creek Trail Improvements
Description: Construction of a gravel surface trail on the east side of Buck Creek from Swift Gulch Road
north to the existing Buck Creek trailhead. The easement for this project was dedicated to
the Town as part of the Buck Creek PUD.
Budget: 2018 $150,000
Water
Nottingham Park Lake Liner Replacement
Description: Benchmark Lake was constructed in 1978 with a PVC liner that has an expected 15 year life
span. The liner has not been replaced since it was originally installed and has deteriorated
to the point where it leaks approximately 2 to 3 cfs of water. The liner will be replaced
with a more durable liner material and accumulated sediment. Also, several other
improvements are planned for the lake including improving the beach area, grading a
shallow area for figure skating, replacement of irrigation intake structure, cleaning the
sediment pond and replacing several inlet pipes.
Status: Construction was completed in 2014.
Budget: 2012 $50,000
2013 $1,300,000
2014 $139,500
Pump House Pump Replacement
Description: The Nottingham Park Irrigation Pump-house needs several improvements that will help
improve efficiency and extend pump life. Currently, the pumps are not the same size.
Upsizing the smaller pump to match the primary pump will allow the pumps to alternate
on a weekly basis, which will extend the life of both pumps by more evenly matching
working hours. The addition of new pump monitors (i.e., low flow alarms, high flow or
break alarms, and a flow meter) will help to conserve water by allowing the irrigation
system to monitor watering use and adjust flow based on local weather data and type of
landscaping. A VFD drive will lessen the impacts of the startup process by slowly bring the
systems flow and pressure online based on demand, thus reducing breaks and damage to
the system.
Budget: 2014 $100,000
2016 $100,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 16
Communications and Technology
UHF Radio System and Repeater
Description: The Town currently uses Sprint / Nextel push to talk technology to communicate among
departments without the need to place a cell phone call when they need to talk to another
employee. This technology is changing in the summer of 2013 and our testing to date has
not proven to be a satisfactory communication solution for the departments. The affected
groups are recreation special events, police department, parks, fleet and public works.
The Town owns a private UHF radio band that can be accessed via an antenna being
placed within the Town. Each department would need to purchase radios so they would
have the necessary number to cover shifts and special events. The Nextel / Sprint push to
talk phones that are used only for that function would go away, saving the Town an
estimated $8,900 per year in cell phone costs. Once the radios are purchased and the
tower and antenna are installed, there are no monthly fees associated with operation of
the radio system.
Status: This is a budget estimate based on one quote the Town has received to date. A full project
RPF will be performed early in 2013 to have this completed before the Nextel / Sprint
system is changed over in the summer.
Budget: 2013 $32,380
Enterprise-wide Security Camera System Upgrade
Description: Upgrade of the existing security camera system in the Recreation Center, as well as an
upgrade to the existing system in the Police Department. This will create one central
system that can be used in the Municipal Building, the Recreation Center and the Cabin.
Other locations can be added to this system in the future. Many of the cameras in the
Recreation Center are not operational and they are all very old technology and poor
quality. This would include adding a few more cameras throughout the Municipal Building
as well as replacing all existing cameras in the Recreation Center and the Cabin with new
Ethernet networked cameras that can be viewed from any Town of Avon network
computer. This new system will also provide the Town with video data capture for up to
30 days at a time for historical purposes
Status: This will allow the Town to have a centralized security camera system that the Town of
Avon Police Department is already trained and familiar with the operation and use of.
Budget: 2013 $30,515
Digital Ticketing
Description: Currently all tickets issued by the police department are manually written out by the officer
at the time the ticket is issued. The ticket is then manually entered into the Intergraph
system that the police department uses for ticket tracking purposes. The ticket is then
also manually entered into the Sleuth court system so the ticket can be tracked in the Avon
Municipal Court application. An electronic ticketing solution would allow officers to scan
the driver’s license and all of that data would be captured electronically to a handheld
device. The officer can complete the ticket on the device, print out a hard copy to give to
the citizen and they are done. The electronic information can then be downloaded from
the hand held device and automatically interfaced to the Integraph and Sleuth Court
system which would eliminate all of the duplication of effort that exists today in both
systems.
Status: This project is scheduled for a 2014 installation
Budget: 2014 $60,000
CAPITAL PROJECT DESCRIPTIONS
_____________________________________________________________________________________________________________________________________________________________________________________
Section III, Page 17
Paperless Packets
Description: Laserfiche system acquired.
Budget: 2013 $22,441
City Vision Budget Software
Description: City Vision is an affordably priced integrated budgeting, analysis and reporting solution
that streamlines and simplifies the overall budgeting process.
Budget: 2014 $40,000
Timekeeping Software and Peripheral Devices
Description: The timekeeping software assists in monitoring employee time and attendance, control
labor costs, help minimize compliance risks and improve workforce productivity through
data collection.
Budget: 2014 $35,000
Strategic Planning
Feasibility Study – Town Center West Lot B and C
Description: Hire a consultant to examine the feasibility of using tax increment financing and other
government subsidies to stimulate the development of Lot B and C, Avon Center.
Budget: 2013 $3,500
Recreation Center Expansion: Exhibits and Display
Description: Provided funding for preparation of information for potential Recreation Center
expansion.
Budget: 2014 $5,000
Section III, Page 18
Capital Expenditures by Funding Source
2015 2016 2017 2018 2019 Total
FUNDING SOURCES
Real Estate Transfer Tax 3,825,312$ 3,318,080$ 3,190,368$ 2,000,000$ 2,000,000$ 14,333,760$
Interest Earnings 3,741 13,372 10,460 16,388 19,675 63,636
Intergovernmental 30,000 1,605,000 - - - 1,635,000
Transfers and Fund Balances 120,000 320,000 120,000 120,000 120,000 800,000
TOTAL 3,979,053$ 5,256,452$ 3,320,828$ 2,136,388$ 2,139,675$ 16,832,396$
CAPITAL COST BY CATEGORY
Roads and Streets 2,381,679$ 4,343,378$ 776,143$ 650,000$ 950,000$ 9,101,200$
Facilities and Land Improvements 2,705,000 580,000 625,000 75,000 300,000 4,285,000
Communications and Technology - - - - - -
Utilities and Water Fund Projects - 100,000 - - - 100,000
Strategic Planning - - - - - -
Capital Leases 121,265 121,265 121,265 121,265 94,986 580,046
Tranfers Out 2,346,822 1,181,552 1,179,125 1,187,970 1,191,826 7,087,294
TOTAL 7,554,766$ 6,326,195$ 2,701,533$ 2,034,235$ 2,536,812$ 21,153,540$
Real Estate Transfer
Tax
85.16%
Interest Earnings
0.38%
Intergovernmental
9.71%
Transfers and Fund
Balances
4.75%
2015-2019 Funding Sources
Roads and Streets
43.02%
Facilities and Land
Improvements
20.26%
Communications
and Technology
0.00%
Utilities and
Water Fund
Projects
0.47%
Strategic Planning
0.00%
Capital
Leases
2.74%
Tranfers Out
33.50%
2015-2019 Capital Costs by Category
TOWN OF AVON
Capital Projects Fund #41
Section IV, Page A-1
Fund: General
Dept: General Government
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 637,837$ 729,551$ 709,394$ 766,636$ 782,490$
Commodities 3,756 5,360 7,800 4,880 4,830
Contract Services 300,004 218,230 214,630 233,304 203,604
Other Operating Costs 78,974 454,211 454,861 83,158 104,653
Capital Outlay 1,528 - - 8,400 2,750
Total 1,022,099$ 1,407,352$ 1,386,685$ 1,096,378$ 1,098,327$
Department Expenditures by Program
Mayor and Town Council 194,852$ 578,920$ 574,520$ 233,000$ 211,917$
Boards and Commissions 13,016 15,299 15,299 15,299 15,299
Town Attorney 243,784 155,000 155,000 155,000 130,000
Municipal Court 116,179 98,234 96,234 99,349 103,607
Town Manager 260,448 294,403 269,358 349,041 365,759
Town Clerk 97,903 153,927 157,905 111,612 117,575
Community Relations 95,917 111,569 118,369 133,077 154,170
Total 1,022,099$ 1,407,352$ 1,386,685$ 1,096,378$ 1,098,327$
Authorized Positions
Town Manager 1 1 1 1 1
Asst. Town Manager/Dir. Admin. Services 1 1 0 0 0
Town Attorney 1 1 1 1 1
Town Clerk/Court Clerk 1 1 1 1 1
Records Administrator / Deputy Town Clerk 0 0 1 1 1
Executive Assistant to the Town Manager 0 0 1 1 1
Community Relations Officer 0.75 0.75 0.75 0.75 0.75
Total 4.75 4.75 5.75 5.75 5.75
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The General Government Department includes the Mayor/Council budget plus the direct appointees
of the Council, including the Town Manager, Town Attorney, Municipal Judge, Prosecutor and
Planning and Zoning Commission. Duties of the Town Clerk's office are included in the Department,
as well as Human Resources expenditures.
The Town Manager is the Chief Executive and Administrative Officer for the Town of Avon and oversees all
operations and activities of the Town. The expenditures for the Town Manager are accounted for entirely in
General Government and not dispersed proportionately among departments and funds. The Assistant Town
Manager position also serves as the Finance Director. All expenses for this administrative role is accounted
for in the Finance Department.
Section IV, Page A-2
Fund: General
Dept: General Government Budget Summary
2. Continued training and implementation of Laserfiche, the Town's electronic records management system.
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:34,616$
Total Activity Cost:233,000$
Performance Metrics:Internal Survey
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:2,000$
Total Activity Cost: $ 15,299
Performance Metrics:Internal Survey
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:$25,075
Total Activity Cost: $ 99,349
Performance Metrics: Community Survey
Estimated Personnel Time:Contract Services
Estimated Nonpersonnel Costs:NA
Total Activity Cost: $ 155,000
Performance Metrics:Internal Survey
Community Survey
1. Implementation of the 2013-14 Town of Avon Strategic Plan; and development of 2015-16 Strategic Plan,
includng construction of two-year operational budgets.
2014 MAJOR ACCOMPLISHMENTS
4. Development of Recreational Marijuana Council Report; Recreation Center Expansion Analysis Report
for the Acquisition of the Skier Building.
3. Negotiations and finalization of the Traer Creek Settlement and the ERWA Master Water Agreement
Amendment.
PROGRAM ACTIVITIES AND OPERATIONS
Town Council: The Town Council elects the Mayor, and together the elected officials serve as
the legislative body for the Town, setting policy and adopting and updating the Municipal Code,
as needed. Contributions to outside agencies and economic development investments, which
are provided funding to other agencies, are approved by the Town Council.
Planning & Zoning Commission: A seven (7) person board, the Commission implements as
authorized the land use code regulations and leads long-range planning.
Municipal Court: Avon’s Home Rule Charter Section 10.2 establishes the Municipal Court
that has “exclusive original jurisdiction of all causes arising under the ordinances of the town
as may be conferred by law”. The Town Council appoints the Town Prosecutor and the
Municipal Judge, who presides over the Court to hear violations of the Town of Avon
Town Attorney: The Town Attorney, appointed by the Town Council and is a contracted
positions. The Attorney serves as the legal representative of the Town, advising the Town
Section IV, Page A-3
Fund: General
Dept: General Government Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:$13,019
Total Activity Cost: $ 349,041
Performance Metrics:Internal Survey
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:$14,364
Total Activity Cost: $ 111,612
Performance Metrics:
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:$85,668
Total Activity Cost: $ 133,077
Performance Metrics:
Community Survey
Internal Survey
Internal Survey
Town Manager: Appointed by the Council and serving as the Chief Executive and Administrative Officer, the
Manager, in addition to general administrative responsibilities, is tasked with enforcing the laws and
ordinances of the Town, oversight of all Town personnel, the preparation and implementation of the annual
budget, attending Council meetings and participating in discussions with the Council in an advisory capacity,
and establishing a system of accounting and auditing for the Town.
Town Clerk: The Town Clerk’s office is responsible for maintaining the Town’s official records and the
minutes of all meetings, as well as providing notifications to the public per the Town’s Charter. The office is
responsible for the administration of municipal elections and for the administration of business and liquor
licenses. The Clerk’s office also responds to citizen inquiries concerning Town legislation and public records
requests.
Community Relations: The Community Relations office plays a primary role in communicating with the
Town of Avon residents through the accurate and consistent flow of public information and promotion of
special events to the media and the Town’s various constituencies.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61102 Regular Part-time Salaries 0 51,000 51,000 51,706 51,274
61121 PTS Wages 51,000 0 0 0 0
61207 Telephone Allowance 480 480 480 480 480
61302 PTS Pension 1,913 1,912 1,912 1,939 1,923
61401 FICA/Medicare 282 746 746 757 750
61501 Group Health and Life Insu 110,068 118,396 118,396 131,289 118,396
61507 Dental Insurance 10,723 10,724 10,724 11,954 10,724
61509 Worker's Compensation 97 103 103 105 104
61510 Unemployment Insurance 153 153 153 155 154
61000 Personnel Services 174,716 183,515 183,515 198,384 183,806
62801 Employee Recognition Exp 0 1,000 500 500 500
62000 Commodities 0 1,000 500 500 500
63203 Printing and Reproduction 302 300 300 300 300
63303 Photography Services 0 1,500 300 300 1,000
63999 Other Purchased and Cont 1,800 1,800 0 12,500 7,500
63000 Purchased and Contract 2,102 3,600 600 13,100 8,800
64101 Travel and Conference 300 300 300 2,800 2,300
64102 Dues, Licenses and Memb 14,799 14,260 14,260 14,416 14,511
64104 Meeting Expenses 2,096 2,000 1,100 2,000 2,000
64902 Financial Support, Donatio 0 87,350 87,350 0 0
64903 Economic Development C 0 286,895 286,895 0 0
64000 Other Operating Costs 17,195 390,805 389,905 19,216 18,811
66402 Computers and Peripheral 839 0 0 1,800 0
66000 Capital Outlay 839 0 0 1,800 0
60000T Total Expenditures & O 194,852 578,920 574,520 233,000 211,917
Section IV, Page A - 4
111 Mayor and Town Council Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61102 Regular Part-time Salaries 0 51,000 51,000 51,706 51,274
61121 PTS Wages 51,000 0 0 0 0
61207 Telephone Allowance 480 480 480 480 480
61302 PTS Pension 1,913 1,912 1,912 1,939 1,923
61401 FICA/Medicare 282 746 746 757 750
61501 Group Health and Life Insu 110,068 118,396 118,396 131,289 118,396
61507 Dental Insurance 10,723 10,724 10,724 11,954 10,724
61509 Worker's Compensation 97 103 103 105 104
61510 Unemployment Insurance 153 153 153 155 154
61000 Personnel Services 174,716 183,515 183,515 198,384 183,806
62801 Employee Recognition Exp 0 1,000 500 500 500
62000 Commodities 0 1,000 500 500 500
63203 Printing and Reproduction 302 300 300 300 300
[Entity] Budget Detail Desc.Note Total
[111] Miscellaneous Printing and Brochures 300
Total 300
63303 Photography Services 0 1,500 300 300 1,000
[Entity] Budget Detail Desc.Note Total
[111] Town Council Photos 300
Total 300
63999 Other Purchased and Cont 1,800 1,800 0 12,500 7,500
[Entity] Budget Detail Desc.Note Total
[111] Council Leadership Training 10,000
[111] Community Picnic - Summer 2015 2,500
Total 12,500
63000 Purchased and Contract 2,102 3,600 600 13,100 8,800
64101 Travel and Conference 300 300 300 2,800 2,300
[Entity] Budget Detail Desc.Note Total
[111] CML New Council & Misc.Training 2,100
[111] CML Policy Committee 400
[111] CAST Meetings 300
Total 2,800
64102 Dues, Licenses and Memb 14,799 14,260 14,260 14,416 14,511
[Entity] Budget Detail Desc.Note Total
[111] I-70 Coalition 3,491
[111] CAST 2,310
[111] CML 8,615
Section IV, Page A - 5
111 Mayor and Town Council Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
Total 14,416
64104 Meeting Expenses 2,096 2,000 1,100 2,000 2,000
[Entity] Budget Detail Desc.Note Total
[111] Town Council Retreats 2,000
Total 2,000
64902 Financial Support, Donatio 0 87,350 87,350 0 0
64903 Economic Development C 0 286,895 286,895 0 0
64000 Other Operating Costs 17,195 390,805 389,905 19,216 18,811
66402 Computers and Peripheral 839 0 0 1,800 0
[Entity] Budget Detail Desc.Note Total
[111] Laptop Replacement - Council Chambers 1,800
Total 1,800
66000 Capital Outlay 839 0 0 1,800 0
60000T Total Expenditures & O 194,852 578,920 574,520 233,000 211,917
Section IV, Page A - 6
111 Mayor and Town Council Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61121 PTS Wages 10,500 12,600 12,600 12,600 12,600
61302 PTS Pension 394 473 473 473 473
61401 FICA/Medicare 158 183 183 183 183
61509 Worker's Compensation 5 6 6 6 6
61510 Unemployment Insurance 32 38 38 38 38
61000 Personnel Services 11,089 13,299 13,299 13,299 13,299
64104 Meeting Expenses 1,928 2,000 2,000 2,000 2,000
64000 Other Operating Costs 1,928 2,000 2,000 2,000 2,000
60000T Total Expenditures & O 13,016 15,299 15,299 15,299 15,299
Section IV, Page A - 7
112 Boards and Commissions Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61121 PTS Wages 10,500 12,600 12,600 12,600 12,600
61302 PTS Pension 394 473 473 473 473
61401 FICA/Medicare 158 183 183 183 183
61509 Worker's Compensation 5 6 6 6 6
61510 Unemployment Insurance 32 38 38 38 38
61000 Personnel Services 11,089 13,299 13,299 13,299 13,299
64104 Meeting Expenses 1,928 2,000 2,000 2,000 2,000
[Entity] Budget Detail Desc.Note Total
[112] PZC Meels Based on 24 Meetings 2,000
Total 2,000
64000 Other Operating Costs 1,928 2,000 2,000 2,000 2,000
60000T Total Expenditures & O 13,016 15,299 15,299 15,299 15,299
Section IV, Page A - 8
112 Boards and Commissions Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63101 Legal Services 243,784 155,000 155,000 155,000 130,000
63000 Purchased and Contract 243,784 155,000 155,000 155,000 130,000
60000T Total Expenditures & O 243,784 155,000 155,000 155,000 130,000
Section IV, Page A - 9
113 Town Attorney Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63101 Legal Services 243,784 155,000 155,000 155,000 130,000
[Entity] Budget Detail Desc.Note Total
[113] Town Attorney General Legal Services 150,000
[113] Other Legal Services 5,000
Total 155,000
63000 Purchased and Contract 243,784 155,000 155,000 155,000 130,000
60000T Total Expenditures & O 243,784 155,000 155,000 155,000 130,000
Section IV, Page A - 10
113 Town Attorney Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 50,427 72,054 72,882 68,144 71,987
61106 Paid out Leave 0 22,080 22,091 653 703
61121 PTS Wages 1,819 0 0 0 0
61122 PTS Bonuses 110 0 0 0 0
61151 Overtime Wages 18 0 0 500 500
61201 Automobile Allowance 1,440 727 727 0 0
61301 FT Pension 5,502 10,355 10,447 7,568 7,996
61302 PTS Pension 69 0 0 0 0
61304 Employee Assistance Prog 10 27 27 30 30
61401 FICA/Medicare 756 1,375 1,388 1,005 1,061
61501 Group Health and Life Insu 8,695 15,327 15,330 16,971 17,877
61505 Long-term Disability Insura 199 491 499 569 594
61507 Dental Insurance 733 1,340 1,340 1,463 1,547
61509 Worker's Compensation 101 146 148 138 146
61510 Unemployment Insurance 157 285 287 208 220
61000 Personnel Services 70,037 124,207 125,165 97,248 102,661
62801 Employee Recognition Exp 0 20 40 40 40
62905 Books and Periodicals 2,208 3,000 6,000 3,000 3,000
62999 Office Supplies and Materi 794 500 500 500 500
62000 Commodities 3,002 3,520 6,540 3,540 3,540
63304 Computer Services and Su 480 480 480 480 480
63504 R&M - Office Equipment a 93 100 100 100 100
63603 Rentals - Office Equipment 0 1,680 1,680 2,874 2,874
63999 Other Purchased and Cont 17,202 17,520 17,520 1,000 1,000
63000 Purchased and Contract 17,774 19,780 19,780 4,454 4,454
64101 Travel and Conference 669 1,000 1,000 1,500 1,500
64102 Dues, Licenses and Memb 170 170 170 170 170
64301 Postage and Delivery 111 100 100 100 100
64302 Recording Fees 483 150 150 200 150
64305 Election and Registration 2,440 2,500 2,500 0 2,500
64901 Advertising and Legal Noti 2,528 2,500 2,500 2,500 2,500
64000 Other Operating Costs 6,401 6,420 6,420 4,470 6,920
66402 Computers and Peripheral 689 0 0 1,900 0
66000 Capital Outlay 689 0 0 1,900 0
60000T Total Expenditures & O 97,903 153,927 157,905 111,612 117,575
Section IV, Page A - 11
115 Town Clerk Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 50,427 72,054 72,882 68,144 71,987
61106 Paid out Leave 0 22,080 22,091 653 703
61121 PTS Wages 1,819 0 0 0 0
61122 PTS Bonuses 110 0 0 0 0
61151 Overtime Wages 18 0 0 500 500
61201 Automobile Allowance 1,440 727 727 0 0
61301 FT Pension 5,502 10,355 10,447 7,568 7,996
61302 PTS Pension 69 0 0 0 0
61304 Employee Assistance Prog 10 27 27 30 30
61401 FICA/Medicare 756 1,375 1,388 1,005 1,061
61501 Group Health and Life Insu 8,695 15,327 15,330 16,971 17,877
61505 Long-term Disability Insura 199 491 499 569 594
61507 Dental Insurance 733 1,340 1,340 1,463 1,547
61509 Worker's Compensation 101 146 148 138 146
61510 Unemployment Insurance 157 285 287 208 220
61000 Personnel Services 70,037 124,207 125,165 97,248 102,661
62801 Employee Recognition Exp 0 20 40 40 40
[Entity] Budget Detail Desc.Note Total
[115] $20 x 2 40
Total 40
62905 Books and Periodicals 2,208 3,000 6,000 3,000 3,000
[Entity] Budget Detail Desc.Note Total
[115] Codification of Ordinances and Records
Retention Codification
3,000
Total 3,000
62999 Office Supplies and Materi 794 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[115] Office Supplies 500
Total 500
62000 Commodities 3,002 3,520 6,540 3,540 3,540
63304 Computer Services and Su 480 480 480 480 480
[Entity] Budget Detail Desc.Note Total
[115] Municipal Code Hosting on Website 480
Total 480
63504 R&M - Office Equipment a 93 100 100 100 100
[Entity] Budget Detail Desc.Note Total
[115] Printer Repairs and Maintenance 100
Total 100
Section IV, Page A - 12
115 Town Clerk Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63603 Rentals - Office Equipment 0 1,680 1,680 2,874 2,874
[Entity] Budget Detail Desc.Note Total
[115] Copier Lease ($239.52 x 12)2,874
Total 2,874
63999 Other Purchased and Cont 17,202 17,520 17,520 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[115] Temp Services 1,000
Total 1,000
63000 Purchased and Contract 17,774 19,780 19,780 4,454 4,454
64101 Travel and Conference 669 1,000 1,000 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[115] CML Clerks Institute - Clerk 2x; Deputy
Clerk 1x Workshops
1,500
Total 1,500
64102 Dues, Licenses and Memb 170 170 170 170 170
[Entity] Budget Detail Desc.Note Total
[115] IIMC and CO Municipal Clerks Assn Dues 170
Total 170
64301 Postage and Delivery 111 100 100 100 100
[Entity] Budget Detail Desc.Note Total
[115] Fed Ex and UPS Charges 100
Total 100
64302 Recording Fees 483 150 150 200 150
[Entity] Budget Detail Desc.Note Total
[115] County Recording Fees 200
Total 200
64305 Election and Registration 2,440 2,500 2,500 0 2,500
64901 Advertising and Legal Noti 2,528 2,500 2,500 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[115] Public Notices 2,500
Total 2,500
64000 Other Operating Costs 6,401 6,420 6,420 4,470 6,920
66402 Computers and Peripheral 689 0 0 1,900 0
Section IV, Page A - 13
115 Town Clerk Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[115] 2 Desktop Replacements @ $950 ea. Town/Court Clerk & Deputy
Town Clerk
1,900
Total 1,900
66000 Capital Outlay 689 0 0 1,900 0
60000T Total Expenditures & O 97,903 153,927 157,905 111,612 117,575
Section IV, Page A - 14
115 Town Clerk Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 47,930 32,993 32,993 32,624 35,256
61102 Regular Part-time Salaries 0 22,256 22,256 23,703 25,170
61106 Paid out Leave 0 289 289 538 576
61121 PTS Wages 21,000 0 0 0 0
61151 Overtime Wages 111 0 0 0 0
61201 Automobile Allowance 360 0 0 0 0
61301 FT Pension 5,239 3,661 3,661 3,648 3,942
61302 PTS Pension 788 835 835 0 0
61304 Employee Assistance Prog 19 14 14 36 36
61401 FICA/Medicare 988 805 805 825 885
61501 Group Health and Life Insu 17,171 11,604 11,604 11,132 11,736
61505 Long-term Disability Insura 380 287 287 464 479
61507 Dental Insurance 1,463 1,067 1,067 1,019 1,077
61509 Worker's Compensation 129 112 112 114 122
61510 Unemployment Insurance 207 167 167 171 183
61000 Personnel Services 95,784 74,089 74,089 74,274 79,462
62801 Employee Recognition Exp 0 20 20 0 20
62999 Office Supplies and Materi 642 500 400 500 500
62000 Commodities 642 520 420 500 520
63101 Legal Services 15,070 18,000 16,500 18,000 18,000
63199 Other Professional Service 0 500 100 500 500
63202 Juror and Witness Fees 0 250 250 250 250
63203 Printing and Reproduction 0 500 500 500 500
63304 Computer Services and Su 1,327 700 700 700 700
63999 Other Purchased and Cont 3,226 3,100 3,100 3,100 3,100
63000 Purchased and Contract 19,623 23,050 21,150 23,050 23,050
64101 Travel and Conference 110 500 500 500 500
64102 Dues, Licenses and Memb 20 75 75 75 75
64000 Other Operating Costs 130 575 575 575 575
66402 Computers and Peripheral 0 0 0 950 0
66000 Capital Outlay 0 0 0 950 0
60000T Total Expenditures & O 116,179 98,234 96,234 99,349 103,607
Section IV, Page A - 15
121 Municipal Court Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 47,930 32,993 32,993 32,624 35,256
61102 Regular Part-time Salaries 0 22,256 22,256 23,703 25,170
61106 Paid out Leave 0 289 289 538 576
61121 PTS Wages 21,000 0 0 0 0
61151 Overtime Wages 111 0 0 0 0
61201 Automobile Allowance 360 0 0 0 0
61301 FT Pension 5,239 3,661 3,661 3,648 3,942
61302 PTS Pension 788 835 835 0 0
61304 Employee Assistance Prog 19 14 14 36 36
61401 FICA/Medicare 988 805 805 825 885
61501 Group Health and Life Insu 17,171 11,604 11,604 11,132 11,736
61505 Long-term Disability Insura 380 287 287 464 479
61507 Dental Insurance 1,463 1,067 1,067 1,019 1,077
61509 Worker's Compensation 129 112 112 114 122
61510 Unemployment Insurance 207 167 167 171 183
61000 Personnel Services 95,784 74,089 74,089 74,274 79,462
62801 Employee Recognition Exp 0 20 20 0 20
62999 Office Supplies and Materi 642 500 400 500 500
[Entity] Budget Detail Desc.Note Total
[121] Supplies Specific to Court 500
Total 500
62000 Commodities 642 520 420 500 520
63101 Legal Services 15,070 18,000 16,500 18,000 18,000
[Entity] Budget Detail Desc.Note Total
[121] Municipal Court Legal Sevices - 18,000
Total 18,000
63199 Other Professional Service 0 500 100 500 500
[Entity] Budget Detail Desc.Note Total
[121] Indigent Attorney Fees 500
Total 500
63202 Juror and Witness Fees 0 250 250 250 250
[Entity] Budget Detail Desc.Note Total
[121] Jury Trial Requests 250
Total 250
63203 Printing and Reproduction 0 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[121] Court Forms 500
Total 500
Section IV, Page A - 16
121 Municipal Court Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63304 Computer Services and Su 1,327 700 700 700 700
[Entity] Budget Detail Desc.Note Total
[121] Sleuth Maintenance 700
Total 700
63999 Other Purchased and Cont 3,226 3,100 3,100 3,100 3,100
[Entity] Budget Detail Desc.Note Total
[121] Translation 13 days X $200/day + $500
Archives, Miscellaneous Services
3,100
Total 3,100
63000 Purchased and Contract 19,623 23,050 21,150 23,050 23,050
64101 Travel and Conference 110 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[121] CAMCA 500
Total 500
64102 Dues, Licenses and Memb 20 75 75 75 75
[Entity] Budget Detail Desc.Note Total
[121] Colorado Assn of Municipal Court Clerks 75
Total 75
64000 Other Operating Costs 130 575 575 575 575
66402 Computers and Peripheral 0 0 0 950 0
[Entity] Budget Detail Desc.Note Total
[121] Desktop Replacement - Front Window 950
Total 950
66000 Capital Outlay 0 0 0 950 0
60000T Total Expenditures & O 116,179 98,234 96,234 99,349 103,607
Section IV, Page A - 17
121 Municipal Court Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 180,750 192,022 181,835 243,549 255,742
61106 Paid out Leave 4,212 2,121 2,124 2,333 2,473
61201 Automobile Allowance 15,000 12,000 12,000 12,166 12,065
61204 Moving Expenses 0 12,000 6,093 0 0
61301 FT Pension 20,346 21,356 20,236 27,047 28,404
61304 Employee Assistance Prog 30 42 38 55 54
61401 FICA/Medicare 2,240 2,989 2,841 3,742 3,919
61501 Group Health and Life Insu 24,930 33,077 29,761 39,233 41,334
61505 Long-term Disability Insura 662 854 773 1,101 1,109
61507 Dental Insurance 2,091 2,984 2,679 3,356 3,550
61509 Worker's Compensation 3,982 2,429 2,409 2,665 2,780
61510 Unemployment Insurance 838 618 588 774 811
61000 Personnel Services 255,081 282,492 261,377 336,022 352,240
62801 Employee Recognition Exp 0 0 20 20 20
62999 Office Supplies and Materi 62 100 100 200 150
62000 Commodities 62 100 120 220 170
63999 Other Purchased and Cont 781 2,500 1,500 1,000 1,300
63000 Purchased and Contract 781 2,500 1,500 1,000 1,300
64101 Travel and Conference 1,065 3,000 2,100 2,850 1,800
64102 Dues, Licenses and Memb 1,144 1,000 0 1,200 1,000
64104 Meeting Expenses 501 3,000 2,000 2,000 2,500
64206 Cellular and Paging 1,352 2,000 2,000 699 699
64301 Postage and Delivery 0 100 50 100 100
64402 Equipment Replacement C 462 211 211 0 0
64902 Financial Support, Donatio 0 0 0 3,000 3,200
64000 Other Operating Costs 4,523 9,311 6,361 9,849 9,299
66402 Computers and Peripheral 0 0 0 1,950 2,750
66000 Capital Outlay 0 0 0 1,950 2,750
60000T Total Expenditures & O 260,448 294,403 269,358 349,041 365,759
Section IV, Page A - 18
131 Town Manager Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 180,750 192,022 181,835 243,549 255,742
61106 Paid out Leave 4,212 2,121 2,124 2,333 2,473
61201 Automobile Allowance 15,000 12,000 12,000 12,166 12,065
61204 Moving Expenses 0 12,000 6,093 0 0
61301 FT Pension 20,346 21,356 20,236 27,047 28,404
61304 Employee Assistance Prog 30 42 38 55 54
61401 FICA/Medicare 2,240 2,989 2,841 3,742 3,919
61501 Group Health and Life Insu 24,930 33,077 29,761 39,233 41,334
61505 Long-term Disability Insura 662 854 773 1,101 1,109
61507 Dental Insurance 2,091 2,984 2,679 3,356 3,550
61509 Worker's Compensation 3,982 2,429 2,409 2,665 2,780
61510 Unemployment Insurance 838 618 588 774 811
61000 Personnel Services 255,081 282,492 261,377 336,022 352,240
62801 Employee Recognition Exp 0 0 20 20 20
62999 Office Supplies and Materi 62 100 100 200 150
[Entity] Budget Detail Desc.Note Total
[131] Pens & General Supplies 100
[131] Desk Lamp 100
Total 200
62000 Commodities 62 100 120 220 170
63999 Other Purchased and Cont 781 2,500 1,500 1,000 1,300
[Entity] Budget Detail Desc.Note Total
[131] Professional Services 1,000
Total 1,000
63000 Purchased and Contract 781 2,500 1,500 1,000 1,300
64101 Travel and Conference 1,065 3,000 2,100 2,850 1,800
[Entity] Budget Detail Desc.Note Total
[131] CAST 1,150
[131] CML Annual Conf. - Vail Two (2) Conference Fees & 900
[131] ICMA Annual Conference 800
Total 2,850
64102 Dues, Licenses and Memb 1,144 1,000 0 1,200 1,000
[Entity] Budget Detail Desc.Note Total
[131] ICMA 1,200
Total 1,200
Section IV, Page A - 19
131 Town Manager Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64104 Meeting Expenses 501 3,000 2,000 2,000 2,500
[Entity] Budget Detail Desc.Note Total
[131] City Business Expenses 2,000
Total 2,000
64206 Cellular and Paging 1,352 2,000 2,000 699 699
[Entity] Budget Detail Desc.Note Total
[131] $58.28 x 12 months 699
Total 699
64301 Postage and Delivery 0 100 50 100 100
[Entity] Budget Detail Desc.Note Total
[131] Overnight Service 100
Total 100
64402 Equipment Replacement C 462 211 211 0 0
64902 Financial Support, Donatio 0 0 0 3,000 3,200
[Entity] Budget Detail Desc.Note Total
[131] Contingency Fund 3,000
Total 3,000
64000 Other Operating Costs 4,523 9,311 6,361 9,849 9,299
66402 Computers and Peripheral 0 0 0 1,950 2,750
[Entity] Budget Detail Desc.Note Total
[131] Tablets (2) & Keyboards (2)1,000
[131] Desktop Replacement - Executive Asst to
Town Manager
950
Total 1,950
66000 Capital Outlay 0 0 0 1,950 2,750
60000T Total Expenditures & O 260,448 294,403 269,358 349,041 365,759
Section IV, Page A - 20
131 Town Manager Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 3,383 3,383 0 0
61106 Paid out Leave 0 2,864 2,864 0 0
61121 PTS Wages 28,795 41,168 41,168 44,850 48,269
61122 PTS Bonuses 658 709 709 0 0
61201 Automobile Allowance 0 97 97 0 0
61301 FT Pension 0 687 687 0 0
61302 PTS Pension 1,089 1,544 1,544 1,682 1,810
61304 Employee Assistance Prog 0 1 1 0 0
61401 FICA/Medicare 444 699 699 650 700
61501 Group Health and Life Insu 0 504 504 0 0
61505 Long-term Disability Insura 0 12 12 0 0
61507 Dental Insurance 0 46 46 0 0
61509 Worker's Compensation 56 90 90 92 98
61510 Unemployment Insurance 89 145 145 135 145
61000 Personnel Services 31,130 51,949 51,949 47,409 51,022
62801 Employee Recognition Exp 0 20 20 20 0
62999 Office Supplies and Materi 50 200 200 100 100
62000 Commodities 50 220 220 120 100
63203 Printing and Reproduction 2,512 2,300 600 200 1,000
63999 Other Purchased and Cont 13,428 12,000 16,000 36,500 35,000
63000 Purchased and Contract 15,940 14,300 16,600 36,700 36,000
64101 Travel and Conference 0 400 300 200 200
64206 Cellular and Paging 376 400 400 198 198
64301 Postage and Delivery 1,955 1,300 300 50 50
64901 Advertising and Legal Noti 0 0 0 8,000 8,000
64904 Operating Fees, Assessm 46,467 43,000 48,600 38,600 58,600
64000 Other Operating Costs 48,797 45,100 49,600 47,048 67,048
66402 Computers and Peripheral 0 0 0 1,800 0
66000 Capital Outlay 0 0 0 1,800 0
60000T Total Expenditures & O 95,917 111,569 118,369 133,077 154,170
Section IV, Page A - 21
133 Community Relations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 3,383 3,383 0 0
61106 Paid out Leave 0 2,864 2,864 0 0
61121 PTS Wages 28,795 41,168 41,168 44,850 48,269
[Entity] Budget Detail Desc.Note Total
[133] $34.50/hr x 25 hrs x 52 weeks 44,850
Total 44,850
61122 PTS Bonuses 658 709 709 0 0
61201 Automobile Allowance 0 97 97 0 0
61301 FT Pension 0 687 687 0 0
61302 PTS Pension 1,089 1,544 1,544 1,682 1,810
61304 Employee Assistance Prog 0 1 1 0 0
61401 FICA/Medicare 444 699 699 650 700
61501 Group Health and Life Insu 0 504 504 0 0
61505 Long-term Disability Insura 0 12 12 0 0
61507 Dental Insurance 0 46 46 0 0
61509 Worker's Compensation 56 90 90 92 98
61510 Unemployment Insurance 89 145 145 135 145
61000 Personnel Services 31,130 51,949 51,949 47,409 51,022
62801 Employee Recognition Exp 0 20 20 20 0
[Entity] Budget Detail Desc.Note Total
[133] $20 x 1 employee 20
Total 20
62999 Office Supplies and Materi 50 200 200 100 100
[Entity] Budget Detail Desc.Note Total
[133] General Office Supplies 100
Total 100
62000 Commodities 50 220 220 120 100
63203 Printing and Reproduction 2,512 2,300 600 200 1,000
[Entity] Budget Detail Desc.Note Total
[133] Printing Costs 200
Total 200
63999 Other Purchased and Cont 13,428 12,000 16,000 36,500 35,000
[Entity] Budget Detail Desc.Note Total
[133] Website Hosting Fee 13,500
[133] Maintenance & Upgrades 5,000
[133] Community Survey 18,000
Total 36,500
Section IV, Page A - 22
133 Community Relations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63000 Purchased and Contract 15,940 14,300 16,600 36,700 36,000
64101 Travel and Conference 0 400 300 200 200
[Entity] Budget Detail Desc.Note Total
[133] Travel & Conference 200
Total 200
64206 Cellular and Paging 376 400 400 198 198
[Entity] Budget Detail Desc.Note Total
[133] $16.50 x 12 months 198
Total 198
64301 Postage and Delivery 1,955 1,300 300 50 50
[Entity] Budget Detail Desc.Note Total
[133] Postage & Delivery Costs 50
Total 50
64901 Advertising and Legal Noti 0 0 0 8,000 8,000
[Entity] Budget Detail Desc.Note Total
[133] 26 Week Vail Daily Ad 8,000
Total 8,000
64904 Operating Fees, Assessm 46,467 43,000 48,600 38,600 58,600
[Entity] Budget Detail Desc.Note Total
[133] Channel 5 - 2% Franchise Fee Collections 38,600
Total 38,600
64000 Other Operating Costs 48,797 45,100 49,600 47,048 67,048
66402 Computers and Peripheral 0 0 0 1,800 0
[Entity] Budget Detail Desc.Note Total
[133] Laptop & Docking Station - Community
Relations Officer
1,800
Total 1,800
66000 Capital Outlay 0 0 0 1,800 0
60000T Total Expenditures & O 95,917 111,569 118,369 133,077 154,170
Section IV, Page A - 23
133 Community Relations Town of Avon
Line Item Detail
THIS PAGE INTENTIONALLY LEFT BLANK
Section IV, Page B-1
Fund: General
Dept: Finance and Administration
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 991,313$ 952,394$ 952,394$ 1,095,201$ 1,152,594$
Commodities 88,980 102,339 107,419 91,993 97,061
Contract Services 145,270 236,515 236,515 224,684 224,018
Other Operating Costs 346,290 288,036 302,063 321,492 331,056
Capital Outlay - 20,188 20,188 19,000 8,000
Total 1,571,853$ 1,599,472$ 1,618,579$ 1,752,370$ 1,812,729$
Department Expenditures by Program
Finance 665,504$ 741,373$ 741,373$ 771,070$ 797,761$
Information Technology 296,878 337,295 337,295 371,273 381,051
Human Resources 274,043 229,806 234,886 220,896 236,373
Nondepartmental 335,428 290,998 305,025 389,131 397,544
Total 1,571,853$ 1,599,472$ 1,618,579$ 1,752,370$ 1,812,729$
Authorized Positions
Finance Director 1 1 1 1 1
Finance Manager 1 1 1 1 1
Budget Analyst 1 1 1 1 1
Payroll Specialist 1 1 1 1 1
Accounting Assistant II 2 2 2 2 2
Human Resources Generalist 1 1 1 1 1
Human Resources Assistant 1 1 1 1 1
Building Attendant 3 1 1 1 1
IT Administrator 1 1 1 1 1
Help Desk Technician 1 1 1 1 1
Total 13 11 11 11 11
DEPARTMENT FINANCIAL SUMMARY
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
The Department of Finance and Administration is responsible for all financial activities of the Town and maintaining
its fiscal integrity. The Department is also responsible for the Town's information technology systems, human
resources, and risk management.
The Finance Department is administered by the Finance Director who spends approximately 35% of the time in finance
administration, accounting and auditing, and another 40% in budgeting and long-range planning activities. The remainder
of the time is split between debt administration, treasury management, and benefits administration. The finance division
is managed on a day-to-day basis by the Finance Manager. The Information Technology division is managed by the
Town's Information Technology Manager. Human Resources is managed by the Human Resources Generalist.
Section IV, Page B-2
1. Implemented MUNIRevs online sales tax filing and payment system.
2. Completed major Sungard FinancePlus and CommunityPlus version upgrade.
3. Implemented Barracuda e-mail archiver system
a new recordkeeper.
5. Implemented PowerPlan - a new budget preparation software system.
6. Implemented a new payroll step program and 360 evaluations.
7. Completed the Risk Management Alliance Program for Workers Compensation.
8. Completed two major bond financings.
Estimated Personnel Time:67%
Estimated Nonpersonnel Costs:89,877$
Total Activity Cost:516,617$
Performance Metric(s):Internal Survey
Auditor's Comments
Estimated Personnel Time:23%
Estimated Nonpersonnel Costs:30,853$
Total Activity Cost:177,346$
Performance Metric(s):Internal Survey
Budget vs. Actual Deviations
Estimated Personnel Time:6%
Estimated Nonpersonnel Costs:8,049$
Total Activity Cost:46,264$
Performance Metric(s):None
Estimated Personnel Time:4%
Estimated Nonpersonnel Costs:5,366$
Total Activity Cost:30,843$
Performance Metric(s):Internal Survey
2014 MAJOR ACCOMPLISHMENTS
PROGRAM ACTIVITIES AND OPERATIONS- FINANCE AND ADMINISTRATION
4. Managed major changes to the Town's retirement plans, including hiring an Investment Advisor, and transitioning to
Accounting and Financial Reporting: Includes accounts payable and payroll processing and general accounting;
revenue collection, compliance, licensing and administration; procurement compliance and fixed asset inventory; internal
control structure and asset safekeeping; and preparation of the Town's comprehensive annual financial report.
Budgeting and Long-range Planning: Includes establishing budgetary policies, coordination of the budget process and
preparation of the annual budget document. Also includes the capital improvement program and preparing the 5-year
capital improvement long-range plan, various other financial modeling, and gathering and reporting on economic and
financial statistical information and analysis.
Debt Administration and Treasury Management: Debt administration includes capital planning and analysis, debt
issuance, meeting on-going disclosure and bond covenant requirements, maintaining credit ratings and investing bond
proceeds. Treasury management includes establishing and reviewing cash controls, monitoring cash collection and
disbursement procedures, forecasting, maintaining banking relations, cash management services, establishing
investment policies and portfolio management.
Benefits Administration: Includes financial analysis of self-insurance pools and renewals, reconciliation of departmental
claims to premium invoices, reserve accounting and human resources support. Other responsibilities include retirement
plan administration and support. Finance Director and Finance Manager serve on the retirement boards.
Section IV, Page B-3
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:33,140$
Total Activity Cost:220,896$
Performance Metric(s):Internal Survey
Estimated Personnel Time:45%
Estimated Nonpersonnel Costs:78,470$
Total Activity Cost:167,073$
Performance Metric(s):System Availability
Estimated Personnel Time:50%
Estimated Nonpersonnel Costs:87,189$
Total Activity Cost:185,637$
Performance Metric(s):Problem Resolution Performance; Internal Survey
Estimated Personnel Time:5%
Estimated Nonpersonnel Costs:8,719$
Total Activity Cost:18,564$
Performance Metric(s):Long-range IT Plan
Network Administration: Includes maintaining the Town's computer network systems, telephone systems, servers,
security, routine maintenance & upgrades of hardware and software, documentation & disaster recovery.
Customer Service: Provides support and service to all Town computer and telephone users. Log calls, resolve issues,
track requests for equipment, software and training.
Technology Planning: Continuously evaluate new technologies that can assist the Town in being more efficient.
Human Resources: Human Resources oversee organizational and employee related programs for the Town, including
recruiting, hiring, retention, compensation and benefits administration, compliance with federal & state regulations, and
risk management.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 173,861 129,303 129,303 135,764 144,882
61106 Paid out Leave 0 5,495 5,495 1,295 1,393
61121 PTS Wages 1,819 0 0 0 0
61122 PTS Bonuses 330 0 0 0 0
61151 Overtime Wages 18 0 0 0 0
61201 Automobile Allowance 1,800 145 145 0 0
61301 FT Pension 18,957 14,828 14,828 15,077 16,090
61302 PTS Pension 85 0 0 0 0
61304 Employee Assistance Prog 56 49 49 49 48
61401 FICA/Medicare 2,479 1,957 1,957 1,987 2,121
61501 Group Health and Life Insu 33,278 27,474 27,474 29,569 31,145
61505 Long-term Disability Insura 1,113 969 969 989 994
61507 Dental Insurance 2,807 2,169 2,169 2,340 2,478
61509 Worker's Compensation 331 262 262 275 294
61510 Unemployment Insurance 528 405 405 411 439
61000 Personnel Services 237,462 183,056 183,056 187,756 199,883
62801 Employee Recognition Exp 8,600 8,040 13,120 9,540 10,640
62905 Books and Periodicals 0 1,000 1,000 250 250
62999 Office Supplies and Materi 1,249 700 700 700 700
62000 Commodities 9,849 9,740 14,820 10,490 11,590
63101 Legal Services 3,974 4,000 4,000 2,500 2,500
63203 Printing and Reproduction 0 300 300 100 300
63205 Police Checks 1,578 2,750 2,750 2,500 2,500
63504 R&M - Office Equipment a 75 100 100 100 100
63999 Other Purchased and Cont 3,088 13,000 13,000 5,500 5,500
63000 Purchased and Contract 8,715 20,150 20,150 10,700 10,900
64101 Travel and Conference 1,731 2,000 2,000 1,950 2,000
64102 Dues, Licenses and Memb 5,459 5,500 5,500 5,400 5,400
64104 Meeting Expenses 825 1,500 1,500 1,500 1,500
64206 Cellular and Paging 861 660 660 0 0
64301 Postage and Delivery 60 100 100 100 100
64901 Advertising and Legal Noti 5,162 6,000 6,000 3,000 5,000
64906 Insurance Deductibles 3,917 0 0 0 0
64000 Other Operating Costs 18,016 15,760 15,760 11,950 14,000
66402 Computers and Peripheral 0 1,100 1,100 0 0
66000 Capital Outlay 0 1,100 1,100 0 0
60000T Total Expenditures & O 274,042 229,806 234,886 220,896 236,373
Section IV, Page B - 4
132 Human Resources Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 173,861 129,303 129,303 135,764 144,882
61106 Paid out Leave 0 5,495 5,495 1,295 1,393
61121 PTS Wages 1,819 0 0 0 0
61122 PTS Bonuses 330 0 0 0 0
61151 Overtime Wages 18 0 0 0 0
61201 Automobile Allowance 1,800 145 145 0 0
61301 FT Pension 18,957 14,828 14,828 15,077 16,090
61302 PTS Pension 85 0 0 0 0
61304 Employee Assistance Prog 56 49 49 49 48
61401 FICA/Medicare 2,479 1,957 1,957 1,987 2,121
61501 Group Health and Life Insu 33,278 27,474 27,474 29,569 31,145
61505 Long-term Disability Insura 1,113 969 969 989 994
61507 Dental Insurance 2,807 2,169 2,169 2,340 2,478
61509 Worker's Compensation 331 262 262 275 294
61510 Unemployment Insurance 528 405 405 411 439
61000 Personnel Services 237,462 183,056 183,056 187,756 199,883
62801 Employee Recognition Exp 8,600 8,040 13,120 9,540 10,640
[Entity] Budget Detail Desc.Note Total
[132] Summer Picnic 2,500
[132] Years of Service Awards 500
[132] Awards of Excellence 600
[132] Fall Social 3,800
[132] Retirement Recognition 2,100
[132] Gift Cards - 2 40
Total 9,540
62905 Books and Periodicals 0 1,000 1,000 250 250
[Entity] Budget Detail Desc.Note Total
[132] Safety Publications & Training Materials 250
Total 250
62999 Office Supplies and Materi 1,249 700 700 700 700
[Entity] Budget Detail Desc.Note Total
[132] Office Supplies 700
Total 700
62000 Commodities 9,849 9,740 14,820 10,490 11,590
63101 Legal Services 3,974 4,000 4,000 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[132] Legal Counsel Contingencyfor HR Matters 2,500
Total 2,500
Section IV, Page B - 5
132 Human Resources Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63203 Printing and Reproduction 0 300 300 100 300
[Entity] Budget Detail Desc.Note Total
[132] Handbooks, Policies, Benefit Materials 100
Total 100
63205 Police Checks 1,578 2,750 2,750 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[132] New Hire Background Checks 2,500
Total 2,500
63504 R&M - Office Equipment a 75 100 100 100 100
[Entity] Budget Detail Desc.Note Total
[132] Printer Repair & Maintenance 100
Total 100
63999 Other Purchased and Cont 3,088 13,000 13,000 5,500 5,500
[Entity] Budget Detail Desc.Note Total
[132] Wellness Program 3,000
[132] Pre-Employment Drug Screening 2,000
[132] Record Destruction 500
Total 5,500
63000 Purchased and Contract 8,715 20,150 20,150 10,700 10,900
64101 Travel and Conference 1,731 2,000 2,000 1,950 2,000
[Entity] Budget Detail Desc.Note Total
[132] COSHRM Conference - Breckenridge 1,500
[132] HR Training - Denver 2 employees 450
Total 1,950
64102 Dues, Licenses and Memb 5,459 5,500 5,500 5,400 5,400
[Entity] Budget Detail Desc.Note Total
[132] SHRM Annual Dues 200
[132] High Country HR Dues & Meetings 200
[132] Mountain States Employer's Council Dues 5,000
Total 5,400
64104 Meeting Expenses 825 1,500 1,500 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[132] Town Wide Training 1,500
[132] Safety Meetings 0
Total 1,500
Section IV, Page B - 6
132 Human Resources Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64206 Cellular and Paging 861 660 660 0 0
64301 Postage and Delivery 60 100 100 100 100
[Entity] Budget Detail Desc.Note Total
[132] UPS/Fed Ex Delivery Charges 100
Total 100
64901 Advertising and Legal Noti 5,162 6,000 6,000 3,000 5,000
[Entity] Budget Detail Desc.Note Total
[132] Classification Advertising for Job
Announcements
3,000
Total 3,000
64906 Insurance Deductibles 3,917 0 0 0 0
64000 Other Operating Costs 18,016 15,760 15,760 11,950 14,000
66402 Computers and Peripheral 0 1,100 1,100 0 0
66000 Capital Outlay 0 1,100 1,100 0 0
60000T Total Expenditures & O 274,042 229,806 234,886 220,896 236,373
Section IV, Page B - 7
132 Human Resources Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 438,971 449,073 449,073 486,417 505,907
61106 Paid out Leave 3,525 4,330 4,330 4,630 4,822
61151 Overtime Wages 1,870 3,000 3,000 1,500 1,500
61201 Automobile Allowance 3,600 3,600 3,600 3,650 3,619
61301 FT Pension 48,106 49,874 49,874 54,015 56,180
61304 Employee Assistance Prog 144 144 144 146 145
61401 FICA/Medicare 4,987 6,670 6,670 7,195 7,480
61501 Group Health and Life Insu 65,444 62,117 62,117 68,653 72,240
61505 Long-term Disability Insura 2,910 2,923 2,923 2,961 2,982
61507 Dental Insurance 5,521 4,743 4,743 5,283 5,598
61509 Worker's Compensation 833 910 910 985 1,025
61510 Unemployment Insurance 1,333 1,380 1,380 1,489 1,548
61000 Personnel Services 577,244 588,765 588,765 636,925 663,045
62801 Employee Recognition Exp 0 120 120 120 120
62903 Data Processing Supplies 2,074 2,000 2,000 2,000 2,000
62904 Software 507 14,401 14,401 1,500 1,500
62905 Books and Periodicals 2,127 2,200 2,200 2,200 2,200
62999 Office Supplies and Materi 1,211 2,850 2,850 2,850 2,850
62000 Commodities 5,919 21,571 21,571 8,670 8,670
63102 Audit and Accounting Servi 24,893 32,004 32,004 33,000 34,000
63199 Other Professional Service 0 5,500 5,500 5,600 5,500
63203 Printing and Reproduction 1,353 4,550 4,550 4,550 4,550
63304 Computer Services and Su 45,013 65,672 65,672 58,351 59,122
63504 R&M - Office Equipment a 0 700 700 700 700
63000 Purchased and Contract 71,259 108,426 108,426 102,201 103,872
64101 Travel and Conference 6,327 7,000 7,000 10,790 10,790
64102 Dues, Licenses and Memb 1,329 1,495 1,495 1,495 1,495
64103 Mileage Reimbursement 272 0 0 0 0
64104 Meeting Expenses 453 750 750 750 750
64206 Cellular and Paging 872 660 660 739 739
64301 Postage and Delivery 125 250 250 125 125
64307 Bank Service Charges and 0 6,100 6,100 6,700 6,700
64399 Other Administrative Fees 1,324 1,450 1,450 1,450 1,450
64402 Equipment Replacement C 382 381 381 0 0
64901 Advertising and Legal Noti 0 125 125 125 125
64000 Other Operating Costs 11,083 18,211 18,211 22,174 22,174
66402 Computers and Peripheral 0 4,400 4,400 1,100 0
66000 Capital Outlay 0 4,400 4,400 1,100 0
60000T Total Expenditures & O 665,504 741,373 741,373 771,070 797,761
Section IV, Page B - 8
141 Finance Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 438,971 449,073 449,073 486,417 505,907
61106 Paid out Leave 3,525 4,330 4,330 4,630 4,822
61151 Overtime Wages 1,870 3,000 3,000 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[141] Staff OT 1,500
Total 1,500
61201 Automobile Allowance 3,600 3,600 3,600 3,650 3,619
61301 FT Pension 48,106 49,874 49,874 54,015 56,180
61304 Employee Assistance Prog 144 144 144 146 145
61401 FICA/Medicare 4,987 6,670 6,670 7,195 7,480
61501 Group Health and Life Insu 65,444 62,117 62,117 68,653 72,240
61505 Long-term Disability Insura 2,910 2,923 2,923 2,961 2,982
61507 Dental Insurance 5,521 4,743 4,743 5,283 5,598
61509 Worker's Compensation 833 910 910 985 1,025
61510 Unemployment Insurance 1,333 1,380 1,380 1,489 1,548
61000 Personnel Services 577,244 588,765 588,765 636,925 663,045
62801 Employee Recognition Exp 0 120 120 120 120
[Entity] Budget Detail Desc.Note Total
[141] Gift Cards 120
Total 120
62903 Data Processing Supplies 2,074 2,000 2,000 2,000 2,000
[Entity] Budget Detail Desc.Note Total
[141] Toner Cartridges 1,750
[141] Miscellaneous Data Processing Supplies 250
Total 2,000
62904 Software 507 14,401 14,401 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[141] Financial Software & PC Computer
Upgrades
1,500
Total 1,500
62905 Books and Periodicals 2,127 2,200 2,200 2,200 2,200
[Entity] Budget Detail Desc.Note Total
[141] GASB Pronouncements Subscription 275
[141] GASB Codification 70
[141] Governmental Newsletter Update 195
[141] Govt Illustrations & Trends 240
[141] Single Audit Guide 220
[141] Local Govt Audit Guide 445
[141] US Master Tax Guide 105
[141] GAAFR Newsletter 50
[141] Grant Management Handbook-Online 390
[141] Kiplinger Letter 100
[141] Various Other Publications & Reports 110
Total 2,200
Section IV, Page B - 9
141 Finance Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62999 Office Supplies and Materi 1,211 2,850 2,850 2,850 2,850
[Entity] Budget Detail Desc.Note Total
[141] Chairs 600
[141] Calculator Replacements 250
[141] Miscellaneous Supplies 2,000
[141] Stand Up Desks 0
Total 2,850
62000 Commodities 5,919 21,571 21,571 8,670 8,670
63102 Audit and Accounting Servi 24,893 32,004 32,004 33,000 34,000
[Entity] Budget Detail Desc.Note Total
[141] Single Audit 5,000
[141] Annual Audit 28,000
Total 33,000
63199 Other Professional Service 0 5,500 5,500 5,600 5,500
[Entity] Budget Detail Desc.Note Total
[141] Sales Tax Audits 3,500
[141] Financial Modeling & Advisory Services 2,000
[141] APA Certification Fee 100
Total 5,600
63203 Printing and Reproduction 1,353 4,550 4,550 4,550 4,550
[Entity] Budget Detail Desc.Note Total
[141] Eagle County RETT Sales Reports 100
[141] W-2's & 1099's 250
[141] CAFR Printing 700
[141] Budget Printing 2,000
[141] AP & Payroll Checks & Envelopes 1,500
Total 4,550
63304 Computer Services and Su 45,013 65,672 65,672 58,351 59,122
[Entity] Budget Detail Desc.Note Total
[141] Sungard Software Mtc & Support 25,710
[141] PowerPlan Mtc & Support 4,750
[141] MUNIRevs SAAS 15,276
[141] Kronos SAAS 6,315
[141] Sungard Webex Training 2,800
[141] Sungard Scripts 1,000
[141] Other Computer Services & Support 2,500
Total 58,351
63504 R&M - Office Equipment a 0 700 700 700 700
[Entity] Budget Detail Desc.Note Total
[141] Printer Mtc & Repair 700
Total 700
Section IV, Page B - 10
141 Finance Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63000 Purchased and Contract 71,259 108,426 108,426 102,201 103,872
64101 Travel and Conference 6,327 7,000 7,000 10,790 10,790
[Entity] Budget Detail Desc.Note Total
[141] Training Classes for Staff 1,325
[141] CGFOA State Conference Registrations 1,765
[141] GFOA National Conference (Director)1,750
[141] Freeman Govt Acctng, Reporting & 2,500
[141] Kronos Workforce Training 2,450
[141] Continuing Education for Director (20 hrs
@ $50/hr)
1,000
Total 10,790
64102 Dues, Licenses and Memb 1,329 1,495 1,495 1,495 1,495
[Entity] Budget Detail Desc.Note Total
[141] Co Chapter APA 60
[141] Sungard Users Group 195
[141] American Institute of CPAs 250
[141] Government FInance Officers Association 470
[141] CO Government Finance Officers
Association
180
[141] CO Secretary of State (Finance Authority)100
[141] American Payroll Association 240
Total 1,495
64103 Mileage Reimbursement 272 0 0 0 0
64104 Meeting Expenses 453 750 750 750 750
[Entity] Budget Detail Desc.Note Total
[141] CO American Payroll Association Meetings 10 @ $25 250
[141] CO Tax Audit Coalition Meetings 4 @ $45 180
[141] West Slope Coalition Meetings 150
[141] Staff & Organizational Meetings 170
Total 750
64206 Cellular and Paging 872 660 660 739 739
[Entity] Budget Detail Desc.Note Total
[141] $61.57 x 12 months 739
Total 739
64301 Postage and Delivery 125 250 250 125 125
[Entity] Budget Detail Desc.Note Total
[141] Postage & Delivery Costs 125
Total 125
64307 Bank Service Charges and 0 6,100 6,100 6,700 6,700
[Entity] Budget Detail Desc.Note Total
[141] Sales Tax Online Payment Fees 0
[141] Vericheck 5,500
Section IV, Page B - 11
141 Finance Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[141] 1st Bank 1,200
Total 6,700
64399 Other Administrative Fees 1,324 1,450 1,450 1,450 1,450
[Entity] Budget Detail Desc.Note Total
[141] RETT Recording Fees 1,000
[141] GFOA Certification of Achievement 450
Total 1,450
64402 Equipment Replacement C 382 381 381 0 0
64901 Advertising and Legal Noti 0 125 125 125 125
[Entity] Budget Detail Desc.Note Total
[141] Legal Notices, Budget & Other 125
Total 125
64000 Other Operating Costs 11,083 18,211 18,211 22,174 22,174
66402 Computers and Peripheral 0 4,400 4,400 1,100 0
[Entity] Budget Detail Desc.Note Total
[141] Destop Replacement - Finance Manager 1,100
Total 1,100
66000 Capital Outlay 0 4,400 4,400 1,100 0
60000T Total Expenditures & O 665,504 741,373 741,373 771,070 797,761
Section IV, Page B - 12
141 Finance Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 142,497 142,782 142,782 156,111 168,690
61106 Paid out Leave 1,012 1,433 1,433 1,559 1,629
61151 Overtime Wages 0 1,000 1,000 500 1,000
61301 FT Pension 15,562 15,864 15,864 17,344 18,735
61304 Employee Assistance Prog 48 48 48 49 48
61401 FICA/Medicare 2,042 2,106 2,106 2,293 2,484
61501 Group Health and Life Insu 12,707 14,565 14,565 16,073 16,935
61505 Long-term Disability Insura 981 989 989 994 994
61507 Dental Insurance 1,062 1,062 1,062 1,182 1,254
61509 Worker's Compensation 266 289 289 316 342
61510 Unemployment Insurance 430 436 436 475 514
61000 Personnel Services 176,607 180,573 180,573 196,895 212,624
62801 Employee Recognition Exp 0 40 40 40 40
62903 Data Processing Supplies 3,945 27,000 27,000 2,260 2,500
62904 Software 55,956 30,388 30,388 34,947 37,975
62905 Books and Periodicals 0 750 750 100 500
62999 Office Supplies and Materi 34 350 350 150 350
62000 Commodities 59,935 58,528 58,528 37,497 41,365
63304 Computer Services and Su 28,302 41,233 41,233 67,348 65,311
63504 R&M - Office Equipment a 747 2,750 2,750 2,000 1,500
63000 Purchased and Contract 29,049 43,983 43,983 69,348 66,811
64101 Travel and Conference 4,217 6,300 6,300 5,750 5,750
64102 Dues, Licenses and Memb 0 300 300 300 300
64206 Cellular and Paging 1,689 1,260 1,260 1,367 1,367
64402 Equipment Replacement C 25,381 31,663 31,663 42,216 44,834
64000 Other Operating Costs 31,287 39,523 39,523 49,633 52,251
66402 Computers and Peripheral 0 14,688 14,688 17,900 8,000
66000 Capital Outlay 0 14,688 14,688 17,900 8,000
60000T Total Expenditures & O 296,878 337,295 337,295 371,273 381,051
Section IV, Page B - 13
143 Information Systems Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 142,497 142,782 142,782 156,111 168,690
61106 Paid out Leave 1,012 1,433 1,433 1,559 1,629
61151 Overtime Wages 0 1,000 1,000 500 1,000
61301 FT Pension 15,562 15,864 15,864 17,344 18,735
61304 Employee Assistance Prog 48 48 48 49 48
61401 FICA/Medicare 2,042 2,106 2,106 2,293 2,484
61501 Group Health and Life Insu 12,707 14,565 14,565 16,073 16,935
61505 Long-term Disability Insura 981 989 989 994 994
61507 Dental Insurance 1,062 1,062 1,062 1,182 1,254
61509 Worker's Compensation 266 289 289 316 342
61510 Unemployment Insurance 430 436 436 475 514
61000 Personnel Services 176,607 180,573 180,573 196,895 212,624
62801 Employee Recognition Exp 0 40 40 40 40
62903 Data Processing Supplies 3,945 27,000 27,000 2,260 2,500
[Entity] Budget Detail Desc.Note Total
[143] Battery Backups 750
[143] Spare Monitors 600
[143] Spare Switches 150
[143] VGA Adapters 260
[143] Misc Parts 500
Total 2,260
62904 Software 55,956 30,388 30,388 34,947 37,975
[Entity] Budget Detail Desc.Note Total
[143] Exch Ent CAL (80)1,614
[143] Exch Std CAL (80)1,039
[143] Exch Serv Enterprise (1)2,306
[143] SQL Server Std (5)2,738
[143] ForeFront Device CAL (4)8
[143] Windows Serv Std (2)277
[143] Windows Pro (5)206
[143] Office Pro Plus (5)1,213
[143] Office Std (58)6,669
[143] Windows Serv CAL (82)1,041
[143] SQL Serv CAL (20)798
[143] Office Std (25)New for 2015 Add'l Licenses 4,500
[143] Windows Srv Std (8)8 New in 2014 6,838
[143] Symantec Client (10)Add'l in 2015 1,020
[143] Adobe Upg XI Std (12)Upgr to current ver 1,344
[143] Adobe Ugr XI Pro (9)Upgr to current ver 1,414
[143] Adobe XI Std (4)New Add'l Licenses 943
[143] Miscellaneous Software 500
[143] Laserfiche SSL Cert 2 yr SSL Security Cert 479
Total 34,947
62905 Books and Periodicals 0 750 750 100 500
[Entity] Budget Detail Desc.Note Total
[143] Reference & CD Training 100
Total 100
Section IV, Page B - 14
143 Information Systems Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62999 Office Supplies and Materi 34 350 350 150 350
62000 Commodities 59,935 58,528 58,528 37,497 41,365
63304 Computer Services and Su 28,302 41,233 41,233 67,348 65,311
[Entity] Budget Detail Desc.Note Total
[143] Switch TOA-REC01 FD01708R0YL Mnt 1yr 701
[143] Switch TOA-REC02 Maint 1 year 413
[143] Switch TOA-REC03 CAT0850R0MA Mnt 1yr 814
[143] Switch TOA-BB01 F0C1723W2M6 Mnt 1yr 307
[143] Switch TOA-BB02 F0C1718Y120 Mnt 1yr 307
[143] Switch TOA-BB03 F0C1747S201 Mnt 1yr 382
[143] Switch TOA-FE01 FD01349Y2AA Mnt 1yr 889
[143] Switch TOA-CORE01 F0C1405W1AR Mnt 1yr 1,008
[143] Switch TOA-CORE02 F0C1131Y4JT Mnt 1yr 630
[143] Switch TOA-GIG01 F0C1610W3H8 Mnt 1yr 497
[143] Switch TOA-GIG02 F0C1723W2R7 Mnt 1yr 382
[143] ASA 5510 Firewall JMZ1440L0J4 Mnt 1yr 814
[143] Switch TOA-SRV-SW01 F0C1744W49X Mnt 1yr 100
[143] Switch TOA-SRV-SW02 F0X1744W445 Mnt 1yr 100
[143] WLC & AP's Wireless Mnt 1 yr 352
[143] Server TOA-CTX01 Mnt 1 yr 552
[143] MSA SAN Swift Gulch Mnt 1 yr 1,068
[143] HP SAN Muni Bldg Mnt 1 yr 1,500
[143] TOA-VMHOST01 Mnt 1 yr 687
[143] TOA-VMHOST02 Mnt 1 yr 687
[143] TOA-VMHOST03 Due 2017-3yr in 2014 0
[143] TOA-VMHOST04 Due 2017-3yr in 2014 0
[143] SWright DSL 75 / month 900
[143] WHalstead DSL 40 / month 480
[143] Public Wifi DSL Comcast 135 / month 1,620
[143] TOA Backup DSL Comcast 135 / month 1,620
[143] Symtantec AntiVirus 75 users Mnt 1 yr 3,450
[143] Citrix MetaFrame 1 yr maint 225
[143] SmartDraw 1 yr maint 500
[143] SPS Labor Phones Support Assistance 960
[143] MailMarshal Maint 1 yr maint 975
[143] Barracuda Web Filter 1 yr maint 1,073
[143] Barracuda Backup Server 1 yr maint 4,073
[143] Barracuda Email Archiver 1 yr maint 2,523
[143] PEI Labor w/ Managed Svcs 1 yr 5,000
[143] PEI Managed Services 1 yr 1,444 / month 17,328
[143] Axis Camera Server 1yr Mnt x 2 300
[143] Electronic Recycling 400
[143] RDS Implementation Citrix Replacement 6,331
[143] VMWare Maintenance 1 year 7,400
Total 67,348
63504 R&M - Office Equipment a 747 2,750 2,750 2,000 1,500
[Entity] Budget Detail Desc.Note Total
[143] Repairs / Replacements 2,000
Total 2,000
Section IV, Page B - 15
143 Information Systems Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63000 Purchased and Contract 29,049 43,983 43,983 69,348 66,811
64101 Travel and Conference 4,217 6,300 6,300 5,750 5,750
[Entity] Budget Detail Desc.Note Total
[143] CGAIT Conference 750
[143] Training Classes 2500 * 2 Online 5,000
Total 5,750
64102 Dues, Licenses and Memb 0 300 300 300 300
[Entity] Budget Detail Desc.Note Total
[143] CGAIT Dues 300
Total 300
64206 Cellular and Paging 1,689 1,260 1,260 1,367 1,367
[Entity] Budget Detail Desc.Note Total
[143] $113.94 x 12 months 1,367
Total 1,367
64402 Equipment Replacement C 25,381 31,663 31,663 42,216 44,834
[Entity] Budget Detail Desc.Note Total
[143] Annual Equipment Rental Charges 42,216
Total 42,216
64000 Other Operating Costs 31,287 39,523 39,523 49,633 52,251
66402 Computers and Peripheral 0 14,688 14,688 17,900 8,000
[Entity] Budget Detail Desc.Note Total
[143] Barracuda Spam Firewall MailMarshal Replacement 11,000
[143] Server Rack UPS Replacement UPS 4,700
[143] Desktop Replacements - 2 @ $1,100 ea. IT Administrator & Help Desk
Technician
2,200
Total 17,900
66000 Capital Outlay 0 14,688 14,688 17,900 8,000
60000T Total Expenditures & O 296,878 337,295 337,295 371,273 381,051
Section IV, Page B - 16
143 Information Systems Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 48,448 50,623
61106 Paid out Leave 0 0 0 465 475
61301 FT Pension 0 0 0 5,380 5,621
61304 Employee Assistance Prog 0 0 0 24 24
61401 FICA/Medicare 0 0 0 709 741
61501 Group Health and Life Insu 0 0 0 14,706 15,479
61505 Long-term Disability Insura 0 0 0 439 454
61507 Dental Insurance 0 0 0 1,170 1,239
61509 Worker's Compensation 0 0 0 2,137 2,233
61510 Unemployment Insurance 0 0 0 147 153
61000 Personnel Services 0 0 0 73,625 77,042
62401 Gasoline 1,320 1,500 1,500 1,500 1,600
62402 Diesel 0 0 0 1,136 1,136
62802 Food and Beverages 6,389 6,000 6,000 6,000 6,000
62803 Janitorial, Custodial and Cl 0 0 0 20,000 20,000
62805 Clothing and Uniforms 0 0 0 550 550
62806 Safety Materials and Suppl 0 0 0 150 150
62999 Office Supplies and Materi 5,568 5,000 5,000 6,000 6,000
62000 Commodities 13,277 12,500 12,500 35,336 35,436
63203 Printing and Reproduction 1,209 1,000 1,000 600 600
63504 R&M - Office Equipment a 7,380 12,100 12,100 12,500 12,500
63603 Rentals - Office Equipment 12,556 12,556 12,556 10,371 10,371
63999 Other Purchased and Cont 15,103 38,300 38,300 18,964 18,964
63000 Purchased and Contract 36,248 63,956 63,956 42,435 42,435
64104 Meeting Expenses 1,579 0 0 0 0
64201 Telephone & Long-distanc 21,438 38,532 38,532 38,982 38,982
64301 Postage and Delivery 4,481 6,000 6,000 4,000 6,000
64303 Treasurer Fees 32,357 29,515 29,515 31,971 34,596
64307 Bank Service Charges and 86 250 250 150 150
64309 VAA RSF Collection Fees 0 0 13,000 13,000 13,000
64401 Fleet Maintenance Charge 214 1,500 2,527 2,733 3,004
64402 Equipment Replacement C 13,753 13,510 13,510 17,635 17,635
64403 Washbay Charges 667 1,488 1,488 2,496 2,496
64905 Insurance Premiums 120,367 123,747 123,747 126,768 126,768
64996 Bad Debt Expense 90,961 0 0 0 0
64000 Other Operating Costs 285,904 214,542 228,569 237,735 242,631
60000T Total Expenditures & O 335,428 290,998 305,025 389,131 397,544
Section IV, Page B - 17
149 Nondepartmental Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 48,448 50,623
61106 Paid out Leave 0 0 0 465 475
61301 FT Pension 0 0 0 5,380 5,621
61304 Employee Assistance Prog 0 0 0 24 24
61401 FICA/Medicare 0 0 0 709 741
61501 Group Health and Life Insu 0 0 0 14,706 15,479
61505 Long-term Disability Insura 0 0 0 439 454
61507 Dental Insurance 0 0 0 1,170 1,239
61509 Worker's Compensation 0 0 0 2,137 2,233
61510 Unemployment Insurance 0 0 0 147 153
61000 Personnel Services 0 0 0 73,625 77,042
62401 Gasoline 1,320 1,500 1,500 1,500 1,600
[Entity] Budget Detail Desc.Note Total
[149] Fuel Charges for Motor Pool Vehicles 1,500
Total 1,500
62402 Diesel 0 0 0 1,136 1,136
[Entity] Budget Detail Desc.Note Total
[149] Fuel Charges for Buildings Attendant 1,136
Total 1,136
62802 Food and Beverages 6,389 6,000 6,000 6,000 6,000
[Entity] Budget Detail Desc.Note Total
[149] Town Meetings Food and Supplies 6,000
Total 6,000
62803 Janitorial, Custodial and Cl 0 0 0 20,000 20,000
[Entity] Budget Detail Desc.Note Total
[149] Hand Towels 3,000
[149] Tissue 2,500
[149] Toilet Paper 3,000
[149] Aerosols 1,824
[149] Chemicals 2,500
[149] Hygiene 3,000
[149] Refuge Supplies 2,183
[149] PPE and Other Safety (Gloves, signs, etc)1,993
Total 20,000
62805 Clothing and Uniforms 0 0 0 550 550
[Entity] Budget Detail Desc.Note Total
[149] Clothing and Uniforms - Bldgs Attendant 550
Total 550
Section IV, Page B - 18
149 Nondepartmental Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62806 Safety Materials and Suppl 0 0 0 150 150
[Entity] Budget Detail Desc.Note Total
[149] Safety Footwear - Bldgs Attendant 150
Total 150
62999 Office Supplies and Materi 5,568 5,000 5,000 6,000 6,000
[Entity] Budget Detail Desc.Note Total
[149] Town Wide Office Supplies 1,000
[149] Xerox Paper, Office Supply Inventory 5,000
Total 6,000
62000 Commodities 13,277 12,500 12,500 35,336 35,436
63203 Printing and Reproduction 1,209 1,000 1,000 600 600
[Entity] Budget Detail Desc.Note Total
[149] Town Stationary and Envelopes 600
Total 600
63504 R&M - Office Equipment a 7,380 12,100 12,100 12,500 12,500
[Entity] Budget Detail Desc.Note Total
[149] Avaya IP Office Maintenance 7,500
[149] Xerox Copier/Print Charges 5,000
Total 12,500
63603 Rentals - Office Equipment 12,556 12,556 12,556 10,371 10,371
[Entity] Budget Detail Desc.Note Total
[149] Copier Lease ($864.27 x 12)10,371
Total 10,371
63999 Other Purchased and Cont 15,103 38,300 38,300 18,964 18,964
[Entity] Budget Detail Desc.Note Total
[149] Laserfiche Annual Basic Services Support 8,700
[149] Laserfiche Public Portal Maint Support 1,600
[149] Employee Bus Passes 4,000
[149] 1st Aid Supplies 750
[149] Water Cooler Service 150
[149] FSA Fees ($72 x 12 months)864
[149] Flu Shots, Beneifts Fair Health 2,400
[149] Flowers, Picture Framing, Misc 500
Total 18,964
63000 Purchased and Contract 36,248 63,956 63,956 42,435 42,435
64104 Meeting Expenses 1,579 0 0 0 0
64201 Telephone & Long-distanc 21,438 38,532 38,532 38,982 38,982
Section IV, Page B - 19
149 Nondepartmental Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[149] Fireworks Line 9709490345819 546
[149] TOA Main Fax 9709499139879 1,116
[149] T-1 To Swift Gulch 9709493497508 3,600
[149] NewCloud Networks PRI, LD & E911 7,620
[149] CenturyLink MetroE Swift Gulch & Internet 26,100
Total 38,982
64301 Postage and Delivery 4,481 6,000 6,000 4,000 6,000
[Entity] Budget Detail Desc.Note Total
[149] General Admin Postage and Delivery 4,000
Total 4,000
64303 Treasurer Fees 32,357 29,515 29,515 31,971 34,596
[Entity] Budget Detail Desc.Note Total
[149] 2% Eagle County Treasurer Collection Fee 31,971
Total 31,971
64307 Bank Service Charges and 86 250 250 150 150
[Entity] Budget Detail Desc.Note Total
[149] Various Fees 150
Total 150
64309 VAA RSF Collection Fees 0 0 13,000 13,000 13,000
[Entity] Budget Detail Desc.Note Total
[149] VAA RSF Collection Fees 13,000
Total 13,000
64401 Fleet Maintenance Charge 214 1,500 2,527 2,733 3,004
[Entity] Budget Detail Desc.Note Total
[149] Annual Fleet Maintenance Charges 2,733
Total 2,733
64402 Equipment Replacement C 13,753 13,510 13,510 17,635 17,635
[Entity] Budget Detail Desc.Note Total
[149] Annual Equipment Rental Charges 17,635
Total 17,635
64403 Washbay Charges 667 1,488 1,488 2,496 2,496
[Entity] Budget Detail Desc.Note Total
[149] Annual Washbay Charges - 4 vehicles 2,496
Total 2,496
Section IV, Page B - 20
149 Nondepartmental Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64905 Insurance Premiums 120,367 123,747 123,747 126,768 126,768
[Entity] Budget Detail Desc.Note Total
[149] CIRSA: Property and Casualty (71%)119,153
[149] Fiduciary Liability 2,600
[149] Excess Crime 255
[149] Boiler and Machinery 4,167
[149] Treasurer's Bond - Scott 400
[149] Volunteer Accident Medical Plan 193
Total 126,768
64996 Bad Debt Expense 90,961 0 0 0 0
64000 Other Operating Costs 285,904 214,542 228,569 237,735 242,631
60000T Total Expenditures & O 335,428 290,998 305,025 389,131 397,544
Section IV, Page B - 21
149 Nondepartmental Town of Avon
Line Item Detail
THIS PAGE INTENTIONALLY LEFT BLANK
Section IV, Page C-1
Fund: General
Dept: Community Development
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 336,321$ 384,506$ 384,506$ 571,340$ 597,825$
Commodities 4,932 7,879 9,579 14,500 12,185
Contract Services 17,514 55,253 54,353 204,817 162,828
Other Operating Costs 176,814 21,810 23,123 264,770 244,857
Capital Outlay 902 15,000 16,225 4,950 6,950
Total 536,483$ 484,448$ 487,786$ 1,060,377$ 1,024,645$
Department Expenditures by Program
Administration 38,518$ -$ -$ -$ -$
Planning/GIS 213,097 245,491 247,491 261,570 258,085
Building 117,543 127,352 129,165 136,402 144,617
Economic Development 167,325 111,605 111,130 170,035 158,270
Town Produced Events - - - 289,520 263,673
Signature Event Seed Funding - - - 5,000 -
Community Grants - - - 197,850 200,000
Total 536,483$ 484,448$ 487,786$ 1,060,377$ 1,024,645$
Authorized Positions
Planning Manager 0 0 1 1 1
Senior Planner 1 1 0 0 0
Building Official 1 1 1 1 1
Planner II 1 1 1 1 1
Director of Economic Initiatives 0 1 1 1 1
Special Events Supervisor 1 1 1 1 1
Seasonal Events Assistant 0 0 0 0.33 0.33
Total 4 5 5 5.33 5.33
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The Community Development Department takes the lead role in ensuring the Town’s built environment
maintains and advances a livable community, one which meets the needs of the residents, businesses,
and visitors. The Planning Division manages all current and long-range community planning
functions. The Building Official provides permit and inspection services for residential and commercial
development. The Director of Economic Initiatives takes the lead role in implementing the Town's
Economic Development program.
The Community Development Department is administered by the Planning Manager, who spends
approximately 60% of the position’s time in managing applications, Council agenda items, Planning and
Zoning Commission agendas, and special project work. The remainder of the Planning Manager’s time is
spent with hands-on project review and special planning work. The Director of Economic Initiatives is
supervised by the Town Manager.
Section IV, Page C-2
Fund: General
Dept: Community Development Budget Summary
1. Developed and implemented Avon Municipal Code Updates.
2. Established Economic Development Office.
3. Facilitated Brand Platform and new Town Logo creation.
4. Assisted with West Avon Preserve Trail development, signage and parking.
5. Held key leadership role in development of a comprehensive report on recreational marijuana.
6. Administered new special events: WWG, Flavors of Colorado, Bravo!Vail and Man of the Cliff.
Estimated Personnel Time:30%
Estimated Nonpersonnel Costs:61,695$
Total Activity Cost:40,921$
Performance Metric(s):
Estimated Personnel Time:34%
Estimated Nonpersonnel Costs:69,921$
Total Activity Cost: $ 88,934
Performance Metric(s):
Estimated Personnel Time:34%
Estimated Nonpersonnel Costs:69,921$
Total Activity Cost: $ 88,934
Performance Metric(s):Community Survey; Completion of Plan(s)
Estimated Personnel Time:2%
Estimated Nonpersonnel Costs:4,113$
Total Activity Cost: $ 5,231
Performance Metric(s): Cost effectiveness of IGA versus in-house employee
2014 MAJOR ACCOMPLISHMENTS
Community Survey
Community Survey
PROGRAM ACTIVITIES AND OPERATIONS - PLANNING
Administration: Review all new applications and contractor registration applications at the front counter,
including assisting the general public with inquiries. Fiance administration for permitting and planning
applications, including escrow accounts. This includes administration of the department by the Planning
Manager.
Current Planning / Land Use Applications: Review and process applications for land use under the
rules and procedures of the Avon Municipal Code. Includes public process with PZC/Council.
Long-Term Planning: The Community Development Department is responsible for the development of
long range planning for the Town of Avon. In the 2015-16 Strategic Plan, the development of a Multi-
Modal, Parking and Transportation Plan is scheduled. Policy work with the PZC (and Council) witll include
evaluationg and implementing Master Plan work for District Plans (i.e. East Avon).
GIS Mapping / Informational Serivces: Create and manage all mapping functions and associated data
management for the Town. Supports special projects with geographical information as well as cartagraphy
useful in land use decisions and Comprehensive Planning.
Section IV, Page C-3
Fund: General
Dept: Community Development Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:11,498$
Total Activity Cost:136,402$
Performance Metric(s):
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:60,835$
Total Activity Cost:170,035$
Performance Metric(s):
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:138,386$
Total Activity Cost:289,520$
Performance Metric(s):
Estimated Personnel Time:0%
Estimated Nonpersonnel Costs:5,000$
Total Activity Cost:5,000$
Performance Metric(s):
Estimated Personnel Time:0%
Estimated Nonpersonnel Costs:197,850$
Total Activity Cost:197,850$
Performance Metric(s):
Signature Event Seed Funding: The General Fund Special Event Reserve holds monies which are approved
by Town Council for the seeding of signature special events in Avon. Monies approved by Council are
accounted for in this account.
Community Grants: This account includes all grant monies the Council approves for use by outside agencies.
Economic development, art and cultural programs, regional environmental projects, sporting events and health
and human service needs,
Community Survey
PROGRAM ACTIVITIES AND OPERATIONS - BUILDING PERMITS AND INSPECTIONS
Community Survey; Sales, lodging and real estate tax growth
Community Survey; Sales, lodging and real estate tax growth
Community Survey; Sales, lodging and real estate tax growth
Special Event Adminstration & Production: Responsible for the special event administration and production
of all special events in the Town of Avon, including Town produced events, such as Salute to the USA and
outside producer festivals. The budget included admission fee expeditures, full cost accounting for Salute to
the USA. The Special Event Supervisor oversees on seasonal employee and the Town's volunteeers.
PROGRAM ACTIVITIES AND OPERATIONS - ECONOMIC DEVELOPMENT
Community Survey; Sales, lodging and real estate tax growth
Economic Development: Implements the Town's Economic Development iniatives including Special Event
development, Creative District initiative and development, retail and accommodation business assistance
and regional representation. Funding for Destimetrics data collection is included in this budget.
Building Inspection: The Building Division provides all construction relatedservices in the Town. The
division is responsible for the enforcement of the building, plumbing, and mechanical codes, and Title 15 of
the Avon Municipal Code. On a day to day basis this division reviews and processes permit applications,
performs inspections, and coordinates with other agencies that perform specialized inspections such as
Eagle County Health, NWCCOG, and State Electrical Inspectors. Code enforcement matters are handled
on an as-needed, or complaint driven basis. In 2015 the Building Division will implement the 2015
International Building Code.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 15,667 0 0 0 0
61151 Overtime Wages 74 0 0 0 0
61301 FT Pension 1,679 0 0 0 0
61304 Employee Assistance Prog 7 0 0 0 0
61401 FICA/Medicare 218 0 0 0 0
61501 Group Health and Life Insu 6,430 0 0 0 0
61505 Long-term Disability Insura 144 0 0 0 0
61507 Dental Insurance 549 0 0 0 0
61509 Worker's Compensation 29 0 0 0 0
61510 Unemployment Insurance 47 0 0 0 0
61000 Personnel Services 24,844 0 0 0 0
62999 Office Supplies and Materi 483 0 0 0 0
62000 Commodities 483 0 0 0 0
63304 Computer Services and Su 5,060 0 0 0 0
63504 R&M - Office Equipment a 1,322 0 0 0 0
63603 Rentals - Office Equipment 5,318 0 0 0 0
63000 Purchased and Contract 11,700 0 0 0 0
64104 Meeting Expenses 265 0 0 0 0
64301 Postage and Delivery 160 0 0 0 0
64402 Equipment Replacement C 234 0 0 0 0
64901 Advertising and Legal Noti 832 0 0 0 0
64000 Other Operating Costs 1,491 0 0 0 0
60000T Total Expenditures & O 38,518 0 0 0 0
Section IV, Page C - 4
211 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 151,375 133,589 133,589 159,039 166,094
61106 Paid out Leave 4,140 1,418 1,418 1,516 1,574
61301 FT Pension 16,882 14,851 14,851 17,661 18,443
61304 Employee Assistance Prog 56 43 43 49 48
61401 FICA/Medicare 2,222 1,958 1,958 2,328 2,431
61501 Group Health and Life Insu 19,316 23,311 23,311 22,874 24,080
61505 Long-term Disability Insura 1,155 900 900 994 994
61507 Dental Insurance 1,611 1,998 1,998 1,761 1,866
61509 Worker's Compensation 1,819 3,869 3,869 4,399 4,597
61510 Unemployment Insurance 467 405 405 482 503
61000 Personnel Services 199,044 182,344 182,344 211,102 220,630
62801 Employee Recognition Exp 0 40 40 40 40
62904 Software 3,906 3,349 3,349 3,000 3,000
62905 Books and Periodicals 73 250 250 150 150
62999 Office Supplies and Materi 0 2,500 2,500 900 900
62000 Commodities 3,979 6,139 6,139 4,090 4,090
63101 Legal Services 4,752 0 0 0 0
63199 Other Professional Service 863 10,000 10,000 22,200 5,000
63203 Printing and Reproduction 0 500 500 200 250
63304 Computer Services and Su 0 17,735 17,735 5,369 5,530
63504 R&M - Office Equipment a 0 1,500 1,500 2,500 2,500
63603 Rentals - Office Equipment 0 5,318 5,318 5,318 5,318
63000 Purchased and Contract 5,615 35,053 35,053 35,587 18,598
64101 Travel and Conference 1,245 2,500 2,500 3,000 2,500
64102 Dues, Licenses and Memb 692 650 650 1,020 1,020
64104 Meeting Expenses 0 500 500 200 300
64301 Postage and Delivery 0 250 250 150 150
64402 Equipment Replacement C 1,621 1,855 1,855 1,621 847
64901 Advertising and Legal Noti 0 1,200 3,200 2,600 3,000
64000 Other Operating Costs 3,558 6,955 8,955 8,591 7,817
66402 Computers and Peripheral 902 0 0 2,200 950
66404 Furniture and Fixtures 0 15,000 15,000 0 6,000
66000 Capital Outlay 902 15,000 15,000 2,200 6,950
60000T Total Expenditures & O 213,097 245,491 247,491 261,570 258,085
Section IV, Page C - 5
212 Planning Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 151,375 133,589 133,589 159,039 166,094
61106 Paid out Leave 4,140 1,418 1,418 1,516 1,574
61301 FT Pension 16,882 14,851 14,851 17,661 18,443
61304 Employee Assistance Prog 56 43 43 49 48
61401 FICA/Medicare 2,222 1,958 1,958 2,328 2,431
61501 Group Health and Life Insu 19,316 23,311 23,311 22,874 24,080
61505 Long-term Disability Insura 1,155 900 900 994 994
61507 Dental Insurance 1,611 1,998 1,998 1,761 1,866
61509 Worker's Compensation 1,819 3,869 3,869 4,399 4,597
61510 Unemployment Insurance 467 405 405 482 503
61000 Personnel Services 199,044 182,344 182,344 211,102 220,630
62801 Employee Recognition Exp 0 40 40 40 40
62904 Software 3,906 3,349 3,349 3,000 3,000
[Entity] Budget Detail Desc.Note Total
[212] GIS Software 0
[212] Arc GIS Desktop Maint 1,500
[212] Arc Pad Maint 250
[212] Arc GIS Server Maint & Support 1,250
Total 3,000
62905 Books and Periodicals 73 250 250 150 150
[Entity] Budget Detail Desc.Note Total
[212] Transportation Planning Documents 150
Total 150
62999 Office Supplies and Materi 0 2,500 2,500 900 900
[Entity] Budget Detail Desc.Note Total
[212] XEROX large format cartriges 650
[212] Various Office Supplies 250
Total 900
62000 Commodities 3,979 6,139 6,139 4,090 4,090
63101 Legal Services 4,752 0 0 0 0
63199 Other Professional Service 863 10,000 10,000 22,200 5,000
[Entity] Budget Detail Desc.Note Total
[212] County GIS (approx 120 hrs)7,200
[212] Eagle County Trails Group - Trail Planning 15,000
Total 22,200
63203 Printing and Reproduction 0 500 500 200 250
[Entity] Budget Detail Desc.Note Total
[212] Printing/Repro for Long Range Planning
Meetings
200
Total 200
Section IV, Page C - 6
212 Planning Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63304 Computer Services and Su 0 17,735 17,735 5,369 5,530
[Entity] Budget Detail Desc.Note Total
[212] Sungard Permitting Software 5,369
Total 5,369
63504 R&M - Office Equipment a 0 1,500 1,500 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[212] Xerox Front Printer Charges 2,500
Total 2,500
63603 Rentals - Office Equipment 0 5,318 5,318 5,318 5,318
[Entity] Budget Detail Desc.Note Total
[212] Copier Lease ($443.16 x 12)5,318
Total 5,318
63000 Purchased and Contract 5,615 35,053 35,053 35,587 18,598
64101 Travel and Conference 1,245 2,500 2,500 3,000 2,500
[Entity] Budget Detail Desc.Note Total
[212] APA Colorado 2 Planners 800
[212] RMLUI 2 Planners 1,200
[212] DCI 1 Planner 500
[212] Ski Town Research 2 Planners 500
Total 3,000
64102 Dues, Licenses and Memb 692 650 650 1,020 1,020
[Entity] Budget Detail Desc.Note Total
[212] APA & AICP for Planning Manager 470
[212] APA for Planner II 250
[212] DCI for Planning and Econ Dev 300
Total 1,020
64104 Meeting Expenses 0 500 500 200 300
[Entity] Budget Detail Desc.Note Total
[212] Special Long Range Planning Meeting
Supplies
200
Total 200
64301 Postage and Delivery 0 250 250 150 150
[Entity] Budget Detail Desc.Note Total
[212] Postage & Delivery 150
Total 150
Section IV, Page C - 7
212 Planning Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64402 Equipment Replacement C 1,621 1,855 1,855 1,621 847
[Entity] Budget Detail Desc.Note Total
[212] Annual Equipment Rental Charges 1,621
Total 1,621
64901 Advertising and Legal Noti 0 1,200 3,200 2,600 3,000
[Entity] Budget Detail Desc.Note Total
[212] Vail Daily Advertisements & Public Notice
Mailings
2,600
Total 2,600
64000 Other Operating Costs 3,558 6,955 8,955 8,591 7,817
66402 Computers and Peripheral 902 0 0 2,200 950
[Entity] Budget Detail Desc.Note Total
[212] Desktop Replacement - 2 @ $1100 ea. Planning Mgr & Planner II 2,200
Total 2,200
66404 Furniture and Fixtures 0 15,000 15,000 0 6,000
[Entity] Budget Detail Desc.Note Total
[212] Office Furniture Building Official 0
[212] Office Furniture Planning Manager 0
Total 0
66000 Capital Outlay 902 15,000 15,000 2,200 6,950
60000T Total Expenditures & O 213,097 245,491 247,491 261,570 258,085
Section IV, Page C - 8
212 Planning Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 84,710 86,114 86,114 93,861 100,810
61106 Paid out Leave 1,627 840 840 915 989
61301 FT Pension 9,385 9,565 9,565 10,425 11,198
61304 Employee Assistance Prog 24 24 24 24 24
61401 FICA/Medicare 1,246 1,261 1,261 1,374 1,476
61501 Group Health and Life Insu 12,471 13,456 13,456 14,888 15,686
61505 Long-term Disability Insura 497 497 497 497 497
61507 Dental Insurance 1,050 1,050 1,050 1,170 1,239
61509 Worker's Compensation 1,165 1,345 1,345 1,466 1,574
61510 Unemployment Insurance 259 261 261 284 305
61000 Personnel Services 112,433 114,412 114,412 124,904 133,798
62401 Gasoline 469 650 650 500 500
62801 Employee Recognition Exp 0 20 20 20 20
62807 Consumable Tools/Small 0 50 50 50 50
62905 Books and Periodicals 0 300 2,000 150 150
62000 Commodities 469 1,020 2,720 720 720
63199 Other Professional Service 200 4,000 4,000 2,500 2,500
63000 Purchased and Contract 200 4,000 4,000 2,500 2,500
64101 Travel and Conference 110 1,500 1,500 1,500 1,500
64102 Dues, Licenses and Memb 125 250 250 125 125
64206 Cellular and Paging 443 360 360 198 198
64401 Fleet Maintenance Charge 192 2,414 2,527 2,733 3,004
64402 Equipment Replacement C 2,903 2,148 2,148 2,148 2,148
64403 Washbay Charges 667 1,248 1,248 624 624
64000 Other Operating Costs 4,440 7,920 8,033 7,328 7,599
66402 Computers and Peripheral 0 0 0 950 0
66000 Capital Outlay 0 0 0 950 0
60000T Total Expenditures & O 117,543 127,352 129,165 136,402 144,617
Section IV, Page C - 9
213 Building Inspection Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 84,710 86,114 86,114 93,861 100,810
61106 Paid out Leave 1,627 840 840 915 989
61301 FT Pension 9,385 9,565 9,565 10,425 11,198
61304 Employee Assistance Prog 24 24 24 24 24
61401 FICA/Medicare 1,246 1,261 1,261 1,374 1,476
61501 Group Health and Life Insu 12,471 13,456 13,456 14,888 15,686
61505 Long-term Disability Insura 497 497 497 497 497
61507 Dental Insurance 1,050 1,050 1,050 1,170 1,239
61509 Worker's Compensation 1,165 1,345 1,345 1,466 1,574
61510 Unemployment Insurance 259 261 261 284 305
61000 Personnel Services 112,433 114,412 114,412 124,904 133,798
62401 Gasoline 469 650 650 500 500
62801 Employee Recognition Exp 0 20 20 20 20
62807 Consumable Tools/Small 0 50 50 50 50
[Entity] Budget Detail Desc.Note Total
[213] Inspection Equipment 50
Total 50
62905 Books and Periodicals 0 300 2,000 150 150
62000 Commodities 469 1,020 2,720 720 720
63199 Other Professional Service 200 4,000 4,000 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[213] Safebuilt 2 weeks of inspections 2,500
Total 2,500
63000 Purchased and Contract 200 4,000 4,000 2,500 2,500
64101 Travel and Conference 110 1,500 1,500 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[213] ICB Annual Conference 1,500
Total 1,500
64102 Dues, Licenses and Memb 125 250 250 125 125
[Entity] Budget Detail Desc.Note Total
[213] ICBO License Renewal 125
Total 125
64206 Cellular and Paging 443 360 360 198 198
[Entity] Budget Detail Desc.Note Total
[213] $16.50 x 12 months 198
Total 198
Section IV, Page C - 10
213 Building Inspection Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64401 Fleet Maintenance Charge 192 2,414 2,527 2,733 3,004
[Entity] Budget Detail Desc.Note Total
[213] Annual Fleet Maintenance Charges 2,733
Total 2,733
64402 Equipment Replacement C 2,903 2,148 2,148 2,148 2,148
[Entity] Budget Detail Desc.Note Total
[213] Annual Equipment Rental Charges 2,148
Total 2,148
64403 Washbay Charges 667 1,248 1,248 624 624
[Entity] Budget Detail Desc.Note Total
[213] Annual Washbay Charges - 1 vehicle 624
Total 624
64000 Other Operating Costs 4,440 7,920 8,033 7,328 7,599
66402 Computers and Peripheral 0 0 0 950 0
[Entity] Budget Detail Desc.Note Total
[213] Desktop Replacement - Building Official 950
Total 950
66000 Capital Outlay 0 0 0 950 0
60000T Total Expenditures & O 117,543 127,352 129,165 136,402 144,617
Section IV, Page C - 11
213 Building Inspection Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 70,250 70,250 87,708 91,070
61106 Paid out Leave 0 771 771 837 854
61301 FT Pension 0 7,812 7,812 9,740 10,112
61304 Employee Assistance Prog 0 21 21 24 24
61401 FICA/Medicare 0 1,030 1,030 1,284 1,333
61501 Group Health and Life Insu 0 6,578 6,578 8,076 8,498
61505 Long-term Disability Insura 0 456 456 497 497
61507 Dental Insurance 0 477 477 591 627
61509 Worker's Compensation 0 142 142 178 185
61510 Unemployment Insurance 0 213 213 266 276
61000 Personnel Services 0 87,750 87,750 109,200 113,475
62301 General Program Supplies 0 0 0 200 200
62801 Employee Recognition Exp 0 20 20 20 60
62905 Books and Periodicals 0 300 300 100 100
62999 Office Supplies and Materi 0 400 400 400 400
62000 Commodities 0 720 720 720 760
63199 Other Professional Service 0 0 0 23,050 1,000
63203 Printing and Reproduction 0 200 200 200 700
63303 Photography Services 0 0 0 1,500 2,850
63304 Computer Services and Su 0 14,000 13,100 650 20,850
63305 Audio/Visual Services 0 2,000 2,000 0 0
63000 Purchased and Contract 0 16,200 15,300 25,400 25,400
64101 Travel and Conference 0 1,200 400 1,775 2,550
64102 Dues, Licenses and Memb 0 380 380 0 195
64104 Meeting Expenses 0 400 400 700 600
64206 Cellular and Paging 0 705 705 790 790
64301 Postage and Delivery 0 250 250 100 50
64901 Advertising and Legal Noti 0 0 0 29,050 14,450
64903 Economic Development C 0 4,000 4,000 500 0
64000 Other Operating Costs 0 6,935 6,135 32,915 18,635
66402 Computers and Peripheral 0 0 1,225 1,800 0
66000 Capital Outlay 0 0 1,225 1,800 0
60000T Total Expenditures & O 0 111,605 111,130 170,035 158,270
Section IV, Page C - 12
214 Economic Initiatives Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 70,250 70,250 87,708 91,070
61106 Paid out Leave 0 771 771 837 854
61301 FT Pension 0 7,812 7,812 9,740 10,112
61304 Employee Assistance Prog 0 21 21 24 24
61401 FICA/Medicare 0 1,030 1,030 1,284 1,333
61501 Group Health and Life Insu 0 6,578 6,578 8,076 8,498
61505 Long-term Disability Insura 0 456 456 497 497
61507 Dental Insurance 0 477 477 591 627
61509 Worker's Compensation 0 142 142 178 185
61510 Unemployment Insurance 0 213 213 266 276
61000 Personnel Services 0 87,750 87,750 109,200 113,475
62301 General Program Supplies 0 0 0 200 200
[Entity] Budget Detail Desc.Note Total
[214] EDAC Program 100
[214] CAD Program 100
Total 200
62801 Employee Recognition Exp 0 20 20 20 60
[Entity] Budget Detail Desc.Note Total
[214] 1 employees @ $20.00 20
Total 20
62905 Books and Periodicals 0 300 300 100 100
[Entity] Budget Detail Desc.Note Total
[214] Periodicals for ED staff 100
Total 100
62999 Office Supplies and Materi 0 400 400 400 400
[Entity] Budget Detail Desc.Note Total
[214] Office Supplies 100
[214] Computer Cartridges 300
Total 400
62000 Commodities 0 720 720 720 760
63199 Other Professional Service 0 0 0 23,050 1,000
[Entity] Budget Detail Desc.Note Total
[214] Design work - rec center ads $60.00/hr at
16 hours per quarter
3,840
[214] Rec Center rebranding @ 1500 1,500
[214] Destimetrics;17,710
Total 23,050
Section IV, Page C - 13
214 Economic Initiatives Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63203 Printing and Reproduction 0 200 200 200 700
[Entity] Budget Detail Desc.Note Total
[214] Copy Services n- Comm Dev 200
Total 200
63303 Photography Services 0 0 0 1,500 2,850
[Entity] Budget Detail Desc.Note Total
[214] Professional Photos; videography;
shutterstock
1,500
Total 1,500
63304 Computer Services and Su 0 14,000 13,100 650 20,850
[Entity] Budget Detail Desc.Note Total
[214] Adobe Subscription 450 450
[214] Constant Contact 200 200
Total 650
63305 Audio/Visual Services 0 2,000 2,000 0 0
63000 Purchased and Contract 0 16,200 15,300 25,400 25,400
64101 Travel and Conference 0 1,200 400 1,775 2,550
[Entity] Budget Detail Desc.Note Total
[214] Colorado Tourism - 1 attendees @ 625.00 625
[214] CO Creative Industries - 1 attendees @
$450.00
450
[214] DCI Annual Conf - 1 @ 500 500
[214] Travel - staff of two @ 100 200
Total 1,775
64102 Dues, Licenses and Memb 0 380 380 0 195
[Entity] Budget Detail Desc.Note Total
[214] NWCCOG 0
[214] PR Newswire 0
Total 0
64104 Meeting Expenses 0 400 400 700 600
[Entity] Budget Detail Desc.Note Total
[214] Creative District Meetings 200
[214] ED Advisory Committee Member Meetings 200
[214] Meetings with Business Owners 300
Total 700
64206 Cellular and Paging 0 705 705 790 790
[Entity] Budget Detail Desc.Note Total
[214] $65.83 x 12 months 790
Total 790
Section IV, Page C - 14
214 Economic Initiatives Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64301 Postage and Delivery 0 250 250 100 50
[Entity] Budget Detail Desc.Note Total
[214] Misc Mailings 100
Total 100
64901 Advertising and Legal Noti 0 0 0 29,050 14,450
[Entity] Budget Detail Desc.Note Total
[214] Print outlets(Vail Daily,Vail Lifestyle, What
to do, Parents handbook, Regal other
5,000
[214] Online - Colorado.com,mail chimp, TIGA
Airport, Street Media Busses
8,600
[214] Radio - local 3,000
[214] TV 8 2,000
[214] TOA Advertising General 5,000
[214] PR Newswire Distribution @ $490 per
release, 5 release
2,450
[214] Regal Hotel Guide 3,000
Total 29,050
64903 Economic Development C 0 4,000 4,000 500 0
[Entity] Budget Detail Desc.Note Total
[214] ED Programs MISC 500
Total 500
64000 Other Operating Costs 0 6,935 6,135 32,915 18,635
66402 Computers and Peripheral 0 0 1,225 1,800 0
[Entity] Budget Detail Desc.Note Total
[214] Laptop & Docking Station - Economic
Initiatives Director
1,800
Total 1,800
66000 Capital Outlay 0 0 1,225 1,800 0
60000T Total Expenditures & O 0 111,605 111,130 170,035 158,270
Section IV, Page C - 15
214 Economic Initiatives Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 74,290 75,566
61106 Paid out Leave 0 0 0 691 705
61121 PTS Wages 0 0 0 13,391 14,342
61151 Overtime Wages 0 0 0 1,500 1,500
61301 FT Pension 0 0 0 8,248 8,390
61302 PTS Pension 0 0 0 502 538
61304 Employee Assistance Prog 0 0 0 24 24
61401 FICA/Medicare 0 0 0 1,303 1,336
61501 Group Health and Life Insu 0 0 0 22,104 23,287
61505 Long-term Disability Insura 0 0 0 497 497
61507 Dental Insurance 0 0 0 2,039 2,154
61509 Worker's Compensation 0 0 0 1,275 1,307
61510 Unemployment Insurance 0 0 0 270 276
61000 Personnel Services 0 0 0 126,134 129,922
62302 Special Event Materials & 0 0 0 3,415 3,415
62801 Employee Recognition Exp 0 0 0 200 200
62802 Food and Beverages 0 0 0 2,800 2,800
62805 Clothing and Uniforms 0 0 0 2,555 200
62000 Commodities 0 0 0 8,970 6,615
63199 Other Professional Service 0 0 0 66,860 66,860
63203 Printing and Reproduction 0 0 0 2,700 2,700
63305 Audio/Visual Services 0 0 0 5,500 5,500
63306 Security Services 0 0 0 2,500 2,500
63549 R&M - Other Specialized E 0 0 0 800 800
63606 Rentals - Crowd & Traffic 0 0 0 7,400 7,400
63607 Rentals - Portable Facilitie 0 0 0 6,500 6,500
63999 Other Purchased and Cont 0 0 0 49,070 24,070
63000 Purchased and Contract 0 0 0 141,330 116,330
64101 Travel and Conference 0 0 0 1,075 1,795
64102 Dues, Licenses and Memb 0 0 0 795 795
64104 Meeting Expenses 0 0 0 650 650
64206 Cellular and Paging 0 0 0 624 624
64301 Postage and Delivery 0 0 0 50 50
64306 Permit and Licensing Fees 0 0 0 1,200 1,200
64402 Equipment Replacement C 0 0 0 1,467 1,467
64901 Advertising and Legal Noti 0 0 0 7,225 4,225
64000 Other Operating Costs 0 0 0 13,086 10,806
60000T Total Expenditures & O 0 0 0 289,520 263,673
Section IV, Page C - 16
215 Town Produced Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 74,290 75,566
61106 Paid out Leave 0 0 0 691 705
61121 PTS Wages 0 0 0 13,391 14,342
[Entity] Budget Detail Desc.Note Total
[215] 17 weeks;40 hours/week; 680 hours at
$19.69 (step 3)
13,391
[215] May 1 - Aug. 31 0
Total 13,391
61151 Overtime Wages 0 0 0 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[215] Salute Police 1,500
Total 1,500
61301 FT Pension 0 0 0 8,248 8,390
61302 PTS Pension 0 0 0 502 538
61304 Employee Assistance Prog 0 0 0 24 24
61401 FICA/Medicare 0 0 0 1,303 1,336
61501 Group Health and Life Insu 0 0 0 22,104 23,287
61505 Long-term Disability Insura 0 0 0 497 497
61507 Dental Insurance 0 0 0 2,039 2,154
61509 Worker's Compensation 0 0 0 1,275 1,307
61510 Unemployment Insurance 0 0 0 270 276
61000 Personnel Services 0 0 0 126,134 129,922
62302 Special Event Materials & 0 0 0 3,415 3,415
[Entity] Budget Detail Desc.Note Total
[215] Salute decorations 1,300
[215] Zero Hero Tents 1,450
[215] Collapsible bins 465
[215] Other misc. supplies 200
Total 3,415
62801 Employee Recognition Exp 0 0 0 200 200
[Entity] Budget Detail Desc.Note Total
[215] Volunteer recognition, incentives - 45
persons
200
Total 200
62802 Food and Beverages 0 0 0 2,800 2,800
[Entity] Budget Detail Desc.Note Total
[215] Salute VIP Hosp.2,500
[215] Volunteer water, snacks 300
Total 2,800
Section IV, Page C - 17
215 Town Produced Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62805 Clothing and Uniforms 0 0 0 2,555 200
[Entity] Budget Detail Desc.Note Total
[215] Replacement vests 200
[215] Apres Avon Beanies 120 at $19 each 2,280
[215] Set Up Charge 75
Total 2,555
62000 Commodities 0 0 0 8,970 6,615
63199 Other Professional Service 0 0 0 66,860 66,860
[Entity] Budget Detail Desc.Note Total
[215] Salute Fireworks 42,560
[215] Salute Performance Art 7,000
[215] Family Zone face painter/balloon sculptore 850
[215] Walking Mtn. resource recovery 1,400
[215] Guest Police officers 11,500
[215] Market research/survey 3,400
[215] Creative Services 150
Total 66,860
63203 Printing and Reproduction 0 0 0 2,700 2,700
[Entity] Budget Detail Desc.Note Total
[215] Salute credentials $500 500
[215] Posters 300
[215] Bridge Banner 400
[215] Banners/general decorations 1,500
Total 2,700
63305 Audio/Visual Services 0 0 0 5,500 5,500
[Entity] Budget Detail Desc.Note Total
[215] Salute sound engineer and equipment for
fireworks soundtrack
5,500
Total 5,500
63306 Security Services 0 0 0 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[215] Salute perimeter security 2,500
Total 2,500
63549 R&M - Other Specialized E 0 0 0 800 800
[Entity] Budget Detail Desc.Note Total
[215] Sound board, speakers, etc. cleaning,
replacement parts, service
800
Total 800
Section IV, Page C - 18
215 Town Produced Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63606 Rentals - Crowd & Traffic 0 0 0 7,400 7,400
[Entity] Budget Detail Desc.Note Total
[215] Salute chain link fencing 6,600
[215] Salute light towers for egress 800
Total 7,400
63607 Rentals - Portable Facilitie 0 0 0 6,500 6,500
[Entity] Budget Detail Desc.Note Total
[215] Salute dumpsters and restrooms 4,500
[215] Salute VIP tables/chairs 2,000
Total 6,500
63999 Other Purchased and Cont 0 0 0 49,070 24,070
[Entity] Budget Detail Desc.Note Total
[215] Admission fee balance total admission fee collected in
2014 was $$18652; total spent
on event support items was
$11,434. The balance of
$7218. These remaining funds
will reside in the stabalization
portion of unreserved fund
balance to be appropriated in
22,320
[215] Admission fee expenditures: coroplast
signs, metal A-frames
Coroplast $500; frames $250 750
[215] Salute/Calvary Chapel FZ 1,000
[215] 2015 AWSC 25,000
Total 49,070
63000 Purchased and Contract 0 0 0 141,330 116,330
64101 Travel and Conference 0 0 0 1,075 1,795
[Entity] Budget Detail Desc.Note Total
[215] CFEA Conference 375
[215] Hotel, travel, per diem 700
Total 1,075
64102 Dues, Licenses and Memb 0 0 0 795 795
[Entity] Budget Detail Desc.Note Total
[215] IFEA Membership Dues 795
Total 795
64104 Meeting Expenses 0 0 0 650 650
[Entity] Budget Detail Desc.Note Total
[215] Event Re-cap meetings 150
[215] Volunteer group meeting/training 400
[215] General business 100
Total 650
Section IV, Page C - 19
215 Town Produced Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64206 Cellular and Paging 0 0 0 624 624
[Entity] Budget Detail Desc.Note Total
[215] $51.98 x 12 months 624
Total 624
64301 Postage and Delivery 0 0 0 50 50
64306 Permit and Licensing Fees 0 0 0 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[215] ERFD tent inspections at Salute 75
[215] Eagle County event coordinator permit 75
[215] ASCAP 300
[215] SESAC 350
[215] BMI 400
Total 1,200
64402 Equipment Replacement C 0 0 0 1,467 1,467
[Entity] Budget Detail Desc.Note Total
[215] Annual Equipment Rental Charges 1,467
Total 1,467
64901 Advertising and Legal Noti 0 0 0 7,225 4,225
[Entity] Budget Detail Desc.Note Total
[215] Salute advertising 4,000
[215] Ad creation for Salute 225
[215] Apres Avon VD Spectator Guide $2000;
$1,000 for key 2015 dates in VD
3,000
Total 7,225
64000 Other Operating Costs 0 0 0 13,086 10,806
60000T Total Expenditures & O 0 0 0 289,520 263,673
Section IV, Page C - 20
215 Town Produced Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64902 Financial Support, Donatio 0 0 0 5,000 0
64000 Other Operating Costs 0 0 0 5,000 0
60000T Total Expenditures & O 0 0 0 5,000 0
Section IV, Page C - 21
216 Signature Event Seed Fundi Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64902 Financial Support, Donatio 0 0 0 5,000 0
[Entity] Budget Detail Desc.Note Total
[216] BALANCE DUE TO BONFIRE FOR
APRES AVON
5,000
Total 5,000
64000 Other Operating Costs 0 0 0 5,000 0
60000T Total Expenditures & O 0 0 0 5,000 0
Section IV, Page C - 22
216 Signature Event Seed Fundi Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64902 Financial Support, Donatio 0 0 0 197,850 200,000
64000 Other Operating Costs 0 0 0 197,850 200,000
60000T Total Expenditures & O 0 0 0 197,850 200,000
Section IV, Page C - 23
217 Community Grants Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64902 Financial Support, Donatio 0 0 0 197,850 200,000
[Entity] Budget Detail Desc.Note Total
[217] Economic Development: Regional 0
[217] Vail Valley Partnership 15,000
[217] Vail Leadership Institute Business Base Camp 17,500
[217] Vail Leadership Institute Rent Subsidy 10,000
[217] EGE Air Alliance 20,000
[217] Economic Development: Outside Cultural Events 0
[217] Walking Mountains Sustainable Film Series 7,500
[217] Radiate Live Reds, Whites, & Brews 6,000
[217] Beaver Creek Rodeo 5,000
[217] Vilar Performing Arts Center Programming 10,000
[217] Alpine Arts Center Social Art Series 14,400
[217] Economic Development: Outside Sporting Events 0
[217] Vail Valley Charitable Fund Bec Tri Triathlon 3,000
[217] Team Evergreen Triple Bypass Bike Ride 3,000
[217] Beaver Creek XTERRA 2,500
[217] America Cup Juniors Fly Fishing Championship 5,000
[217] Vail Valley Foundation FIS Men's Birds of Prey 40,000
[217] Regional Environmental Programs:0
[217] Walking Mountains Science School Programs 15,000
[217] Health & Human Services:0
[217] Eagle River Youth Coalition Parent Education and Outreach 4,000
[217] Red Ribbon HIV/AIDS Awareness 750
[217] Early Childhood Partners Coaching & Consulting 3,600
[217] Small Champions Recreational Programs for
Youth with Disabilities
5,600
[217] Salvation Army Community Garden 5,000
[217] Speak Out, Reach Out 5,000
Total 197,850
64000 Other Operating Costs 0 0 0 197,850 200,000
60000T Total Expenditures & O 0 0 0 197,850 200,000
Section IV, Page C - 24
217 Community Grants Town of Avon
Line Item Detail
Section IV, Page D-1
Fund: General
Dept: Police Department
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 1,940,918$ 2,054,392$ 2,054,392$ 2,270,179$ 2,354,050$
Commodities 97,162 119,384 137,024 125,909 134,245
Contract Services 33,763 38,146 40,679 42,095 44,695
Other Operating Costs 467,632 513,682 510,792 527,319 553,031
Capital Outlay - 14,070 14,070 27,375 13,800
Total 2,539,475$ 2,739,674$ 2,756,957$ 2,992,877$ 3,099,821$
Department Expenditures by Program
Administration 516,491$ 553,700$ 554,422$ 594,777$ 618,489$
Patrol 1,914,017 1,964,620 1,981,376 2,155,027 2,220,765
Investigation 108,967 221,354 221,159 243,073 260,567
Total 2,539,475$ 2,739,674$ 2,756,957$ 2,992,877$ 3,099,821$
Authorized Positions
Police Chief 1 1 1 1 1
Deputy Police Chief 1 1 1 1 1
Sergeant 3 3 3 3 3
Administrative Services Officer 2 2 2 2 2
Investigator/Detective 1 1 1 1 1
Officers 12 12 12 12 12
Total 20 20 20 20 20
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The Avon Police Department is a full service municipal law enforcement agency responsible for 24/7
police protection in the Town of Avon. The Department consists of 18 sworn police officers and two
(2) non-sworn employees. Avon Police employees, focus attention to the Department’s Mission
Statement and Goals on a day-to-day basis to ensure the safety and security of residents and visitors
in the community.
The Police Department is administered by the Police Chief, and is assisted by a Deputy Chief and three (3)
Sergeants. The Police Chief spends 90 % of the position’s time in general administration, with 10%
contributed to the oversight of community policing programs, including time on law enforcement committees
and organizations. The Police Chief provides general administration approximately 95% of time, with the
balance spent in the field. Each Patrol Sergeant oversees six (6) police officers, while the Detective Sergeant
supervises the detective and major programs such as Police Training.
Section IV, Page D-2
Fund: General
Dept: Police Department Budget Summary
1. Avon crime rates and traffic crash rates continue to trend downward with 2013 being some of the
was also the second lowest recorded and there were no recorded robberies for the third year in a row.
Motor vehicle thefts were recorded at 4 in 2013, up from 1 in 2012, which was the lowest previously
recorded. Assaults were slightly down in 2013 to 36, which was the lowest in history. Traffic crashes
increased 22% in 2013 to 174 compared to the all-time low of 142 in 2012. Traffic crashes for the
previous five years (2009-2013) have been the lowest number on record. DUI arrests were up 18% in
2013 to 105 from 89 in 2012.
2. For the first 6 months of 2014, crime rates and traffic crash rates continued to trend similar to
averages for 2011, 2012 and 2013 and remain near record lows.
3. Succesfully completed the 6th Annual Avon Police Citizen's Academy.
4. Successfully completed the 2nd Annual Latino Eagle County Citizen's Academy.
5. All supervisors have completed the International Association of Chiefs of Police (IACP)
6. Awarded the IACP Civil Rights Award for outstanding work in the immigrant community.
Estimated Personnel Time:20%
Estimated Nonpersonnel Costs:
Total Activity Cost:$
Performance Metric(s):Internal Survey; Community Survey
Estimated Personnel Time:65%
Estimated Nonpersonnel Costs: Total Activity Cost: Performance Metric(s):Police response times by type of call and seasonAnalysis of crime and traffic statistics/trends
Community Survey
Estimated Personnel Time:10%
Estimated Nonpersonnel Costs:
Total Activity Cost:
Performance Metric(s):Crime Clearance Rates
2014 MAJOR ACCOMPLISHMENTS
lowest rates in history. There were 11 burglaries in 2013, which was the second lowest annual tota
data has been recorded at the Police Department. Thefts (includes shoplifting) numbered 129, wh
Leadership in Police Organization (LPO) 3-week curriculum.
PROGRAM ACTIVITIES AND OPERATIONS
Administration: The Police Chief, Deputy Chief, and two (2) Administrative Services Officers are
responsible for the day-to-day operations of the Police Department, including interaction with Avon Town staff
on projects such as budget and department liaisons. Administration is responsible for managing the front
desk, customer service, accreditation, records management, outside government liaisons, evidence/property
management, policy/procedure, training, and support for police operations.
Patrol Operations: Patrol Operations are staffed by two (2) sergeants and twelve (12) patrol officers. These
teams are responsible for proactive patrol and response to emergencies and calls for service. Officers are
responsible for investigation of crimes to property and persons, including traffic enforcement, education, traffic
crash investigations and crime prevention/community outreach.
Investigations: The Investigations Division is staffed by one (1) Detective Sergeant and one (1) Detective.
The Detectives are responsible to support patrol operations, investigate major crimes, conduct background
investigations, administer the police training program, and provide administrative support to the Town Clerk
for licensing of businesses.
Section IV, Page D-3
Fund: General
Dept: Police Department Budget Summary
Estimated Personnel Time:5%
Estimated Nonpersonnel Costs:3,000$
Total Activity Cost:3,000$
Performance Metric(s):Internal Survey; Community Survey
Community Programs/Outreach: Community Policing is the philosophy of the Avon Police Department
and each member is responsible to Make a Difference in the community during every shift. These programs
include Community Outreach; Community Programs such as Citizens Academies/National Night Out;
Neighborhood Watch; School Programs; Public Safety/Community Committees, Task Forces and Coalitions.
Approximately 1,900 hours of Avon Police time is associated with community programs and outreach.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 312,878 326,554 326,554 352,670 368,659
61106 Paid out Leave 3,462 3,185 3,185 3,353 3,500
61151 Overtime Wages 969 3,000 3,000 3,000 3,000
61301 FT Pension 35,360 36,122 36,122 39,003 40,772
61304 Employee Assistance Prog 86 95 95 97 97
61401 FICA/Medicare 4,506 4,825 4,825 5,206 5,440
61501 Group Health and Life Insu 77,549 79,971 79,971 88,647 93,426
61505 Long-term Disability Insura 6,370 6,610 6,610 7,078 7,311
61507 Dental Insurance 6,575 7,314 7,314 8,154 8,616
61509 Worker's Compensation 7,507 8,185 8,185 8,824 9,142
61510 Unemployment Insurance 970 998 998 1,077 1,125
61000 Personnel Services 456,232 476,858 476,858 517,110 541,088
62401 Gasoline 3,220 3,160 3,160 3,160 3,160
62801 Employee Recognition Exp 535 500 500 80 80
62802 Food and Beverages 1,645 1,500 1,500 1,500 1,800
62805 Clothing and Uniforms 952 1,000 1,000 1,000 1,000
62807 Consumable Tools/Small 1,123 1,000 1,000 1,000 1,000
62808 Promotional, Informational 176 1,000 2,000 1,500 1,500
62901 Duplicating Supplies 174 600 600 200 200
62903 Data Processing Supplies 266 300 300 300 300
62904 Software 0 300 300 0 2,400
62905 Books and Periodicals 165 750 750 350 400
62999 Office Supplies and Materi 1,189 2,500 2,500 2,000 2,000
62000 Commodities 9,445 12,610 13,610 11,090 13,840
63203 Printing and Reproduction 3,652 4,100 4,533 2,800 2,800
63301 Medical Services and Exa 549 1,300 1,300 1,100 1,000
63302 Laboratory Services 1,595 1,300 1,300 1,300 1,500
63504 R&M - Office Equipment a 739 1,285 1,285 1,285 1,285
63506 R&M - Radios and Commu 0 200 200 200 200
63603 Rentals - Office Equipment 5,535 5,535 5,535 5,535 5,535
63999 Other Purchased and Cont 15,558 18,126 20,226 18,126 21,776
63000 Purchased and Contract 27,628 31,846 34,379 30,346 34,096
64101 Travel and Conference 7,783 9,000 6,500 9,000 6,500
64102 Dues, Licenses and Memb 2,218 2,000 2,000 2,500 2,500
64206 Cellular and Paging 1,934 1,260 1,260 1,244 1,244
64301 Postage and Delivery 939 1,300 1,300 1,100 1,100
64401 Fleet Maintenance Charge 2,360 4,780 4,469 4,879 5,364
64402 Equipment Replacement C 7,462 7,222 7,222 10,683 10,683
64403 Washbay Charges 490 624 624 624 624
64901 Advertising and Legal Noti 0 1,000 1,000 100 500
64000 Other Operating Costs 23,186 27,186 24,375 30,130 28,515
66402 Computers and Peripheral 0 5,200 5,200 950 950
66404 Furniture and Fixtures 0 0 0 5,151 0
66000 Capital Outlay 0 5,200 5,200 6,101 950
Section IV, Page D - 4
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
60000T Total Expenditures & O 516,491 553,700 554,422 594,777 618,489
Section IV, Page D - 5
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 312,878 326,554 326,554 352,670 368,659
61106 Paid out Leave 3,462 3,185 3,185 3,353 3,500
61151 Overtime Wages 969 3,000 3,000 3,000 3,000
[Entity] Budget Detail Desc.Note Total
[311] Victim Services, Evidence Call Out,
Administration Overtime
3,000
Total 3,000
61301 FT Pension 35,360 36,122 36,122 39,003 40,772
61304 Employee Assistance Prog 86 95 95 97 97
61401 FICA/Medicare 4,506 4,825 4,825 5,206 5,440
61501 Group Health and Life Insu 77,549 79,971 79,971 88,647 93,426
61505 Long-term Disability Insura 6,370 6,610 6,610 7,078 7,311
61507 Dental Insurance 6,575 7,314 7,314 8,154 8,616
61509 Worker's Compensation 7,507 8,185 8,185 8,824 9,142
61510 Unemployment Insurance 970 998 998 1,077 1,125
61000 Personnel Services 456,232 476,858 476,858 517,110 541,088
62401 Gasoline 3,220 3,160 3,160 3,160 3,160
[Entity] Budget Detail Desc.Note Total
[311] Gasoline for Vehicles 3,160
Total 3,160
62801 Employee Recognition Exp 535 500 500 80 80
[Entity] Budget Detail Desc.Note Total
[311] 20x4 80
Total 80
62802 Food and Beverages 1,645 1,500 1,500 1,500 1,800
[Entity] Budget Detail Desc.Note Total
[311] Seminars, Classes, Meetings 1,500
Total 1,500
62805 Clothing and Uniforms 952 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[311] Administration Uniforms 1,000
Total 1,000
62807 Consumable Tools/Small 1,123 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[311] Miscellaneous Equipment 1,000
Total 1,000
Section IV, Page D - 6
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62808 Promotional, Informational 176 1,000 2,000 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[311] Promotional and Marketing Materials,
NNO, Calendars, Water Bottles, Pens, Pins,
Crime Prevention Materials, Challenge Coins
1,500
Total 1,500
62901 Duplicating Supplies 174 600 600 200 200
[Entity] Budget Detail Desc.Note Total
[311] Copier, Paper, Toner, Misc.200
Total 200
62903 Data Processing Supplies 266 300 300 300 300
[Entity] Budget Detail Desc.Note Total
[311] Ink, Cartridges 300
Total 300
62904 Software 0 300 300 0 2,400
[Entity] Budget Detail Desc.Note Total
[311] Software Application 0
Total 0
62905 Books and Periodicals 165 750 750 350 400
[Entity] Budget Detail Desc.Note Total
[311] Muni Codes, Traffic Codes, Law
Enforcement Periodicals
350
Total 350
62999 Office Supplies and Materi 1,189 2,500 2,500 2,000 2,000
[Entity] Budget Detail Desc.Note Total
[311] Copier, CBI Computer, Paper 2,000
Total 2,000
62000 Commodities 9,445 12,610 13,610 11,090 13,840
63203 Printing and Reproduction 3,652 4,100 4,533 2,800 2,800
[Entity] Budget Detail Desc.Note Total
[311] Business Cards, Stationary, Manuals,
Pamphlets, Court Envelopes
2,800
Total 2,800
Section IV, Page D - 7
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63301 Medical Services and Exa 549 1,300 1,300 1,100 1,000
[Entity] Budget Detail Desc.Note Total
[311] Hepatitis/Drug Screens, Annual Physicals,
Fitness Program
1,100
Total 1,100
63302 Laboratory Services 1,595 1,300 1,300 1,300 1,500
[Entity] Budget Detail Desc.Note Total
[311] Pre-Employment Testing 1,300
Total 1,300
63504 R&M - Office Equipment a 739 1,285 1,285 1,285 1,285
[Entity] Budget Detail Desc.Note Total
[311] Copier, Computers, Printers, Shredder, 1,285
Total 1,285
63506 R&M - Radios and Commu 0 200 200 200 200
[Entity] Budget Detail Desc.Note Total
[311] Pagers, Radio, Cell Phone Repair & Maint.200
Total 200
63603 Rentals - Office Equipment 5,535 5,535 5,535 5,535 5,535
[Entity] Budget Detail Desc.Note Total
[311] Copier Lease ($461.24 x 12)5,535
Total 5,535
63999 Other Purchased and Cont 15,558 18,126 20,226 18,126 21,776
[Entity] Budget Detail Desc.Note Total
[311] Accredidation Fee 3,626
[311] Vehicle Towing 3,100
[311] ECAC Contract 11,400
Total 18,126
63000 Purchased and Contract 27,628 31,846 34,379 30,346 34,096
64101 Travel and Conference 7,783 9,000 6,500 9,000 6,500
[Entity] Budget Detail Desc.Note Total
[311] Validated (8/21/2014)9,000
[311] D.C. Leadership and SWAT Training,
Highway Safety Committee and POST CST
Training, Records Certification, Evidence
Certification and IACP Conference
0
Total 9,000
Section IV, Page D - 8
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64102 Dues, Licenses and Memb 2,218 2,000 2,000 2,500 2,500
[Entity] Budget Detail Desc.Note Total
[311] International Chiefs of Police, Colorado
Chiefs, Drug Recognition Expert Fees,
Community Partnership w/ Rotary, FBI NA,
2,500
Total 2,500
64206 Cellular and Paging 1,934 1,260 1,260 1,244 1,244
[Entity] Budget Detail Desc.Note Total
[311] $103.63 x 12 months 1,244
Total 1,244
64301 Postage and Delivery 939 1,300 1,300 1,100 1,100
[Entity] Budget Detail Desc.Note Total
[311] Postage and Cost of Delivery of Evidence
Items to CBI for Testing
1,100
Total 1,100
64401 Fleet Maintenance Charge 2,360 4,780 4,469 4,879 5,364
[Entity] Budget Detail Desc.Note Total
[311] Annual Fleet Maintenance Charges 4,879
Total 4,879
64402 Equipment Replacement C 7,462 7,222 7,222 10,683 10,683
[Entity] Budget Detail Desc.Note Total
[311] Annual Equipment Rental Charges 10,683
Total 10,683
64403 Washbay Charges 490 624 624 624 624
[Entity] Budget Detail Desc.Note Total
[311] Annual Washbay Charges - 1 vehicle 624
Total 624
64901 Advertising and Legal Noti 0 1,000 1,000 100 500
[Entity] Budget Detail Desc.Note Total
[311] Recruit Advertising 100
Total 100
64000 Other Operating Costs 23,186 27,186 24,375 30,130 28,515
66402 Computers and Peripheral 0 5,200 5,200 950 950
[Entity] Budget Detail Desc.Note Total
[311] Desktop Replacement - Police Chief 950
Total 950
Section IV, Page D - 9
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66404 Furniture and Fixtures 0 0 0 5,151 0
[Entity] Budget Detail Desc.Note Total
[311] 2 Desk Chairs @ $253 ea 506
[311] 2 Gas Lift Dual Monitor Arm @ $302 ea 604
[311] 9 Desk Chairs @ $449 ea 4,041
Total 5,151
66000 Capital Outlay 0 5,200 5,200 6,101 950
60000T Total Expenditures & O 516,491 553,700 554,422 594,777 618,489
Section IV, Page D - 10
311 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 851,919 836,058 836,058 915,583 957,946
61106 Paid out Leave 14,633 8,261 8,261 8,675 9,135
61151 Overtime Wages 98,308 105,500 105,500 123,450 97,900
61156 Extra Duty Pay 17,714 12,000 12,000 13,000 18,000
61301 FT Pension 91,285 92,304 92,304 101,046 105,728
61304 Employee Assistance Prog 333 328 328 341 338
61401 FICA/Medicare 13,786 13,946 13,946 15,380 15,703
61501 Group Health and Life Insu 230,061 228,381 228,381 265,212 279,426
61505 Long-term Disability Insura 19,726 21,602 21,602 23,658 24,753
61507 Dental Insurance 19,153 19,800 19,800 23,328 24,667
61509 Worker's Compensation 32,420 30,404 30,404 33,297 34,838
61510 Unemployment Insurance 2,929 2,885 2,885 3,182 3,249
61000 Personnel Services 1,392,267 1,371,469 1,371,469 1,526,151 1,571,683
62101 Police Operating and Field 3,306 3,000 3,000 5,000 4,000
62102 Firearms and Weapons Su 9,910 19,400 19,400 22,125 26,875
62401 Gasoline 40,886 48,980 48,980 48,980 48,980
62804 Training Supplies 270 500 500 5,000 2,000
62805 Clothing and Uniforms 17,143 13,200 16,726 13,600 14,600
62806 Safety Materials and Suppl 11,632 12,400 23,352 12,400 15,400
62807 Consumable Tools/Small 749 0 2,162 2,600 2,600
62809 Medical Supplies and 1st 382 1,000 1,000 400 400
62811 Communications Supplies 0 3,330 3,330 0 0
62902 Audio/Visual Supplies 0 150 150 100 0
62000 Commodities 84,279 101,960 118,600 110,205 114,855
63302 Laboratory Services 3,645 5,200 5,200 8,000 7,000
63304 Computer Services and Su 0 0 0 2,399 2,399
63549 R&M - Other Specialized E 0 500 500 150 0
63000 Purchased and Contract 3,645 5,700 5,700 10,549 9,399
64101 Travel and Conference 10,964 15,000 19,185 16,000 16,000
64103 Mileage Reimbursement 107 0 0 0 0
64206 Cellular and Paging 10,960 17,000 17,000 4,937 4,937
64401 Fleet Maintenance Charge 68,102 62,500 58,431 63,185 69,470
64402 Equipment Replacement C 81,871 82,762 82,762 87,194 106,806
64403 Washbay Charges 5,330 7,488 7,488 7,488 7,488
64901 Advertising and Legal Noti 0 500 500 500 100
64904 Operating Fees, Assessm 256,491 291,371 291,371 307,544 309,077
64000 Other Operating Costs 433,825 476,621 476,737 486,848 513,878
66402 Computers and Peripheral 0 2,200 2,200 1,900 950
66405 Radios and Communicatio 0 6,670 6,670 19,374 10,000
66000 Capital Outlay 0 8,870 8,870 21,274 10,950
60000T Total Expenditures & O 1,914,017 1,964,620 1,981,376 2,155,027 2,220,765
Section IV, Page D - 11
312 Patrol Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 851,919 836,058 836,058 915,583 957,946
61106 Paid out Leave 14,633 8,261 8,261 8,675 9,135
61151 Overtime Wages 98,308 105,500 105,500 123,450 97,900
[Entity] Budget Detail Desc.Note Total
[312] Hi Vis/LEAF 36,000
[312] ERYC 8,500
[312] Click It or Ticket Day Time/Night Time 8,000
[312] Special Events 0
[312] Winter Wondergrass 4 Officers x 9 hrs x 3 days x
$50/hr
5,400
[312] Reds, Whites, and Brews 23 hrs x $50/hr 1,150
[312] Man of the Cliff 2 Officers x 6 hrs x 2 days x
$50/hr
1,200
[312] Investigations, Court, Report Writing, 56,000
[312] 2015 WASC 1.5 Officers x 8 hrs x 12 days x
$50/hr
7,200
Total 123,450
61156 Extra Duty Pay 17,714 12,000 12,000 13,000 18,000
[Entity] Budget Detail Desc.Note Total
[312] Extra Duty Contracts 13,000
Total 13,000
61301 FT Pension 91,285 92,304 92,304 101,046 105,728
61304 Employee Assistance Prog 333 328 328 341 338
61401 FICA/Medicare 13,786 13,946 13,946 15,380 15,703
61501 Group Health and Life Insu 230,061 228,381 228,381 265,212 279,426
61505 Long-term Disability Insura 19,726 21,602 21,602 23,658 24,753
61507 Dental Insurance 19,153 19,800 19,800 23,328 24,667
61509 Worker's Compensation 32,420 30,404 30,404 33,297 34,838
61510 Unemployment Insurance 2,929 2,885 2,885 3,182 3,249
61000 Personnel Services 1,392,267 1,371,469 1,371,469 1,526,151 1,571,683
62101 Police Operating and Field 3,306 3,000 3,000 5,000 4,000
[Entity] Budget Detail Desc.Note Total
[312] Training Equipment, Intox Supplies, Taser
Batteries
5,000
Total 5,000
62102 Firearms and Weapons Su 9,910 19,400 19,400 22,125 26,875
[Entity] Budget Detail Desc.Note Total
[312] Firearm Supplies, Shotgun Shells, Bullets,
Rifle Repairs, Cleaning Supplies, Targets, Less
Than Lethal Forces Munitions
14,000
[312] 6 Tasers 7,125
[312] SOU Firearms 1,000
Total 22,125
Section IV, Page D - 12
312 Patrol Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62401 Gasoline 40,886 48,980 48,980 48,980 48,980
[Entity] Budget Detail Desc.Note Total
[312] Gasoline for Patrol Cars 48,980
Total 48,980
62804 Training Supplies 270 500 500 5,000 2,000
[Entity] Budget Detail Desc.Note Total
[312] RED Guns, Pad Replacement 5,000
Total 5,000
62805 Clothing and Uniforms 17,143 13,200 16,726 13,600 14,600
[Entity] Budget Detail Desc.Note Total
[312] Uniforms $600 x 16 9,600
[312] Misc. Uniforms, Leather Gear, Equipment 3,000
[312] SOU Uniform Replacement Uniforms 1,000
Total 13,600
62806 Safety Materials and Suppl 11,632 12,400 23,352 12,400 15,400
[Entity] Budget Detail Desc.Note Total
[312] New Replacement Ballistic Vests, Flares,
Cones, Safety Equipment
3 vests (50% grant funded)12,400
Total 12,400
62807 Consumable Tools/Small 749 0 2,162 2,600 2,600
[Entity] Budget Detail Desc.Note Total
[312] Narcotics Testing Eq, NIK Kits, Swabs 1,300
[312] SOU Equipment 1,300
Total 2,600
62809 Medical Supplies and 1st 382 1,000 1,000 400 400
[Entity] Budget Detail Desc.Note Total
[312] Blood and Urine Test Equipment, 1st Aid
Replacement
400
Total 400
62811 Communications Supplies 0 3,330 3,330 0 0
62902 Audio/Visual Supplies 0 150 150 100 0
[Entity] Budget Detail Desc.Note Total
[312] Supplies 100
Total 100
62000 Commodities 84,279 101,960 118,600 110,205 114,855
63302 Laboratory Services 3,645 5,200 5,200 8,000 7,000
Section IV, Page D - 13
312 Patrol Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[312] Toxicology Testing, Blood and Urine 8,000
Total 8,000
63304 Computer Services and Su 0 0 0 2,399 2,399
[Entity] Budget Detail Desc.Note Total
[312] Livescan Fingerprint System Maintenance 2,399
Total 2,399
63549 R&M - Other Specialized E 0 500 500 150 0
[Entity] Budget Detail Desc.Note Total
[312] Radar 150
Total 150
63000 Purchased and Contract 3,645 5,700 5,700 10,549 9,399
64101 Travel and Conference 10,964 15,000 19,185 16,000 16,000
[Entity] Budget Detail Desc.Note Total
[312] Academy, Misc Training, Bike Patrol,
Community Policing, SRO, Police Liability,
Search and Seizure
16,000
Total 16,000
64103 Mileage Reimbursement 107 0 0 0 0
64206 Cellular and Paging 10,960 17,000 17,000 4,937 4,937
[Entity] Budget Detail Desc.Note Total
[312] $411.40 x 12 months 4,937
Total 4,937
64401 Fleet Maintenance Charge 68,102 62,500 58,431 63,185 69,470
[Entity] Budget Detail Desc.Note Total
[312] Annual Fleet Maintenance Charges 63,185
Total 63,185
64402 Equipment Replacement C 81,871 82,762 82,762 87,194 106,806
[Entity] Budget Detail Desc.Note Total
[312] Annual Equipment Rental Charges 87,194
Total 87,194
64403 Washbay Charges 5,330 7,488 7,488 7,488 7,488
[Entity] Budget Detail Desc.Note Total
[312] Annual Washbay Charges - 12 vehicles 7,488
Total 7,488
Section IV, Page D - 14
312 Patrol Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64901 Advertising and Legal Noti 0 500 500 500 100
[Entity] Budget Detail Desc.Note Total
[312] New Officer Recruitment Pamphlets 500
Total 500
64904 Operating Fees, Assessm 256,491 291,371 291,371 307,544 309,077
[Entity] Budget Detail Desc.Note Total
[312] Crime Stoppers 500
[312] Clancy 3,120
[312] Detox Facility 19,567
[312] Boarding Prisoners 750
[312] 800 MHz System Fee 33,642
[312] Vail Dispatch Services 238,025
[312] Raids On Line, Evidence On Q, Livescan 3,800
[312] AED Concierge Program 720
[312] E-Ticketing $400 handsets maint fee x 6,
$1000 interface maint fee for
3,400
[312] Body Camera Annual Fees; 13x180;5x300 4,020
Total 307,544
64000 Other Operating Costs 433,825 476,621 476,737 486,848 513,878
66402 Computers and Peripheral 0 2,200 2,200 1,900 950
[Entity] Budget Detail Desc.Note Total
[312] Desktop Replacements - 2 @ $950 ea. Police Officers 1,900
Total 1,900
66405 Radios and Communicatio 0 6,670 6,670 19,374 10,000
[Entity] Budget Detail Desc.Note Total
[312] Mobile Radios (2)10,000
[312] Body Cameras 16x399; 2x1495 docking
stations
9,374
Total 19,374
66000 Capital Outlay 0 8,870 8,870 21,274 10,950
60000T Total Expenditures & O 1,914,017 1,964,620 1,981,376 2,155,027 2,220,765
Section IV, Page D - 15
312 Patrol Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 62,378 133,889 133,889 145,470 155,188
61106 Paid out Leave 0 1,309 1,309 1,401 1,512
61151 Overtime Wages 5,001 9,000 9,000 12,000 12,500
61301 FT Pension 6,749 14,780 14,780 16,056 17,131
61304 Employee Assistance Prog 24 48 48 49 48
61401 FICA/Medicare 957 2,091 2,091 2,304 2,453
61501 Group Health and Life Insu 12,317 33,308 33,308 36,904 38,891
61505 Long-term Disability Insura 1,523 3,459 3,459 3,759 4,010
61507 Dental Insurance 1,047 2,879 2,879 3,209 3,393
61509 Worker's Compensation 2,222 4,869 4,869 5,290 5,644
61510 Unemployment Insurance 202 433 433 477 508
61000 Personnel Services 92,420 206,065 206,065 226,918 241,279
62101 Police Operating and Field 540 2,500 2,500 1,700 2,000
62401 Gasoline 2,263 1,264 1,264 1,264 2,500
62805 Clothing and Uniforms 496 400 400 1,200 700
62806 Safety Materials and Suppl 0 200 200 200 200
62807 Consumable Tools/Small 137 250 250 150 150
62902 Audio/Visual Supplies 0 200 200 100 0
62000 Commodities 3,437 4,814 4,814 4,614 5,550
63301 Medical Services and Exa 2,490 600 600 1,200 1,200
63000 Purchased and Contract 2,490 600 600 1,200 1,200
64206 Cellular and Paging 265 1,200 1,200 665 665
64401 Fleet Maintenance Charge 4,622 3,000 2,805 2,985 3,282
64402 Equipment Replacement C 5,244 4,427 4,427 5,443 5,443
64403 Washbay Charges 490 1,248 1,248 1,248 1,248
64000 Other Operating Costs 10,620 9,875 9,680 10,341 10,638
66402 Computers and Peripheral 0 0 0 0 1,900
66000 Capital Outlay 0 0 0 0 1,900
60000T Total Expenditures & O 108,967 221,354 221,159 243,073 260,567
Section IV, Page D - 16
313 Investigation Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 62,378 133,889 133,889 145,470 155,188
61106 Paid out Leave 0 1,309 1,309 1,401 1,512
61151 Overtime Wages 5,001 9,000 9,000 12,000 12,500
[Entity] Budget Detail Desc.Note Total
[313] Investigator's Overtime 12,000
Total 12,000
61301 FT Pension 6,749 14,780 14,780 16,056 17,131
61304 Employee Assistance Prog 24 48 48 49 48
61401 FICA/Medicare 957 2,091 2,091 2,304 2,453
61501 Group Health and Life Insu 12,317 33,308 33,308 36,904 38,891
61505 Long-term Disability Insura 1,523 3,459 3,459 3,759 4,010
61507 Dental Insurance 1,047 2,879 2,879 3,209 3,393
61509 Worker's Compensation 2,222 4,869 4,869 5,290 5,644
61510 Unemployment Insurance 202 433 433 477 508
61000 Personnel Services 92,420 206,065 206,065 226,918 241,279
62101 Police Operating and Field 540 2,500 2,500 1,700 2,000
[Entity] Budget Detail Desc.Note Total
[313] DUI Blood Storage Refrigerator
Equipment, Investigative Supplies
1,700
Total 1,700
62401 Gasoline 2,263 1,264 1,264 1,264 2,500
[Entity] Budget Detail Desc.Note Total
[313] Gasoline for Vehicle 1,264
Total 1,264
62805 Clothing and Uniforms 496 400 400 1,200 700
[Entity] Budget Detail Desc.Note Total
[313] Miscellaneous Uniforms 1,200
Total 1,200
62806 Safety Materials and Suppl 0 200 200 200 200
[Entity] Budget Detail Desc.Note Total
[313] Gloves, PPE, Decontamination Wipes 200
Total 200
62807 Consumable Tools/Small 137 250 250 150 150
[Entity] Budget Detail Desc.Note Total
[313] Miscellaneous 150
Total 150
Section IV, Page D - 17
313 Investigation Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62902 Audio/Visual Supplies 0 200 200 100 0
[Entity] Budget Detail Desc.Note Total
[313] Video and Audio for Court 100
Total 100
62000 Commodities 3,437 4,814 4,814 4,614 5,550
63301 Medical Services and Exa 2,490 600 600 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[313] Sex Assault Medical Services 1,200
Total 1,200
63000 Purchased and Contract 2,490 600 600 1,200 1,200
64206 Cellular and Paging 265 1,200 1,200 665 665
[Entity] Budget Detail Desc.Note Total
[313] $55.45 x 12 months 665
Total 665
64401 Fleet Maintenance Charge 4,622 3,000 2,805 2,985 3,282
[Entity] Budget Detail Desc.Note Total
[313] Annual Fleet Maintenance Charges 2,985
Total 2,985
64402 Equipment Replacement C 5,244 4,427 4,427 5,443 5,443
[Entity] Budget Detail Desc.Note Total
[313] Annual Equipment Rental Charges 5,443
Total 5,443
64403 Washbay Charges 490 1,248 1,248 1,248 1,248
[Entity] Budget Detail Desc.Note Total
[313] Annual Washbay Charges - 2 Vehicles 1,248
Total 1,248
64000 Other Operating Costs 10,620 9,875 9,680 10,341 10,638
66402 Computers and Peripheral 0 0 0 0 1,900
66000 Capital Outlay 0 0 0 0 1,900
Section IV, Page D - 18
313 Investigation Town of Avon
Line Item Detail
60000T Total Expenditures & O 108,967 221,354 221,159 243,073 260,567
Section IV, Page D - 19
313 Investigation Town of Avon
Line Item Detail
THIS PAGE INTENTIONALLY LEFT BLANK
Section IV, Page E-1
Fund: General
Dept: Road and Bridge
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 514,256$ 535,611$ 492,166$ 547,302$ 569,145$
Commodities 154,734 194,944 194,944 231,283 217,289
Contract Services 211,737 250,767 250,767 316,370 305,888
Other Operating Costs 339,924 393,994 361,515 377,421 390,541
Total Debt Service 121,826 - - - -
Capital Outlay 23,959 2,200 2,200 950 2,200
Total 1,366,436$ 1,377,516$ 1,301,592$ 1,473,326$ 1,485,063$
Department Expenditures by Program
Roads and Bridges 1,366,436$ 1,377,516$ 1,301,592$ 1,473,326$ 1,485,063$
Total 1,366,436$ 1,377,516$ 1,301,592$ 1,473,326$ 1,485,063$
Authorized Positions
Road and Bridge Superintendent 1 1 1 1 1
Maintenance Supervisor 1 1 0 0 0
Operator II 0 0 1 1 1
Operator I 5 5 4 4 4
Total 7 7 6 6 6
1. Developed prioritized work plan for the year.
2. Accomplished complete clean-up of Town core and Metcalf Road cinders.
3. Completed Phase 1 Post Boulevard clean-up.
4. Completed Segment 2 of Ditch Maintenance in-house, saving the Town $80,000 in contract labor.
5. Developed new snowplow schedule to reduce overtime, maximize CDL scheduling and increase service
6. Provided traffic control for major project work and produced new street signs.
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
2014 MAJOR ACCOMPLISHMENTS
The Road and Bridge Department is responsible for maintenance of over 60 lane miles of streets and
roads, six bridges, two railraod overpasses, eight miles of sidewalk and the Town's major storm water
infrastructure.
The Department is managed on a day-to-day basis by the Road and Bridge Superintendent, who reports
directly to the Town Manager. The Superintendent spends approximately 75% in general department
administration, including developing work plans and work supervision. Right-of-way and snow removal permit
administration and inspection of permits takes 20% of the position's time, with the balance working in the field.
Section IV, Page E-2
Estimated Personnel Time:95%
Estimated Nonpersonnel Costs:-$
Total Activity Cost:114,674$
Performance Metric(s):Internal Survey
Estimated Personnel Time:30%
Estimated Nonpersonnel Costs:277,807$
Total Activity Cost:407,595$
Performance Metric(s):Cost per lane mile
Community Survey
Estimated Personnel Time:17%
Estimated Nonpersonnel Costs:157,424$
Total Activity Cost:230,971$
Performance Metric(s):Cost per linear foot
Estimated Personnel Time:50%
Estimated Nonpersonnel Costs:463,012$
Total Activity Cost:679,326$
Performance Metric(s):Internal Survey
Community Survey
Estimated Personnel Time:3%
Estimated Nonpersonnel Costs:27,781$
Total Activity Cost:40,760$
Performance Metric(s):95% working lights at all times
PROGRAM ACTIVITIES AND OPERATIONS
Administration: Includes management of ROW permit program, including inspections of construction sites,
utility projects, budgetary planning and approval of travel, training and conferences. Manages contract work,
locate requests and oversight of snow plow schedules and service levels and summer work programs,
including ditch maintenance and noxious weed program.
Snow Removal Operations: Snow and ice removal on all streets, roads and bridges, including traffic
enforcement, education, traffic crash investigations and crime prevention/community outreach.
Ditch Maintenance: Maintenance of the Town's major storm water system, includes traffic control and
cleaning of ditches and hauling of waste.
General Road Maintenance: Work includes guardrail repair, utility locates, Special Event assistance, street
sweeping, including cinder pick-up, street striping, sign production and maintenance, banner placement,and
weed control.
Street Light Maintenance: Includes contracts for outside electrical firms and materials for maintenance of
the Town's exterior street lights and interior building lights. Personnel, other than 2% for Road and Bridge
Supervisor is in the Parks and Recreation Budget.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 307,930 309,736 285,699 318,268 330,613
61106 Paid out Leave 7,023 8,099 7,753 3,040 3,263
61151 Overtime Wages 22,231 24,000 24,000 36,000 36,000
61301 FT Pension 33,972 34,962 32,280 35,344 36,726
61304 Employee Assistance Prog 160 157 141 146 145
61401 FICA/Medicare 4,736 4,957 4,603 5,181 5,363
61501 Group Health and Life Insu 108,021 121,960 108,753 117,547 123,849
61505 Long-term Disability Insura 2,616 2,663 2,437 2,645 2,735
61507 Dental Insurance 9,193 11,000 9,781 10,494 11,094
61509 Worker's Compensation 17,363 17,053 15,767 17,564 18,246
61510 Unemployment Insurance 1,011 1,026 952 1,072 1,110
61000 Personnel Services 514,256 535,611 492,166 547,302 569,145
62201 Street Repair and Mainten 9,234 18,500 18,500 18,500 18,500
62202 Sand and Gravel 44,931 48,000 48,000 48,000 48,000
62203 Street Sign Materials and 9,938 25,400 25,400 25,750 25,750
62205 Plumbing and Electrical Su 13,973 15,072 15,072 46,007 35,987
62305 Chemicals 16,652 22,500 22,500 26,564 22,500
62401 Gasoline 9,141 8,927 8,927 8,927 8,927
62402 Diesel 40,915 40,000 40,000 40,800 40,800
62801 Employee Recognition Exp 0 140 140 300 300
62802 Food and Beverages 958 1,605 1,605 1,605 1,605
62804 Training Supplies 0 200 200 200 200
62805 Clothing and Uniforms 2,392 3,200 3,200 3,180 3,280
62806 Safety Materials and Suppl 1,275 1,700 1,700 1,550 1,700
62807 Consumable Tools/Small 3,731 8,000 8,000 8,100 7,940
62899 Other Miscellaneous Oper 929 1,000 1,000 1,000 1,000
62999 Office Supplies and Materi 666 700 700 800 800
62000 Commodities 154,734 194,944 194,944 231,283 217,289
63301 Medical Services and Exa 0 1,000 1,000 1,000 1,000
63502 R&M - Streets 82,013 93,000 93,000 105,000 106,000
63504 R&M - Office Equipment a 41 1,000 1,000 1,000 1,000
63506 R&M - Radios and Commu 7,878 8,450 8,450 10,152 9,670
63603 Rentals - Office Equipment 1,757 1,917 1,917 1,918 1,918
63608 Rentals - Machinery and E 0 500 500 500 500
63999 Other Purchased and Cont 120,048 144,900 144,900 196,800 185,800
63000 Purchased and Contract 211,737 250,767 250,767 316,370 305,888
64101 Travel and Conference 461 7,700 7,700 12,200 11,400
64102 Dues, Licenses and Memb 384 338 338 438 438
64201 Telephone & Long-distanc 1,183 1,300 1,300 725 1,300
64203 Electric 33,864 41,800 41,800 41,800 41,800
64206 Cellular and Paging 5,077 1,488 1,488 1,302 1,302
64301 Postage and Delivery 21 150 150 50 150
64401 Fleet Maintenance Charge 180,716 208,200 171,840 185,825 204,302
64402 Equipment Replacement C 75,932 86,254 86,254 86,700 79,965
64403 Washbay Charges 7,472 10,764 10,764 10,764 10,764
64902 Financial Support, Donatio 29,454 36,000 36,000 37,617 39,120
64906 Insurance Deductibles 5,360 0 0 0 0
64907 Paid Claims 0 0 3,881 0 0
Section IV, Page E - 3
413 Roads and Bridges Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64000 Other Operating Costs 339,924 393,994 361,515 377,421 390,541
65201 Capital Lease Payments 121,826 0 0 0 0
65000 Debt Services 121,826 0 0 0 0
66402 Computers and Peripheral 0 2,200 2,200 950 2,200
66499 Other Machinery and Equi 23,959 0 0 0 0
66000 Capital Outlay 23,959 2,200 2,200 950 2,200
60000T Total Expenditures & O 1,366,436 1,377,516 1,301,592 1,473,326 1,485,063
Section IV, Page E - 4
413 Roads and Bridges Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 307,930 309,736 285,699 318,268 330,613
61106 Paid out Leave 7,023 8,099 7,753 3,040 3,263
61151 Overtime Wages 22,231 24,000 24,000 36,000 36,000
[Entity] Budget Detail Desc.Note Total
[413] Ovetime wages park staff working for R/B in
winter time
36,000
Total 36,000
61301 FT Pension 33,972 34,962 32,280 35,344 36,726
61304 Employee Assistance Prog 160 157 141 146 145
61401 FICA/Medicare 4,736 4,957 4,603 5,181 5,363
61501 Group Health and Life Insu 108,021 121,960 108,753 117,547 123,849
61505 Long-term Disability Insura 2,616 2,663 2,437 2,645 2,735
61507 Dental Insurance 9,193 11,000 9,781 10,494 11,094
61509 Worker's Compensation 17,363 17,053 15,767 17,564 18,246
61510 Unemployment Insurance 1,011 1,026 952 1,072 1,110
61000 Personnel Services 514,256 535,611 492,166 547,302 569,145
62201 Street Repair and Mainten 9,234 18,500 18,500 18,500 18,500
[Entity] Budget Detail Desc.Note Total
[413] Pre Mark Striping 3,500
[413] Replenish Guardrail Material 5,000
[413] Asphalt/Cold Patch 3,000
[413] Brick Sealer-Crosswalks 5,000
[413] Street Paint 2,000
Total 18,500
62202 Sand and Gravel 44,931 48,000 48,000 48,000 48,000
[Entity] Budget Detail Desc.Note Total
[413] Cinders 42,000
[413] Shoulder Material 6,000
Total 48,000
62203 Street Sign Materials and 9,938 25,400 25,400 25,750 25,750
[Entity] Budget Detail Desc.Note Total
[413] Wood Posts 100 @ $70 Price has gone up in 2014 7,000
[413] Sign Materials 6,600
[413] Construction Signs (Vil)500
[413] Replenish Cones and Barrels 1,500
[413] Stains, Paints, Brushes 750
[413] Steel Posts 17@ 200 3,400
[413] Delineators, Reflectors 6,000
Total 25,750
62205 Plumbing and Electrical Su 13,973 15,072 15,072 46,007 35,987
[Entity] Budget Detail Desc.Note Total
[413] 40' Light Poles 2 @ $3500 each 7,000
[413] Path lights 3 @ $1337 each/lot 5 fixture 4,011
[413] Hardware Added Village at Avon lights 4,240
Section IV, Page E - 5
413 Roads and Bridges Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[413] Bulbs Added Village at Avon 2,860
[413] Ballasts Added Village at Avon 7,000
[413] Avon Road Light Poles (Single) $2322
each x 2
Added new light poles 4,644
[413] Avon Road Light Poles (Double) $3116
each x 2
Added new llight poles 6,232
[413] Fixture Heads @ $1670 each Fixture heads for 6 light poles
that are in stock without fixture
10,020
Total 46,007
62305 Chemicals 16,652 22,500 22,500 26,564 22,500
[Entity] Budget Detail Desc.Note Total
[413] Ice Slicer 21,000
[413] Neutralizer 500
[413] Weed Killer 1,000
[413] Neutro Wash/Lubra Seal chemicals to wash equipment
and sanding units
4,064
Total 26,564
62401 Gasoline 9,141 8,927 8,927 8,927 8,927
[Entity] Budget Detail Desc.Note Total
[413] Unleaded Fuel 8,927
Total 8,927
62402 Diesel 40,915 40,000 40,000 40,800 40,800
[Entity] Budget Detail Desc.Note Total
[413] Diesel Fuel Price up 2%40,800
Total 40,800
62801 Employee Recognition Exp 0 140 140 300 300
[Entity] Budget Detail Desc.Note Total
[413] Employee Recognition $20 x 15 Park Staff working for R/B 6
months
300
Total 300
62802 Food and Beverages 958 1,605 1,605 1,605 1,605
[Entity] Budget Detail Desc.Note Total
[413] Food and Beverage Lunch Winter In-Service
Meeting, End of Season
855
[413] Coffee Service 750
Total 1,605
62804 Training Supplies 0 200 200 200 200
[Entity] Budget Detail Desc.Note Total
[413] Video Rental, Safety handouts 200
Total 200
Section IV, Page E - 6
413 Roads and Bridges Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62805 Clothing and Uniforms 2,392 3,200 3,200 3,180 3,280
[Entity] Budget Detail Desc.Note Total
[413] Uniforms, Hats, Shirts 7 @ $100 each plus
$100 set up fee
additional cost of $100, set up
fee for new logo
800
[413] 7 Bibs @ $150 each 7 x $135 each plus $15 each for
set up fee for new logo
1,050
[413] 7 Coats @ $190 each 7 x $175 each plus $15 each for
set up fee of new logo
1,330
Total 3,180
62806 Safety Materials and Suppl 1,275 1,700 1,700 1,550 1,700
[Entity] Budget Detail Desc.Note Total
[413] First Aid Supplies 300
[413] Barricade Lights 200
[413] Personal Protective Equipment 7 @ $150 1,050
Total 1,550
62807 Consumable Tools/Small 3,731 8,000 8,000 8,100 7,940
[Entity] Budget Detail Desc.Note Total
[413] Miscellaneous Hardware 1,000
[413] 2 Power Brooms 1,600
[413] Air Tools 1,200
[413] Hand Carry Portable Generator 1,000
[413] Hand Tools 800
[413] Asphalt Tools 500
[413] Electrical Field Tools 2,000
Total 8,100
62899 Other Miscellaneous Oper 929 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[413] Miscellaneous Hardware 600
[413] Bracket Hardware 400
Total 1,000
62999 Office Supplies and Materi 666 700 700 800 800
[Entity] Budget Detail Desc.Note Total
[413] Printer, Copier, Flyers and Supplies Park staff working with R/B for 6
mo.
800
Total 800
62000 Commodities 154,734 194,944 194,944 231,283 217,289
63301 Medical Services and Exa 0 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[413] DOT Physicals 300
[413] Random Drug 350
[413] Random Alcohol 350
Total 1,000
Section IV, Page E - 7
413 Roads and Bridges Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63502 R&M - Streets 82,013 93,000 93,000 105,000 106,000
[Entity] Budget Detail Desc.Note Total
[413] Crackfill Maintenance 24,000
[413] Guard Rail Repair 9,000
[413] Crosswalk Brick Repair East Benchmark Road 4
crosswalks @ $5000 Each
20,000
[413] Storm Water Sewer Maintenance 15,000
[413] Infra Red Patch 17,000
[413] Misc. Patch (potholes, sinkholes 20,000
Total 105,000
63504 R&M - Office Equipment a 41 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[413] Copier Maintenance 1,000
Total 1,000
63506 R&M - Radios and Commu 7,878 8,450 8,450 10,152 9,670
[Entity] Budget Detail Desc.Note Total
[413] 800 MHZ Radio Service 3,950
[413] 800 MHZ Radio Replacement/Breakdown 3,500
[413] Batteries added 3 UHF Batteries @ $68
each
704
[413] Repairs 500
[413] UHF Radio Replacement/Breakdown 2 x $749 each 1,498
Total 10,152
63603 Rentals - Office Equipment 1,757 1,917 1,917 1,918 1,918
[Entity] Budget Detail Desc.Note Total
[413] 1/2 Copier Lease ($319.57 x 12)1,918
Total 1,918
63608 Rentals - Machinery and E 0 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[413] Misc. Equipment Rentals 500
Total 500
63999 Other Purchased and Cont 120,048 144,900 144,900 196,800 185,800
[Entity] Budget Detail Desc.Note Total
[413] Ditch Maintenance (Emergency Repair)15,000
[413] Electrical Outsourcing 12,000
[413] Snow Removal Hauling predicting more snowfall 40,000
[413] Snow Removal/Handwork Added Village at Avon 10,000
[413] Street Striping 42,000
[413] Sidewalk Repairs Added Village at Avon 16,000
[413] Trash, Landfill (includes clean up work)9,500
[413] Vandalism 3,500
[413] UNCC Charges (Locates, Tier 1)more construction projects 4,000
[413] Paint RR Bridge Walls/rails 6,800
[413] Weed Mitigation 20,000
[413] Paint Streetscape Lights Added Village at Avon 7,000
Section IV, Page E - 8
413 Roads and Bridges Town of Avon
Line Item Detail
[413] Sedimentation Ponds Sedimentation ponds on
Nottingham Road
6,000
[Entity] Budget Detail Desc.Note Total
[413] Apres Avon Snow Removal contract snow removal for
Apres Avon
5,000
Total 196,800
63000 Purchased and Contract 211,737 250,767 250,767 316,370 305,888
64101 Travel and Conference 461 7,700 7,700 12,200 11,400
[Entity] Budget Detail Desc.Note Total
[413] Supervisor Training 800
[413] Equipment Operator Certification Cost of class has increased 9,000
[413] LTAP/APWA Training 2,400
Total 12,200
64102 Dues, Licenses and Memb 384 338 338 438 438
[Entity] Budget Detail Desc.Note Total
[413] APWA 238
[413] CO Weed Association 100
[413] Consolidated Communication Netwrok of
Colorado
100
Total 438
64201 Telephone & Long-distanc 1,183 1,300 1,300 725 1,300
[Entity] Budget Detail Desc.Note Total
[413] PW Fax, Fire Alarm, Long Distance 725
Total 725
64203 Electric 33,864 41,800 41,800 41,800 41,800
[Entity] Budget Detail Desc.Note Total
[413] WBCB street lights 2,000
[413] I-70 Sign 1,550
[413] Christmas Lights #1 3,350
[413] Christmas Lights #2 2,820
[413] Street Lights - Avon Road 2,700
[413] Path Lights - Avon Road 2,700
[413] Path Outlets 7,700
[413] Recreation Center Parking Lot 2,600
[413] Riverfront Drive 1,600
[413] Benchmark Road Street LIghts 1,920
[413] Avon Elementary 1,160
[413] Village Street Lights 2,700
[413] Village Earth Lights 2,700
[413] Hurd Lane Street Lights 1,700
[413] West Beaver Creek Blvd. Path Lights 2,600
[413] Chapel Place Path Lights 2,000
Total 41,800
Section IV, Page E - 9
413 Roads and Bridges Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64206 Cellular and Paging 5,077 1,488 1,488 1,302 1,302
[Entity] Budget Detail Desc.Note Total
[413] $108.48 x 12 months 1,302
Total 1,302
64301 Postage and Delivery 21 150 150 50 150
[Entity] Budget Detail Desc.Note Total
[413] Postage 50
Total 50
64401 Fleet Maintenance Charge 180,716 208,200 171,840 185,825 204,302
[Entity] Budget Detail Desc.Note Total
[413] Annual Fleet Maintenance Charges 185,825
Total 185,825
64402 Equipment Replacement C 75,932 86,254 86,254 86,700 79,965
64403 Washbay Charges 7,472 10,764 10,764 10,764 10,764
[Entity] Budget Detail Desc.Note Total
[413] Annual Washbay Charges - 11
vehicles/equipment
10,764
Total 10,764
64902 Financial Support, Donatio 29,454 36,000 36,000 37,617 39,120
[Entity] Budget Detail Desc.Note Total
[413] Westin Riverfront Public Plaza 37,617
Total 37,617
64906 Insurance Deductibles 5,360 0 0 0 0
64907 Paid Claims 0 0 3,881 0 0
64000 Other Operating Costs 339,924 393,994 361,515 377,421 390,541
65201 Capital Lease Payments 121,826 0 0 0 0
65000 Debt Services 121,826 0 0 0 0
66402 Computers and Peripheral 0 2,200 2,200 950 2,200
[Entity] Budget Detail Desc.Note Total
[413] Desktop Replacements - Operator II 950
Total 950
66499 Other Machinery and Equi 23,959 0 0 0 0
66000 Capital Outlay 23,959 2,200 2,200 950 2,200
60000T Total Expenditures & O 1,366,436 1,377,516 1,301,592 1,473,326 1,485,063
Section IV, Page E - 10
413 Roads and Bridges Town of Avon
Line Item Detail
Section IV, Page F-1
Fund: General
Dept: Engineering
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 189,794$ 196,471$ 196,471$ 486,163$ 512,822$
Commodities 2,322 3,690 3,690 72,943 50,642
Contract Services 7,528 8,200 17,200 510,322 506,422
Other Operating Costs 5,684 9,147 9,147 412,021 417,758
Capital Outlay - 2,200 2,200 28,950 1,900
Total 205,328$ 219,708$ 228,708$ 1,510,399$ 1,489,544$
Department Expenditures by Program
Engineering 205,328$ 219,708$ 228,708$ 478,850$ 485,055$
Buildings and Facilities - - - 1,031,549 1,004,489
Total 205,328$ 219,708$ 228,708$ 1,510,399$ 1,489,544$
Authorized Positions
Town Engineer 1 1 1 1 1
Project Engineer 0 0 0 1 1
Engineer II 1 1 1 0 0
Town Electrician 1 1 1 1 1
Building Technician II 1 1 1 1 1
Building Technician I 1 1 1 1 1
Total 5 5 5 5 5
1. Successful completion of the Avon Road Overlay Project.
2. Construction of the Pedestrian Mall Improvement Project and Post Blvd lanscape improvements.
3. Construction of Phase 2 and 3 of the Regional Trail.
4. Completed other capital projects, including Beaver Creek Point parking lot and Stone bridge deck repair.
Budget Summary
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
DEPARTMENT OVERVIEW
2014 MAJOR ACCOMPLISHMENTS
The Engineering Department provides and maintains public infrastructure, such as roads, drainage
ways, and town facilities in a safe and well-designed manner. The Town's Buildings and Facilities
maintenance is directed by the Town Engineer. Department work includes the planning and managing
construction of Town capital improvement projects, review of proposed construction documents, and
assists in the planning for infrastructure needed to meet growth and development. The Engineering
Department also supports other Town departments by providing technical review, project management
and other support, as requested.
The Engineering Department is administered by the Town Engineer who spends approximately 15% on general
department administration, 25% managing the Water Fund, 15% on development review and subdivision and
the remaining 45% on the Capital Improvement Program. The Engineer II spends the majority of the time on
managing capital projects and assists with development review.
Section IV, Page F-2
Fund: General
Dept: Engineering Budget Summary
Estimated Personnel Time:85%
Estimated Nonpersonnel Costs:9,781$
Total Activity Cost:197,073$
Performance Metric(s):Construction on time and on budget
Estimated Personnel Time:15%
Estimated Nonpersonnel Costs:1,726$
Total Activity Cost:34,778$
Performance Metric(s):Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:1,034,565$
Total Activity Cost:1,300,385$
Performance Metric(s):Internal Survey
Response Time
Complaints
PROGRAM ACTIVITIES AND OPERATIONS
Capital Improvement Program: The Engineering Department implements the Capital Improvement Program
by procuring engineering and architecture firms to design identified projects, preparing the contract documents,
advertising and bidding out the projects, selecting the contractor and managing the projects through
construction and warranty.
Subdivision and Development Review: Assisting the Community Development Department with the review
of all development applications, the Engineering Department ensures conformance with the Town’s adopted
design guidelines, codes and standards.
Buildings and Facilities: The Buildings Division is responsible for the maintenance, repair, and electrical
and needs of town buildings and assets. The Division critically reviews what can be done in-house and
what should be contracted, utilizing outside resources when the Town lacks the personnel or specialized
expertise or equipment for timely maintenance. The Building Division employs two (2) full-time Building
Technicians. Salary to operational budget ratio is 29%, with the Division dividing its time between building
maintenance and repair (60%), 20% custodial and 20% on administrative duties.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 147,836 150,812 150,812 163,707 171,514
61106 Paid out Leave 0 1,475 1,475 1,566 1,617
61201 Automobile Allowance 2,700 2,700 2,700 2,750 2,732
61301 FT Pension 16,159 16,752 16,752 18,180 19,044
61304 Employee Assistance Prog 42 42 42 43 42
61401 FICA/Medicare 2,215 2,247 2,247 2,436 2,550
61501 Group Health and Life Insu 16,174 17,435 17,435 19,263 20,281
61505 Long-term Disability Insura 869 870 870 870 870
61507 Dental Insurance 1,318 1,319 1,319 1,469 1,556
61509 Worker's Compensation 2,035 2,355 2,355 2,556 2,678
61510 Unemployment Insurance 444 465 465 504 528
61000 Personnel Services 189,793 196,471 196,471 213,343 223,413
62401 Gasoline 663 600 600 600 600
62801 Employee Recognition Exp 0 40 40 60 60
62802 Food and Beverages 568 250 250 250 250
62807 Consumable Tools/Small 0 250 250 250 250
62899 Other Miscellaneous Oper 214 750 750 0 0
62901 Duplicating Supplies 0 300 300 1,265 1,300
62904 Software 179 500 500 200 200
62905 Books and Periodicals 310 250 250 250 250
62999 Office Supplies and Materi 389 750 750 750 750
62000 Commodities 2,322 3,690 3,690 3,625 3,660
63199 Other Professional Service 6,000 6,000 6,000 6,000 6,000
63203 Printing and Reproduction 945 1,200 1,200 500 0
63504 R&M - Office Equipment a 583 1,000 1,000 500 0
63999 Other Purchased and Cont 0 0 9,000 247,000 244,100
63000 Purchased and Contract 7,528 8,200 17,200 254,000 250,100
64101 Travel and Conference 195 3,500 3,500 3,500 3,500
64102 Dues, Licenses and Memb 592 500 500 500 500
64206 Cellular and Paging 1,641 1,260 1,260 1,243 1,243
64301 Postage and Delivery 50 100 100 100 100
64402 Equipment Replacement C 2,539 2,539 2,539 2,539 2,539
64403 Washbay Charges 667 1,248 1,248 0 0
64000 Other Operating Costs 5,684 9,147 9,147 7,882 7,882
66402 Computers and Peripheral 0 2,200 2,200 0 0
66000 Capital Outlay 0 2,200 2,200 0 0
60000T Total Expenditures & O 205,328 219,708 228,708 478,850 485,055
Section IV, Page F - 3
412 Engineering Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 147,836 150,812 150,812 163,707 171,514
61106 Paid out Leave 0 1,475 1,475 1,566 1,617
61201 Automobile Allowance 2,700 2,700 2,700 2,750 2,732
61301 FT Pension 16,159 16,752 16,752 18,180 19,044
61304 Employee Assistance Prog 42 42 42 43 42
61401 FICA/Medicare 2,215 2,247 2,247 2,436 2,550
61501 Group Health and Life Insu 16,174 17,435 17,435 19,263 20,281
61505 Long-term Disability Insura 869 870 870 870 870
61507 Dental Insurance 1,318 1,319 1,319 1,469 1,556
61509 Worker's Compensation 2,035 2,355 2,355 2,556 2,678
61510 Unemployment Insurance 444 465 465 504 528
61000 Personnel Services 189,793 196,471 196,471 213,343 223,413
62401 Gasoline 663 600 600 600 600
[Entity] Budget Detail Desc.Note Total
[412] Gasoline for Engineering Truck 600
Total 600
62801 Employee Recognition Exp 0 40 40 60 60
[Entity] Budget Detail Desc.Note Total
[412] Three Employees Recognition 60
Total 60
62802 Food and Beverages 568 250 250 250 250
[Entity] Budget Detail Desc.Note Total
[412] Coffee and Food Supplys 250
Total 250
62807 Consumable Tools/Small 0 250 250 250 250
[Entity] Budget Detail Desc.Note Total
[412] Field Measuring and Drafting Equipment 250
Total 250
62899 Other Miscellaneous Oper 214 750 750 0 0
62901 Duplicating Supplies 0 300 300 1,265 1,300
[Entity] Budget Detail Desc.Note Total
[412] Large Format Copier Maintenance 1,265
Total 1,265
62904 Software 179 500 500 200 200
[Entity] Budget Detail Desc.Note Total
[412] Auto Cad Subscription 200
Total 200
Section IV, Page F - 4
412 Engineering Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62905 Books and Periodicals 310 250 250 250 250
[Entity] Budget Detail Desc.Note Total
[412] Reference Materials 250
Total 250
62999 Office Supplies and Materi 389 750 750 750 750
[Entity] Budget Detail Desc.Note Total
[412] Office Supplies 750
Total 750
62000 Commodities 2,322 3,690 3,690 3,625 3,660
63199 Other Professional Service 6,000 6,000 6,000 6,000 6,000
[Entity] Budget Detail Desc.Note Total
[412] Annual Traffic Counts 6,000
Total 6,000
63203 Printing and Reproduction 945 1,200 1,200 500 0
[Entity] Budget Detail Desc.Note Total
[412] Map and Document Printing 500
Total 500
63504 R&M - Office Equipment a 583 1,000 1,000 500 0
[Entity] Budget Detail Desc.Note Total
[412] Printers, Plotters, etc.500
Total 500
63999 Other Purchased and Cont 0 0 9,000 247,000 244,100
[Entity] Budget Detail Desc.Note Total
[412] New Facilities O & M 0
[412] Pavilion - Utilities 2,500
[412] Pavilion - Security 600
[412] Mall - Bronze Maintenance 4,500
[412] Mall - Utilties 2,000
[412] Town Hall - Utilities 3,600
[412] West Avon Preserve - Trail Maintenance
$.50/foot
25,000
[412] West Avon Preserve - Noxious Weeds 10,000
[412] West Avon Preserve - Gate and Signage 800
[412] Village at Avon - Noxious Weeds 11,000
[412] Deferred Maintenance 0
[412] Avon Station - Concrete repair 50,000
[412] Westin RR - Concrete Repair 40,000
[412] Modular - Soffit Repair 2,000
[412] Rec Center - Concrete Entry Repair
1000sf@$25/ft
25,000
[412] Rec Center Lobby Refurbishment $25k,
with bouldering wall $6k
31,000
Section IV, Page F - 5
412 Engineering Town of Avon
Line Item Detail
[412] Rec Center - Slide Refurbishment $14K,
with stairs $45K
39,000
Total 247,000
63000 Purchased and Contract 7,528 8,200 17,200 254,000 250,100
64101 Travel and Conference 195 3,500 3,500 3,500 3,500
[Entity] Budget Detail Desc.Note Total
[412] Professional Training Seminars 3,500
Total 3,500
64102 Dues, Licenses and Memb 592 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[412] ASCE, PE 500
Total 500
64206 Cellular and Paging 1,641 1,260 1,260 1,243 1,243
[Entity] Budget Detail Desc.Note Total
[412] $103.62 x 12 months 1,243
Total 1,243
64301 Postage and Delivery 50 100 100 100 100
[Entity] Budget Detail Desc.Note Total
[412] FedEx & UPS Charges 100
Total 100
64402 Equipment Replacement C 2,539 2,539 2,539 2,539 2,539
[Entity] Budget Detail Desc.Note Total
[412] Annual Equipment Rental Charges 2,539
Total 2,539
64403 Washbay Charges 667 1,248 1,248 0 0
64000 Other Operating Costs 5,684 9,147 9,147 7,882 7,882
66402 Computers and Peripheral 0 2,200 2,200 0 0
66000 Capital Outlay 0 2,200 2,200 0 0
60000T Total Expenditures & O 205,328 219,708 228,708 478,850 485,055
Section IV, Page F - 6
412 Engineering Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 170,590 181,482
61106 Paid out Leave 0 0 0 1,659 1,746
61151 Overtime Wages 0 0 0 1,200 1,200
61301 FT Pension 0 0 0 18,947 20,155
61304 Employee Assistance Prog 0 0 0 73 72
61401 FICA/Medicare 0 0 0 2,515 2,674
61501 Group Health and Life Insu 0 0 0 66,119 69,707
61505 Long-term Disability Insura 0 0 0 1,390 1,436
61507 Dental Insurance 0 0 0 6,116 6,462
61509 Worker's Compensation 0 0 0 3,689 3,920
61510 Unemployment Insurance 0 0 0 520 553
61000 Personnel Services 0 0 0 272,820 289,409
62204 Construction, Maintenance 0 0 0 7,200 7,200
62205 Plumbing and Electrical Su 0 0 0 9,155 9,155
62207 Electrical 0 0 0 7,307 7,307
62208 Mechanical - HVAC 0 0 0 2,770 2,770
62209 Mechanical - Other 0 0 0 10,000 10,000
62401 Gasoline 0 0 0 3,160 3,160
62805 Clothing and Uniforms 0 0 0 1,650 1,650
62806 Safety Materials and Suppl 0 0 0 1,390 1,390
62807 Consumable Tools/Small 0 0 0 24,636 2,300
62899 Other Miscellaneous Oper 0 0 0 2,050 2,050
62000 Commodities 0 0 0 69,318 46,982
63104 Engineering Services 0 0 0 4,000 4,000
63304 Computer Services and Su 0 0 0 4,302 4,302
63306 Security Services 0 0 0 11,018 11,018
63501 R&M - Buildings and Facilit 0 0 0 48,405 48,405
63507 R&M - Machinery and Equi 0 0 0 5,600 5,600
63549 R&M - Other Specialized E 0 0 0 10,254 10,254
63551 Laundry and Cleaning Ser 0 0 0 5,688 5,688
63599 Other Maintenance Servic 0 0 0 151,555 151,555
63699 Other Miscellaneous Rent 0 0 0 500 500
63999 Other Purchased and Cont 0 0 0 15,000 15,000
63000 Purchased and Contract 0 0 0 256,322 256,322
64101 Travel and Conference 0 0 0 3,300 3,300
64102 Dues, Licenses and Memb 0 0 0 4,109 4,109
64201 Telephone & Long-distanc 0 0 0 2,250 2,250
64202 Gas 0 0 0 48,880 48,880
64203 Electric 0 0 0 201,882 201,882
64204 Water and Sanitation 0 0 0 37,000 37,000
64205 Trash Collection and Recy 0 0 0 13,922 13,922
64206 Cellular and Paging 0 0 0 346 346
64401 Fleet Maintenance Charge 0 0 0 7,411 8,148
64402 Equipment Replacement C 0 0 0 83,167 88,167
64403 Washbay Charges 0 0 0 1,872 1,872
64000 Other Operating Costs 0 0 0 404,139 409,876
Section IV, Page F - 7
418 Buildings & Facilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66402 Computers and Peripheral 0 0 0 950 1,900
66501 Automobiles and Light Dut 0 0 0 28,000 0
66000 Capital Outlay 0 0 0 28,950 1,900
60000T Total Expenditures & O 0 0 0 1,031,549 1,004,489
Section IV, Page F - 8
418 Buildings & Facilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 0 0 170,590 181,482
61106 Paid out Leave 0 0 0 1,659 1,746
61151 Overtime Wages 0 0 0 1,200 1,200
61301 FT Pension 0 0 0 18,947 20,155
61304 Employee Assistance Prog 0 0 0 73 72
61401 FICA/Medicare 0 0 0 2,515 2,674
61501 Group Health and Life Insu 0 0 0 66,119 69,707
61505 Long-term Disability Insura 0 0 0 1,390 1,436
61507 Dental Insurance 0 0 0 6,116 6,462
61509 Worker's Compensation 0 0 0 3,689 3,920
61510 Unemployment Insurance 0 0 0 520 553
61000 Personnel Services 0 0 0 272,820 289,409
62204 Construction, Maintenance 0 0 0 7,200 7,200
[Entity] Budget Detail Desc.Note Total
[418] additional funding for hazmat storage units
2 @ 600
1,200
[418] shelving for electric and building storage 800
[418] Hardware 500
[418] Paint 1,000
[418] Brushes, Rollers 700
[418] Drywall 1,000
[418] Lumber 2,000
Total 7,200
62205 Plumbing and Electrical Su 0 0 0 9,155 9,155
[Entity] Budget Detail Desc.Note Total
[418] Replacement Parts and Equipment 9,155
Total 9,155
62207 Electrical 0 0 0 7,307 7,307
[Entity] Budget Detail Desc.Note Total
[418] 30% increase to meet demand 1,686
[418] Contactors 2,500
[418] Light Bulbs 1,000
[418] Wire, Conduit 2,121
Total 7,307
62208 Mechanical - HVAC 0 0 0 2,770 2,770
[Entity] Budget Detail Desc.Note Total
[418] Replacement Parts, Filters, Glycol 2,770
Total 2,770
62209 Mechanical - Other 0 0 0 10,000 10,000
[Entity] Budget Detail Desc.Note Total
[418] Boiler Parts 1,000
[418] Motors 3,000
[418] Pumps 6,000
Total 10,000
Section IV, Page F - 9
418 Buildings & Facilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62401 Gasoline 0 0 0 3,160 3,160
62805 Clothing and Uniforms 0 0 0 1,650 1,650
[Entity] Budget Detail Desc.Note Total
[418] Clothing and Uniforms (3)1,650
Total 1,650
62806 Safety Materials and Suppl 0 0 0 1,390 1,390
[Entity] Budget Detail Desc.Note Total
[418] (3) safety footwear 450
[418] (2) PPE 140
[418] Electrician safety gear 400
[418] Lockout/Tagout kits (2)400
Total 1,390
62807 Consumable Tools/Small 0 0 0 24,636 2,300
[Entity] Budget Detail Desc.Note Total
[418] Small Tools 500
[418] Small Equipment 1,000
[418] (2) Tablets 800
[418] Solenoid Valves (4@136)544
[418] Pulsar 3 (4@2100)8,400
[418] Timers for Solenoid (4@181)724
[418] Vacuum 2,500
[418] PH Sensor (4@280)1,120
[418] ORP Sensor (4@312)1,248
[418] BEC System 2 Controllers (4@1950)7,800
Total 24,636
62899 Other Miscellaneous Oper 0 0 0 2,050 2,050
[Entity] Budget Detail Desc.Note Total
[418] Aquarium 100
[418] Locker Parts 450
[418] Hardware (nuts & bolts, etc.)500
[418] Security Hardware (doors)1,000
Total 2,050
62000 Commodities 0 0 0 69,318 46,982
63104 Engineering Services 0 0 0 4,000 4,000
[Entity] Budget Detail Desc.Note Total
[418] Rec Ctr Balancing 3,000
[418] Misc. Consulting 1,000
Total 4,000
63304 Computer Services and Su 0 0 0 4,302 4,302
[Entity] Budget Detail Desc.Note Total
[418] Annual Maintenance Contract for Heat
Recovery Computer hardware
1,752
Section IV, Page F - 10
418 Buildings & Facilities Town of Avon
Line Item Detail
[418] Computer Services, Updates 2,550
[Entity] Budget Detail Desc.Note Total
Total 4,302
63306 Security Services 0 0 0 11,018 11,018
[Entity] Budget Detail Desc.Note Total
[418] Alarms-Fire $204 X 7 1,428
[418] Intrusions $207 X 7 2,590
[418] Repairs & Maintenance Contracts $1000 7,000
Total 11,018
63501 R&M - Buildings and Facilit 0 0 0 48,405 48,405
[Entity] Budget Detail Desc.Note Total
[418] HVAC Repairs 5,000
[418] Elevator x 2 11,000
[418] Building Inspections 2,000
[418] Steam Boiler Repairs & Parts 3,000
[418] Piping Repairs 2,000
[418] Fire Sprinkler 2,000
[418] Heat Recovery Maint. Cont 2,273
[418] Rec, Ctr, Maint. Cont.13,744
[418] Modular Maint. Cont.1,725
[418] Muni Maint. Cont.5,663
Total 48,405
63507 R&M - Machinery and Equi 0 0 0 5,600 5,600
[Entity] Budget Detail Desc.Note Total
[418] Acid Feeders, Chem Pump & Parts 3,000
[418] Filtration Equipment, Booster PUmps,
Sanitation
2,600
Total 5,600
63549 R&M - Other Specialized E 0 0 0 10,254 10,254
[Entity] Budget Detail Desc.Note Total
[418] Equipment Integration 1,654
[418] Bearings, Belts 3,000
[418] Cardio Equipment Maint.3,000
[418] Weight Machine Maint.2,000
[418] Equipment Rentals 600
Total 10,254
63551 Laundry and Cleaning Ser 0 0 0 5,688 5,688
[Entity] Budget Detail Desc.Note Total
[418] Window Cleaner 1,188
[418] Carpet Cleaning 4,500
Total 5,688
63599 Other Maintenance Servic 0 0 0 151,555 151,555
[Entity] Budget Detail Desc.Note Total
[418] Pest Control 5,660
[418] Drain Care 1,375
[418] Temp Services 8 hrs X 52 wks X $17.50 7,280
[418] Extreme Care 1,500
Section IV, Page F - 11
418 Buildings & Facilities Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[418] Push, Pedal, Pull 5,000
[418] Contract Cleaning & Painting 9,500
[418] Cleaning Services 96,240
[418] Munit Stucco Repairs 5,000
[418] Muni Paint (ext.)12,000
[418] Parks Garage Paint (ext.)5,000
[418] Cabin Paint (ext.)3,000
Total 151,555
63699 Other Miscellaneous Rent 0 0 0 500 500
[Entity] Budget Detail Desc.Note Total
[418] Close Down Week 500
Total 500
63999 Other Purchased and Cont 0 0 0 15,000 15,000
[Entity] Budget Detail Desc.Note Total
[418] Rec Ctr Roof Snow Removal 2 X 2000 4,000
[418] Heat Recovery Heat Pump Maintenance 11,000
Total 15,000
63000 Purchased and Contract 0 0 0 256,322 256,322
64101 Travel and Conference 0 0 0 3,300 3,300
[Entity] Budget Detail Desc.Note Total
[418] Training, Licensing Updates 3,300
Total 3,300
64102 Dues, Licenses and Memb 0 0 0 4,109 4,109
[Entity] Budget Detail Desc.Note Total
[418] Membership, Dues 4,109
Total 4,109
64201 Telephone & Long-distanc 0 0 0 2,250 2,250
[Entity] Budget Detail Desc.Note Total
[418] Long Distance/Heat Rec Alarm 2,250
Total 2,250
64202 Gas 0 0 0 48,880 48,880
[Entity] Budget Detail Desc.Note Total
[418] $4073.33 X 12 48,880
Total 48,880
64203 Electric 0 0 0 201,882 201,882
[Entity] Budget Detail Desc.Note Total
[418] Heat Recovery Electric 68,000
[418] Electricity $11156.83 X 12 133,882
Total 201,882
Section IV, Page F - 12
418 Buildings & Facilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64204 Water and Sanitation 0 0 0 37,000 37,000
[Entity] Budget Detail Desc.Note Total
[418] $3083.33 X 12 37,000
Total 37,000
64205 Trash Collection and Recy 0 0 0 13,922 13,922
[Entity] Budget Detail Desc.Note Total
[418] Clean Up Week 500
[418] Trash Service 9,500
[418] Dumpster $840.50 X 4 3,362
[418] Recycle $140 X 4 560
Total 13,922
64206 Cellular and Paging 0 0 0 346 346
[Entity] Budget Detail Desc.Note Total
[418] $28.83 x 12 months 346
Total 346
64401 Fleet Maintenance Charge 0 0 0 7,411 8,148
[Entity] Budget Detail Desc.Note Total
[418] Annual Fleet Maintenance Charges 7,411
Total 7,411
64402 Equipment Replacement C 0 0 0 83,167 88,167
[Entity] Budget Detail Desc.Note Total
[418] Annual Equipment Rental Charges 83,167
Total 83,167
64403 Washbay Charges 0 0 0 1,872 1,872
[Entity] Budget Detail Desc.Note Total
[418] Annual Washbay Charges - 3 vehicles 1,872
Total 1,872
64000 Other Operating Costs 0 0 0 404,139 409,876
66402 Computers and Peripheral 0 0 0 950 1,900
[Entity] Budget Detail Desc.Note Total
[418] Desktop Replacment - Electrician 950
Total 950
66501 Automobiles and Light Dut 0 0 0 28,000 0
[Entity] Budget Detail Desc.Note Total
[418] Van - Bldgs & Facilities 28,000
Total 28,000
Section IV, Page F - 13
418 Buildings & Facilities Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66000 Capital Outlay 0 0 0 28,950 1,900
60000T Total Expenditures & O 0 0 0 1,031,549 1,004,489
Section IV, Page F - 14
418 Buildings & Facilities Town of Avon
Line Item Detail
Section IV, Page G-1
Fund: General
Dept: Parks and Recreation
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 1,999,027$ 1,975,622$ 1,947,437$ 1,485,996$ 1,544,062$
Commodities 222,519 314,592 315,166 209,785 216,057
Contract Services 357,211 766,532 927,932 114,284 127,329
Other Operating Costs 726,348 792,810 779,855 348,663 367,998
Capital Outlay 23,072 70,300 69,726 32,950 17,650
Total 3,328,177$ 3,919,856$ 4,040,116$ 2,191,678$ 2,273,096$
Department Expenditures by Program
Special Events 335,468$ 558,605$ 714,305$ -$ -$
Administration 233,674 223,114 222,256 202,850 211,708
Adult Programs 22,424 28,656 28,656 27,668 28,212
Aquatics 441,310 394,408 394,421 436,271 451,893
Childcare 32,178 36,487 36,487 - -
Fitness 142,393 158,236 158,236 137,141 143,163
Guest Services 197,999 235,050 235,074 252,799 254,312
Youth Programs 111,272 118,979 118,979 121,491 123,884
Cabin 5,673 43,643 43,643 27,741 28,271
Parks and Grounds 866,344 1,069,324 1,030,790 985,717 1,031,653
Buildings and Facilities 939,442 1,053,354 1,057,269 - -
Total 3,328,177$ 3,919,856$ 4,040,116$ 2,191,678$ 2,273,096$
Authorized Positions
Parks and Recreation Director 0 1 1 1 1
Recreation Superintendent / Interim Director 1 0 0 0 0
Guest Services Coordinator 1 1 1 1 1
Recreation Programs Coordinator 1 1 1 1 1
Special Events Supervisor 1 1 0 0 0
Aquatics Coordinator 1 1 1 1 1
Senior Lifeguard 2 2 2 3 3
Guest Services Attendant III 0 1 1 2 2
Parks and Grounds Superintendent 1 1 1 1 1
Parks and Grounds Maintenance Supervisor 2 2 2 2 2
Maintenance Worker II 6 6 5 5 5
Total 16 17 15 17 17
Budget Summary
DEPARTMENT OVERVIEW
The Parks and Recreation Department oversees youth, adult and senior recreational programs which
are provide at the Avon Recreation Center and Town Parks. The Department is responsible for
operational oversight and management of maintaining all town parks, public spaces and Nottingham
Lake, the Department is responsible for all facility maintenance, including the Recreation Center, Town
Hall and Swift Gulch buildings.
Section IV, Page G-2
Fund: General
Dept: Parks and Recreation Budget Summary
1. Revamped Summer Camp to Avon Mountain Adeventure Camp. Increased revenues by $17,000.
2. Moved Special Events to Economic Initiatives. Moved Fitness under Adult Coordinator
3. Designed and constructed locker rooom remodel.
4. Created a formal business plan to fully recover expenses of Recreation Department.
5. 2014 Department revenues up over 7%.
6. Enlisted the use of contracted cleaning service of the buildings saving $30,000 annually.
7. Refurbished Basketball Courts to green and white.
8. Added SUP Rentals to Cabin summer program.
9. Created a swim beach on the north Shore of Nottingham Lake.
10. Created a six hole disc golf course in Nottingham Park.
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:55,650$
Total Activity Cost:202,850$
Performance Metric(s):
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:3,418$
Total Activity Cost:27,668$
Performance Metric(s):Revenue trends and positive recovery ratio
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:81,656$
Total Activity Cost:436,271$
Performance Metric(s):Revenue trends and positive recovery ratio
Community Survey
2014 MAJOR ACCOMPLISHMENTS
PROGRAM ACTIVITIES AND OPERATIONS
Internal Survey
Administration: The Parks and Recreation Department is administered by the Parks and Recreation
Director, who dedicates up to 80% of the position’s time to strategic leadership, personnel management,
financial reporting and controls, contract negotiations, and the development and implementation of operating
guidelines. The Director also oversees all program development and implementation, online brochure
production and distribution.
Adult Programs: The Adult Program Division provides a wide variety of leagues and recreational
activities, including, but not limited to, exercise classes, sports leagues, and drop in sports. The Program
Coordinator spends 85% of the position’s time developing and overseeing programs, and 15% on
scheduling, marketing and researching new program ideas. The recovery ratio for 2013 is expected to be
104%.
Aquatics: This Division offers aquatic programming for people of all ages and abilities including swim
lessons, lifeguard training classes, water safety instructor courses, swim team, kayak and scuba offerings,
water aerobics classes, beginning diving classes and public safety classes.
The Aquatics Division is devotes 60% of personnel time to those pool safeguarding activities, with 20% of
time with swim lessons and other programs, 9% spent on administration, 7% on maintenance of the pools
and 4% on training and hiring.
Section IV, Page G-3
Fund: General
Dept: Parks and Recreation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:59,906$
Total Activity Cost:137,141$
Performance Metric(s):
Participation
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:35,765$
Total Activity Cost:252,799$
Performance Metric(s):Internal Survey
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:18,686$
Total Activity Cost: $ 121,491
Performance Metric(s):Positive recovery ratio
Community Survey
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:7,060$
Total Activity Cost: $ 27,741
Performance Metric(s):Positive recovery ratio
Community Survey
Positive recovery ratio
Participation
Fitness: The Fitness Division provides the community with over 30-hours of weekly "Group X" classes to
include a balanced offering of yoga/Pilates based classes, spin, aerobics based and strength/conditioning
based classes, as well as personal training services, fitness assessments and orientation and body
composition testing. The Division offers seasonal programming and classes such as Outdoor Boot Camp
and Winter Sports Conditioning. The Fitness Division oversees the management of the fitness floor. 91%
of staffing is applied to fitness classes and programs, with the balance 9% on the administrative
responsibilities for hiring, training, scheduling and marketing.
Guest Services: This Division primarily provides admission to the recreation center, pass/punch card
sales, and program registration. The front desk serves as the focal point for information dissemination to
customers as well as personnel. The Guest Service division also oversees Cabin operations. The salary to
operational budget expenses ratio is 64%. Guest Services Division spends 69% of time with front desk
operations, 12% with facility supervision of cabin, 13% on administrative duties and 6% on hiring and
training.
Youth Programs: This Division provides a large variety of sports, educational and recreational activities,
and camps for infants through teenagers. The estimated recovery ratio for 2015 is 92%. The Youth
Programs Division spends 40% of time on summer camp operations, 30% on “Before-and-After School
Programs, 15% on “Schools Out Camps and Days”, 5% for youth sport programs and 10% on the
administration of the Division.
Cabin: Avon’s “Cabin” is a seasonal recreation amenity. Summer season provides the rental of paddle
boats, stand up paddle boards, fishing rods and concessions. The winter season provides skate rentals and
concessions.
Section IV, Page G-4
Fund: General
Dept: Parks and Recreation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:443,541$
Total Activity Cost:985,717$
Performance Metric(s):Community Survey
Parks and Grounds: This division provides maintenance of parks, streetscapes, and open spaces and
trails throughout Avon, the division maintains four parks, including over sixty-five acres of irrigated open
space and multi-use athletic fields. The group is also responsible for the maintenance and care of three
tennis courts, two new in 2013 Pickle Ball courts, three basketball courts, two picnic shelters, the over eight
hundred trees, and more than twenty thousand square feet of planting beds. Avon Station and nine bus-
stops, plus eighty three total trash receptacles and twenty-four pet stations complete the facility
responsibilities
The Parks Division spends 42% of time on the maintenance of Town parks, 4% of time on administrative
duties, 15% with irrigation operations, 4% supporting recreation, 7% supporting special events, 7 % on
plantings and landscaping, 7% on snow removal, 2% snow plowing operations and 2% spent on training of
personnel.
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 49,192 67,057 67,057 0 0
61106 Paid out Leave 923 645 645 0 0
61121 PTS Wages 5,426 0 0 0 0
61151 Overtime Wages 12,241 4,220 4,220 0 0
61159 Other Wages 1,313 2,212 2,212 0 0
61202 Ski Pass 330 0 0 0 0
61301 FT Pension 5,479 7,447 7,447 0 0
61302 PTS Pension 231 0 0 0 0
61304 Employee Assistance Prog 24 24 24 0 0
61401 FICA/Medicare 979 1,075 1,075 0 0
61501 Group Health and Life Insu 19,543 19,934 19,934 0 0
61505 Long-term Disability Insura 473 497 497 0 0
61507 Dental Insurance 1,651 1,829 1,829 0 0
61509 Worker's Compensation 1,130 975 975 0 0
61510 Unemployment Insurance 207 222 222 0 0
61000 Personnel Services 99,142 106,136 106,136 0 0
62302 Special Event Materials & 3,305 2,000 2,000 0 0
62801 Employee Recognition Exp 1,120 2,700 2,700 0 0
62802 Food and Beverages 5,445 4,000 4,000 0 0
62805 Clothing and Uniforms 0 2,500 2,500 0 0
62902 Audio/Visual Supplies 0 500 500 0 0
62000 Commodities 9,870 11,700 11,700 0 0
63199 Other Professional Service 100,521 200,175 200,175 0 0
63203 Printing and Reproduction 2,684 3,600 3,600 0 0
63303 Photography Services 0 1,800 1,800 0 0
63305 Audio/Visual Services 13,360 6,650 6,650 0 0
63606 Rentals - Crowd & Traffic 12,609 8,900 8,900 0 0
63607 Rentals - Portable Facilitie 9,524 6,000 6,000 0 0
63699 Other Miscellaneous Rent 684 0 0 0 0
63999 Other Purchased and Cont 6,150 193,220 348,920 0 0
63000 Purchased and Contract 145,532 420,345 576,045 0 0
64101 Travel and Conference 390 1,000 1,000 0 0
64102 Dues, Licenses and Memb 0 275 275 0 0
64301 Postage and Delivery 186 250 250 0 0
64306 Permit and Licensing Fees 650 800 800 0 0
64402 Equipment Replacement C 2,588 2,099 2,099 0 0
64901 Advertising and Legal Noti 17,561 13,250 13,250 0 0
64902 Financial Support, Donatio 57,500 0 0 0 0
64905 Insurance Premiums 206 1,750 1,750 0 0
64000 Other Operating Costs 79,081 19,424 19,424 0 0
66407 Athletic and Recreational 1,843 1,000 1,000 0 0
66000 Capital Outlay 1,843 1,000 1,000 0 0
Section IV, Page G - 5
513 Special Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
60000T Total Expenditures & O 335,468 558,605 714,305 0 0
Section IV, Page G - 6
513 Special Events Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 86,325 95,891 95,891 104,094 109,328
61106 Paid out Leave 31,392 931 931 993 1,051
61121 PTS Wages 5,423 0 0 0 0
61151 Overtime Wages 180 0 0 0 0
61201 Automobile Allowance 600 3,600 3,600 3,650 3,619
61202 Ski Pass 330 0 0 0 0
61301 FT Pension 12,865 10,650 10,650 11,560 12,142
61302 PTS Pension 210 0 0 0 0
61304 Employee Assistance Prog 26 24 24 24 24
61401 FICA/Medicare 1,039 1,456 1,456 1,577 1,653
61501 Group Health and Life Insu 13,339 20,051 20,051 22,230 23,431
61505 Long-term Disability Insura 505 497 497 497 497
61507 Dental Insurance 1,101 1,829 1,829 2,039 2,154
61509 Worker's Compensation 509 194 194 211 221
61510 Unemployment Insurance 370 301 301 326 342
61000 Personnel Services 154,211 135,425 135,425 147,200 154,463
62401 Gasoline 2,966 3,160 3,160 3,160 3,160
62801 Employee Recognition Exp 0 480 480 480 480
62802 Food and Beverages 788 300 300 300 300
62899 Other Miscellaneous Oper 1,665 2,150 2,150 1,150 1,150
62901 Duplicating Supplies 525 1,200 1,200 1,500 1,500
62903 Data Processing Supplies 1,044 1,200 1,200 1,500 1,500
62999 Office Supplies and Materi 1,961 1,500 1,500 1,700 1,700
62000 Commodities 8,948 9,990 9,990 9,790 9,790
63199 Other Professional Service 0 2,500 2,500 500 500
63304 Computer Services and Su 3,690 4,055 4,055 4,055 4,100
63504 R&M - Office Equipment a 1,691 700 700 1,200 1,200
63603 Rentals - Office Equipment 3,829 3,829 3,829 3,829 3,829
63999 Other Purchased and Cont 1,000 2,000 2,000 0 0
63000 Purchased and Contract 10,209 13,084 13,084 9,584 9,629
64101 Travel and Conference 566 600 600 600 600
64102 Dues, Licenses and Memb 0 225 225 0 0
64201 Telephone & Long-distanc 3,270 3,450 3,450 3,450 3,450
64206 Cellular and Paging 3,591 1,872 1,872 871 871
64301 Postage and Delivery 120 500 500 600 600
64308 Sales Tax 508 900 900 900 900
64401 Fleet Maintenance Charge 5,826 6,435 5,577 6,031 6,631
64402 Equipment Replacement C 5,031 4,507 4,507 7,472 7,472
64403 Washbay Charges 1,889 1,872 1,872 1,248 1,248
64901 Advertising and Legal Noti 25,772 29,620 29,620 0 0
64905 Insurance Premiums 13,469 14,634 14,634 15,104 15,104
64906 Insurance Deductibles 264 0 0 0 0
64000 Other Operating Costs 60,306 64,615 63,757 36,276 36,876
66402 Computers and Peripheral 0 0 0 0 950
Section IV, Page G - 7
514 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66000 Capital Outlay 0 0 0 0 950
60000T Total Expenditures & O 233,674 223,114 222,256 202,850 211,708
Section IV, Page G - 8
514 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 86,325 95,891 95,891 104,094 109,328
61106 Paid out Leave 31,392 931 931 993 1,051
61121 PTS Wages 5,423 0 0 0 0
61151 Overtime Wages 180 0 0 0 0
61201 Automobile Allowance 600 3,600 3,600 3,650 3,619
61202 Ski Pass 330 0 0 0 0
61301 FT Pension 12,865 10,650 10,650 11,560 12,142
61302 PTS Pension 210 0 0 0 0
61304 Employee Assistance Prog 26 24 24 24 24
61401 FICA/Medicare 1,039 1,456 1,456 1,577 1,653
61501 Group Health and Life Insu 13,339 20,051 20,051 22,230 23,431
61505 Long-term Disability Insura 505 497 497 497 497
61507 Dental Insurance 1,101 1,829 1,829 2,039 2,154
61509 Worker's Compensation 509 194 194 211 221
61510 Unemployment Insurance 370 301 301 326 342
61000 Personnel Services 154,211 135,425 135,425 147,200 154,463
62401 Gasoline 2,966 3,160 3,160 3,160 3,160
[Entity] Budget Detail Desc.Note Total
[514] Gasoline for department vehicles 3,160
Total 3,160
62801 Employee Recognition Exp 0 480 480 480 480
[Entity] Budget Detail Desc.Note Total
[514] gift cards and other recognition for staff 480
Total 480
62802 Food and Beverages 788 300 300 300 300
[Entity] Budget Detail Desc.Note Total
[514] food for staff meetings and trainings 300
Total 300
62899 Other Miscellaneous Oper 1,665 2,150 2,150 1,150 1,150
[Entity] Budget Detail Desc.Note Total
[514] other operating and unforseen expense
needs
1,150
Total 1,150
62901 Duplicating Supplies 525 1,200 1,200 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[514] copy paper and copier toner 1,500
Total 1,500
62903 Data Processing Supplies 1,044 1,200 1,200 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[514] copier repairs, parts and service 1,500
Total 1,500
Section IV, Page G - 9
514 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62999 Office Supplies and Materi 1,961 1,500 1,500 1,700 1,700
[Entity] Budget Detail Desc.Note Total
[514] office supplies for department staff 1,700
Total 1,700
62000 Commodities 8,948 9,990 9,990 9,790 9,790
63199 Other Professional Service 0 2,500 2,500 500 500
[Entity] Budget Detail Desc.Note Total
[514] translations services, creative artwork 500
Total 500
63304 Computer Services and Su 3,690 4,055 4,055 4,055 4,100
[Entity] Budget Detail Desc.Note Total
[514] Rec Trac annual agreement, Rec Trac
Pentamation interface charges, Webtrac online
4,055
Total 4,055
63504 R&M - Office Equipment a 1,691 700 700 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[514] Xerox service agreement 1,200
Total 1,200
63603 Rentals - Office Equipment 3,829 3,829 3,829 3,829 3,829
[Entity] Budget Detail Desc.Note Total
[514] Copier Lease ($319.06 x 12)3,829
Total 3,829
63999 Other Purchased and Cont 1,000 2,000 2,000 0 0
63000 Purchased and Contract 10,209 13,084 13,084 9,584 9,629
64101 Travel and Conference 566 600 600 600 600
[Entity] Budget Detail Desc.Note Total
[514] Leadership training 600
Total 600
64102 Dues, Licenses and Memb 0 225 225 0 0
64201 Telephone & Long-distanc 3,270 3,450 3,450 3,450 3,450
[Entity] Budget Detail Desc.Note Total
[514] department phone charges 3,450
Total 3,450
Section IV, Page G - 10
514 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64206 Cellular and Paging 3,591 1,872 1,872 871 871
[Entity] Budget Detail Desc.Note Total
[514] $72.56 x 12 months 871
Total 871
64301 Postage and Delivery 120 500 500 600 600
[Entity] Budget Detail Desc.Note Total
[514] postage and shipping fees 600
Total 600
64308 Sales Tax 508 900 900 900 900
64401 Fleet Maintenance Charge 5,826 6,435 5,577 6,031 6,631
[Entity] Budget Detail Desc.Note Total
[514] Annual Fleet Maintenance Charges 6,031
Total 6,031
64402 Equipment Replacement C 5,031 4,507 4,507 7,472 7,472
[Entity] Budget Detail Desc.Note Total
[514] Annual Equipment Rental Charges 7,472
Total 7,472
64403 Washbay Charges 1,889 1,872 1,872 1,248 1,248
[Entity] Budget Detail Desc.Note Total
[514] Annual Washbay Charges - 2 vehicles 1,248
Total 1,248
64901 Advertising and Legal Noti 25,772 29,620 29,620 0 0
64905 Insurance Premiums 13,469 14,634 14,634 15,104 15,104
[Entity] Budget Detail Desc.Note Total
[514] CIRSA Allocation - Rec Center (9%)15,104
Total 15,104
64906 Insurance Deductibles 264 0 0 0 0
64000 Other Operating Costs 60,306 64,615 63,757 36,276 36,876
66402 Computers and Peripheral 0 0 0 0 950
66000 Capital Outlay 0 0 0 0 950
60000T Total Expenditures & O 233,674 223,114 222,256 202,850 211,708
Section IV, Page G - 11
514 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 10,826 10,846 10,846 11,266 11,728
61106 Paid out Leave 985 107 107 111 119
61121 PTS Wages 5,982 10,380 10,380 10,380 10,380
61122 PTS Bonuses 0 709 709 0 0
61202 Ski Pass 109 709 709 0 0
61301 FT Pension 1,299 1,205 1,205 1,252 1,303
61302 PTS Pension 224 389 389 389 389
61304 Employee Assistance Prog 5 6 6 6 6
61401 FICA/Medicare 262 330 330 315 322
61501 Group Health and Life Insu 1,135 44 44 46 49
61505 Long-term Disability Insura 101 100 100 104 109
61507 Dental Insurance 90 0 0 0 0
61509 Worker's Compensation 237 309 309 315 322
61510 Unemployment Insurance 53 68 68 65 67
61000 Personnel Services 21,309 25,201 25,201 24,250 24,794
62301 General Program Supplies 621 2,180 2,180 1,518 1,518
62801 Employee Recognition Exp 60 200 200 100 100
62802 Food and Beverages 92 400 400 400 400
62805 Clothing and Uniforms 342 600 600 1,400 1,400
62000 Commodities 1,115 3,380 3,380 3,418 3,418
64102 Dues, Licenses and Memb 0 75 75 0 0
64000 Other Operating Costs 0 75 75 0 0
60000T Total Expenditures & O 22,424 28,656 28,656 27,668 28,212
Section IV, Page G - 12
515 Adult Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 10,826 10,846 10,846 11,266 11,728
61106 Paid out Leave 985 107 107 111 119
61121 PTS Wages 5,982 10,380 10,380 10,380 10,380
[Entity] Budget Detail Desc.Note Total
[515] Program Instructors 131 x $15 1,965
[515] Referees 130hrs x $18 2,340
[515] Instructors 75% x 8,100 6,075
Total 10,380
61122 PTS Bonuses 0 709 709 0 0
61202 Ski Pass 109 709 709 0 0
61301 FT Pension 1,299 1,205 1,205 1,252 1,303
61302 PTS Pension 224 389 389 389 389
61304 Employee Assistance Prog 5 6 6 6 6
61401 FICA/Medicare 262 330 330 315 322
61501 Group Health and Life Insu 1,135 44 44 46 49
61505 Long-term Disability Insura 101 100 100 104 109
61507 Dental Insurance 90 0 0 0 0
61509 Worker's Compensation 237 309 309 315 322
61510 Unemployment Insurance 53 68 68 65 67
61000 Personnel Services 21,309 25,201 25,201 24,250 24,794
62301 General Program Supplies 621 2,180 2,180 1,518 1,518
[Entity] Budget Detail Desc.Note Total
[515] PIckleball Nets 2 x $160 320
[515] Kickballs 2 x $20 40
[515] Basketballs 5 x $20 100
[515] Broomball Nets 2 x $79 158
[515] Dunk N Dash 300
[515] Volleyball Net 600
Total 1,518
62801 Employee Recognition Exp 60 200 200 100 100
62802 Food and Beverages 92 400 400 400 400
[Entity] Budget Detail Desc.Note Total
[515] Gift Cards League Winners 300
[515] Dunk N Dash 100
Total 400
62805 Clothing and Uniforms 342 600 600 1,400 1,400
[Entity] Budget Detail Desc.Note Total
[515] Dunk N Dash 500
[515] Dodgeball 300
[515] Kickball 300
[515] Broomball 300
Total 1,400
Section IV, Page G - 13
515 Adult Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62000 Commodities 1,115 3,380 3,380 3,418 3,418
64102 Dues, Licenses and Memb 0 75 75 0 0
64000 Other Operating Costs 0 75 75 0 0
60000T Total Expenditures & O 22,424 28,656 28,656 27,668 28,212
Section IV, Page G - 14
515 Adult Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 145,615 105,672 105,672 147,224 158,140
61106 Paid out Leave 3,991 1,046 1,046 1,431 1,531
61121 PTS Wages 153,949 153,914 153,914 121,132 121,132
61122 PTS Bonuses 1,316 2,127 2,127 1,458 1,458
61151 Overtime Wages 1,831 1,500 1,500 1,500 1,500
61202 Ski Pass 1,805 2,127 2,127 1,458 1,458
61301 FT Pension 16,363 11,739 11,739 16,352 17,564
61302 PTS Pension 5,890 5,772 5,772 4,542 4,542
61304 Employee Assistance Prog 82 72 85 97 97
61401 FICA/Medicare 4,500 3,863 3,863 3,976 4,136
61501 Group Health and Life Insu 35,956 21,405 21,405 45,571 47,990
61505 Long-term Disability Insura 1,184 972 972 1,336 1,447
61507 Dental Insurance 3,060 1,593 1,593 3,812 4,035
61509 Worker's Compensation 3,623 3,775 3,775 3,902 4,061
61510 Unemployment Insurance 920 799 799 823 856
61000 Personnel Services 380,084 316,375 316,388 354,615 369,948
62301 General Program Supplies 1,411 2,205 2,205 8,128 1,300
62305 Chemicals 16,020 24,000 24,000 24,000 24,000
62805 Clothing and Uniforms 648 750 750 750 750
62806 Safety Materials and Suppl 119 300 300 500 400
62809 Medical Supplies and 1st 405 500 500 500 500
62899 Other Miscellaneous Oper 816 2,100 2,100 1,300 1,300
62000 Commodities 19,418 29,855 29,855 35,178 28,250
64101 Travel and Conference 708 1,000 1,000 1,000 1,000
64102 Dues, Licenses and Memb 1,088 2,815 2,815 1,815 1,815
64399 Other Administrative Fees 200 1,884 1,884 1,184 1,184
64402 Equipment Replacement C 39,811 42,479 42,479 42,479 47,796
64000 Other Operating Costs 41,807 48,178 48,178 46,478 51,795
66402 Computers and Peripheral 0 0 0 0 1,900
66000 Capital Outlay 0 0 0 0 1,900
60000T Total Expenditures & O 441,310 394,408 394,421 436,271 451,893
Section IV, Page G - 15
516 Aquatics Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 145,615 105,672 105,672 147,224 158,140
61106 Paid out Leave 3,991 1,046 1,046 1,431 1,531
61121 PTS Wages 153,949 153,914 153,914 121,132 121,132
[Entity] Budget Detail Desc.Note Total
[516] Program Inst. - $6,522 x 75%4,892
[516] Lifeguard - 8,000 hrs x $13/hr 104,000
[516] Lead Lifeguard 680 hrs x $18/hr 12,240
Total 121,132
61122 PTS Bonuses 1,316 2,127 2,127 1,458 1,458
[Entity] Budget Detail Desc.Note Total
[516] 2 x $729 1,458
Total 1,458
61151 Overtime Wages 1,831 1,500 1,500 1,500 1,500
61202 Ski Pass 1,805 2,127 2,127 1,458 1,458
[Entity] Budget Detail Desc.Note Total
[516] 2 x $729 1,458
Total 1,458
61301 FT Pension 16,363 11,739 11,739 16,352 17,564
61302 PTS Pension 5,890 5,772 5,772 4,542 4,542
61304 Employee Assistance Prog 82 72 85 97 97
61401 FICA/Medicare 4,500 3,863 3,863 3,976 4,136
61501 Group Health and Life Insu 35,956 21,405 21,405 45,571 47,990
61505 Long-term Disability Insura 1,184 972 972 1,336 1,447
61507 Dental Insurance 3,060 1,593 1,593 3,812 4,035
61509 Worker's Compensation 3,623 3,775 3,775 3,902 4,061
61510 Unemployment Insurance 920 799 799 823 856
61000 Personnel Services 380,084 316,375 316,388 354,615 369,948
62301 General Program Supplies 1,411 2,205 2,205 8,128 1,300
[Entity] Budget Detail Desc.Note Total
[516] 400*5 = 2,000 lap lanes 8,128
[516] 43*8*12= 4,128 - filter media 0
[516] 1300 for aquatic programs 0
Total 8,128
62305 Chemicals 16,020 24,000 24,000 24,000 24,000
[Entity] Budget Detail Desc.Note Total
[516] Calhypo 12,000
[516] Muriatic Acid 6,000
[516] Thiosulfate 250
[516] Oxidizer 3,000
[516] Flocculent 1,000
[516] Reagents 1,750
Total 24,000
Section IV, Page G - 16
516 Aquatics Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62805 Clothing and Uniforms 648 750 750 750 750
[Entity] Budget Detail Desc.Note Total
[516] 10.25* 73 = 748.25 750
Total 750
62806 Safety Materials and Suppl 119 300 300 500 400
[Entity] Budget Detail Desc.Note Total
[516] Eye Protection 100
[516] Gloves 200
[516] PPE 200
Total 500
62809 Medical Supplies and 1st 405 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[516] Ice paks - 200 500
[516] Band Aids/Guaze/Tape - 200 0
[516] Misc medical supplies - 100 0
Total 500
62899 Other Miscellaneous Oper 816 2,100 2,100 1,300 1,300
[Entity] Budget Detail Desc.Note Total
[516] Office Supplies and Materials 1,300
Total 1,300
62000 Commodities 19,418 29,855 29,855 35,178 28,250
64101 Travel and Conference 708 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[516] MSEC Training/CPRA - 1,000 1,000
Total 1,000
64102 Dues, Licenses and Memb 1,088 2,815 2,815 1,815 1,815
[Entity] Budget Detail Desc.Note Total
[516] Red Cross Fees 1,400
[516] LGI Training 415
Total 1,815
64399 Other Administrative Fees 200 1,884 1,884 1,184 1,184
[Entity] Budget Detail Desc.Note Total
[516] Slide Registration -700 1,184
Total 1,184
Section IV, Page G - 17
516 Aquatics Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64402 Equipment Replacement C 39,811 42,479 42,479 42,479 47,796
[Entity] Budget Detail Desc.Note Total
[516] Annual Equipment Rental Charges 42,479
Total 42,479
64000 Other Operating Costs 41,807 48,178 48,178 46,478 51,795
66402 Computers and Peripheral 0 0 0 0 1,900
66000 Capital Outlay 0 0 0 0 1,900
60000T Total Expenditures & O 441,310 394,408 394,421 436,271 451,893
Section IV, Page G - 18
516 Aquatics Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 10,830 11,386 11,386 0 0
61106 Paid out Leave 985 109 109 0 0
61121 PTS Wages 15,803 18,300 18,300 0 0
61301 FT Pension 1,300 1,264 1,264 0 0
61302 PTS Pension 593 686 686 0 0
61304 Employee Assistance Prog 5 6 6 0 0
61401 FICA/Medicare 408 432 432 0 0
61501 Group Health and Life Insu 1,135 1,794 1,794 0 0
61505 Long-term Disability Insura 101 105 105 0 0
61507 Dental Insurance 90 133 133 0 0
61509 Worker's Compensation 367 432 432 0 0
61510 Unemployment Insurance 83 89 89 0 0
61000 Personnel Services 31,699 34,737 34,737 0 0
62301 General Program Supplies 479 1,000 1,000 0 0
62899 Other Miscellaneous Oper 0 500 500 0 0
62000 Commodities 479 1,500 1,500 0 0
64101 Travel and Conference 0 250 250 0 0
64000 Other Operating Costs 0 250 250 0 0
60000T Total Expenditures & O 32,178 36,487 36,487 0 0
Section IV, Page G - 19
517 Child Care Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 15,992 10,846 10,846 11,266 11,728
61106 Paid out Leave 308 107 107 111 119
61121 PTS Wages 52,138 67,561 67,561 59,920 59,920
61159 Other Wages 438 0 0 0 0
61301 FT Pension 1,765 1,205 1,205 1,252 1,303
61302 PTS Pension 1,955 2,534 2,534 2,247 2,247
61304 Employee Assistance Prog 6 6 6 6 6
61401 FICA/Medicare 1,020 1,138 1,138 1,034 1,041
61501 Group Health and Life Insu 5,370 44 44 46 49
61505 Long-term Disability Insura 124 100 100 104 109
61507 Dental Insurance 457 0 0 0 0
61509 Worker's Compensation 912 1,140 1,140 1,035 1,042
61510 Unemployment Insurance 207 236 236 214 215
61000 Personnel Services 80,692 84,916 84,916 77,235 77,779
62301 General Program Supplies 2,843 3,400 3,400 1,800 1,800
62899 Other Miscellaneous Oper 3,888 2,500 2,500 1,500 1,500
62000 Commodities 6,731 5,900 5,900 3,300 3,300
64101 Travel and Conference 100 2,000 2,000 500 500
64102 Dues, Licenses and Memb 0 250 250 250 250
64402 Equipment Replacement C 54,870 56,670 56,670 55,856 61,334
64000 Other Operating Costs 54,970 58,920 58,920 56,606 62,084
66407 Athletic and Recreational 0 8,500 8,500 0 0
66000 Capital Outlay 0 8,500 8,500 0 0
60000T Total Expenditures & O 142,393 158,236 158,236 137,141 143,163
Section IV, Page G - 20
518 Fitness Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 15,992 10,846 10,846 11,266 11,728
61106 Paid out Leave 308 107 107 111 119
61121 PTS Wages 52,138 67,561 67,561 59,920 59,920
[Entity] Budget Detail Desc.Note Total
[518] Boot Camp: $3.000 x 75% Personal
Trainers $20,000 x 75% Aerobics Instructor
1,441 hrs x 23.50
2,250
[518] Personal Trainers 25813 x 75%19,360
[518] Outdoor Boot camp 2200 x75%1,650
[518] Aerobics Instructors 36,660
Total 59,920
61159 Other Wages 438 0 0 0 0
61301 FT Pension 1,765 1,205 1,205 1,252 1,303
61302 PTS Pension 1,955 2,534 2,534 2,247 2,247
61304 Employee Assistance Prog 6 6 6 6 6
61401 FICA/Medicare 1,020 1,138 1,138 1,034 1,041
61501 Group Health and Life Insu 5,370 44 44 46 49
61505 Long-term Disability Insura 124 100 100 104 109
61507 Dental Insurance 457 0 0 0 0
61509 Worker's Compensation 912 1,140 1,140 1,035 1,042
61510 Unemployment Insurance 207 236 236 214 215
61000 Personnel Services 80,692 84,916 84,916 77,235 77,779
62301 General Program Supplies 2,843 3,400 3,400 1,800 1,800
[Entity] Budget Detail Desc.Note Total
[518] group X class supplies 1,800
Total 1,800
62899 Other Miscellaneous Oper 3,888 2,500 2,500 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[518] Fitness Floor Supplies 1,500
Total 1,500
62000 Commodities 6,731 5,900 5,900 3,300 3,300
64101 Travel and Conference 100 2,000 2,000 500 500
[Entity] Budget Detail Desc.Note Total
[518] First Aid & CPR $50 x 5 250
[518] Personal Training Seminars $50 x 5 250
Total 500
Section IV, Page G - 21
518 Fitness Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64102 Dues, Licenses and Memb 0 250 250 250 250
[Entity] Budget Detail Desc.Note Total
[518] ACSM Membership 250
Total 250
64402 Equipment Replacement C 54,870 56,670 56,670 55,856 61,334
[Entity] Budget Detail Desc.Note Total
[518] Annual Equipment Rental Charges 55,856
Total 55,856
64000 Other Operating Costs 54,970 58,920 58,920 56,606 62,084
66407 Athletic and Recreational 0 8,500 8,500 0 0
66000 Capital Outlay 0 8,500 8,500 0 0
60000T Total Expenditures & O 142,393 158,236 158,236 137,141 143,163
Section IV, Page G - 22
518 Fitness Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 40,007 61,535 61,535 125,700 125,122
61106 Paid out Leave 732 628 628 1,192 1,199
61121 PTS Wages 103,359 93,695 93,695 24,858 24,858
61122 PTS Bonuses 439 1,418 1,418 0 0
61151 Overtime Wages 1,622 1,836 1,836 1,836 1,836
61202 Ski Pass 584 2,127 2,127 1,458 1,458
61301 FT Pension 4,453 6,838 6,838 13,958 13,895
61302 PTS Pension 3,814 3,514 3,514 932 932
61304 Employee Assistance Prog 26 39 63 73 72
61401 FICA/Medicare 2,173 2,338 2,338 2,248 2,240
61501 Group Health and Life Insu 7,226 11,823 11,823 37,762 39,736
61505 Long-term Disability Insura 380 573 573 1,141 1,145
61507 Dental Insurance 614 879 879 3,221 3,408
61509 Worker's Compensation 1,940 2,257 2,257 2,189 2,181
61510 Unemployment Insurance 439 484 484 465 463
61000 Personnel Services 167,807 189,984 190,008 217,034 218,547
62301 General Program Supplies 414 10,200 10,774 5,000 5,000
62304 Merchandise for Resale 6,158 12,464 12,464 10,023 10,023
62802 Food and Beverages 232 250 250 300 300
62805 Clothing and Uniforms 1,269 1,200 1,200 1,200 1,200
62899 Other Miscellaneous Oper 4,510 0 0 0 0
62000 Commodities 12,583 24,114 24,688 16,523 16,523
64101 Travel and Conference 274 1,180 1,180 1,820 1,820
64301 Postage and Delivery 147 0 0 0 0
64307 Bank Service Charges and 17,189 16,472 16,472 16,472 16,472
64000 Other Operating Costs 17,609 17,652 17,652 18,292 18,292
66402 Computers and Peripheral 0 3,300 2,726 950 950
66000 Capital Outlay 0 3,300 2,726 950 950
60000T Total Expenditures & O 197,999 235,050 235,074 252,799 254,312
Section IV, Page G - 23
519 Guest Services Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 40,007 61,535 61,535 125,700 125,122
61106 Paid out Leave 732 628 628 1,192 1,199
61121 PTS Wages 103,359 93,695 93,695 24,858 24,858
[Entity] Budget Detail Desc.Note Total
[519] Specialist 799 hrs x 17.5 13,983
[519] Attendant 870 hrs x 12.5 10,875
Total 24,858
61122 PTS Bonuses 439 1,418 1,418 0 0
61151 Overtime Wages 1,622 1,836 1,836 1,836 1,836
[Entity] Budget Detail Desc.Note Total
[519] 6x17.5x1.5x12 1,836
Total 1,836
61202 Ski Pass 584 2,127 2,127 1,458 1,458
[Entity] Budget Detail Desc.Note Total
[519] 2 x $729 1,458
Total 1,458
61301 FT Pension 4,453 6,838 6,838 13,958 13,895
61302 PTS Pension 3,814 3,514 3,514 932 932
61304 Employee Assistance Prog 26 39 63 73 72
61401 FICA/Medicare 2,173 2,338 2,338 2,248 2,240
61501 Group Health and Life Insu 7,226 11,823 11,823 37,762 39,736
61505 Long-term Disability Insura 380 573 573 1,141 1,145
61507 Dental Insurance 614 879 879 3,221 3,408
61509 Worker's Compensation 1,940 2,257 2,257 2,189 2,181
61510 Unemployment Insurance 439 484 484 465 463
61000 Personnel Services 167,807 189,984 190,008 217,034 218,547
62301 General Program Supplies 414 10,200 10,774 5,000 5,000
[Entity] Budget Detail Desc.Note Total
[519] hand sanitizer, lotion, plates, plastic ware 150
[519] lobby kiosk 1,000
[519] fish tank supplies 100
[519] medical supplies 250
[519] towels 2,000
[519] cleaning supplies, hand sanitizer, lotion 150
[519] Coffee, creamer, sugar, cups, stirreers.1,350
Total 5,000
62304 Merchandise for Resale 6,158 12,464 12,464 10,023 10,023
[Entity] Budget Detail Desc.Note Total
[519] locks-150 150
[519] headphones 255
[519] swim caps 70
[519] Men's swimsuit 1,425
[519] womens swimsuit 2,300
[519] youth goggles 1,800
Section IV, Page G - 24
519 Guest Services Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[519] adult goggles 2,500
[519] squirt toys 250
[519] swim diapers 500
[519] pool buoy 278
[519] flippers 495
Total 10,023
62802 Food and Beverages 232 250 250 300 300
[Entity] Budget Detail Desc.Note Total
[519] staff meetings -300 300
Total 300
62805 Clothing and Uniforms 1,269 1,200 1,200 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[519] staff shirts and name tags-1200 1,200
Total 1,200
62899 Other Miscellaneous Oper 4,510 0 0 0 0
62000 Commodities 12,583 24,114 24,688 16,523 16,523
64101 Travel and Conference 274 1,180 1,180 1,820 1,820
[Entity] Budget Detail Desc.Note Total
[519] Core competencies-1820 1,820
Total 1,820
64301 Postage and Delivery 147 0 0 0 0
64307 Bank Service Charges and 17,189 16,472 16,472 16,472 16,472
[Entity] Budget Detail Desc.Note Total
[519] credit card charges-16400 16,400
[519] ach billing chages -72 72
Total 16,472
64000 Other Operating Costs 17,609 17,652 17,652 18,292 18,292
66402 Computers and Peripheral 0 3,300 2,726 950 950
[Entity] Budget Detail Desc.Note Total
[519] Desktop Replacement - Guest Services
Coordinator
950
Total 950
Section IV, Page G - 25
519 Guest Services Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66000 Capital Outlay 0 3,300 2,726 950 950
60000T Total Expenditures & O 197,999 235,050 235,074 252,799 254,312
Section IV, Page G - 26
519 Guest Services Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 21,652 21,691 21,691 23,174 24,408
61106 Paid out Leave 1,970 213 213 223 238
61121 PTS Wages 62,661 68,415 68,415 69,205 69,205
61151 Overtime Wages 176 1,000 1,000 1,000 1,000
61202 Ski Pass 797 1,418 1,418 729 729
61301 FT Pension 2,598 2,409 2,409 2,574 2,711
61302 PTS Pension 2,356 2,566 2,566 2,595 2,595
61304 Employee Assistance Prog 10 12 12 12 12
61401 FICA/Medicare 1,295 1,345 1,345 1,368 1,386
61501 Group Health and Life Insu 2,270 89 89 92 97
61505 Long-term Disability Insura 201 200 200 207 219
61507 Dental Insurance 180 0 0 0 0
61509 Worker's Compensation 1,147 1,310 1,310 1,343 1,361
61510 Unemployment Insurance 259 278 278 283 287
61000 Personnel Services 97,573 100,946 100,946 102,805 104,248
62301 General Program Supplies 1,848 2,349 2,349 3,000 3,000
62802 Food and Beverages 2,671 4,100 4,100 3,500 3,500
62805 Clothing and Uniforms 1,891 1,700 1,700 2,000 2,000
62808 Promotional, Informational 500 500 500 500 500
62809 Medical Supplies and 1st 110 200 200 300 300
62899 Other Miscellaneous Oper 0 0 0 300 300
62000 Commodities 7,021 8,849 8,849 9,600 9,600
63103 Training Facilitators 55 300 300 350 350
63203 Printing and Reproduction 97 350 350 350 350
63000 Purchased and Contract 152 650 650 700 700
64101 Travel and Conference 60 1,000 1,000 450 450
64102 Dues, Licenses and Memb 248 375 375 600 600
64306 Permit and Licensing Fees 205 150 150 400 400
64399 Other Administrative Fees 5,804 6,800 6,800 6,936 6,936
64402 Equipment Replacement C 209 209 209 0 0
64000 Other Operating Costs 6,526 8,534 8,534 8,386 8,386
66402 Computers and Peripheral 0 0 0 0 950
66000 Capital Outlay 0 0 0 0 950
60000T Total Expenditures & O 111,272 118,979 118,979 121,491 123,884
Section IV, Page G - 27
521 Youth Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 21,652 21,691 21,691 23,174 24,408
61106 Paid out Leave 1,970 213 213 223 238
61121 PTS Wages 62,661 68,415 68,415 69,205 69,205
[Entity] Budget Detail Desc.Note Total
[521] After School Lead 800hrs $19 15,200
[521] Day Camp Instructors 467 hrsx $15 7,005
[521] AFter School Counselor $15 x 1200 hrs 18,000
[521] Program Instructors 1,200 hrs x $15 18,000
[521] Day Camp Leader 550 x $20 11,000
Total 69,205
61151 Overtime Wages 176 1,000 1,000 1,000 1,000
61202 Ski Pass 797 1,418 1,418 729 729
[Entity] Budget Detail Desc.Note Total
[521] 1 x $729 729
Total 729
61301 FT Pension 2,598 2,409 2,409 2,574 2,711
61302 PTS Pension 2,356 2,566 2,566 2,595 2,595
61304 Employee Assistance Prog 10 12 12 12 12
61401 FICA/Medicare 1,295 1,345 1,345 1,368 1,386
61501 Group Health and Life Insu 2,270 89 89 92 97
61505 Long-term Disability Insura 201 200 200 207 219
61507 Dental Insurance 180 0 0 0 0
61509 Worker's Compensation 1,147 1,310 1,310 1,343 1,361
61510 Unemployment Insurance 259 278 278 283 287
61000 Personnel Services 97,573 100,946 100,946 102,805 104,248
62301 General Program Supplies 1,848 2,349 2,349 3,000 3,000
[Entity] Budget Detail Desc.Note Total
[521] After School Supplies 3,000
Total 3,000
62802 Food and Beverages 2,671 4,100 4,100 3,500 3,500
[Entity] Budget Detail Desc.Note Total
[521] After School/Day Camp 3,500
Total 3,500
62805 Clothing and Uniforms 1,891 1,700 1,700 2,000 2,000
[Entity] Budget Detail Desc.Note Total
[521] Camp Shirts 2,000
Total 2,000
62808 Promotional, Informational 500 500 500 500 500
62809 Medical Supplies and 1st 110 200 200 300 300
62899 Other Miscellaneous Oper 0 0 0 300 300
Section IV, Page G - 28
521 Youth Programs Town of Avon
Line Item Detail
62000 Commodities 7,021 8,849 8,849 9,600 9,600
63103 Training Facilitators 55 300 300 350 350
[Entity] Budget Detail Desc.Note Total
[521] Child Abuse 250
[521] Misc 100
Total 350
63203 Printing and Reproduction 97 350 350 350 350
[Entity] Budget Detail Desc.Note Total
[521] Parent Handbooks 350
Total 350
63000 Purchased and Contract 152 650 650 700 700
64101 Travel and Conference 60 1,000 1,000 450 450
[Entity] Budget Detail Desc.Note Total
[521] Med Admin 5 x $90 450
Total 450
64102 Dues, Licenses and Memb 248 375 375 600 600
[Entity] Budget Detail Desc.Note Total
[521] CPR $50 x 6 300
[521] Child Abuse Training 300
Total 600
64306 Permit and Licensing Fees 205 150 150 400 400
[Entity] Budget Detail Desc.Note Total
[521] State of CO 2 x $75 150
[521] Health Inspection 150
[521] Fire Inspection 100
Total 400
64399 Other Administrative Fees 5,804 6,800 6,800 6,936 6,936
[Entity] Budget Detail Desc.Note Total
[521] Rafting 900
[521] Bowling trips 1,000
[521] Silverthorne Rec 350
[521] WMSC 1,226
[521] Community Garden 250
[521] Kayak SUP lessons 600
[521] Batter Cupcakes 500
[521] Bouldering 250
[521] Breckenridge Rec 360
[521] Vendettas Pizza Making 500
[521] Field trips other 1,000
Total 6,936
Section IV, Page G - 29
521 Youth Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64402 Equipment Replacement C 209 209 209 0 0
64000 Other Operating Costs 6,526 8,534 8,534 8,386 8,386
66402 Computers and Peripheral 0 0 0 0 950
66000 Capital Outlay 0 0 0 0 950
60000T Total Expenditures & O 111,272 118,979 118,979 121,491 123,884
Section IV, Page G - 30
521 Youth Programs Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61121 PTS Wages 1,385 33,437 33,437 18,480 18,480
61122 PTS Bonuses 219 0 0 0 0
61151 Overtime Wages 0 750 750 900 900
61202 Ski Pass 0 709 709 0 0
61302 PTS Pension 60 1,254 1,254 693 693
61401 FICA/Medicare 25 506 506 281 281
61509 Worker's Compensation 23 486 486 269 269
61510 Unemployment Insurance 5 105 105 58 58
61000 Personnel Services 1,716 37,247 37,247 20,681 20,681
62301 General Program Supplies 36 750 750 0 0
62304 Merchandise for Resale 386 3,000 3,000 1,000 1,000
62802 Food and Beverages 0 150 150 100 100
62809 Medical Supplies and 1st 0 150 150 50 50
62899 Other Miscellaneous Oper 0 0 0 200 200
62000 Commodities 421 4,050 4,050 1,350 1,350
63599 Other Maintenance Servic 0 750 750 0 0
63000 Purchased and Contract 0 750 750 0 0
64101 Travel and Conference 0 100 100 0 0
64402 Equipment Replacement C 3,536 1,496 1,496 5,710 6,240
64000 Other Operating Costs 3,536 1,596 1,596 5,710 6,240
60000T Total Expenditures & O 5,673 43,643 43,643 27,741 28,271
Section IV, Page G - 31
522 Cabin Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61121 PTS Wages 1,385 33,437 33,437 18,480 18,480
[Entity] Budget Detail Desc.Note Total
[522] cabin attendants-18480 18,480
Total 18,480
61122 PTS Bonuses 219 0 0 0 0
61151 Overtime Wages 0 750 750 900 900
[Entity] Budget Detail Desc.Note Total
[522] cabin attendant-900 900
Total 900
61202 Ski Pass 0 709 709 0 0
61302 PTS Pension 60 1,254 1,254 693 693
61401 FICA/Medicare 25 506 506 281 281
61509 Worker's Compensation 23 486 486 269 269
61510 Unemployment Insurance 5 105 105 58 58
61000 Personnel Services 1,716 37,247 37,247 20,681 20,681
62301 General Program Supplies 36 750 750 0 0
62304 Merchandise for Resale 386 3,000 3,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[522] summer cabin-1000 1,000
Total 1,000
62802 Food and Beverages 0 150 150 100 100
[Entity] Budget Detail Desc.Note Total
[522] meetings-100 100
Total 100
62809 Medical Supplies and 1st 0 150 150 50 50
[Entity] Budget Detail Desc.Note Total
[522] first aid 50
Total 50
62899 Other Miscellaneous Oper 0 0 0 200 200
[Entity] Budget Detail Desc.Note Total
[522] bullhorn, locks, etc..-200 200
Total 200
62000 Commodities 421 4,050 4,050 1,350 1,350
63599 Other Maintenance Servic 0 750 750 0 0
Section IV, Page G - 32
522 Cabin Town of Avon
Line Item Detail
63000 Purchased and Contract 0 750 750 0 0
64101 Travel and Conference 0 100 100 0 0
64402 Equipment Replacement C 3,536 1,496 1,496 5,710 6,240
[Entity] Budget Detail Desc.Note Total
[522] Annual Equipment Rental Charges 5,710
Total 5,710
64000 Other Operating Costs 3,536 1,596 1,596 5,710 6,240
60000T Total Expenditures & O 5,673 43,643 43,643 27,741 28,271
Section IV, Page G - 33
522 Cabin Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 303,025 339,910 318,986 328,389 347,627
61106 Paid out Leave 2,678 3,292 4,358 3,137 3,344
61121 PTS Wages 65,934 60,044 60,044 29,820 29,820
61122 PTS Bonuses 658 0 0 0 0
61151 Overtime Wages 6,694 12,698 12,698 10,000 12,698
61202 Ski Pass 0 1,418 1,418 0 0
61301 FT Pension 33,111 37,752 35,568 36,468 38,607
61302 PTS Pension 2,519 2,252 2,252 1,118 1,118
61304 Employee Assistance Prog 144 166 153 144 142
61401 FICA/Medicare 5,405 6,052 5,764 5,385 5,706
61501 Group Health and Life Insu 82,363 98,808 95,233 101,536 106,966
61505 Long-term Disability Insura 2,482 2,908 2,729 2,677 2,766
61507 Dental Insurance 6,998 8,283 8,018 8,640 9,140
61509 Worker's Compensation 12,423 15,351 14,548 13,748 14,487
61510 Unemployment Insurance 1,137 1,252 1,193 1,114 1,180
61000 Personnel Services 525,571 590,185 562,961 542,176 573,602
62202 Sand and Gravel 1,259 4,100 4,100 5,700 5,700
62204 Construction, Maintenance 3,337 6,250 6,250 10,250 10,250
62205 Plumbing and Electrical Su 19,199 26,100 26,100 20,500 20,500
62206 Landscaping and Plant Ma 10,659 19,945 19,945 24,800 24,800
62305 Chemicals 6,424 7,500 7,500 10,600 10,600
62401 Gasoline 7,496 8,344 8,344 8,344 8,344
62402 Diesel 6,485 7,832 7,832 7,832 7,832
62802 Food and Beverages 923 750 750 1,250 1,250
62803 Janitorial, Custodial and Cl 2,568 6,000 6,000 8,150 8,150
62804 Training Supplies 222 200 200 400 400
62805 Clothing and Uniforms 3,426 3,130 3,130 3,300 3,700
62806 Safety Materials and Suppl 4,560 4,525 4,525 4,000 4,000
62807 Consumable Tools/Small 5,412 5,850 5,850 7,200 5,500
62809 Medical Supplies and 1st 400 900 900 1,200 1,200
62899 Other Miscellaneous Oper 18,453 49,025 49,025 17,100 31,600
62000 Commodities 90,821 150,451 150,451 130,626 143,826
63503 R&M - Parks and Athletic 1,149 16,942 16,942 20,000 20,000
63608 Rentals - Machinery and E 38 600 600 1,500 1,500
63999 Other Purchased and Cont 54,759 95,948 95,948 82,500 95,500
63000 Purchased and Contract 55,945 113,490 113,490 104,000 117,000
64101 Travel and Conference 3,226 6,900 6,900 7,700 7,700
64203 Electric 12,619 15,132 15,132 15,000 15,000
64204 Water and Sanitation 38,857 5,466 5,466 5,425 5,425
64206 Cellular and Paging 722 1,080 1,080 622 622
64401 Fleet Maintenance Charge 65,876 84,800 73,490 79,470 86,653
64402 Equipment Replacement C 62,797 63,028 63,028 60,482 60,709
64403 Washbay Charges 5,686 6,292 6,292 8,216 8,216
64000 Other Operating Costs 189,784 182,698 171,388 176,915 184,325
66402 Computers and Peripheral 689 0 0 0 1,900
66404 Furniture and Fixtures 0 17,588 17,588 21,000 11,000
Section IV, Page G - 34
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
66407 Athletic and Recreational 0 7,412 12,612 0 0
66499 Other Machinery and Equi 3,534 7,500 2,300 11,000 0
66000 Capital Outlay 4,223 32,500 32,500 32,000 12,900
60000T Total Expenditures & O 866,344 1,069,324 1,030,790 985,717 1,031,653
Section IV, Page G - 35
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 303,025 339,910 318,986 328,389 347,627
61106 Paid out Leave 2,678 3,292 4,358 3,137 3,344
61121 PTS Wages 65,934 60,044 60,044 29,820 29,820
[Entity] Budget Detail Desc.Note Total
[551] 1 26 week @ $18.00/hour 18,720
[551] 1 15 week @ $18.50/hour 11,100
Total 29,820
61122 PTS Bonuses 658 0 0 0 0
61151 Overtime Wages 6,694 12,698 12,698 10,000 12,698
61202 Ski Pass 0 1,418 1,418 0 0
61301 FT Pension 33,111 37,752 35,568 36,468 38,607
61302 PTS Pension 2,519 2,252 2,252 1,118 1,118
61304 Employee Assistance Prog 144 166 153 144 142
61401 FICA/Medicare 5,405 6,052 5,764 5,385 5,706
61501 Group Health and Life Insu 82,363 98,808 95,233 101,536 106,966
61505 Long-term Disability Insura 2,482 2,908 2,729 2,677 2,766
61507 Dental Insurance 6,998 8,283 8,018 8,640 9,140
61509 Worker's Compensation 12,423 15,351 14,548 13,748 14,487
61510 Unemployment Insurance 1,137 1,252 1,193 1,114 1,180
61000 Personnel Services 525,571 590,185 562,961 542,176 573,602
62202 Sand and Gravel 1,259 4,100 4,100 5,700 5,700
[Entity] Budget Detail Desc.Note Total
[551] Beach/VB courts sand 1,200
[551] Athletic Field Top Dressing 4,500
Total 5,700
62204 Construction, Maintenance 3,337 6,250 6,250 10,250 10,250
[Entity] Budget Detail Desc.Note Total
[551] Park Signage 1,250
[551] Lumber 1,300
[551] Hardware 600
[551] Weed Barrier 2,100
[551] Split Rail 3,000
[551] Vandalism 1,500
[551] Other 500
Total 10,250
62205 Plumbing and Electrical Su 19,199 26,100 26,100 20,500 20,500
[Entity] Budget Detail Desc.Note Total
[551] Irrigation Controller Replacement Repair 5,000
[551] Nozzles 2,000
[551] PVC Fittings 2,000
[551] Rotors 4,000
[551] Misc. Parts 4,000
[551] Backflow Repair 1,500
[551] Other 2,000
Total 20,500
Section IV, Page G - 36
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62206 Landscaping and Plant Ma 10,659 19,945 19,945 24,800 24,800
[Entity] Budget Detail Desc.Note Total
[551] Mulch 4,500
[551] Topsoil/compost 3,000
[551] Annuals & Perennials 6,500
[551] Replacement Trees (5)2,000
[551] Sod 5,000
[551] Grass Seed 1,250
[551] Wildflower Seed 800
[551] Bulbs 1,250
[551] Other/Vandalism 500
Total 24,800
62305 Chemicals 6,424 7,500 7,500 10,600 10,600
[Entity] Budget Detail Desc.Note Total
[551] Fertilizer 4,500
[551] Snow Melt 3,500
[551] Pesticides 1,500
[551] Tag-i-nator 1,100
Total 10,600
62401 Gasoline 7,496 8,344 8,344 8,344 8,344
[Entity] Budget Detail Desc.Note Total
[551] Unleaded Fuel for Parks Vehicles and
Equipment
8,344
Total 8,344
62402 Diesel 6,485 7,832 7,832 7,832 7,832
[Entity] Budget Detail Desc.Note Total
[551] Diesel Fuel for Parks Vehicles and
Equipment
7,832
Total 7,832
62802 Food and Beverages 923 750 750 1,250 1,250
62803 Janitorial, Custodial and Cl 2,568 6,000 6,000 8,150 8,150
[Entity] Budget Detail Desc.Note Total
[551] Dog Waste Bags 5,000
[551] Trash Liners 1,600
[551] Recycle Liners 400
[551] Compost Bags 400
[551] Cleaning Supplies 750
Total 8,150
62804 Training Supplies 222 200 200 400 400
62805 Clothing and Uniforms 3,426 3,130 3,130 3,300 3,700
[Entity] Budget Detail Desc.Note Total
[551] Work Wear (6ppl)x$350 2,100
[551] Outer Wear (6ppl)1,200
Total 3,300
Section IV, Page G - 37
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62806 Safety Materials and Suppl 4,560 4,525 4,525 4,000 4,000
[Entity] Budget Detail Desc.Note Total
[551] Type II clothing 700
[551] Gloves 700
[551] Work Boots 1,100
[551] Misc Safety Supplies 1,500
Total 4,000
62807 Consumable Tools/Small 5,412 5,850 5,850 7,200 5,500
[Entity] Budget Detail Desc.Note Total
[551] Maintenance Tools 1,500
[551] String Trimmers (2)1,200
[551] Rock Bucket 2,500
[551] Roto-tiller 2,000
Total 7,200
62809 Medical Supplies and 1st 400 900 900 1,200 1,200
62899 Other Miscellaneous Oper 18,453 49,025 49,025 17,100 31,600
[Entity] Budget Detail Desc.Note Total
[551] Replacement Holiday Lights 3,500
[551] Recreation Materials and Supplies 3,000
[551] Special Events Materials 2,000
[551] Replacement Flags 2,500
[551] Engineered Wood Fiber 3,000
[551] Replacement Waste Cans 1,500
[551] Infield Conditioner 1,600
Total 17,100
62000 Commodities 90,821 150,451 150,451 130,626 143,826
63503 R&M - Parks and Athletic 1,149 16,942 16,942 20,000 20,000
[Entity] Budget Detail Desc.Note Total
[551] Upper Field 12,000
[551] Lower Field 8,000
Total 20,000
63608 Rentals - Machinery and E 38 600 600 1,500 1,500
[Entity] Budget Detail Desc.Note Total
[551] Air Compressor Rental 1,500
Total 1,500
63999 Other Purchased and Cont 54,759 95,948 95,948 82,500 95,500
[Entity] Budget Detail Desc.Note Total
[551] Snow Removal 30,000
[551] Tree Care 10,500
[551] Statue Maintenance 7,000
[551] Misc. Landfill Fees 1,000
[551] Landscape Derbis Dumpster 3,000
Section IV, Page G - 38
551 Parks & Grounds Town of Avon
Line Item Detail
[Entity] Budget Detail Desc.Note Total
[551] Asphalt R&M 20,000
[551] Weed Spraying 5,000
[551] Port o Lav rental (3)6,000
Total 82,500
63000 Purchased and Contract 55,945 113,490 113,490 104,000 117,000
64101 Travel and Conference 3,226 6,900 6,900 7,700 7,700
[Entity] Budget Detail Desc.Note Total
[551] CPR/1st Aid 1,000
[551] Pesticide Applicator 800
[551] CPSI 700
[551] Irrigation Training 2,000
[551] Manager Training 1,200
[551] Lodging 2,000
Total 7,700
64203 Electric 12,619 15,132 15,132 15,000 15,000
[Entity] Budget Detail Desc.Note Total
[551] Pump House 10,400
[551] Park Restrooms 2,500
[551] Cabin 1,800
[551] Pocket Park - Wildrige 300
Total 15,000
64204 Water and Sanitation 38,857 5,466 5,466 5,425 5,425
[Entity] Budget Detail Desc.Note Total
[551] Cabin Water and Sewer 650
[551] Restrooms Water and Sewer 500
[551] Irrigation Meters:0
[551] Avon Rd - Core 350
[551] E BC Blvd 325
[551] SE Burger King Meter 650
[551] O'Neal Spur 950
[551] Roundabout #1 650
[551] Basketball Courts 150
[551] Shutdown Nottingham/Puder Ditch 775
[551] Eaglebend Pocket Park 425
Total 5,425
64206 Cellular and Paging 722 1,080 1,080 622 622
[Entity] Budget Detail Desc.Note Total
[551] $51.80 x 12 months 622
Total 622
64401 Fleet Maintenance Charge 65,876 84,800 73,490 79,470 86,653
[Entity] Budget Detail Desc.Note Total
[551] Annual Fleet Maintenance Charges 79,470
Total 79,470
Section IV, Page G - 39
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64402 Equipment Replacement C 62,797 63,028 63,028 60,482 60,709
[Entity] Budget Detail Desc.Note Total
[551] Annual Equipment Rental Charges 60,482
Total 60,482
64403 Washbay Charges 5,686 6,292 6,292 8,216 8,216
[Entity] Budget Detail Desc.Note Total
[551] Annual Washbay Charges - 7
vehicles/equipment
8,216
Total 8,216
64000 Other Operating Costs 189,784 182,698 171,388 176,915 184,325
66402 Computers and Peripheral 689 0 0 0 1,900
66404 Furniture and Fixtures 0 17,588 17,588 21,000 11,000
[Entity] Budget Detail Desc.Note Total
[551] Picnic Tables 21,000
Total 21,000
66407 Athletic and Recreational 0 7,412 12,612 0 0
66499 Other Machinery and Equi 3,534 7,500 2,300 11,000 0
[Entity] Budget Detail Desc.Note Total
[551] Bulk Top Dresser 11,000
Total 11,000
66000 Capital Outlay 4,223 32,500 32,500 32,000 12,900
60000T Total Expenditures & O 866,344 1,069,324 1,030,790 985,717 1,031,653
Section IV, Page G - 40
551 Parks & Grounds Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 287,619 212,680 212,680 0 0
61106 Paid out Leave 1,230 19,553 18,668 0 0
61151 Overtime Wages 519 1,200 1,200 0 0
61301 FT Pension 31,381 25,546 25,448 0 0
61304 Employee Assistance Prog 138 102 102 0 0
61401 FICA/Medicare 4,060 3,385 3,372 0 0
61501 Group Health and Life Insu 95,901 76,771 76,771 0 0
61505 Long-term Disability Insura 2,396 1,840 1,840 0 0
61507 Dental Insurance 8,179 6,863 6,863 0 0
61509 Worker's Compensation 6,933 5,829 5,829 0 0
61510 Unemployment Insurance 868 700 698 0 0
61000 Personnel Services 439,224 354,470 353,472 0 0
62204 Construction, Maintenance 4,709 5,211 5,211 0 0
62205 Plumbing and Electrical Su 8,549 9,155 9,155 0 0
62207 Electrical 6,460 5,621 5,621 0 0
62208 Mechanical - HVAC 1,470 2,770 2,770 0 0
62209 Mechanical - Other 2,764 10,000 10,000 0 0
62401 Gasoline 3,198 3,160 3,160 0 0
62402 Diesel 683 2,136 2,136 0 0
62803 Janitorial, Custodial and Cl 29,875 20,000 20,000 0 0
62805 Clothing and Uniforms 1,314 700 700 0 0
62806 Safety Materials and Suppl 190 500 500 0 0
62807 Consumable Tools/Small 2,204 3,500 3,500 0 0
62899 Other Miscellaneous Oper 3,695 2,050 2,050 0 0
62000 Commodities 65,111 64,803 64,803 0 0
63104 Engineering Services 510 500 500 0 0
63304 Computer Services and Su 0 2,550 2,550 0 0
63306 Security Services 3,069 9,450 9,450 0 0
63501 R&M - Buildings and Facilit 80,857 54,355 54,355 0 0
63507 R&M - Machinery and Equi 1,227 16,100 16,100 0 0
63549 R&M - Other Specialized E 7,635 10,340 10,340 0 0
63551 Laundry and Cleaning Ser 325 1,188 1,188 0 0
63599 Other Maintenance Servic 51,748 122,230 122,230 0 0
63699 Other Miscellaneous Rent 0 1,500 1,500 0 0
63999 Other Purchased and Cont 0 0 5,700 0 0
63000 Purchased and Contract 145,372 218,213 223,913 0 0
64101 Travel and Conference 1,144 3,300 3,300 0 0
64102 Dues, Licenses and Memb 3,924 4,109 4,109 0 0
64201 Telephone & Long-distanc 2,111 2,250 2,250 0 0
64202 Gas 43,030 48,880 48,880 0 0
64203 Electric 135,187 201,882 201,882 0 0
64204 Water and Sanitation 32,973 28,384 28,384 0 0
64205 Trash Collection and Recy 7,979 13,922 13,922 0 0
64206 Cellular and Paging 239 360 360 0 0
64401 Fleet Maintenance Charge 6,802 7,908 6,853 0 0
64402 Equipment Replacement C 38,143 78,625 78,625 0 0
64403 Washbay Charges 1,196 1,248 1,248 0 0
64907 Paid Claims 0 0 268 0 0
Section IV, Page G - 41
571 Buildings Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64000 Other Operating Costs 272,729 390,868 390,081 0 0
66202 Building Improvements 17,006 24,140 24,140 0 0
66402 Computers and Peripheral 0 860 860 0 0
66000 Capital Outlay 17,006 25,000 25,000 0 0
60000T Total Expenditures & O 939,442 1,053,354 1,057,269 0 0
Section IV, Page G - 42
571 Buildings Town of Avon
Line Item Detail
Section V, Page H-1
Fund: Transit
Dept: Transportation
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 401,181$ 482,125$ 457,122$ 634,659$ 669,502$
Commodities 86,788 119,785 119,785 124,178 124,329
Contract Services 12,916 95,503 95,503 94,894 95,521
Other Operating Costs 398,035 527,346 529,854 545,647 562,652
Debt Service 60,220 60,220 60,220 60,220 60,220
Capital Outlay 113,117 121,100 121,100 410,000 -
Total 1,072,257$ 1,406,079$ 1,383,584$ 1,869,598$ 1,512,224$
Department Expenditures by Program
Administration 54,793$ 219,197$ 219,197$ 240,302$ 246,175$
Operations 1,017,464 998,124 999,913 1,408,165 1,038,244
Wash Bay - 188,758 164,474 221,131 227,805
Total 1,072,257$ 1,406,079$ 1,383,584$ 1,869,598$ 1,512,224$
Authorized Positions
Transit Superintendent 1 1 1 1 1
Fleet Care Coordinator 0 0 1 1 1
Bus Driver/CDL Driver 3 3 3 3 3
Total 4 4 5 5 5
1. Redesigned Avon core bus service to include service to Buffalo Ridge along with Wal-Mart and Home Depot.
2. Developed joint winter season work schedule to maximize CDL needs in the Transit
Parks and Road and Bridge Departments saving two (2) FTE
3. Administered continuation of the lease agreement with ECO for bus storage, with the
addition of WiFi and vault room use for the upcoming winter season.
Budget Summary
DEPARTMENT OVERVIEW
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
2014 MAJOR ACCOMPLISHMENTS
The Transportation Department is the singular department of the Transit Fund and is responsible for all
transportation related activities for the Town of Avon. The Department's core responsibilities consist of developing
and sustaining effective, safe, and consistent community transportation programs for the residents and guests of
the Town of Avon. The Transit Fund operates as an enterprise fund and is used to account for operations that are
financed and operated a manner similar to private business enterprises, where the intent of the Town Council is
that the costs of providing services to the general public on a continuing basis be financed or recovered through
user charges. Monies may also be provided to the Transit Fund from general taxes collected by the Town of Avon,
when appropriate, to ensure a positive net income on an annual basis.
The Transportation Department is administered by the Transit Superintendent who coordinates both the operational and
administrative areas; with operational oversight greater is the winter and general non-operational duties heavier in the
summer.
Section V, Page H-2
Fund: Transit
Dept: Transportation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:118,947$
Total Activity Cost:240,302$
Performance Metric(s):Internal Survey
Community Survey
Estimated Personnel Time:67%
Estimated Nonpersonnel Costs:684,323$
Total Activity Cost:943,471$
Performance Metric(s):Winter cost per rider per route - Skier Shuttle@ $1.76
Black Line @ $2.54
Restaurant Shuttle @ $2.55
Winter on time performance 99%
Community Survey
Estimated Personnel Time:33%
Estimated Nonpersonnel Costs:337,054$
Total Activity Cost:464,694$
Performance Metric(s):Summer cost per rider per route - Black Line @ $2.54
Summer on time performance
Community Survey
99%
PROGRAM ACTIVITIES AND OPERATIONS
Administration: The Transit Superintendent oversees the day-to-day bus service routes, transit program development,
strategic planning, funding allocations, establishes performance goals, pursues coordination strategies, develops a
passenger feedback systems, designs and implements advertising and promotion, completes annual reports, budgets,
ADA certification and compliance, drug/alcohol program, vehicle procurement, Federal Transit Administration, Region
VIII/Colorado Department of Transportation grant solicitation/management, and Intergovernmental Agreement/Third Party
contract execution. The Transit Superintendent occasionally fills in for drivers on sick leave or during hiring transitions.
Route Operations: Includes service design/service implementation schedule and policy, system safety and security, fleet
management, customer (guest) service protocols, employee standards, seasonal employee recruitment, training, and
certification, performance metric(s), and day to day field operational supervision.
Winter Service: Three (3) route operations occur during the winter months: The Black Line serving the Avon Core and
residential areas other than Wildridge, a Skier Shuttle, supported with funding from Beaver Creek, and evening
Restaurant Shuttle. Hours and route frequency are summarized in the table below. The Town provides in-kind bus
service for The Birds of Prey World Cup, running additional buses.
Summer Service: The seven-day per week Black Line Route operates occur during the summer months: The Black Line
serves the Avon Core and residential areas other than Wildridge. In 2014, a smaller 25-seat shuttle van will operate the
route. Hours and route frequency are summarized in the table below.
Section V, Page H-3
Fund: Transit
Dept: Transportation Budget Summary
Estimated Personnel Time:100%
Estimated Nonpersonnel Costs:94,614$
Total Activity Cost:221,131$
Performance Metric(s):Internal Survey
Cost Recovery
Wash Bay: Located in the Bus Storage Facility, a wash bay is sized for large buses and smaller vehicles and equipment.
The bay also includes a service station for checking fluids and daily checklists. Charges are estimated each year based
upon the operational and maintenance costs of operating the wash bay, including staff time for servicing vehicles.
Winter Winter Winter Loop Winter Summer Summer Summer Loop Summer Annual
Route Op Hrs Frequence # Buses Time Serv. Hr.Op Hrs Frequence # Buses Time Serv. Hr.Cost
Blue Line 6:30-10:30 15-20 Min 1 30 Min 1,330 6:30-10:30 15-20 Min 1 30 Min 2,043 $274,663
1:30-6:30 1:30-6:30
Red Line 6:30-10:30 15-20 Min 1 30 Min 1,330 6:30-10:30 15-20 Min 1 30 Min 2,043 $274,663
1:30-6:30 1:30-6:30
Skier Shuttle 8:00-6:00 15 -30 Min 2 30 Min 2,913 $237,206
Restaurant Shuttle 6:00-10:00 30 Min 1 30 Min 635 $51,708
Black Line 11:00-2:00 30 Min 1 30 Min 490 11:00-2:00 30 Min 1 30 Min 795 $104,638
Total Service Hrs 6,698 Total Service Hrs 4,881 $942,878
Grand Total Service Hours 11,579
Section V, Page H-4
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Taxes 40,375$ 39,999$ 40,007$ 40,191$ 44,210$
Intergovernmental 90,494 96,000 100,000 328,000 -
Charges for Services 94,884 312,252 261,382 263,066 288,066
Other Revenues 8,903 47,632 57,025 63,080 83,440
Total Operating Revenues 234,656 495,883 458,414 694,337 415,716
Other Sources
Transfers In from General Fund - Operating 776,000 825,000 860,000 1,020,000 1,030,000
Transfers In from General Fund - Capital - - - 82,000 -
Total Other Sources 776,000 825,000 860,000 1,102,000 1,030,000
TOTAL REVENUES 1,010,656 1,320,883 1,318,414 1,796,337 1,445,716
EXPENDITURES
Administration 54,793 219,197 219,197 240,302 246,175
Operations 1,017,464 998,124 999,913 1,408,165 1,038,244
Washbay - 188,758 164,474 221,131 227,805
TOTAL EXPENDITURES 1,072,257 1,406,079 1,383,584 1,869,598 1,512,224
NET SOURCE (USE) OF FUNDS (61,601) (85,196) (65,170) (73,261) (66,508)
FUND BALANCES, Beginning of Year 622,333 560,732 560,732 495,562 422,301
FUND BALANCES, End of Year 560,732$ 475,536$ 495,562$ 422,301$ 355,793$
MUNICIPAL SERVICES
Transit Enterprise Fund #52
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 82,377 82,377 87,949 91,995
61106 Paid out Leave 0 792 792 834 880
61301 FT Pension 0 9,149 9,149 9,766 10,216
61304 Employee Assistance Prog 0 24 24 24 24
61401 FICA/Medicare 0 1,206 1,206 1,287 1,347
61501 Group Health and Life Insu 0 13,441 13,441 14,865 15,651
61505 Long-term Disability Insura 0 497 497 497 497
61507 Dental Insurance 0 1,050 1,050 1,170 1,239
61509 Worker's Compensation 0 4,399 4,399 4,696 4,912
61510 Unemployment Insurance 0 250 250 266 279
61000 Personnel Services 0 113,185 113,185 121,355 127,040
62207 Electrical 0 400 400 400 412
62208 Mechanical - HVAC 0 4,000 4,000 4,000 4,120
62801 Employee Recognition Exp 0 100 100 80 100
62899 Other Miscellaneous Oper 551 500 500 500 500
62901 Duplicating Supplies 0 600 600 500 500
62904 Software 165 0 0 0 0
62999 Office Supplies and Materi 79 500 500 500 500
62000 Commodities 795 6,100 6,100 5,980 6,132
63203 Printing and Reproduction 3,621 5,000 5,000 4,500 4,500
63306 Security Services 0 1,400 1,400 1,400 1,400
63501 R&M - Buildings and Facilit 0 9,341 9,341 20,550 20,550
63504 R&M - Office Equipment a 53 1,200 1,200 1,200 1,236
63599 Other Maintenance Servic 0 903 903 903 903
63603 Rentals - Office Equipment 2,077 1,917 1,917 1,917 1,917
63999 Other Purchased and Cont 4,995 4,600 4,600 3,558 3,558
63000 Purchased and Contract 10,746 24,361 24,361 34,028 34,064
64101 Travel and Conference 1,380 1,200 1,200 1,200 1,200
64201 Telephone & Long-distanc 2,301 4,220 4,220 4,220 4,220
64202 Gas 520 17,832 17,832 25,356 25,356
64203 Electric 16,476 36,764 36,764 29,724 29,724
64204 Water and Sanitation 2,231 1,500 1,500 4,116 4,116
64301 Postage and Delivery 31 50 50 50 50
64303 Treasurer Fees 1,211 1,290 1,290 1,186 1,186
64901 Advertising and Legal Noti 0 500 500 500 500
64905 Insurance Premiums 15,646 12,195 12,195 12,587 12,587
64906 Insurance Deductibles 3,456 0 0 0 0
64000 Other Operating Costs 43,252 75,551 75,551 78,939 78,939
60000T Total Expenditures & O 54,793 219,197 219,197 240,302 246,175
Section V, Page H - 5
431 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 82,377 82,377 87,949 91,995
61106 Paid out Leave 0 792 792 834 880
61301 FT Pension 0 9,149 9,149 9,766 10,216
61304 Employee Assistance Prog 0 24 24 24 24
61401 FICA/Medicare 0 1,206 1,206 1,287 1,347
61501 Group Health and Life Insu 0 13,441 13,441 14,865 15,651
61505 Long-term Disability Insura 0 497 497 497 497
61507 Dental Insurance 0 1,050 1,050 1,170 1,239
61509 Worker's Compensation 0 4,399 4,399 4,696 4,912
61510 Unemployment Insurance 0 250 250 266 279
61000 Personnel Services 0 113,185 113,185 121,355 127,040
62207 Electrical 0 400 400 400 412
62208 Mechanical - HVAC 0 4,000 4,000 4,000 4,120
62801 Employee Recognition Exp 0 100 100 80 100
[Entity] Budget Detail Desc.Note Total
[431] 4 x $20 80
Total 80
62899 Other Miscellaneous Oper 551 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[431] Bus Video Supplies 500
Total 500
62901 Duplicating Supplies 0 600 600 500 500
[Entity] Budget Detail Desc.Note Total
[431] Copy Paper & Toner 500
Total 500
62904 Software 165 0 0 0 0
62999 Office Supplies and Materi 79 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[431] Genral Office Supplies 500
Total 500
62000 Commodities 795 6,100 6,100 5,980 6,132
63203 Printing and Reproduction 3,621 5,000 5,000 4,500 4,500
[Entity] Budget Detail Desc.Note Total
[431] Bus Stop Displays - Bus Schedules 4,500
Total 4,500
Section V, Page H - 6
431 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63306 Security Services 0 1,400 1,400 1,400 1,400
[Entity] Budget Detail Desc.Note Total
[431] Bldg. Security & Fire Monitoring 1,400
Total 1,400
63501 R&M - Buildings and Facilit 0 9,341 9,341 20,550 20,550
[Entity] Budget Detail Desc.Note Total
[431] Elevator Maintenane 5,200
[431] MTech HVAC & DDC Maintenance 12,950
[431] Fire Ext. Maintenance 400
[431] Boiler Inspection 2,000
Total 20,550
63504 R&M - Office Equipment a 53 1,200 1,200 1,200 1,236
63599 Other Maintenance Servic 0 903 903 903 903
[Entity] Budget Detail Desc.Note Total
[431] Pest Control 903
Total 903
63603 Rentals - Office Equipment 2,077 1,917 1,917 1,917 1,917
[Entity] Budget Detail Desc.Note Total
[431] 1/2 Copier Lease $319.57 x 12 months 1,917
Total 1,917
63999 Other Purchased and Cont 4,995 4,600 4,600 3,558 3,558
[Entity] Budget Detail Desc.Note Total
[431] CASTA Lobbyist 3,558
Total 3,558
63000 Purchased and Contract 10,746 24,361 24,361 34,028 34,064
64101 Travel and Conference 1,380 1,200 1,200 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[431] Drug/Alcohol Training 1,200
[431] CASTA Spring/Fall Conference 0
[431] FTA/CDPT Training 0
Total 1,200
64201 Telephone & Long-distanc 2,301 4,220 4,220 4,220 4,220
[Entity] Budget Detail Desc.Note Total
[431] Fire Alarm Elevator 2,295
[431] Transit Office 1,925
Total 4,220
Section V, Page H - 7
431 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64202 Gas 520 17,832 17,832 25,356 25,356
[Entity] Budget Detail Desc.Note Total
[431] Annual Utility Cost 25,356
Total 25,356
64203 Electric 16,476 36,764 36,764 29,724 29,724
[Entity] Budget Detail Desc.Note Total
[431] Annual Utility Cost 29,724
Total 29,724
64204 Water and Sanitation 2,231 1,500 1,500 4,116 4,116
[Entity] Budget Detail Desc.Note Total
[431] Annual Utility Cost 4,116
Total 4,116
64301 Postage and Delivery 31 50 50 50 50
[Entity] Budget Detail Desc.Note Total
[431] Direct Mailing, FedEx Shipping 50
Total 50
64303 Treasurer Fees 1,211 1,290 1,290 1,186 1,186
[Entity] Budget Detail Desc.Note Total
[431] Treasurer Collection Fee 1,186
Total 1,186
64901 Advertising and Legal Noti 0 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[431] ADA Public Hearing, Employment Ads,
Radio Promotions
500
Total 500
64905 Insurance Premiums 15,646 12,195 12,195 12,587 12,587
[Entity] Budget Detail Desc.Note Total
[431] CIRSA Allocation - Transit (7.5%)12,587
Total 12,587
64906 Insurance Deductibles 3,456 0 0 0 0
64000 Other Operating Costs 43,252 75,551 75,551 78,939 78,939
60000T Total Expenditures & O 54,793 219,197 219,197 240,302 246,175
Section V, Page H - 8
431 Administration Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 185,133 125,106 125,106 143,164 151,402
61106 Paid out Leave 1,664 1,291 1,291 1,381 1,456
61121 PTS Wages 90,980 62,586 62,586 118,620 118,620
61122 PTS Bonuses 3,728 2,836 2,836 5,103 5,103
61151 Overtime Wages 1,864 8,203 8,203 5,900 15,062
61301 FT Pension 20,206 13,904 13,904 15,900 16,814
61302 PTS Pension 3,592 2,347 2,347 4,448 4,448
61304 Employee Assistance Prog 86 68 68 73 72
61401 FICA/Medicare 4,077 2,900 2,900 3,975 4,229
61501 Group Health and Life Insu 66,699 52,939 52,939 66,009 69,574
61505 Long-term Disability Insura 1,527 1,156 1,156 1,298 1,375
61507 Dental Insurance 5,671 4,876 4,876 6,116 6,462
61509 Worker's Compensation 15,103 10,023 10,023 13,979 14,419
61510 Unemployment Insurance 850 600 600 823 875
61000 Personnel Services 401,181 288,835 288,835 386,788 409,912
62401 Gasoline 1,953 3,000 3,000 34,753 34,753
62402 Diesel 80,375 95,885 95,885 71,535 71,535
62801 Employee Recognition Exp 0 600 600 180 180
62802 Food and Beverages 878 1,000 1,000 1,000 1,000
62805 Clothing and Uniforms 2,576 3,150 3,150 2,847 2,847
62809 Medical Supplies and 1st 207 1,000 1,000 300 300
62999 Office Supplies and Materi 4 250 250 50 50
62000 Commodities 85,993 104,885 104,885 110,665 110,665
63301 Medical Services and Exa 2,070 2,750 2,750 2,750 2,750
63506 R&M - Radios and Commu 100 7,483 7,483 6,363 6,363
63000 Purchased and Contract 2,170 10,233 10,233 9,113 9,113
64102 Dues, Licenses and Memb 3,334 2,700 2,700 2,700 2,700
64202 Gas 9,772 0 0 0 0
64206 Cellular and Paging 1,544 1,020 1,020 820 820
64401 Fleet Maintenance Charge 106,244 115,000 117,508 127,071 139,707
64402 Equipment Replacement C 2,476 39,838 39,838 44,076 44,076
64403 Washbay Charges 14,883 40,118 40,118 40,742 40,742
64902 Financial Support, Donatio 216,530 213,456 213,456 215,970 220,289
64000 Other Operating Costs 354,782 412,132 414,640 431,379 448,334
65201 Capital Lease Payments 60,220 60,220 60,220 60,220 60,220
65000 Debt Services 60,220 60,220 60,220 60,220 60,220
66402 Computers and Peripheral 0 1,100 1,100 0 0
66503 Buses and People Moving 113,117 120,000 120,000 410,000 0
66000 Capital Outlay 113,117 121,100 121,100 410,000 0
60000T Total Expenditures & O 1,017,465 997,405 999,913 1,408,165 1,038,244
Section V, Page H - 9
432 Operations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 185,133 125,106 125,106 143,164 151,402
61106 Paid out Leave 1,664 1,291 1,291 1,381 1,456
61121 PTS Wages 90,980 62,586 62,586 118,620 118,620
[Entity] Budget Detail Desc.Note Total
[432] Winter Hours 0
[432] PTS Drivers - 5,776 hours x $20/ Hour 113,340
[432] Driver Training - New - 3 @ $20.00/hour x
80 hours
4,800
[432] Returning Drivers - 6 @ $20.00/hour x 4
hours
480
Total 118,620
61122 PTS Bonuses 3,728 2,836 2,836 5,103 5,103
[Entity] Budget Detail Desc.Note Total
[432] End of Season Bonus - 7 @ $650 5,103
Total 5,103
61151 Overtime Wages 1,864 8,203 8,203 5,900 15,062
[Entity] Budget Detail Desc.Note Total
[432] 5% of $118,000 5,900
Total 5,900
61301 FT Pension 20,206 13,904 13,904 15,900 16,814
61302 PTS Pension 3,592 2,347 2,347 4,448 4,448
61304 Employee Assistance Prog 86 68 68 73 72
61401 FICA/Medicare 4,077 2,900 2,900 3,975 4,229
61501 Group Health and Life Insu 66,699 52,939 52,939 66,009 69,574
61505 Long-term Disability Insura 1,527 1,156 1,156 1,298 1,375
61507 Dental Insurance 5,671 4,876 4,876 6,116 6,462
61509 Worker's Compensation 15,103 10,023 10,023 13,979 14,419
61510 Unemployment Insurance 850 600 600 823 875
61000 Personnel Services 401,181 288,835 288,835 386,788 409,912
62401 Gasoline 1,953 3,000 3,000 34,753 34,753
[Entity] Budget Detail Desc.Note Total
[432] Unleaded Fuel 0
[432] 4,881 service hrs @ 2gal/hr x $3.56 per 34,753
Total 34,753
62402 Diesel 80,375 95,885 95,885 71,535 71,535
[Entity] Budget Detail Desc.Note Total
[432] Fuel for Avon Buses 0
[432] 6,698 Service Hours @ 3 gal/hr x $3.56
per gal
71,535
Total 71,535
Section V, Page H - 10
432 Operations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62801 Employee Recognition Exp 0 600 600 180 180
62802 Food and Beverages 878 1,000 1,000 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[432] Coffee Service 500
[432] Meeting/Functions 500
Total 1,000
62805 Clothing and Uniforms 2,576 3,150 3,150 2,847 2,847
[Entity] Budget Detail Desc.Note Total
[432] Driver Uniform Winter Jackets 10 x $120 0
[432] Vests - 10 x $40 400
[432] Shirts - 10 x $40 400
[432] Hats - 10 x $12 120
[432] Summer Shits - 6 x $22 132
[432] Name Tags - 10 x $12 120
[432] Embroidery - 25 x $15 375
[432] Jackets - 10 x $130 1,300
Total 2,847
62809 Medical Supplies and 1st 207 1,000 1,000 300 300
[Entity] Budget Detail Desc.Note Total
[432] First Aid Supplies 300
Total 300
62999 Office Supplies and Materi 4 250 250 50 50
[Entity] Budget Detail Desc.Note Total
[432] Office Supplies 50
Total 50
62000 Commodities 85,993 104,885 104,885 110,665 110,665
63301 Medical Services and Exa 2,070 2,750 2,750 2,750 2,750
[Entity] Budget Detail Desc.Note Total
[432] Drug/Alcohol Program:0
[432] Random Drug 1,000
[432] Random Alcohol 1,000
[432] Pre-Employment 250
[432] DOT Physicals 500
Total 2,750
63506 R&M - Radios and Commu 100 7,483 7,483 6,363 6,363
[Entity] Budget Detail Desc.Note Total
[432] 800 MHz Radio Service 6,363
Total 6,363
Section V, Page H - 11
432 Operations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63000 Purchased and Contract 2,170 10,233 10,233 9,113 9,113
64102 Dues, Licenses and Memb 3,334 2,700 2,700 2,700 2,700
[Entity] Budget Detail Desc.Note Total
[432] CASTA Coalition 2,700
[432] National Safety Council 0
[432] Colorado Safety Association 0
[432] FTA/DOT CDL Certification 0
Total 2,700
64202 Gas 9,772 0 0 0 0
64206 Cellular and Paging 1,544 1,020 1,020 820 820
[Entity] Budget Detail Desc.Note Total
[432] $68.31 x 12 months 820
Total 820
64401 Fleet Maintenance Charge 106,244 115,000 117,508 127,071 139,707
[Entity] Budget Detail Desc.Note Total
[432] Annual Fleet Maintenance Charges 127,071
Total 127,071
64402 Equipment Replacement C 2,476 39,838 39,838 44,076 44,076
[Entity] Budget Detail Desc.Note Total
[432] Annual Equipment Rental Charges 44,076
Total 44,076
64403 Washbay Charges 14,883 40,118 40,118 40,742 40,742
[Entity] Budget Detail Desc.Note Total
[432] Annual Washbay Charges - 1
wash/bus/day + 2 vehicles
40,742
Total 40,742
64902 Financial Support, Donatio 216,530 213,456 213,456 215,970 220,289
[Entity] Budget Detail Desc.Note Total
[432] Gondola Operations 2014/2015 (84%)181,415
[432] Gondola Operations 2015/2016 (16%)34,555
Total 215,970
64000 Other Operating Costs 354,782 412,132 414,640 431,379 448,334
65201 Capital Lease Payments 60,220 60,220 60,220 60,220 60,220
[Entity] Budget Detail Desc.Note Total
[432] 2011 Gillig Bus 60,220
Total 60,220
Section V, Page H - 12
432 Operations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
65000 Debt Services 60,220 60,220 60,220 60,220 60,220
66402 Computers and Peripheral 0 1,100 1,100 0 0
66503 Buses and People Moving 113,117 120,000 120,000 410,000 0
[Entity] Budget Detail Desc.Note Total
[432] FTA-5339 Grant: $410K bus; Match=$82K 410,000
Total 410,000
66000 Capital Outlay 113,117 121,100 121,100 410,000 0
60000T Total Expenditures & O 1,017,465 997,405 999,913 1,408,165 1,038,244
Section V, Page H - 13
432 Operations Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 28,217 13,279 45,088 47,379
61106 Paid out Leave 0 415 415 440 472
61121 PTS Wages 0 27,492 27,492 40,320 40,320
61122 PTS Bonuses 0 709 709 1,458 1,458
61151 Overtime Wages 0 2,199 2,199 2,100 4,032
61301 FT Pension 0 3,150 1,506 5,008 5,264
61302 PTS Pension 0 1,031 1,031 1,512 1,512
61304 Employee Assistance Prog 0 16 7 24 24
61401 FICA/Medicare 0 856 639 1,296 1,358
61501 Group Health and Life Insu 0 11,571 4,959 21,993 23,180
61505 Long-term Disability Insura 0 232 99 409 433
61507 Dental Insurance 0 1,067 457 2,039 2,154
61509 Worker's Compensation 0 2,975 2,177 4,561 4,683
61510 Unemployment Insurance 0 177 132 268 281
61000 Personnel Services 0 80,105 55,102 126,517 132,551
62208 Mechanical - HVAC 0 600 600 500 500
62899 Other Miscellaneous Oper 0 8,200 8,200 7,032 7,032
62000 Commodities 0 8,800 8,800 7,532 7,532
63501 R&M - Buildings and Facilit 0 22,106 22,106 12,950 12,950
63549 R&M - Other Specialized E 0 19,690 19,690 19,690 20,281
63999 Other Purchased and Cont 0 19,113 19,113 19,113 19,113
63000 Purchased and Contract 0 60,909 60,909 51,753 52,344
64201 Telephone & Long-distanc 0 660 660 1,350 1,350
64204 Water and Sanitation 0 13,000 13,000 6,792 6,792
64205 Trash Collection and Recy 0 4,000 4,000 4,950 5,000
64402 Equipment Replacement C 0 22,003 22,003 22,237 22,237
64000 Other Operating Costs 0 39,663 39,663 35,329 35,379
60000T Total Expenditures & O 0 189,477 164,474 221,131 227,805
Section V, Page H - 14
436 Washbay Transit Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 0 28,217 13,279 45,088 47,379
61106 Paid out Leave 0 415 415 440 472
61121 PTS Wages 0 27,492 27,492 40,320 40,320
[Entity] Budget Detail Desc.Note Total
[436] Winter Hours - 1,120 x $20.00 40,320
[436] Summer Hours - 896 x $20.00 0
Total 40,320
61122 PTS Bonuses 0 709 709 1,458 1,458
[Entity] Budget Detail Desc.Note Total
[436] 2 @ $729 1,458
Total 1,458
61151 Overtime Wages 0 2,199 2,199 2,100 4,032
[Entity] Budget Detail Desc.Note Total
[436] $40,320 x 5%2,100
Total 2,100
61301 FT Pension 0 3,150 1,506 5,008 5,264
61302 PTS Pension 0 1,031 1,031 1,512 1,512
61304 Employee Assistance Prog 0 16 7 24 24
61401 FICA/Medicare 0 856 639 1,296 1,358
61501 Group Health and Life Insu 0 11,571 4,959 21,993 23,180
61505 Long-term Disability Insura 0 232 99 409 433
61507 Dental Insurance 0 1,067 457 2,039 2,154
61509 Worker's Compensation 0 2,975 2,177 4,561 4,683
61510 Unemployment Insurance 0 177 132 268 281
61000 Personnel Services 0 80,105 55,102 126,517 132,551
62208 Mechanical - HVAC 0 600 600 500 500
[Entity] Budget Detail Desc.Note Total
[436] Filters/Belts 500
Total 500
62899 Other Miscellaneous Oper 0 8,200 8,200 7,032 7,032
[Entity] Budget Detail Desc.Note Total
[436] Validated (8/28/2014)7,032
[436] Water Softner Supplies 0
Total 7,032
62000 Commodities 0 8,800 8,800 7,532 7,532
63501 R&M - Buildings and Facilit 0 22,106 22,106 12,950 12,950
[Entity] Budget Detail Desc.Note Total
Section V, Page H - 15
436 Washbay Transit Town of Avon
Line Item Detail
[436] MTech Contract @ $12,950- 50/50 split
431 & 436
12,950
[Entity] Budget Detail Desc.Note Total
Total 12,950
63549 R&M - Other Specialized E 0 19,690 19,690 19,690 20,281
63999 Other Purchased and Cont 0 19,113 19,113 19,113 19,113
[Entity] Budget Detail Desc.Note Total
[436] Sludge Pit Annual Cleaning - $5,000 19,113
Total 19,113
63000 Purchased and Contract 0 60,909 60,909 51,753 52,344
64201 Telephone & Long-distanc 0 660 660 1,350 1,350
[Entity] Budget Detail Desc.Note Total
[436] Modem 1,350
Total 1,350
64204 Water and Sanitation 0 13,000 13,000 6,792 6,792
[Entity] Budget Detail Desc.Note Total
[436] Annual Utility Cost 6,792
Total 6,792
64205 Trash Collection and Recy 0 4,000 4,000 4,950 5,000
[Entity] Budget Detail Desc.Note Total
[436] Sludge Removal - $4,950 x 1/yr 4,950
Total 4,950
64402 Equipment Replacement C 0 22,003 22,003 22,237 22,237
[Entity] Budget Detail Desc.Note Total
[436] Annual Equipment Rental Charges 22,237
Total 22,237
64000 Other Operating Costs 0 39,663 39,663 35,329 35,379
60000T Total Expenditures & O 0 189,477 164,474 221,131 227,805
Section V, Page H - 16
436 Washbay Transit Town of Avon
Line Item Detail
Section V, Page I-1
Fund: Fleet
Dept: Fleet Maintenance
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
Department Expenditures by Category 2013 2014 2014 2015 2016
Personnel Services 645,961$ 649,526$ 642,039$ 697,740$ 731,988$
Commodities 506,620 434,384 486,912 523,191 528,901
Contract Services 82,290 67,280 86,221 65,167 69,337
Other Operating Costs 106,813 114,310 119,232 128,205 136,153
Debt Service 253,747 261,522 261,522 262,116 258,064
Capital Outlay 24,351 19,120 19,120 12,500 7,400
Total 1,619,782$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Department Expenditures by Program
Fleet Maintenance 1,608,101$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Wash Bay 11,681 - - - -
Total 1,619,782$ 1,546,142$ 1,615,046$ 1,688,919$ 1,731,843$
Authorized Positions
Fleet Manager 1 1 1 1 1
Accounting Assistant II 1 1 1 1 1
Mechanic I-II 5 5 5 5 5
Mechanics Helper 1 1 1 1 1
Total 8 8 8 8 8
1. Continue "right sizing" Towns Fleet by selling under utilized vehicles on a public auction website.
2. Completed Annual Inseptions on the entire Town Transit fleet in the second quarter of the year.
3. Continue working with Beaver Creek in the planning and maintenance of critical vehicles and equipment for the 2015
WASC.
Budget Summary
DEPARTMENT OVERVIEW
2014 MAJOR ACCOMPLISHMENTS
ADMINISTRATION OF THE DEPARTMENT
DEPARTMENT FINANCIAL SUMMARY
The Fleet Maintenance Fund is an enterprise fund and is used to account for operations that are financed and
operated a manner similar to private business enterprises, where the intent of the Town Council is that the costs of
providing services to the general public on a continuing basis be financed or recovered through user charges.
Monies may also be provided to the Fleet Maintenance Fund from general taxes collected by the Town of Avon,
when appropriate, to ensure a positive net income on an annual basis. The Fleet Department is the only division in
the Fund and provides vehicle and rolling stock service for Town of Avon as well as other third party governmental
agencies.
The Fleet Department is administered by the Fleet Manager who spends approximately 90% on general department
administration, and the balance on mechanic training and hands-on support.
Section V, Page I-2
Fund: Fleet
Dept: Fleet Maintenance Budget Summary
Estimated Personnel Time:35%
Estimated Nonpersonnel Costs:346,913$
Total Activity Cost:591,122$
Performance Metric(s):70% Cost Recovery
Internal Survey
Estimated Personnel Time:65%
Estimated Nonpersonnel Costs:644,266$
Total Activity Cost:1,097,797$
Performance Metric(s):70% Cost Recovery
Internal Survey
PROGRAM ACTIVITIES AND OPERATIONS
Town of Avon Vehicles and Rolling Stock: Town departments are charged a competitive “fully
burdened” shop rate for regular maintenance and repair. The Fleet Department targets a billable total cost
recovery of 70% from work through the year.
Third Party Vehicles and Rolling Stock: Third party governmental agencies are charged a competitive “fully burdened”
shop rate for regular maintenance and repair. The Fleet Department targets a cost recovery of 70% from total work
through the year.
Section V, Page I-3
Fund Summary
Original or Final
Prev. Amend.Revised Adopted Proposed
Actual Budget Budget Budget Budget
2013 2014 2014 2015 2016
REVENUES
Charges for Services 1,344,126$ 1,299,935$ 1,271,638$ 1,372,358$ 1,505,438$
Other Revenue 2,475 - - - -
Total Operating Revenues 1,346,601 1,299,935 1,271,638 1,372,358 1,505,438
Other Sources
Transfers-In from General Fund 150,000 150,000 300,000 300,000 275,000
Capital Lease Proceeds 24,351 - - - -
Total Other Sources 174,351 150,000 300,000 300,000 275,000
TOTAL REVENUES 1,520,952 1,449,935 1,571,638 1,672,358 1,780,438
EXPENDITURES
Public Works:
Fleet Maintenance 1,608,101 1,546,142 1,615,046 1,688,919 1,731,843
Washbay 11,681 - - - -
Total Operating Expenditures 1,619,782 1,546,142 1,615,046 1,688,919 1,731,843
TOTAL EXPENDITURES 1,619,782 1,546,142 1,615,046 1,688,919 1,731,843
NET SOURCE (USE) OF FUNDS (98,830) (96,207) (43,408) (16,561) 48,595
FUND BALANCES, Beginning of Year 321,627 304,827 222,797 179,389 162,828
FUND BALANCES, End of Year 222,797$ 208,620$ 179,389$ 162,828$ 211,423$
MUNICIPAL SERVICES
Fleet Maintenance Enterprise Fund #61
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 419,127 433,635 428,025 473,357 496,257
61106 Paid out Leave 10,075 4,170 7,935 4,550 4,815
61111 FT Bonuses 0 0 5,000 0 0
61151 Overtime Wages 2,753 6,000 6,000 6,000 6,000
61301 FT Pension 45,904 48,159 47,956 52,570 55,118
61304 Employee Assistance Prog 182 192 188 195 193
61401 FICA/Medicare 5,917 6,435 6,408 7,017 7,353
61501 Group Health and Life Insu 133,249 121,789 115,330 126,303 133,043
61505 Long-term Disability Insura 3,313 3,554 3,495 3,759 3,894
61507 Dental Insurance 11,301 10,080 9,825 10,808 11,434
61509 Worker's Compensation 13,544 14,181 10,551 11,731 12,360
61510 Unemployment Insurance 598 1,331 1,326 1,452 1,521
61000 Personnel Services 645,961 649,526 642,039 697,740 731,988
62401 Gasoline 2,793 2,844 2,844 2,844 2,930
62404 Auto & Equip Parts - Stock 461,843 382,000 435,128 470,539 475,000
62801 Employee Recognition Exp 0 160 160 160 160
62802 Food and Beverages 406 450 450 660 680
62805 Clothing and Uniforms 0 1,250 1,250 1,408 1,408
62807 Consumable Tools/Small 6,318 9,000 9,000 9,500 9,500
62809 Medical Supplies and 1st 783 1,180 1,180 1,180 1,215
62899 Other Miscellaneous Oper 31,859 35,500 35,500 35,500 36,566
62999 Office Supplies and Materi 1,854 1,400 1,400 1,400 1,442
62000 Commodities 505,857 433,784 486,912 523,191 528,901
63501 R&M - Buildings and Facilit 4,462 6,500 6,500 1,000 1,000
63504 R&M - Office Equipment a 0 600 600 600 600
63505 R&M - Vehicles 23,774 14,000 14,000 14,000 14,000
63506 R&M - Radios and Commu 2,176 500 500 500 500
63507 R&M - Machinery and Equi 14,987 9,500 9,500 10,000 10,000
63549 R&M - Other Specialized E 282 4,000 22,341 6,000 9,000
63551 Laundry and Cleaning Ser 6,575 7,725 7,725 9,012 9,282
63599 Other Maintenance Servic 12,572 11,500 11,500 10,500 10,800
63603 Rentals - Office Equipment 1,612 1,555 1,555 1,555 1,555
63999 Other Purchased and Cont 9,536 12,000 12,000 12,000 12,600
63000 Purchased and Contract 75,976 67,880 86,221 65,167 69,337
64101 Travel and Conference 452 4,000 4,000 4,000 4,000
64102 Dues, Licenses and Memb 420 700 700 500 500
64201 Telephone & Long-distanc 0 1,200 1,200 1,200 1,200
64202 Gas 12,317 16,000 16,000 16,500 17,325
64203 Electric 10,864 13,500 13,500 17,940 18,837
64204 Water and Sanitation 3,888 3,800 3,800 4,300 4,515
64205 Trash Collection and Recy 2,565 4,300 4,300 4,300 4,429
64206 Cellular and Paging 1,698 1,020 1,020 820 820
64301 Postage and Delivery 54 480 480 250 250
64401 Fleet Maintenance Charge 44,281 43,092 48,014 51,922 57,804
64402 Equipment Replacement C 4,559 4,021 4,021 3,623 3,623
64403 Washbay Charges 2,405 1,872 1,872 1,872 1,872
64905 Insurance Premiums 18,707 20,325 20,325 20,978 20,978
Section V, Page I - 4
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64000 Other Operating Costs 102,209 114,310 119,232 128,205 136,153
65101 Principal 125,000 130,000 130,000 135,000 135,000
65102 Interest 128,747 125,906 125,906 122,006 117,954
65201 Capital Lease Payments 0 5,616 5,616 5,110 5,110
65000 Debt Services 253,747 261,522 261,522 262,116 258,064
66402 Computers and Peripheral 0 2,200 2,200 0 3,900
66499 Other Machinery and Equi 24,351 16,920 16,920 12,500 3,500
66000 Capital Outlay 24,351 19,120 19,120 12,500 7,400
60000T Total Expenditures & O 1,608,100 1,546,142 1,615,046 1,688,919 1,731,843
Section V, Page I - 5
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
61101 Regular Full-time Salaries 419,127 433,635 428,025 473,357 496,257
61106 Paid out Leave 10,075 4,170 7,935 4,550 4,815
61111 FT Bonuses 0 0 5,000 0 0
61151 Overtime Wages 2,753 6,000 6,000 6,000 6,000
[Entity] Budget Detail Desc.Note Total
[434] Overtime for 6 mechanics to cover sick
days and PTO
6,000
Total 6,000
61301 FT Pension 45,904 48,159 47,956 52,570 55,118
61304 Employee Assistance Prog 182 192 188 195 193
61401 FICA/Medicare 5,917 6,435 6,408 7,017 7,353
61501 Group Health and Life Insu 133,249 121,789 115,330 126,303 133,043
61505 Long-term Disability Insura 3,313 3,554 3,495 3,759 3,894
61507 Dental Insurance 11,301 10,080 9,825 10,808 11,434
61509 Worker's Compensation 13,544 14,181 10,551 11,731 12,360
61510 Unemployment Insurance 598 1,331 1,326 1,452 1,521
61000 Personnel Services 645,961 649,526 642,039 697,740 731,988
62401 Gasoline 2,793 2,844 2,844 2,844 2,930
[Entity] Budget Detail Desc.Note Total
[434] For 3 Fleet trucks 2,844
Total 2,844
62404 Auto & Equip Parts - Stock 461,843 382,000 435,128 470,539 475,000
[Entity] Budget Detail Desc.Note Total
[434] Parts for TOA vehicles and Equipment 192,152
[434] Parts for 3rd Party vehicles and Equipment 278,387
Total 470,539
62801 Employee Recognition Exp 0 160 160 160 160
62802 Food and Beverages 406 450 450 660 680
[Entity] Budget Detail Desc.Note Total
[434] Coffee for Fleet and Facilities 500
[434] Food for misc Fleet meetings 160
Total 660
62805 Clothing and Uniforms 0 1,250 1,250 1,408 1,408
[Entity] Budget Detail Desc.Note Total
[434] Winter and Summer gloves 125
[434] Jackets and insulated coveralls for 8
employees
1,283
Total 1,408
Section V, Page I - 6
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62807 Consumable Tools/Small 6,318 9,000 9,000 9,500 9,500
[Entity] Budget Detail Desc.Note Total
[434] Hand and miscellaneous spceiality tools 7,000
[434] Replace broken or worn out tools 2,500
Total 9,500
62809 Medical Supplies and 1st 783 1,180 1,180 1,180 1,215
[Entity] Budget Detail Desc.Note Total
[434] Shop First Aid Kit supplies 1,180
Total 1,180
62899 Other Miscellaneous Oper 31,859 35,500 35,500 35,500 36,566
[Entity] Budget Detail Desc.Note Total
[434] Shop supplies 25,000
[434] Repair related hardware 5,250
[434] chemicals 5,250
Total 35,500
62999 Office Supplies and Materi 1,854 1,400 1,400 1,400 1,442
[Entity] Budget Detail Desc.Note Total
[434] Copier and Fax paper 1,000
[434] Misc office supplies 400
Total 1,400
62000 Commodities 505,857 433,784 486,912 523,191 528,901
63501 R&M - Buildings and Facilit 4,462 6,500 6,500 1,000 1,000
[Entity] Budget Detail Desc.Note Total
[434] Garage door repair 1,000
Total 1,000
63504 R&M - Office Equipment a 0 600 600 600 600
[Entity] Budget Detail Desc.Note Total
[434] Fax and copier repairs 600
Total 600
63505 R&M - Vehicles 23,774 14,000 14,000 14,000 14,000
[Entity] Budget Detail Desc.Note Total
[434] Outside repairs of engine and 2,500
[434] Paint and Body 4,500
[434] Glass repair or replace 2,000
[434] Radiator and Aftercoolers 3,000
[434] Towing 2,000
Total 14,000
Section V, Page I - 7
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
63506 R&M - Radios and Commu 2,176 500 500 500 500
[Entity] Budget Detail Desc.Note Total
[434] Fleet radio repairs 500
Total 500
63507 R&M - Machinery and Equi 14,987 9,500 9,500 10,000 10,000
[Entity] Budget Detail Desc.Note Total
[434] Panit and Body 1,000
[434] Glass repair and repalce 1,000
[434] Radiator and Aftercoolers 1,000
[434] Towing 3,000
[434] Engine and transmission 4,000
Total 10,000
63549 R&M - Other Specialized E 282 4,000 22,341 6,000 9,000
[Entity] Budget Detail Desc.Note Total
[434] Shop lifts 4,000
[434] Pressure Washer 1,000
[434] Misc. shop Equipment 1,000
Total 6,000
63551 Laundry and Cleaning Ser 6,575 7,725 7,725 9,012 9,282
[Entity] Budget Detail Desc.Note Total
[434] Uniform and shop towel service 9,012
Total 9,012
63599 Other Maintenance Servic 12,572 11,500 11,500 10,500 10,800
[Entity] Budget Detail Desc.Note Total
[434] Tire Disposal fees 500
[434] Parts washer service 7,000
[434] Waste oil and Filter disposal 3,000
Total 10,500
63603 Rentals - Office Equipment 1,612 1,555 1,555 1,555 1,555
[Entity] Budget Detail Desc.Note Total
[434] Copier Lease ($129.61 x 12)1,555
Total 1,555
63999 Other Purchased and Cont 9,536 12,000 12,000 12,000 12,600
[Entity] Budget Detail Desc.Note Total
[434] Welding gas tank lease 1,000
[434] International Diagnostics Software 350
[434] Allison Diagnostic Software 400
[434] Cummins Insite and Quick Serve
subscriptions
1,250
[434] GM Tech 2 Subscription 500
[434] Alldata subscription 1,750
[434] CCG Systems sofware support 4,300
[434] Drinking water service 1,500
Section V, Page I - 8
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
[434] Other Diagnostics subscrition updates 950
[Entity] Budget Detail Desc.Note Total
Total 12,000
63000 Purchased and Contract 75,976 67,880 86,221 65,167 69,337
64101 Travel and Conference 452 4,000 4,000 4,000 4,000
[Entity] Budget Detail Desc.Note Total
[434] EVT certifications 750
[434] ASE certifications 1,000
[434] AC certifications 250
[434] Fire Mechanics Academy 2,000
Total 4,000
64102 Dues, Licenses and Memb 420 700 700 500 500
[Entity] Budget Detail Desc.Note Total
[434] RMFMA 200
[434] APWA 150
[434] Colorado Emergency Vehicle Mechanics
Association
150
Total 500
64201 Telephone & Long-distanc 0 1,200 1,200 1,200 1,200
[Entity] Budget Detail Desc.Note Total
[434] Fleet Building 1,200
Total 1,200
64202 Gas 12,317 16,000 16,000 16,500 17,325
[Entity] Budget Detail Desc.Note Total
[434] Fleet Building 16,500
Total 16,500
64203 Electric 10,864 13,500 13,500 17,940 18,837
[Entity] Budget Detail Desc.Note Total
[434] Fleet Building 17,940
Total 17,940
64204 Water and Sanitation 3,888 3,800 3,800 4,300 4,515
[Entity] Budget Detail Desc.Note Total
[434] Fleet Building 4,300
Total 4,300
64205 Trash Collection and Recy 2,565 4,300 4,300 4,300 4,429
[Entity] Budget Detail Desc.Note Total
[434] 50% of 20yd dumpster and Fuel Island
trash cans
4,300
Total 4,300
Section V, Page I - 9
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
64206 Cellular and Paging 1,698 1,020 1,020 820 820
[Entity] Budget Detail Desc.Note Total
[434] $68.31 x 12 months 820
Total 820
64301 Postage and Delivery 54 480 480 250 250
[Entity] Budget Detail Desc.Note Total
[434] Parts and Supplies 250
Total 250
64401 Fleet Maintenance Charge 44,281 43,092 48,014 51,922 57,804
[Entity] Budget Detail Desc.Note Total
[434] Annual Fleet Maintenance Charges 51,922
Total 51,922
64402 Equipment Replacement C 4,559 4,021 4,021 3,623 3,623
[Entity] Budget Detail Desc.Note Total
[434] Annual Equipment Rental Charges 3,623
Total 3,623
64403 Washbay Charges 2,405 1,872 1,872 1,872 1,872
[Entity] Budget Detail Desc.Note Total
[434] Annual Washbay Charges - 3 vehicles 1,872
Total 1,872
64905 Insurance Premiums 18,707 20,325 20,325 20,978 20,978
[Entity] Budget Detail Desc.Note Total
[434] CIRSA Allocation - Shop Bldg (12.5%)20,978
Total 20,978
64000 Other Operating Costs 102,209 114,310 119,232 128,205 136,153
65101 Principal 125,000 130,000 130,000 135,000 135,000
65102 Interest 128,747 125,906 125,906 122,006 117,954
65201 Capital Lease Payments 0 5,616 5,616 5,110 5,110
[Entity] Budget Detail Desc.Note Total
[434] 2013 Nissan Pneumatic Tire Forklift 5,110
Total 5,110
65000 Debt Services 253,747 261,522 261,522 262,116 258,064
66402 Computers and Peripheral 0 2,200 2,200 0 3,900
66499 Other Machinery and Equi 24,351 16,920 16,920 12,500 3,500
[Entity] Budget Detail Desc.Note Total
Section V, Page I - 10
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
[434] Replace 20+ year old Heavy Duty Tire
Machine
12,500
[Entity] Budget Detail Desc.Note Total
Total 12,500
66000 Capital Outlay 24,351 19,120 19,120 12,500 7,400
60000T Total Expenditures & O 1,608,100 1,546,142 1,615,046 1,688,919 1,731,843
Section V, Page I - 11
434 Fleet Maintenance Operatio Town of Avon
Line Item Detail
DESCRIPTION
2013
ACTUALS
2014 ORIG/
AMENDED
2014
FINAL
2015
ADOPTED
2016
PROPOSED
62899 Other Miscellaneous Oper 763 0 0 0 0
62000 Commodities 763 0 0 0 0
63501 R&M - Buildings and Facilit 3,373 0 0 0 0
63549 R&M - Other Specialized E 384 0 0 0 0
63999 Other Purchased and Cont 2,557 0 0 0 0
63000 Purchased and Contract 6,314 0 0 0 0
64201 Telephone & Long-distanc 709 0 0 0 0
64204 Water and Sanitation 3,895 0 0 0 0
64000 Other Operating Costs 4,604 0 0 0 0
60000T Total Expenditures & O 11,681 0 0 0 0
Section V, Page I - 12
435 Washbay Fleet Town of Avon
Line Item Detail
Personnel Schedule
Full-time Equivalent Employees
Section VI, Page 1
2012 2013 2014 2014 2015 2016
Department/Position Actual Actual Proposed Final Adopted Proposed
General Government:
Town Manager / Acting Town Manager 1.00 1.00 1.00 1.00 1.00 1.00
Asst Town Manager / Dir Admin Svc - 1.00 1.00 - - -
Community Relations Officer 0.75 0.75 0.75 0.75 0.75 0.75
Town Clerk / Municipal Court Clerk 1.00 1.00 1.00 1.00 1.00 1.00
Records Administrator / Deputy Town Clerk - - - 1.00 1.00 1.00
Executive Assistant to the Town Manager - - - 1.00 1.00 1.00
Total General Government 2.75 3.75 3.75 4.75 4.75 4.75
Finance & Administration Department
Finance Director/Assistant Town Manager 1.00 1.00 1.00 1.00 1.00 1.00
Finance Manager 1.00 1.00 1.00 1.00 1.00 1.00
Budget Analyst 1.00 1.00 1.00 1.00 1.00 1.00
Payroll Specialist 1.00 1.00 1.00 1.00 1.00 1.00
Accounting Assistant I-II 2.00 2.00 2.00 2.00 2.00 2.00
IT Administrator 1.00 1.00 1.00 1.00 1.00 1.00
Help Desk Technician 1.00 1.00 1.00 1.00 1.00 1.00
Human Resource Generalist 1.00 1.00 1.00 1.00 1.00 1.00
Human Resource Assistant 1.00 1.00 1.00 1.00 1.00 1.00
Building Attendant 3.00 3.00 1.00 1.00 1.00 1.00
Total Finance 13.00 13.00 11.00 11.00 11.00 11.00
Community Development
Community Development Director - - - - - -
Building Official 1.00 1.00 1.00 1.00 1.00 1.00
Building Inspector - - - - - -
Building Permit Technician - - - - - -
Planning Manager - - 1.00 - 1.00 1.00
Senior Planner - 1.00 - 1.00 - -
Planner I-II 2.00 1.00 1.00 1.00 1.00 1.00
Planning Technician - - - - - -
GIS Programmer / Analyst 1.00 - - - - -
Code Enforcement Officer - - - - - -
Economic Initiatives Director - - 1.00 1.00 1.00 1.00
Special Events Supervisor - - - 1.00 1.00 1.00
Total Community Development 4.00 3.00 4.00 5.00 5.00 5.00
Police Department
Police Chief 1.00 1.00 1.00 1.00 1.00 1.00
Police Lieutenant 1.00 1.00 1.00 1.00 1.00 1.00
Sergeant 3.00 3.00 3.00 3.00 3.00 3.00
Administrative Services Supervisor - - - - - -
Administrative Services Officer 2.00 2.00 2.00 2.00 2.00 2.00
Investigator/Detective 1.00 1.00 1.00 1.00 1.00 1.00
Officer 12.00 12.00 12.00 12.00 12.00 12.00
Police Service Officer - - - - - -
Total Police Department 20.00 20.00 20.00 20.00 20.00 20.00
Road & Bridge Department
Superintendent 1.00 1.00 1.00 1.00 1.00 1.00
Maintenance Supervisor 1.00 1.00 - - - -
Town Electrician 0.50 - - - - -
Operator I - II 5.00 5.00 6.00 5.00 5.00 5.00
Total Road & Bridge Department 7.50 7.00 7.00 6.00 6.00 6.00
Personnel Schedule
Full-time Equivalent Employees
Section VI, Page 2
2012 2013 2014 2014 2015 2016
Department/Position Actual Actual Proposed Final Adopted Proposed
Engineering Department
Town Engineer 1.00 1.00 1.00 1.00 1.00 1.00
Project Engineer 1.00 - - - 1.00 1.00
Engineer I-III - 1.00 1.00 1.00 - -
2.00 2.00 2.00 2.00 2.00 2.00
Building & Facilities
Superintendent 0.25 - - - - -
Town Electrician 0.50 1.00 1.00 1.00 1.00 1.00
Maintenance Supervisor 1.00 - - - - -
Maintenance Tech Supervisor - - - - - -
Building Technician I - II 1.00 2.00 2.00 2.00 2.00 2.00
2.75 3.00 3.00 3.00 3.00 3.00
Total Engineering Department 4.75 5.00 5.00 5.00 5.00 5.00
Transportation
Director 0.35 - - - - -
Administrative Assistant I-II - - - - - -
Transit Superintendent 1.00 1.00 1.00 1.00 1.00 1.00
Transit Foreman - - - - - -
Fleet Care Coordinator - - 1.00 - 1.00 1.00
Bus Driver 3.00 3.00 3.00 2.00 2.00 2.00
CDL Driver - - - 1.00 1.00 1.00
Total Transportation 4.35 4.00 5.00 4.00 5.00 5.00
Fleet Maintenance
Director 0.25 - - - - -
Fleet Manager 1.00 1.00 1.00 1.00 1.00 1.00
Accounting Assistant I-II 1.00 1.00 1.00 1.00 1.00 1.00
Mechanic Helper - 1.00 1.00 1.00 1.00 1.00
Lead Mechanic - - - - - -
Mechanic I-II 5.00 5.00 5.00 5.00 5.00 5.00
Total Fleet Maintenance 7.25 8.00 8.00 8.00 8.00 8.00
Parks & Recreation Department
Director 1.00 - 1.00 1.00 1.00 1.00
Recreation Superintendent / Interim Director 1.00 1.00 - - - -
Guest Services Coordinator 1.00 1.00 1.00 1.00 1.00 1.00
Administrative Assistant 1.00 - - - - -
Recreation Program Coordinator 1.00 1.00 1.00 1.00 1.00 1.00
Special Events Supervisor 1.00 1.00 1.00 - - -
Aquatics Coordinator 1.00 1.00 1.00 1.00 1.00 1.00
Senior Lifeguard 2.00 2.00 2.00 2.00 3.00 3.00
Guest Services Attendant III 1.00 - 1.00 1.00 2.00 2.00
10.00 7.00 8.00 7.00 9.00 9.00
Parks & Grounds
Superintendent 0.75 1.00 1.00 1.00 1.00 1.00
Maintenance Supervisor 2.00 2.00 2.00 2.00 2.00 2.00
Maintenance Worker I - II 5.00 6.00 6.00 5.00 5.00 5.00
7.75 9.00 9.00 8.00 8.00 8.00
Total Recreation 17.75 16.00 17.00 15.00 17.00 17.00
Total Full-time Employees 81.35 79.75 80.75 78.75 81.75 81.75
Section VI, Page 3
Department / Position Minimum Midpoint Maximum
Assistant Town Manager 112,244 131,859 151,473
Finance Director 101,623 119,408 137,193
Police Chief 94,981 111,445 127,908
Parks & Recreation Director 93,375 109,785 126,194
Town Engineer 89,182 104,757 120,332
Deputy Chief of Police 88,911 102,365 115,819
Transit Superintendent 84,082 98,887 113,692
Planning Manager 80,450 94,590 108,729
Finance Manager 79,895 92,011 104,127
Fleet Manager 76,938 90,387 103,835
Road & Bridge Superintendent 76,412 89,595 102,778
IT Administrator 78,065 89,805 101,544
Building Official 77,542 89,198 100,854
Project Engineer 72,652 83,677 94,702
Senior Planner 71,984 82,879 93,774
Parks & Grounds Superintendent 71,736 82,343 92,950
Human Resources Generalist 69,629 79,905 90,180
Director of Economic Initiatives 66,919 76,997 87,074
Engineer II 60,061 69,070 78,079
Executive Assistant to the Town Manager 59,506 68,429 77,352
Parks & Recreation Superintendent 56,016 65,813 75,610
Town Clerk/Court Clerk 57,748 66,447 75,145
Planner II 57,565 66,111 74,657
Special Events Supervisor 55,310 64,303 73,295
Guest Services Coordinator 45,543 52,382 59,220
Recreation Programs Coordinator 43,649 50,275 56,900
Aquatics Coordinator 41,787 48,075 54,362
Annual
2015 EXEMPT Pay Ranges
Section VI, Page 4
Department / Position Minimum Midpoint Maximum
Police Sergeant 69,194 79,732 90,269
Police Detective 59,923 68,966 78,009
Budget Analyst 58,963 67,722 76,481
Town Electrician 55,910 64,393 72,876
Police Officer 54,670 62,899 71,127
Help Desk Technician 53,003 60,950 68,896
Administrative Services Officer - Police 50,182 57,608 65,034
Building Technician II 49,271 56,679 64,086
Fleet Mechanic II 49,271 56,679 64,086
Planning Tech/Administrative Assistant 49,218 56,585 63,952
Payroll Specialist 49,236 56,502 63,767
Parks & Grounds Supervisor 48,701 56,089 63,476
Road & Bridge Operator II 44,209 50,854 57,498
Fleet Care Coordinator 44,209 50,854 57,498
Building Technician I 43,836 50,418 56,999
Human Resources Assistant 43,948 50,463 56,977
Records Administrator/Deputy Town Clerk 43,818 50,382 56,946
Fleet Mechanic I 42,071 48,382 54,692
Road & Bridge Operator I 42,037 48,341 54,644
Operator I - Transit 42,037 48,341 54,644
Police Officer Recruit 41,185 47,387 53,589
Accounting Assistant II 41,580 47,372 53,163
Parks & Grounds Maintenance Worker II 41,580 47,126 52,672
Fleet Mechanic's Helper 41,580 46,727 51,874
Administrative Assistant 41,580 46,603 51,625
Bus Driver 41,580 46,440 51,299
Building Attendant 38,575 43,493 48,410
Guest Services Attendant III 38,610 43,355 48,100
Parks & Grounds Maintenance Worker I 34,784 39,989 45,193
Senior Lifeguard 33,140 35,875 38,610
Annual
2015 NON-EXEMPT Pay Ranges
Section VI, Page 5
Administrative Assistant $15.30 to $19.38 Aquatics
Lifeguard I $11.73 to $14.28
Community Relations Officer $30.60 to $38.76 Lifeguard II $17.34 to $20.91
Swim Coach $13.26 to $16.32
Master Swim Coach $17.34 to $21.42
Fitness
Special Events Production Assistant $17.39 to $22.68 Aerobics Instructor $23.97
Special Events Worker $16.32 to $19.89
Guest Services
(Cabin, Childcare, Front Desk)
Guest Services Attendant I $11.73 to $14.28
Extra Duty Police Officer $57.00 Guest Services Attendant II $17.34 to $20.91
High Visibility Grant
Leaf Grant
CDOT Grant Parks & Grounds
Maintenance Worker I $10.20 to $14.28
Click-It or Ticket Maintenance Worker II $16.32 to $19.89
Eagle River Youth Coalition
Recreation Programs
Field Training Officer (Aquatics, Adult, Youth, Day Camp, After School, Sports)
Program Instructor I $13.26 to $15.81
Program Instructor II $17.34 to $20.91
Sports Program Referee $17.34 to $21.42
Seasonal Operator I $19.00 to $22.00
Other 75% of Registration
Fees
Boot Camp Instructor
Bus Driver **$19.00 Dance Instructor
Martial Arts Instructor
Bus Driver **$20.00 Men's Fitness
Personal Trainer
Bus Driver **$21.00 Program Instructor
Seminar Instructor
Lead Driver $22.00 Swim Coach
Tennis Instructor
Maintenance Worker - Bus Washer $16.32 to $19.89
2015 Part-Time Pay Ranges
Pay Range
$50.00
$2.00 additional/hr
Road & Bridge
Pay Range
Transit
$55.00
Administrative Parks & Recreation
Pay Range Pay Range
Economic Development
Pay Range
Police
Pay Range
Town of Avon
Chart of Accounts
Organization Codes
Section VI, Page 6
Program/
Fund Function Department Activity
Code Code Code Code
10 General Fund
100 General Government
110 Legislative
111 Mayor and Town Council
112 Boards and Commissions
113 Town Attorney
114 Public Relations
120 Judicial
121 Municipal Court
130 Administration
115 Town Clerk
131 Town Manager
133 Community Relations
134 Economic Development
140 Finance and Administration
140 Finance and Administration Department
132 Human Resources
141 Finance
143 Information Systems
149 Nondepartmental
200 Community Development
210 Community Development Department
211 Administration
212 Planning
213 Building Inspection
214 Economic Development
215 Town Produced Events
216 Signature Event Seed Funding
217 Community Grants
300 Public Safety
310 Police Department
311 Administration
312 Patrol
313 Investigation
400 Public Works
410 Public Works Department
411 Administration
412 Engineering
413 Roads and Bridges
414 Facility Maintenance
415 Parks
418 Buildings & Facilities
Fund/Function/Department/Program
Town of Avon
Chart of Accounts
Organization Codes
Section VI, Page 7
Program/
Fund Function Department Activity
Code Code Code Code Fund/Function/Department/Program
500 Parks and Recreation
510 Recreation Department
513 Special Events
514 Administration
515 Adult Programs
516 Aquatics
517 Child Care
518 Fitness
519 Front Desk
520 Maintenance
521 Youth Programs
522 Cabin
550 Parks and Grounds Department
551 Parks & Grounds
570 Buildings Department
571 Buildings & Facilities
21 Mall Maintenance Fund
400 Public Works
410 Public Works Department
417 Town Center West Maintenance
22 Avon Urban Renewal Fund
100 General Government
140 Finance Department
148 Avon Urban Renewal Authority
810 URA Improvement Projects
930 2008 TIF Bonds
931 2009 Vectra Bank Loan
932 2013 URA Tax Increment Revenue Bonds
23 Community Enhancement Fund
400 Public Works
410 Public Works Department
416 Community Enhancement Fund
24 Water Fund
400 Public Works
420 Utilities
424 Water Utilities
25 Affordable Housing Fund
100 General Government
190 Housing
193 Affordable Housing Program
26 Facilities Reserve
400 Public Works
440 Facilities Maintenance
441 Facility Reserve Maintenance Program
Town of Avon
Chart of Accounts
Organization Codes
Section VI, Page 8
Program/
Fund Function Department Activity
Code Code Code Code Fund/Function/Department/Program
31 Bond Redemption Fund
910 Debt Service
911 Bond Redemption
919 1999 Sales Tax Revenue Refunding Bonds
922 2004 G.O. Refunding Bonds
924 2010 COP Refunding (Refunds 1998 COPs)
925 Series 2014A, COPs Skier Bldg
41 Capital Projects Fund
800 Capital Improvements
800 Capital Improvement Projects
52 Transit Enterprise Fund
400 Public Works
430 Transportation
431 Administration
432 Operations
433 Marketing
436 Washbay
61 Fleet Maintenance Enterprise Fund
400 Public Works
430 Transportation
434 Fleet Maintenance Operations
435 Washbay
63 Equipment Replacement Internal Service Fund
810 Equipment Replacement
811 Fleet & Heavy Equipment
812 Recreation Center Equipment
813 Computer and Office Equipment
814 Machinery and Equipment
600 610 610 Other Uses and Contingency
No longer in use
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 9
Sub
Account
Code
Personnel Services
Salaries and Wages
61101 Regular Full-time Salaries
61102 Regular Part-time Salaries
61105 STD Wages
61106 Paid out Leave
61111 FT Bonuses
61121 PTS Wages
61122 Seasonal Bonuses
61151 Overtime Wages
61152 Off-duty Wages
61153 On Call
61154 Standby
61155 Shift Differential Pay
61156 Extra Duty Pay
61159 Other Wages
Other Compensation
61201 Automobile Allowance
61202 Ski Pass
61203 Housing Allowance
61204 Moving Expenses
61205 Uniform and Cleaning Allowance
61206 Tool Allowance
61207 Telephone Allowance
Employee Benefits
61301 FT Pension
61302 PTS Pension
61303 Wellness
61304 Employee Assistance Program
Taxes
61401 FICA/Medicare
Insurance
61501 Group Health and Life Insurance
61502 PTS Group Health Insurance
61505 Long-term Disability Insurance
61506 Short-term Disability Insurance
61507 Dental Insurance
61509 Worker's Compensation
61510 Unemployment Insurance
Commodities
Public Safety Operating Supplies
Police
62101 Police Operating and Field Supplies
62102 Firearms and Weapons Supplies
62143 Hazmat Equipment & Materials
Account Title/Line Item Description
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 10
Sub
Account
Code Account Title/Line Item Description
Public Works Operating Supplies
62201 Street Repair and Maintenance Materials and Supplies
62202 Sand and Gravel
62203 Street Sign Materials and Supplies
62204 Construction, Maintenance and Permanent Materials
62205 Plumbing and Electrical Supplies and Materials
62206 Landscaping and Plant Materials
62207 Electrical
62208 Mechanical - HVAC
62209 Mechanical - Other
Recreation and Cultural Supplies and Materials
62301 General Program Supplies
62302 Special Event Materials & Supplies
62303 Concessions
62304 Merchandise for Resale
62305 Chemicals
Motor Pool/Automotive
62401 Gasoline
62402 Diesel
62403 Oil and Lubricants
62404 Auto & Equip Parts - Stock
62405 Auto & Equip Parts - Non Stock
62406 Automotive and Equipment Maintenance Supplies
62407 Tires, Tubes and Patches
Other Operating Supplies
62801 Employee Recognition Expenditures
62802 Food and Beverages
62803 Janitorial, Custodial and Cleaning Supplies
62804 Training Supplies
62805 Clothing and Uniforms
62806 Safety Materials and Supplies
62807 Consumable Tools/Small Equipment
62808 Promotional, Informational and Marketing Materials
62809 Medical Supplies and 1st Aid
62810 Lab Supplies
62811 Communications Supplies
62899 Other Miscellaneous Operating Supplies
Office Supplies and Materials
62901 Duplicating Supplies
62902 Audio/Visual Supplies
62903 Data Processing Supplies
62904 Software
62905 Books and Periodicals
62999 Office Supplies and Materials
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 11
Sub
Account
Code Account Title/Line Item Description
Purchased and Contracted Services
Professional Services
63101 Legal Services
63102 Audit and Accounting Services
63103 Training Facilitators
63104 Engineering Services
63199 Other Professional Services
Official/Administrative Services
63201 Election Judges and Support Services
63202 Juror and Witness Fees
63203 Printing and Reproduction Services
63204 Temporary Employment Services
63205 Police Checks
Technical Services
63301 Medical Services and Examinations
63302 Laboratory Services
63303 Photography Services
63304 Computer Services and Support
63305 Audio/Visual Services
63306 Security Services
Construction and Pre-Construction Services
63401 Feasibility/Conceptual Design
63402 Preliminary Design
63403 Final Design/Contract Documents
63404 Construction Administration
63405 Construction
63406 Utility Construction Costs
Repairs and Maintenance
63501 R&M - Buildings and Facilities
63502 R&M - Streets
63503 R&M - Parks and Athletic Facilities
63504 R&M - Office Equipment and Computers
63505 R&M - Vehicles
63506 R&M - Radios and Communications Equipment
63507 R&M - Machinery and Equipment
63549 R&M - Other Specialized Equipment
63551 Laundry and Cleaning Services
63552 Janitorial and Custodial Services
63599 Other Maintenance Services
Rentals and Leases
63601 Rentals - Building and Office Space
63602 Rentals - Telephone Equipment
63603 Rentals - Office Equipment
63604 Rentals - Radios and Communications Equipment
63605 Rentals - Construction Equipment
63606 Rentals - Crowd & Traffic Control Equipment
63607 Rentals - Portable Facilities
63608 Rentals - Machinery and Equipment
63609 Rentals - Vehicles
63699 Other Miscellaneous Rentals
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 12
Sub
Account
Code Account Title/Line Item Description
Other Purchased and Contracted Services
63999 Other Purchased and Contracted Services
Other Operating Costs
Employee Development and Training
64101 Travel and Conference
64102 Dues, Licenses and Memberships
64103 Mileage Reimbursement
64104 Meeting Expenses
64105 Training
Utilities
64201 Telephone & Long-distance
64202 Gas
64203 Electric
64204 Water and Sanitation
64205 Trash Collection and Recycling
64206 Cellular and Paging
64207 Cable Television
Administrative Fees and Charges
64301 Postage and Delivery
64302 Recording Fees
64303 Treasurer Fees
64304 Bond Paying Agent Fees
64305 Election and Registration Costs
64306 Permit and Licensing Fees
64307 Bank Service Charges and Credit Card Fees
64308 Sales Tax
64309 VAA RSF Collection Fees
64399 Other Administrative Fees
Interfund Service Charges
64401 Fleet Maintenance Charges
64402 Equipment Replacement Charges
64403 Washbay Charges
64404 Charter Charges
Down Payment Assistance
64501 Down Payment Assistance
Other Miscellaneous Operating Costs
64901 Advertising and Legal Notices
64902 Financial Support, Donations, and Contributions
64903 Economic Development Costs
64904 Operating Fees, Assessments, and Charges
64905 Insurance Premiums
64906 Insurance Deductibles
64907 Paid Claims
64996 Bad Debt Expense
64997 Amortization Expense
64998 Depreciation Expense
64999 Other Miscellaneous Operating Costs
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 13
Sub
Account
Code Account Title/Line Item Description
Debt Service
Bonded Indebtedness
65101 Principal
65102 Interest
65103 Fiscal Agent Fees
65104 Bond Issuance Costs
65105 Payment to Refund Bond Escrow Agent
65106 Letter of Credit Fees
65107 Remarketing Fees
Capital Leases
65201 Capital Lease Payments
65202 Interest
Capital Outlay
Land
66101 Land Acquisition
66102 Land Improvements
Buildings and Facilities
66201 Building Acquisition
66202 Building Improvements
Improvements Other Than Buildings
66301 Improvements Other Than Buildings
Machinery and Equipment
66401 Office Equipment
66402 Computers and Peripherals
66403 Audio/Visual Equipment
66404 Furniture and Fixtures
66405 Radios and Communications Equipment
66406 Public Safety Equipment
66407 Athletic and Recreational Equipment
66499 Other Machinery and Equipment
Vehicles and Rolling Stock
66501 Automobiles and Light Duty Trucks
66502 Heavy Trucks and Moving Equipment
66503 Buses and People Moving Vehicles
66599 Other Transportation Equipment
Water Systems
66601 Mountain Star Tap Fee Reimbursement
66602 Brookside Tap Fee Reimbursement
66603 Village at Avon Tap Fee Reimbursement
66701 Water Rights and Augmentation
66702 Water Lines
66703 Irrigation Ditches
66704 Heat Distribution Systems
66705 Streets & Roads
66706 Bike Paths
Town of Avon
Chart of Accounts
Object Codes
Section VI, Page 14
Sub
Account
Code Account Title/Line Item Description
Infrastructure
66801 Storm Drainage
66802 Streets & Roads
66803 Bridges
66804 Bike Paths
66805 Public Parking
66806 Parks
66807 Landscaping
66901 Construction in Progress
Developer Rebates
67101 Developer Rebates
67201 Developer Capital Contributions
Contingency
68101 Contingency
Other Uses
69101 Operating Transfers-Out
69102 Contributions Out
69105 Bond Escrow Agent Expense
Town of Avon
Chart of Accounts
Revenue Codes
Section VI, Page 15
Major Sub
Account Account
Code Code
51000 Taxes
Property Taxes
51101 Property Tax - Current
51102 Property Tax - Delinquent
51103 Current and Delinquent Interest
51104 Property Tax - Abatement
51201 Specific Ownership Taxes
Sales Taxes
51301 General Sales Tax
51302 Utility Tax
51303 Accommodations Tax
51304 Penalties and Interest
51305 Sales Tax Audit Assessments
51306 Payments in Lieu of Sales Tax
51307 VAA Retail Add-on Sales Fee
Other Taxes
51401 Real Estate Transfer Tax
51402 Franchise Fees
52000 Licenses and Permits
Business Licenses
52101 Liquor Licenses
52102 Business Licenses
52103 Contractor's Licenses
Permits
52201 Building Permits
52202 Electrical Permits
52203 Plumbing Permits
52204 Mechanical Permits
52205 Road Cut Permits
52206 Other Permits
53000 Intergovernmental
Federal Grants
53101 COPS Grant
53102 OEC Grant
53103 Federal Drug Forfeiture
53104 FTA Bus Grant #0037
53105 School Resource Officer Grant
53106 Click It or Ticket Grant
53107 Bullet Proof Vest Grant
53150 FTA SGR Grant - Transit Facility Grant #0090
53151 FTA Facility Design Grant #0084
53152 FTA/CDOT ARRA Grant
53153 FHWA/CDOT US Hwy 6 Avon Rd to Post Blvd Trail
53199 Other Federal Grants
Account Title/Line Item Description
Town of Avon
Chart of Accounts
Revenue Codes
Section VI, Page 16
Major Sub
Account Account
Code Code Account Title/Line Item Description
State Grants
53201 CDOT
53202 GOCO Grant (Eagle River Bridge)
53204 LEAF Grant
53205 CDOT Faster Grant
53206 High Visability Grant
53299 Other State Grants
State/County Shared Revenues
53301 Conservation Trust
53302 Motor Vehicle Registration Fees
53303 Highway Users Tax
53304 Cigarette Tax
53305 Eagle County Sales Tax
53306 Eagle County Road and Bridge
53307 DWI/DUI
53308 State Severance Tax
Local Government/Other Agency
53401 Local Intergovernmental Participation
53402 Eagle County Grants
53900 Other Grants
54000 Charges for Services
General Government
54101 Sales of Maps and Publications
54102 Photocopying Charges
54103 License Hearing Fees
54104 Other Fees and Charges
54105 CC & Paper Filing Fees
Community Development
54201 Plan Check Fees
54202 Subdivision Review Fees
54203 Design Review Fees
54204 Animal Control Fees
54205 Abatement Services
54206 Impact Fee Administrative Charge
Public Safety
54301 Police Reports
54302 Off-duty Police Employment
54303 Fingerprinting Fees
54304 V.I.N. Inspection Fees
54305 False Alarm Fees
54306 National Night Out
54399 Miscellaneous Police Dept Fees (DUI Reimbursements, patches
Town of Avon
Chart of Accounts
Revenue Codes
Section VI, Page 17
Major Sub
Account Account
Code Code Account Title/Line Item Description
Public Works and Utilities
54401 Water Usage Charges
54402 Tap Fees - General
54403 Tap Fees - Brookside
54404 Tap Fees - Mountain Star
54405 Tap Fees - Village at Avon
54451 Mall Maintenance Charges
54452 Sherwood Maintenance Charges
54453 Village at Avon Municipal Service Charges
54454 Sale of Signs
Transportation
54501 Beaver Creek
54502 Charter
54503 Regional Transit Authority
54504 Other Bus Revenues
54505 Vail Resorts
54506 Village at Avon
54507 Wash Bay Services - External
Employee Housing
54551 Rental Revenues - Employees
54552 Rental Subsidies
54553 Employee Housing Maintenance
54554 Employee Housing Damages
54555 Rental Revenue - Non-employee
54556 Rental Late Fees & Other Charges
Culture and Recreation
Avon Recreation Center
54601 ARC Admissions
54602 ARC Program Fees
54603 ARC Facility Rentals
54604 Sales of Merchandise
54605 Babysitting
54606 Other Services
54607 Fitness Program Revenue
54608 Locker Rental
54609 Gift Certificates
General Recreation
54651 Adult Program Fees
54652 Cabin Equipment Rentals
54653 Rentals - Athletic Fields and Facilities
54654 Cabin Concessions
54655 Youth Program Revenue
Special Events
54676 Sponsorships
54677 Advertising Sales
54678 Event Fees
54679 Special Event Admission Fees
Town of Avon
Chart of Accounts
Revenue Codes
Section VI, Page 18
Major Sub
Account Account
Code Code Account Title/Line Item Description
Internal Service Charges - 3rd Party
54801 Beaver Creek Fleet Maintenance Charge
54802 Eagle County Fleet Maintenance Charge
54803 Vail Resorts Fleet Maintenance Charge
54804 Eagle River Fire Protection District
54805 Eagle County Ambulance District Fleet Maintenance Charge
54806 External Fleet Maintenance Charges
Internal Service Charges - Departmental
54901 Fleet Maintenance O&M Services
54902 Wash Bay Services
54903 Sales of Fuel
54904 Equipment Rentals
55000 Fines and Forfeitures
55101 Court Fines - Traffic
55102 Court Fines - Criminal
55103 Court Fines - Parking
55104 Court Fines - General
55105 Court Costs
55106 Jury Fees
55107 Bond Forfeiture
55108 Traumatic Brain Injury Surcharge (Food Fines)
55109 Miscellaneous Court Revenues
55110 Police Training Surcharge
55120 Police Forfeiture Revenue
56000 Special Assessments
56101 Special Assessments - Principal
56201 Special Assessments - Interest
57000 Investment Earnings
57101 Interest Earnings
58000 Other Revenues
Miscellaneous Fees
58101 Recreational Amenity Fees
58102 Utility Capital Facility Fees
58103 Recreational Impact Fees
58104 Fireplace Fees
58105 Mall Maintenance Fees
58106 Community Enhancement Fee
58107 Penalties
58108 Finance Charges
58109 Bond Issuance Fee
Town of Avon
Chart of Accounts
Revenue Codes
Section VI, Page 19
Major Sub
Account Account
Code Code Account Title/Line Item Description
Other Nonclassified Revenues
58201 Lease of Town-Owned Property
58202 Cash Over/Short
58203 Vending Machine Revenues
58204 Returned Check Fees
58205 Insurance Claim Reimbursement
58206 Telephone Receipts
58207 Miscellaneous Refunds
58208 Contributions and Donations
58209 Contributed Infrastructure and Improvements
58210 Avon Metro District Indirect Cost Reimbursement
58211 Development Reimbursements
58212 Staff Labor Charges
58213 Project Cost Reimbursement
58995 Bus Advertising Revenue
58996 Miscellaneous Reimbursement
58997 Gain/Loss on Disposal of Fixed Assets
58998 Petty Cash Check Reimbursement
58999 Miscellaneous Nonclassified Revenues
59000 Other Sources
59101 Sales of Fixed Assets
59201 Operating Transfers In
General Long-term Debt Proceeds
59301 General Obligation Bond Proceeds
59302 Revenue Bond Proceeds
59303 Capital Lease Proceeds
59304 Certificates of Participation Proceeds
59305 Refunding Bond Proceeds
59306 Loan Proceeds
59998 AR Fuel Clearing Account
59999 AR Clearing Account
Town of Avon
Chart of Accounts
Project Codes
Section VI, Page 20
Project Project Project
Code Code Code Sub-Project
Type Category Category Code
CIP Capital Improvement Projects
10000 Facilities
11000 General Government Facilities
11001 Municipal Building Improvements
11002 Sherwood Meadows
11003 Information Center/I-70
11004 Information Kiosks - Town Center
11005 Municipal Government Space Needs Analysis
11006 Council Chambers Audio/Video Upgrade
11007 Municipal Building Roof
11008 Municipal Building Expansion (Modular Addition)
11009 Town Hall Control System
11010 IT Server Room A/C
11011 Town Hall Acquisition
11012 Town Hall Tenant Finish
12000
12001 Fire Station Expansion/Remodel
13000 Public Works Facilities
13001 Swift Gulch Facility
13002 Pump House and Picnic Shelter
13003 Park Equipment Storage
13004 Transportation Facility - Non Grant Eligible Expenses
13005 Lot 5, Village at Avon-PW Improvements
13006 Preliminary Design - Transit/PW Facility
13007 Final Design/Engineering Svc (Grant #84)
13008 Final Design/Engineering Svc (Grant #90)
13009 Transit Facility Construction (Grant #90)
13010 Transit Facility Construction (FASTER Grant)
13011 Transit Facility Construction (ARRA Grant)
13012 Cinder De-Icer Storage
13013 Large Vehicle Storage
14000 Transportation and Fleet Facilities
14001 Transportation Center - Benchmark Rd (Fed Grant)
14002 Bus Storage Facility - SG
14003 Bus Stop Improvements
14004 Fuel Depot Replacement
14005 Fuel Spill Cleanup
14006 Avon Station/Lot 61 Encroachment
14007 Mezzanine Office Furniture
14008 Fleet Maintenance Wash Bay Lift Replacement
14009 Fleet Maintenance Lift Rebuild (2) - Removed from LR Plan
14010 Fleet Maintenance EPDM Roof Replacement
14011 Transit Bus Stop - Christy Sports/City Market
14012 Transit Bus Stop - Traer Creek Plaza
14013 Transit Bus Stop Improvements
15000 Cultural and Recreational Facilities
15001 Recreation Center Improvements
15002 Temporary Storage / Office Space
15003 Design - Phase II Expansion
15004 Recreation Cneter CMU Block Deterioration Investigation
15005 Recreation Center Vapor Barrier Repair
15006 Recreation Center CMU Block Deterioration Mitigation
15007 Recreation Center Roof Repair
15008 Recreation Center EPDM Replacement
15009 Recreation Center Locker Room Remodel
15010 Recreation Center Remodel - Yoga Studio and Weight Room
15011 Nottingham Park Stage - Design
15012 Nottingham Park Stage - Construction
Project Title/Line Item Description
Town of Avon
Chart of Accounts
Project Codes
Section VI, Page 21
Project Project Project
Code Code Code Sub-Project
Type Category Category Code Project Title/Line Item Description
19000 Other Facilities
19001 Municipal Parking Facilities
20000 Land and Land Improvements
21000 Parks
21001 Pocket Parks
21002 Garton Property
21003 Land Trade Contribution
21004 Tract J Bridge Removal
21005 Wildridge Park Improvements and Playground
21006 Wildridge Pocket Park - Block 3
21007 I-70 Entrance Sign Removal
21008 Wildridge Parks Program
21009 Forest Service Land Acquisition
21010 Nottingham Park Trails/Signs
21011 Nottingham Park Stage 2010
21012 Nottingham Park Promenade
21013 Nottingham Park Fishing Pier
21014 Nottingham Park Capital Improvements
21015 Nottingham Park Capital Improvements 2013 Program
21016 Nottingham Park Zone C Improvements - Playground
21017 Nottingham Park Restroom Remodel
21018 Nottingham Park Athletic Field Drainage Improvements
21019 Upper Athletic Field Replacement
21020 Pumphouse Pump Replacement
21050 2010 Whitewater Park Repairs
30000 Roads and Streets
31000 Streetscape
31001 Streetscape Planning
31002 W. Beaver Creek Blvd.
31003 Wildridge Entry Sign
31004 Nottingham Rd. Imp., I-70 to Buck Creek
31005 Nottingham Rd. Imp., Buck Creek to end
31006 Eaglebend Drive
31007 Eaglebend Entry Sign
31008 Nottingham Rd. Imp., I-70 to Buck Creek (2004)
31009 Nottingham Rd. Imp., Buck Creek to Metcalf
31010 Lighting Study and Conversion
31011 I-70 Noise Reduction Study
31012 I-70 Noise Reduction Design
31013 I-70 Noise Reduction
31014 Avon Road Streetscape Update
31015 2014 Mall Improvements
31016 W Beaver Creek Blvd. Streetscape Improvements (Lake St/Avon Rd)
31017 E Beaver Creek Blvd. Streetscape Improvements (Avon Rd/Beaver Creek Pl)
31018 Post Blvd. Landscaping Improvements
31019 Post Blvd. Electrical Assessment and Street Lights
31020 Avon Rd Street Lights
31021 Avon Rd Monument Sign
31022 Avon Rd/I-70 Overpass Pedestrian Improvements
31023 Metcalf Road - Retaining Wall Stabilization
31024 Roundabout #4 TCW Art Element
Town of Avon
Chart of Accounts
Project Codes
Section VI, Page 22
Project Project Project
Code Code Code Sub-Project
Type Category Category Code Project Title/Line Item Description
32000 Street Improvements
32002 W. Beaver Creek Railroad Crossing
32003 Chapel Square Reimbursement
32004 E. Beaver Creek Blvd. Improvements
32005 Buffalo Ridge Commitments
32006 Swift Gulch Road Relocation
32007 Town Center West/Mall Implementation
32008 E. Beaver Creek Blvd. Improvements
32009 Railroad Crossings to Confluence
32010 Lake Street Re-alignment Design
32011 W. Beaver Creek Blvd. At-grade RR Crossing Improvements
32012 F/S Wildridge Access & Drainage Improvements
32013 Stonebridge Deck Repair and Overlay
32014 Avon Road Upper Bridge Façade
32015 US Hwy 6 Shoulder Widening Contribution
32016 Buck Creek Road Bridge Approach Slab Repair
32017 Metcalf Road Bike Climbing Lane - Phase 2
33000 Annual Street Maintenance
33002 2002 Paving
33003 2003 Paving
33004 2004 Paving
33005 2005 Paving
33006 2006 Paving
33007 2007 Paving
33008 2008 Paving
33009 2009 Paving
33010 2010 Paving
33011 2011 Paving
33012 2012 Paving
33013 2013 Paving
33014 2014 Paving
33015 2015 Paving
34000 Multi-Modal/Althernative Mobility
34001 Sidewalks
34002 Access and Circulation Network Analysis
34003 Pedestrian Crosswalk Improvements
34004 Eagle River Bikepath
34005 Eagle River Bikepath - Beaver Creek Blvd to Confluence
34006 Nottingham Road / I-70 Bike Path
34007 2006 Wildridge Traffic Calming & Pedestrian Circulation
34008 2007 Wildridge Loop Pedestrian Improvements
34009 Swift Gulch Road Bikepath Extension to Village
34010 Swift Gulch Road Bikepath
34011 Wildridge Emergency Access
34012 W. Avon Trails and Access Enhancement
34013 Recreation Trails Masterplan
34014 Metcalf Bicycle Climbing Lane
34015 Eagle Valley Trails Phase 3 (CDOT funded )
34016 US Hwy 6 Trail Project Undergrounding
34017 Eagle Valley Trails Phase 1: GOCO Grant - Eagle River Pedestrian/Bike Brdge
34018 Beaver Creek Overlook Trail Improvements
34019 West Avon Preserve Trail Improvements
34020 West Avon Access Improvements
34021 Nottingham Trail - Buck Creek Trail Connector
34022 Buck Creek Trail Improvements
34023 Eagle Valley Trails Phase 2 (ECO Funded)
34024 Beaver Creek Blvd Bike Lanes
Town of Avon
Chart of Accounts
Project Codes
Section VI, Page 23
Project Project Project
Code Code Code Sub-Project
Type Category Category Code Project Title/Line Item Description
35000 Roundabouts
35001 Landscaping
35002 Roundabout No. 4 Conversion
35003 Roundabout #4 TCW Feature
36000 Public Art
36001 Public Art Work
40000 Utilities
41000 Snowmelt
41001 Waste Heat Recovery System
41002 Waste Heat Recovery System Design
41003 Waste Heat Recovery System Construction
41004 Heat Recovery Study
41005 Heat Recovery Mall Expansion Design
41006 Heat Recovery Mall Expansion Construction
50000 Recreation
51000 Fields and Courts
51001 Nottingham Park Basketball Court
51002 Eagle River Enhancement Project
51003 Eagle River Recreation Access Expansion
60000 Stormwater and Drainage
61000 Stormwater and Drainage
61001 Buck Creek / I-70 to Eagle River
61002 Metcalf Rd. Drainage / I-70 to Eagle River
61003 Metcalf Rd. Drainage / I-70 to Nottingham Rd.
61004 Nottingham-Puder Ditch Restoration
61005 W. Beaver Creek Blvd. / I-70 to Railroad
61006 Metcalf Road Drainage
61007 Drainage Master Plan
61008 Nottingham Puder Ditch Emergency Repairs
61009 Nottingham Lake Spillway Replacement
61010 Nottingham Lake Liner Study/Replacement
65000 Development Services
65001 Village at Avon, Filing 1
65002 Village at Avon, Filing 2
65003 McGrady Acres
65004 Buffalo Ridge Block Grant
70000 Strategic Planning
71000 Development Analysis and Review
71001 Stolport/Village at Avon
71002 Downtown Master Plan
71003 Lot C
71004 Confluence/Westin Riverfront Resort
71005 The Gates
71006 Sheraton Mountain Vista
71007 East Avon Redevelopment Master Plan
71008 Cottonwood
71009 Folsom Property
71010 Orion Development
71011 Vail Resorts Annexation
71012 Buck Creek PUD
71013 Wyndam
71050 Economic Development
Town of Avon
Chart of Accounts
Project Codes
Section VI, Page 24
Project Project Project
Code Code Code Sub-Project
Type Category Category Code Project Title/Line Item Description
79000 Planning and Consulting
79001 General Planning and Consulting
79002 Comprehensive Plan
79004 2004 General Planning and Consulting
79005 2005 General Planning and Consulting
79006 2006 General Planning and Consulting
79007 2007 General Planning and Consulting
79008 2008 General Planning and Consulting
79009 2009 General Planning and Consulting
79010 2010 General Planning and Consulting
79011 2011 General Planning and Consulting
79012 2012 General Planning and Consulting
79013 2013 General Planning and Consulting
79101 Nottingham Park Master Plan
79102 Pedestrian Circulation Plan
79103 Retail Analysis
79104 Housing Needs Assessment Project
79105 Public Works Master Plan
79106 Comprehensive Transportation Plan
79107 Unified Land Use Code Revision
79108 Feasibility Study - Town Center West Lot B & C
79109 Town Facilities Planning Study
79110 Recreation Center Expansion: Exhibits and Displays
80000 Communications and Technology
81001 800MHz Radio System
81002 Media Improvement Project
81003 Records Management
81004 VOIP Telephone System
81005 Paperless Packets
81006 UHF Radio System and Repeater
81007 Enterprise-wide Security Camera System Uprade
81008 Digital Ticketing
81009 CityVision Budgeting and BPM Software
81010 Timekeeping Software and Peripheral Devices
90000 Other
91000 Other
91001 Fireplace Conversions
91010 Abatement Lot 41 Block 4 WR
92000 Developer Rebates
92001 Sheraton Mountain Vista
92002 Westin Riverfront Resort
92003 Westin Riverfron Resort Res-Int
93000 Historic Preservation
93005 Historic Preservation
93006 Historic Analysis Study
93007 Historic Preservation
93008 2008 Historic Preservation
93009 2009 Historic Preservation
93010 2010 Historic Preservation
93011 2011 Historic Preservation
94000 Water Rights Acquisition
94005 Water Rights Acquisition
94006 RICD Water Rights Acquisition
95000 Capital Contributions
95001 East West Partners
Inactive Projects