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HomeMy WebLinkAboutFire Joinder/Carmel/Clay 2004-2005 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 1 4._ APPROVED AS TO FORM BY CONTRACT FOR FIRE PROTECTION BETWEEN THE CITY OF CARMEL, INDIANA, AND CLAY TOWNSHIP OF HAMILTON COUNTY 2004 and 2005 THIS AGREEMENT, made and entered into by and between the City of Carmel, Hamilton County, Indiana, hereinafter called the "City and Clay Township Hamilton County Indiana, hereinafter called the Township" as of the 1" day ofJanuary 2004 WITNESSETH WHEREAS, the City and Township have heretofore entered into contracts for fire protection of the Township and WHEREAS, the City and Township have agreed to continue fire protection arrangements for the additional penod of two (2) years beginning as ofJanuary 1 2004 and continuing through December 31 2005 and WHEREAS the City and Township have agreed that fire protection shall not be discontinued until the 2006 Contract is negotiated and ratified between the parties or until the Township has retained altemate fire protection NOW, THEREFORE it is mutually agreed by and between the parties hereto as follows 1 The City agrees to furnish fire protection service to the residents of the Township outside the limits of the City, includmg basic and advanced life support emergency service life support the Communication Center Service, and administer the 911 emergency service (all the foregoing collectively' Fire Protection 2004 AND 2005 CONTRACT FOR FiRE PROTECTION PAGE 2 2 The Township hereby agrees to leave all of its fire fighting equipment, trucks and accessones, and life support emergency vehicles at the disposal of the City throughout the term of this Agreement 3 The City will continue to operate the six (6) stations now in use and to operate advanced life support vehicles out of each station 4 The only monetary liability of the Township for Fire Protection to the City will be to pay the contract payments as hereinafter set forth The proportionate share of the Township for the 2004 Fire Department budget shall be 37 53% The proportionate share of the Township for the 2005 Fire Department budget shall be the ratio based upon the Township s 2004 (pay 2005) assessed valuation outside the corporate limits compared to the City s 2004 (pay 2005) assessed valuation as they relate to the total of the two The proportionate share of the Township for the 2004 Communication Center s budget shall be one half (1/2) of the Communication Center's budget multiplied by the ratio based upon the Township's 2003 (pay 2004) assessed valuation outside the corporate limits compared to the City s 2003 (pay 2004) assessed valuation as they relate to the total of the two The proportionate share of the Township for the 2005 Communication Center's budget shall be one half (1/2) of the Communication Center s budget multiplied by the ratio based upon the Township s 2004 (pay 2005) assessed valuation outside the corporate limits compared to the City's 2004 (pay 2005) assessed valuation as they relate to the total of the two The 2003 (pay 2004) assessed valuation of the Township outside the corporate limits is $2 206 275,903 or 33 48% of the total assessed valuation of the Township The 2003 (pay 2004) assessed valuation of the City is $4,384 389,060 or 66 52% of the total assessed 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 3 valuation The 2004 (pay 2005) assessed valuation of the Township outside the corporate limits is certified as $1,474,484,096 or 21 75% of the total assessed valuation of the Township The 2004 (pay 2005) assessed valuation of the City is certified as $5 304,617,112 or 78 25% of the total assessed valuation These certified values and percentages are subject to change by the Hamilton County Auditor and the Department of Local Government Finance 5 The City agrees to maintain a minimum of one hundred forty four (144) full time sworn firefighters at all times during the continuation of this agreement, including a full time, paid Fire Chief forty (40) of said firefighters to be assigned to each of three (3) shifts at all times In the event that firefighters terminate employment during the year, the City will continue to be in compliance with this paragraph so long as it hires replacement firefighters within a reasonable time of the termination The City further agrees to maintain the Communication Center and administer Emergency 911 services and make the same available to all Township residents The Fire Chief will be appointed by the Mayor, after consultation with the Township Trustee and the Township Board 6 The City agrees to purchase all matenals and supplies, to pay all compensation to personnel and firemen, pay the costs of the operation of the Fire Department and the Communication Center to carry all necessary insurance on firefighters /personnel and on all buildings and equipment of the City and Township except the building known as Fire Station No 45 and to save the Township the Township Trustee and the Township Board harmless from any and all liability, except as to Fire Station No 45 A copy of the Declaration Page of the Liability 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 4 Insurance Policy tamed by the City on the Fire Department and the Communication Center is attached hereto as Exhibit `C and a Certificate of Additional Insured is attached hereto as Exhibit D naming the Township, the Township Trustee and the Township Board as additional insureds A copy of the Declaration Page of the Casualty and Premises Liability Policy tamed by the Township on Fire Station No 45 is attached hereto as Exhibit "E and a Certificate of Additional Insured naming the City as additional insured on Fire Station No 45 is attached hereto as Exhibit "F' 7 The City shall provide to the Township a complete inventory of all Fire Department apparatus and equipment each year 8 The City agrees to furnish quarterly statements of all operating expenses on or before the tenth (10 day following the end of each calendar quarter All 2004 and 2005 N.. Budgeted Amounts appropnately encumbered by the City in 2004 and 2005 respectively, and expended in 2005 and 2006, respectively, shall be separately accounted for and treated as 2004 and 2005 operating expense for purposes of this Contract On or before February 15, 2005 and 2006, the City further agrees to furnish statements of all 2004 and 2005 Budgetary items expenditures and encumbrances in a format which can be reconciled to the contract amounts The City shall repay to the Township its share of unspent monies contnbuted for Fire Protection no later than February 15, 2005, with regard to 2004 unspent monies and February 15, 2006, with regard to 2005 unspent monies In the event that the State Board of Accounts Audit of the City of Carmel requires an adjustment of the above computations, the Township or the City will remit any amounts due as a result of the audit within thirty (30) days of receipt of the Audit Report 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 5 9 The entire budget for the Fire Department of the City and of the Township in 2004 has been fixed at $14,801,469 A copy of said Budget is attached hereto as Exhibit "Al Of that amount it is mutually agreed that the share of the Township should be $5,554,991 (37 53% of the Fire Department Budget) In the event the expenditures in 2004 are less than $14 801,469, the Township s pro rata share of the money unspent shall be refunded as set forth in Paragraph 8 above The entire budget for the Fire Department of the City and of the Township in 2005 has been fixed at $15,760,374 A copy of said Budget is attached hereto as Exhibit `A2 Of that amount, it is mutually agreed that the share of the Township should be $3,427 881 (21 75% of the Fire Department Budget) In the event the expenditures in 2005 are less than $15,760 374, the Township's pro rata share of the money unspent shall be refunded as set forth in Paragraph 8 above 10 The entire budget for the Communications Center of the City and of the Township in 2004 has been fixed at $1,676,080 A copy of said Budget is attached hereto as Exhibit BP Of that amount it is mutually agreed that the share of the Township shall be $280,576 (33 48% of 50% of the Communications Center Budget) In the event the expenditures in 2004 are Tess than 51,676 080 the Township s pro rata share of the money unspent shall be refunded as set forth in Paragraph 8 above The entire budget for the Communications Center of the City and of the Township in 2005 has been fixed at $1 918,374 A copy of said Budget is attached hereto as Exhibit B2 Of that amount it is mutually agreed that the share of the Township shall be $208,623 (21 75% of 50% of the Communications Center Budget) In the event the expenditures 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 6 in 2005 are less than $1,918 374 the Township s pro rata share of the money unspent shall be refunded as set forth in Paragraph 8 above 11 In order to pay its share of the above expenses for the year 2004 in the total amount of $5 835,567, the Township received Dept of Local Government Finance approval of an appropnation in its Fire Fighting Fund of $4 223,493 By this agreement the Township agrees to pay the entire appropriation of $4,223,493 to the City as payment of its share of the total costs of Fire Protection In order to pay its share of the above expenses for the year 2005 in the total amount of $3,636 505, the Township appropnated and will seek Dept of Local Government Finance approval of an appropnation in its Fire Fighting Fund of $3,636,505 By this agreement the Township agrees to pay the entire appropnation of $3 636,505 to the City as payment of its share of the total costs of Fire Protection 12 The Township further agrees to take all action necessary to seek authonzation to borrow funds, if necessary, to enable it to complete the payment of the total amount due and payable for its share of the costs of Fire Protection required pursuant to this Agreement 13 For and in consideration of the promises and agreements herein and subject to the approval of all necessary state agencies the Township does hereby agree to pay the City the total sum of $5 554 991 (2004 Fire Department) and $280 576 (2004 Communication Center) and the total sum of $3 427,881 (2005 Tire Department) and $208,623 (2005 Communication Center) in the following manner $2,275 212 00 (Fire Department) on or before July 15, 2004, 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 7 or within one (1) business day of the Township's and receipt of its tax draw from Hamilton County, $140,288 00 (Communication Center) whichever is later $3 279 779 00 (Fire Department) on or before December 31, 2004, or within one (1) business day of the and Township's receipt of its tax draw from Hamilton $140,288 00 (Communication Center) County, whichever is later and $1,713,940 50 (Fire Department) on or before July 15 2005, or within one (1) business day of the Township's and receipt of its tax draw from Hamilton County, $104 311 50 (Communication Center) whichever is later $1 713,940 50 (Fire Department) on or before December 31 2005, or within one (1) business day of the and Township's receipt of its tax draw from Hamilton $104 311 50 (Communication Center) County whichever is later Notwithstanding the foregomg scheduled payments, the Township may, at its option, and in heu of the payments due on December 31st pay an amount which will (a) cause the total payments made by the Township pursuant to this Section to equal nmety-five percent (95 of the scheduled payments for the year, or (b) equal the total percentage of budget actually spent by the Fire Department and Communication Center for the year if received in wnting from the City no 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 8 later than December 30 whichever amount is greater In the event the foregoing payments shall be Tess than the pro rata share of the actual expenditures by the City for the Fire Department and the Communication Center the Township shall pay to the City an amount necessary to reconcile the actual payment due no later than February 15, 2005 for 2004 costs and February 15 2006, for 2005 costs 14 In the event that the City, based upon actual expenditures determines that the funds budgeted for Fire Protection will not be sufficient to provide adequate Fire Protection for the year 2004 or the year 2005 the City shall notify the Township in wnting no later than thirty (30) days prior to the need of additional funding The City shall provide to the Township actual year to date expenditures compared to budgeted expenditures per budget line item Both the City and the Township shall review these figures to determine whether savings are possible within the total budget or whether an additional appropnation for the year is necessary If an additional appropnation is mutually found to be necessary the Township shall, if funds are available, appropnate sufficient funds to pay for its share pursuant to paragraph 4 above within thirty (30) days In the event that the Township does not have sufficient funds available in the current year's budget, and the Township is unable to obtain an emergency loan, despite its best efforts, the Township shall include the additional funds needed in the subsequent year's budget and shall promptly pay when funds are then available The Township shall be entitled to a refund of its pro rata share of any unspent additional funds contnbuted to the City pursuant to Paragraph 14 in the form of a cash refund as set forth in paragraph 8 above 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 9 15 In anticipation of a Contract for Fire Protection between the City and the Township in 2006 and to assist the Township in its budgeting process, the City agrees to include the Township in its 2006 budget discussions and send to the Township copies of completed budgets as proposed by the Mayor for the i'ire Department and the Communication Center by the later of July 1, 2005, or at least seven (7) days before the joint budget meetings, and the final budgets as approved by the Department of Local Government Finance by February 28, 2006, or within thirty (30) days after receipt of final budget approval All budget meetings shall take place at a location mutually agreeable to the parties 16 The parties acknowledge that in consideration of the Township and the City providing advanced life support services (paramedics) in the Township and providing back -up advanced life support service (paramedics) to other units of Hamilton County Hamilton County has agreed to supplement the costs of providing advanced life support service (paramedics) under this Contract in the amount of the County s equivalent funding per full time paramedic to Riverview Hospital in the years 2004 and 2005 County's Annual Supplement The City agrees to submit claims to the County for the County s Annual Supplements on or before December 31, 2004 and 2005, which claim will be funded upon the County receiving a venfiable income and expense statement from Riverview for the years 2004 and 2005 The County's Annual Supplements for the years 2004 and 2005 shall be deposited to the EMS fund or by mutual agreement applied to reduce the total operating expense for Fire Protection under Paragraph 8 of this Contract 17 The parties acknowledge that in consideration of the Communication Center 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 10 providing back -up 911 emergency service for the County, Hamilton County has agreed to pay a portion of the salary of the Communication Center s director for the years 2004 and 2005 in the amount of Forty Five Thousand Dollars ($45,000 00) per year County s Salary Supplement The City agrees to submit claims to the County for the County s Salary Supplement on or before December 31 2004 and 2005 The County s Salary Supplement for the years 2004 and 2005 shall be applied to reduce the total operating expense for the Communications Center under Paragraph 10 of this Contract I 18 The parties agree that all requests for payments and/or adjustments to payments pursuant to this Fire Contract shall be placed upon a form approved by the Indiana State Board of Accounts and certified according to Indiana Statute with respect to the amount contained therein 19 This agreement shall be in full force and effect as of the 1" day of January 2004, and continue through the 31 day of December, 2005 provided, however, that the City shall continue to provide the fire protection services set forth above until the next contract for 2006 is negotiated and ratified between the City and Township or until the Township has retained alternate fire protection in the event this Agreement is terminated, all jointly owned fire apparatus and equipment shall be divided between the parties in a mutually agreed upon manner and in proportions equal to the average share of monies contributed by each party in the 5 pnor calendar years immediately preceding the year of contract termination In the event that the City has provided Fire Protection in 2006 and a mutually acceptable contract is not reached between the City and the Township for 2006, the Township shall reimburse the City based upon the same formula utilized in this agreement based upon 2004 (pay 2005) assessed valuation 2004 AND 2005 CONTRACT FOR FIRE PROTECTION PAGE 11 IN WITNESS WHEREOF, the parties have hereunto set their hands and seals as of the l e day of _Sidaff21, 2004 Board of Public Works and Safety City of Carmel Hamilton County Indiana lure- es Brainard, Mayor ;i Date a/lS/• Lon Watson Attest -7/ e D llepaty Diana L` Cord Cler treasurer Date Cr 1 t./1� r- w CLAY TOWNSHIP Hamilton County, Indiana r J ifidi F Hagan, Trustee Approved Date 71,..,,,.4. --a3 ace/. Date as -o'E CLAY TOWNSHIP BOARD N 4 i G 6 JI, C Dillon, Chairman P Paul K Bolin S:47 ary ck s ember Exlubtt A -1 Fire Department Budget 2004 Budget Order $13,591,469 Additional Appropnation 1210,000 $14,801,4. 3/11/2004 THU 09 30 FAX el014 E 8 8 8 88 8 8 8 88 8 8 8 88 8 8 8 8 '8 8 8 8 yy n T m o 8 8. n 4 i3 e$ 8 m N y 1 a W 1 W ni W cc b N f a p N a N a N y N N N KK M 0 Z 1 U 1- V 1- 8 1 L z z 4 .0 is O U U z U g t i t vi Hp T s of 2 T wo t 3l iz !Ilan y- s lla m51� o ao a mc g CL GO 5 a m o ZO¢ a. W<~ m W cn O t in 1- a Z N E e LI g a W a 1 D o< Q CC ti W a O W ta U C 0 LL 1 a g of 1 8 1 8 8 1 8 3 a S I 8 8 Exhibit B Communications Department Budget 2004 Budget Order $1,676,080 1 /11 /LUU4 LIU U8 AU M M te SC7 8 '888 N§ 88888888888 8 8 88 C H V p N FIR N W 1§ IF I P. A o O N g L9 C 3 N m a W 1 O 1 m W N y r p a y y {ate z M 49 r y y N r m N et r N h P N N N a W U Z g i°- 5 14 Zw t S �o I 8g i 1 4 Q Z Lu z F m t ij j kill' a p 4 H S. I j J Z cc Q w o c3 S a v� a c� o a 0 p O 0Qa m W0 1 QO C7 o W E co Q m V W W 1' O U G eel- N N U N O F- m F a 2 Z 2 2 Z a c o 0 C U Q O U 8 E 1 3 3 3/11/2004 TCU 09 ]0 FAX ®Ott L 888 88 8 °0 8 88 8 8 8 88 8 8 8 8 8 8 8 TS 4 a u i N m§ N R8 8 (p R �N 4, k§ pp g lag i N L N P. k 0 s 0 2 N N o f l 3 1 2 p f N e d co NN N y y N av 8« 5 4, 4, IC N M 0 UJ W 2 Z B o 0 1 ig 1 Eh WO m 1 -9 m= ot I t E l i a QZF mm Bast Sc3 911 yiZf o al S 1a a Z tr R 0> p o et W0 Iii Q �O p o I— ti Z W F w E Z Z a w o 1 W o CC E la CC 0 a a a g 81 1 g 8 a 3 3 n. S Pi Exhibit A2 Fire Department Budget 2005 Adopted Budget Form 1 $15 760,374 Fresenbed by Dept of Local 0ovt Fiance Budget Pone l4o 1 (Rev 200') Approved by Sate Board of Aceowna BUDGET ES I1MATE FOR Fire Department General Fund (Office Board Comnmaoo, Dcparbneot) City of Carmel Indiana For Cab:oder teer' Total Approsed 410 FFRSONA SERVICES Estimate Salanes and Wages (100 199) 100 Full Tune Regular 8 797 577 110 Part Time 25 000 120 Overtime 583 816 9 408 193 Employee Benefits (200 299) 200 Deferred Comp Benefits 325 000 210 FICA 735 745 220 Employer s Share of Health Ins 1 780 160 221 Disability Insurance 1 400 222 Life Insurance Contnbunoo 11 850 230 Employers Share of PERF 1 609 364 240 Medicare 230 Clothin6 Allowance 255 Unemployment Compensation 260 Retirement Benefits Full lime 64 000 265 Retirement Benefits Put Time 270 Retiree Health Insurance 233 804 4 781 323 Total Personal Services 14 167 516 420 STTPPT TA4 Otthe Supplies (300 309) 300 Official Forms 301 Sunonerf and Panted Matenals 3 550 302 Otfice Supplies 10 000 13 550 Operating Supplies (310 349) 310 Fuel Oil 311 Bottled Gas 5 250 312 Ice 313 Diesel Fuel 30 000 314 Gasoline 18 000 315 Od 500 320 Tues and rubes 100 321 Garage and Motor Supplies 1 000 54 850 Maintenance Supplies (350 389) 350 Building Materials 5 000 360 Gravel 361 Sand 362 Cement 363 Bituminous Watenals 364 Pant 600 363 Salt and Calcium 2 000 370 Repair Para 39 000 380 Small Tools and Minor Lgtupment 2 900 389 Other Maintenance Supplies 12 388 81 886 Miscellaneous Supplies (390 399) 390 Miscellaneous Supplies 41 820 41 820 Total Supplies 172 086 Fire Department Total Approved 410 OTHER SI,RVIC.ES Estimate LHARGF.5 Professional Sember (410419) 400 Legal Ftes 401 Engineering Fees 402 Atchstectural Fees 403 Accounting Fees 404 Comulong Fee 405 City Attorney 406 Recording Fees 407 Medical Fees 96 450 419 Other Professional Fees 32 500 130 950 Communication Transp (420 -449) 421 Postage 5 500 430 Travel 25 650 440 T elephone Line and Toll Charges 34 750 441 Cellular Phone Charge. 36 000 442 Internet Lute Charges 445 FAX Line and Toll Charges 101 900 Pnnang and Advertising (430-069) 450 Pnntt% (Other than office supp) 2 000 435 Pubhcation of Legal Notice 460 Classified Ads 3 000 465 City Promotion Advemsmg 5 000 Insurance (470479) 470 Workmen Compensation 205 000 475 General Insurance 88 500 293 500 Utilities (480 499) 480 Electricity 67 000 1 485 R ater and Sewer 15 888 490 Gas 51 500 134 388 Repairs and Afmntenance (S00 519) 500 Equipment Repairs Masa 5 000 501 Budding Repairs Maintenance 138 242 502 Contracted Street Repaving 503 Contracted Street Striping 504 Contracted Grounds Maintenance 5 510 505 Contracted Radio Maintenance 5 000 506 Contacted Cleaning Services 30 000 509 Other Contracted Services 71 600 510 Auto Repairs Maintenance 100 000 511 Car Cleaning 515 Muntenance Contracts 61 212 416 564 Rentals and Leases (320 539) 320 Hydrant Rental 325 Budding Rental 526 Au omobde Lease 527 Right of Way Lease 530 fqutpmnent Rental and Least 15 380 15 380 Debt Service (540-549) 540 Principal 541 Interest 542 Paying Agent Other Fees 0 Other Semmes and Charges (550 599) 530 Jury Lees and Expenses 331 Franrononal Funds 552 Subscriptions 4 505 %3 Dues 2 59b 554 Internet User /Access Fens 560 Clothing Servues 226 170 Fire Department Total pprove Estimate 430 Other Services C.hargea (Cnnt dl Other Seri/ten and Charges (550 599) Cent d 565 Clothing Services 570 Trnuung Seaman 79 720 375 Dog Pound Services 576 Animal Services 580 Assessment Fen 581 Specs! Organization Donations 582 Special lavesnganon Fees 583 Other Fees and Licenses 100 584 Refunds Awards and Indemnities 585 Special Census and Election Fees 586 Park Dept Joinder Fee 587 Ham County Fcom Dvmt Fei. 588 Testing Fees 390 Special Projects 10 000 593 Petty Cash (Establishment only) 323 090 Total Other Services 1 420 772 440 CAPITAL OIITIAYS Land (600 609) 600 Land 605 Rights of Way 607 Padc Development 0 Buildings (610-619) 610 Building Budding Improvements 0 Improvement, Other than Buildin(,s (620 -629) 620 Improvements 621 Traffic Light Improvements 622 Sidewalk Improvements 623 Dratamg Improvements 624 Trees 625 Improvements to lit Ave. NW 626 Police Range Improvements 627 Sewer Improvement 0 Equipment (630 -699) 630 Furniture and Fimnes 631 Communications Equipment 632 Computer Equipment 635 Grounds Maintenance bgmpment 636 Parks Equipment 640 Office Equipment 650 Motor Egtpment 660 Street and Traffic Equ.pmem 661 Street Lights 670 Other Equipment 690 Library Reference Matenal 0 Total Capital Outlays 0 Total Budget Estimate 15 760 374 We hereby certify that the foregoing is a true and fair estimatt, of the necessary expense of the Fire Department for the calendar year 2003 for the purposes therein spec ified Dated um day of September 2004 Mayor Clerk Treasurer Department Head President of Comnivaton or Board Fire Department Exhibit B -2 Communications Department Budget 2005 Adopted Budget Form 1 $1 918,374 Presenbed by Dept of local Oavt Finance Budget Form No 1 (Rev 2002) Approved by State Board of Accounts BUDGET ESTIMATE FOR Communications Canter General Fund (Office Board Commission Department) Cary of Carmel Indiana For Calendar Year 1 005 Total Approved 410 PERSONAL SERVILhh Estimate Salanes and Wages (100 199) 100 Full Tune Regular 987 300 110 Part Time 15 000 120 Overtime 55 000 1 057 300 Employee Benefits (200 299) 200 Deferred Comp Benefits 15 000 210 FICA 86 000 220 Employees Share of Health Ins 180 774 221 Dssabduy Insurance 3 750 222 Life Insurance Contnbunon 1 800 230 Employers Share of PERF 86 000 240 Medicare 15 400 250 ClothmgAMowanre 253 Unemployment Compensation 260 Retirement Benefits Full Time 265 Retirement Benefits Part Tsme 270 Retiree Health Insurance 1 500 370 224 Total Personal Services 1 427 524 420 Ci )PPI.IES Office Supplies (300 309) 300 Official Forms 300 301 Stationery and Panted Materials 500 302 Office Supplies 4 500 5 300 Operating Supplies (310 349) 310 Fuel Oil 311 Bottled Gas 312 Ice 313 Diesel Fuel 700 314 Gasoline 2 750 315 Od 300 320 Toes and Tubes 500 321 Garage and Motor Supplies 500 4 750 Maintenance Supplies (330 389) 350 Budding Materials 360 Gravel 361 Sand 362 Cement 363 Bituminous Materials 364 Paint 365 Salt and Calca.m 370 Repair Parts 17 500 380 Small Tools and Minor Equipment 1 500 389 Other Maintenance Supplies 750 19 750 Miscellaneous Supplies (390 399) 390 Miscellaneous Supplies 5 400 5 400 Total Supplies 35 200 2005 Form 1 Total Approved 410 OTHRR SERVIC1'R Estimate CIiARGRS Professional Services (410 419) 400 Legal Fees 401 Engtneenng Fees 402 Architectural Fees 403 Accounting Fees 404 Consuhmgfees 2 500 405 Ctty Attorney 406 Recording Fees 407 Medical Fees 300 419 Other Professional Fees 2 000 4 800 Communication Transp (420-449) 421 Postage 1 000 430 Travel 7 000 440 Telephone I me and Toll Charges 29 500 441 Cellular Phone Charges 2 500 442 Internet Line Charges 14 000 445 FAX Line and Toll Charges 54 000 Pnnung and Advertising (450 -469) 450 Panting (Other than office supp) 300 4P5 Publication of Legal Notices 460 Classified Ads 600 46P City Promotion Advenasing 900 Insurance (470 -479) 470 Workmen! Compensation 1 500 475 General Insurance 15 000 16 500 Utilities (480 -499) 480 Electnaty 10 000 485 Water and Sewer 1 500 490 Gas 3 000 14 500 Repairs and Maintenance (500 519) 500 Equipment Repairs Mama 18 000 501 Building Repairs Maintenance 26 000 502 Contacted Street Repaving 503 Contracted Street Stnpung 504 Contracted Grounds Maintenance 505 Contracted Radio Maintenance 20 000 506 Contracted Cleaning Services 8 800 509 Other Concocted Services 18 000 510 Auto Repairs 4fatntenaace 511 Car Cleaning 150 515 Maintenance Contracn 84 000 174 950 Rentals and Leases (520 539) 520 Hydant Rental 325 Budding Rental 526 Automobile Lease 15 000 527 Right of Wav Lease 3 000 530 Equipment Rental and Lease 76 000 94 000 Debt Seance (540 a49) 340 Principal 541 Interest 542 Paving Agent Other Fees 0 Other Seances and Charges (550.599) 550 Jury Fees and Expenses 551 Promotional Funds 1 000 S)2 Subscnpnoos 250 5P3 Dues 800 554 Internet User /Access Fees 555 User fees 15 800 x60 Clothing Services 2005 Form 1 1 otal Approved 410 Other Services Charges Csttmzte (Cons dl Other Services and Charges (5a0 599) Coat d 565 Clothing Services 15 000 570 Trani% Semmar. 375 Dog Pound Services 376 Animal Services 380 Assessment Fees 581 Special Organization Donations 582 Special Investigation Fees 50 583 Other Fees and Licenses 384 Refunds Awards and Indemnities 385 Special Census and Election Fees 386 Perk Dept Joinder Fee 387 Ham County Ecom Dvmt Fee 388 Testing Fees 590 Special Ptolects 1 000 393 Petty Cash (Lsnbluhment only) 34 250 Total Other Services 393 900 440 CAPITAL OIiTLAYS Land (600 -609) 600 Land 605 Rights of Way 607 Pad. Development 0 Budding. (610 619) 610 Building Budding Improvements 0 Improvements Other than Bur1din6s (620 629) 620 Improvements 621 Traffic Light Improvements 622 Sidewalk Improvements 623 Draining Improvements 624 Trees 625 Improvements to 1st Ave NW 626 Police Range Improvements 627 Sewer Improvements 0 Equipment (630 -699) 630 Furniture and Frsturea 3 500 631 Communications Equipment 20 000 632 Computer Equipment 24 000 633 Grounds Maintenance Equipment 636 Packs Equipment 640 Office Equipment 2 000 650 Motor Equipment 660 Street and Traffic Equipment 661 Street lights 670 Other Equipment 12 000 690 library Reference Mateml 250 61 750 Total Capital Outliers 61 750 Toml Budget Fsnmate 1 918 374 We hereby certify that the foregoing is a true and fair estimate of the necessary expense of the Communications Center for the calendar year 2005 for the purposes therein specified Dated this day of September 2004 Mayor Clerk Treasurer Department Head President of Commission or Board 2005 Form 1 Exhibit C