2020-2024 Five Year PlanVILLAGE OF OAK BROOK
2020-2024
Five-Year Financial Plan
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Village of Oak Brook, Illinois
1200 Oak Brook Road
Oak Brook, Illinois 60523
www.oak-brook.org
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
TABLE OF CONTENTS
SECTION PAGE
Introduction 3
General Assumptions 3
Relationship to the Annual Budget 4
General Corporate Fund 6
Hotel/Motel Tax Fund 22
Motor Fuel Tax Fund 29
Infrastructure Fund 33
Promenade Special Tax Allocation Fund 40
Water Fund 44
Sports Core Fund 50
Golf Surcharge Fund 61
Self -Insurance Fund 65
Garage Fund 69
Equipment Replacement Fund 74
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
INTRODUCTION
The Village of Oak Brook Five -Year Financial Plan is intended to provide the community with a long-range projection of the financial condition for each
of the ten funds that comprise the financial structure of the Village of Oak Brook. The Five -Year Plan assumes the continuation of current service levels
and being able to maintain those levels in future years. The forecast provides a foundation for discussion and policy decisions that will be made in the
future to maintain the existing service levels and/or enhance service levels in specific areas.
Each fund in the Village's financial structure is a separate financial entity. Although the Village's audited financial statements are prepared on an accrual
or modified accrual basis (as applicable and consistent with generally accepted accounting principles as promulgated by the Governmental Accounting
Standards Board), the Five -Year Financial Plan, like the annual Municipal Budget, is prepared and presented on a cash basis. This results in a more easily
understood and more useful document.
The presentation for each fund includes a summary, revenue projections, a general long-range operating budget and a capital improvement program, if
applicable. The Capital Improvements Program focuses on all vehicles and all capital items that are over $5,000. The summary for each fund reflects
the revenue and expenditure projections and presents a rolling five-year operating statement, beginning with cash available as of January 1, 2019 as
reported in the audited financial statements as of December 31, 2018.
GENERAL ASSUMPTIONS
The principal assumptions for the Five -Year Financial Plan involve the rates for general inflation, "personnel inflation" (direct personnel costs as well as
costs of fringe benefits and training), interest rates, and the rate of growth in sales tax, the principal revenue source of the Village. The 2020-2024 Five -
Year Financial Plan is based on the following general assumptions:
• Inflation is the measure of the increase in the cost of goods and services. Inflation is measured by the Consumer Price Index and impacts
most expenditure categories. For the purpose of this report, inflation for the purchase of goods and services and operational and
contractual services are forecasted at 2.5%.
• Personnel inflation, (including benefits, training and merit adjustments applicable to personnel not at top -of -grade) are factored at 4.5%
per year.
Interest earnings on invested funds at rates ranging from less than 0.2% to 2.0%, depending upon the available cash in the fund, the type
of investment, and length of investment.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
Sales tax receipts for 2020 are projected to increase 1.0% from the adjusted 2019 estimated cash collections. Adjustments to future sales
tax receipts include new businesses entering and leaving the Village known at the time of creating this document. For each year
thereafter the sales tax receipts are projected to increase 1.5%. Receipts from the non -home rule sales tax, are projected using the same
assumptions as the growth in general sales tax receipts. Additionally, non -home rule sales tax receipts are reduced by 1.5% in years 2020-
2024 to account for the State of Illinois administrative collection fee.
• State income tax receipts have been reduced by 5% in years 2020-2024 to reflect recent changes in the State of Illinois budget.
• Motor fuel tax receipts have been increased approximately $120,000 in years 2020-2024 to account for the 19 -cent State gas tax increase
as part of the Rebuild Illinois Capital Plan.
• All other revenues sources increase from 0.0% to 5.0% annually for the years 2020-2024.
In years 2020-2024, the long-range operating budget projections are adjusted by an experience factor intended to take into account normal positive
variances in expenditures across the thousands of accounts that make up the Village's financial structure and to partially offset the effects of
compounding of the inflation assumptions in the later years. Other assumptions specific to particular funds are described in the narrative preceding the
presentation of each fund.
RELATIONSHIP TO THE ANNUAL BUDGET
For 2020, staff has prepared the 2020-2024 Five -Year Plan, 2020 Budget, and 2020 Program Objectives concurrently. This is done in order to streamline
the budget process by reducing the amount of time spent overall by staff and the Village Board on budget -related activities.
The 2020 Budget and 2020-2024 Five -Year Plan continues the Village Board directive that staff should prioritize items for inclusion in the 2020 Budget
and Five -Year Financial Plan using the following hierarchy:
Projects or expenditures necessary to maintain or replace critical equipment, projects already started yet not completed, projects that are the
recipient of grant funding, and items required to comply with Illinois and Federal law.
Projects or expenditures that will directly contribute to increased revenues from sales tax, utility and telecommunications taxes, and
Hotel/Motel taxes.
• Projects or expenditures that will significantly increase the efficiency of Village operations.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
• Projects or expenditures that will significantly improve the safety, convenience, or quality of life for residents, non-residents, and businesses.
• Projects or expenditures that will improve the aesthetics of the Village.
• Discretionary projects or expenditures that add new services or amenities.
The actual 2020 Municipal Budget is provided in a separate document; whereas, the Five -Year Financial Plan is structured by Fund, the operating budget
is structured according to cost centers (called "programs") and is presented at a level of detail far beyond that reflected in the Five -Year Plan. The
capital improvement budget is based on the capital improvement program for the first year of the Five -Year Plan.
At the fund level in the Budget document, revenue budgets are brought together with operating and capital improvement expenditure budgets to
present a cash -basis income statement for each fund (called a "Fund Summary"). The Fund Summary can be compared to the first year of the relevant
Five -Year Financial Plan Summary to ensure that the Budget matches the first year of the Five -Year Plan for that fund.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
GENERAL CORPORATE FUND
DESCRIPTION:
The General Corporate Fund is the main operating fund of the Village which provides core services for its operations of the major Village departments
such as Police, Fire, Library, and many other administrative departments. Capital improvements, contributions to pension funds (in lieu of property tax
levies), transfers to the Garage and Equipment Replacement Funds (through user charges), and loans to other funds as appropriate are all included in
the General Fund.
OVERVIEW:
The Village's budget methodology is to estimate revenues conservatively and to maintain a spending level less than or equal to current year resources.
The General Corporate Fund 2020 Budget is operating at a balanced budget where revenues are at or exceed expenditures without using cash reserves.
The proposed 2020 General Fund Revenues totals $26.1 million, an increase of $0.8 million, or 3.2%, over the 2019 budgeted revenues. The total
General Fund spending in the proposed 2020 Budget is $25.5 million, an increase of $0.3 million, or 1.3%, from the 2019 Budget. The following
highlights some of the major budget issues facing the Village for 2020 and beyond:
Police and Fire pension legislation requires municipalities to have pension funds 90% funded by the year 2040 rather than being 100% funded.
This provides municipalities with some relief; however, additional measures are necessary in order for the Village to meet its future pension
obligations. The Village continues to fund its annual obligation; however, over the past 10 years the contribution for police and fire pension
plans has increased from $1.8 million in 2009 to $4.0 million in 2018, or 122.2%. Pension contributions were budgeted at $4.1 million in fiscal
year 2019 and are budgeted at $4.4 million in 2020. A proposal to consolidate all investment, auditing, and actuary services into two separate
statewide pension funds (one for Police and one for Fire) will be sent to the General Assembly for consideration. The Village hopes these
changes will have a significant impact on the affordability of its pension plans as we approach 2040.
With the departure of McDonald's headquarters in 2018, the Village faced some uncertainty on how future revenues would be impacted. The
loss of nearly 3,000 employees, as well as numerous business visitors, faced the Village with the potential for negative impacts on major
revenue sources such has sales tax and telecommunications tax. Although the Village lost McDonald's, commercial development has been
strong, with the Village gaining numerous developments such as KidZania, Lifetime Fitness, Senior Lifestyle, the Hub Group expansion, the
Jupiter Realty condominium project, and the Hines Oak Brook Commons project. A number of other major projects are in the early planning
stages and could have an impact on 2020 and beyond. The Village must continue to monitor the changing economic climate and plan future
budgets accordingly.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
A number of items within the State of Illinois 2020 Budget have an impact on Oak Brook. The State's 2020 budget includes a 5% cut in Local
Government Distributive Fund (LGDF) disbursements to local governments. The Oak Brook 2020 proposed budget was prepared using the
assumption that this reduction will continue into the State's 2020 budget, which begins July 1, 2020. The impact on Oak Brook is projected to
be nearly $41,000 in lost revenue to the General Fund. Additionally, the State is charging a 1.5% tax collection fee on locally administered taxes.
This is applicable to the Village's Non -Nome Rule Sales Tax that is recorded in the Infrastructure Fund. The impact on Oak Brook is projected to
be nearly $85,000 in lost revenue to the Infrastructure Fund. Beginning in 2019, the State increased the gas tax by 19 cents per gallon as part of
the Rebuild Illinois Capital Plan. As a result, the Village is projected to receive an additional $120,000 in 2020 as part of the local government
allocation of this new tax.
The future of health insurance is constantly changing and makes us wonder what future costs will bring. With the passage of the Affordable Care
Act (ACA) and subsequent requirements, the village has made many modifications to its plan designs and structure. The uncertainty surrounding
required reporting, associated penalties, and the Cadillac tax goes into effect in 2022. The ACA presents the Village a number of challenges in
forecasting and budgeting for federally mandated increases in benefits and taxes. The Village continues to prepare to the greatest extent
possible by obtaining competitive rates from our broker and carriers as well as tracking our plans to ensure they do not hit the Cadillac tax
threshold. We will continue to conservatively budget in order to prepare for unforeseen circumstances related to the on-going implementation
of the ACA.
• Funding of Capital Improvements at the Sports Core, Village municipal buildings, vehicle replacements, and water main replacements continue
to be a challenge to prioritize and address all of the funding needs. Facility studies for various Village properties are in progress or planned over
the next few years. The Water Fund has a number of water main replacement projects scheduled in the future. The Village will have to monitor
water rates or consider other revenue sources in order to fund these projects on a timely basis. The Village completed a study of its vehicle
fleet maintenance and replacement during 2017 and began leasing vehicles in 2019. The Village plans to add more of its vehicle fleet to the
lease agreement in the coming years.
The Village's 2020 — 2024 Five -Year Financial Plan represents the current conditions and future viability of the Village's finances. The overall objective of
this plan is to provide analytical information for key budgetary decisions that will allow the Village to accomplish its goals over the next five-year period
and beyond.
Revenues:
The principal source of revenue to the General Corporate Fund, and to the Village, is the sales tax. As a result, the rate of growth in sales tax receipts
determines, to a significant extent, the Village's ability to meet the needs of the community and its overall financial condition. It has been the practice
of the Village to project growth in sales tax receipts conservatively, and that practice is continued in this edition of the Five -Year Financial Plan (See
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
GENERAL ASSUMPTIONS). For 2020, sales tax revenue is projected to be $12.5 million, which is relatively even with the 2019 projected receipts. The
2020 sales tax estimate is up $0.2 million, or 1.4%, from the 2019 budgeted amount.
In 2020, receipts from the utility tax on electric, natural gas, and telecommunications service are expected to be $6.1 million, an increase of $0.3
million, or 4.6% compared to the 2019 budget, but $0.1 million, or 1.0%, lower than the projected 2019 amount. Inflationary increases of 1.0% have
been assumed in subsequent years 2021 - 2024. The increase is due to a planned reduction in 2019 from the departure of McDonald's that did not
occur as projected. The 2020 budgeted revenue was increased to align more closely with 2019 collections.
State shared revenues are projected using information provided by the Illinois Municipal League and Illinois Department of Revenue for budget year
2020. State Income Tax is projected to increase $27,000, or 3.6%, compared to the 2019 Budget, but decrease $52,000, or 6.3%, from the 2019
projected revenue. Use tax is projected to increase $47,750, or 23.1%, from the 2019 Budget and increase $3,000, or 1.2%, from the 2019 projected
revenue. Replacement Tax is expecting to increase $44,500, or 17.9%, from 2019 Budget and increase $8,650, or 3.0% from the 2019 projected
revenue. State shared revenues are projected to increase by 2.0% in years 2021— 2024. The rates imposed for a number of license and fee categories,
such as building permits are projected to increase and should positively impact revenues. Investment returns can significantly fluctuate depending on
market conditions; therefore, interest revenue is projected at $415,000 for 2020 due to the balance of cash on hand and current interest rates. Most
other revenue sources are projected to increase from 0% to 5% per year for the duration of the Five -Year Financial Plan.
Expenditures:
Legislative and General Management
This department involves a wide variety of general -scope functions including the operations of the Village Board and the offices of the Village Clerk,
Village Manager, Village Attorney, and Human Resources.
• The Legal program includes a decrease of $25,000 for labor attorney fees. The Public Works union contract is the only contract that will expire
at the end of 2020, which resulted in a decrease in legal fees.
• The Human Resources budget includes a reduction of $15,000 for the tuition reimbursement program for employees seeking an advanced
degree. The decrease is due to a decline in recent usage history. The Human Resources budget also includes a reduction of $10,000 for the
bonus pool due to a decline in recent history.
• The Risk Management program reflects a decrease in liability insurance premiums in 2020. The liability insurance budget has decreased from
$293,500 in 2019 to $290,500 in 2020. This is due to the use of an IRMA surplus balance in 2020 to offset annual premium costs and an overall
decrease in claims history of late.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
• The Information Technology budget includes a10% portion of the IT Director's salary and benefits will continue to be allocated to the
Geographic Information System program in year 2020.
Financial Services
This department includes all functions related to the Village's financial management activities.
• The Accounting and Reporting program reflects an increase due to the addition of 0.30 FTE due to the reallocation of an Accounting Assistant
position. This 0.30 FTE was previously included with Sports Core, but will now be charged to Sports Core through a cost reimbursement.
• The Interfund Transfers program includes a cost reimbursement of $139,770 to Infrastructure for administrative costs. This program also
includes a transfer of $923,000 to the Sports Core Fund to assist with capital improvements at the Bath and Tennis Club.
Public Works
This department is in charge of maintenance of the Village's physical infrastructure consisting of buildings, streets, pathways, trees and vehicular
equipment. The department also is responsible for operation of the water utility.
• The Buildings and Grounds program includes the reallocation of seasonal and maintenance staff hours, resulting in a 0.5 FTE increase.
• The Municipal Buildings Improvements budget includes $411,500 in capital improvements budgeted for 2020 to improve and maintain Village
facilities.
Library
This department provides professional, responsive service and promotes the development of independent, self-confident and literate citizens through
the provision of open access to cultural, recreational, intellectual and informational resources.
The Library General Operations budget includes the increase of 0.65 FTE due to the reorganization of various part-time positions to improve
operating efficiencies.
The Library Youth Services budget continues the 12 -week part-time Summer Reading Assistant intern position that was introduced in 2019.
Police
This department provides the community with law enforcement services and preserves and protects lives, property, and constitutional guarantees.
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
• The Police Field Services program includes an increase in full-time salaries of $159,455, or 5.5%, in 2020. The increase is primarily due to the
implementation of a new step system in late 2019. This program also includes $35,000 to purchase body cameras, to be funded with
accumulated DUI fine money.
• The Police Support Services General program includes the addition of an Illinois Statewide Auto Theft Task Force officer. The salary and benefits
will be reimbursed in full for the duration of the task force.
• Police Support Services Records includes DuComm fees of $491,300, a 2.0% increase from 2019.
• Budgeted pension contributions across all Police Department programs increased $236,065 in 2020.
Fire
This department provides superior professional services in the areas of fire, rescue and emergency medicine dedicated to exceeding the evolving needs
of our community.
• Fire, Rescue, and EMS Operations includes a $6,245 decrease in full-time salaries, despite a 2.75% wage increase, due to the elimination of one
firefighter/paramedic position. There was an increase of $112,500 in budgeted overtime related to new minimum staffing requirements.
• The Emergency Medical Services program includes a decrease of $105,960 in contract services due to a reduction of 11 to 9 contracted
paramedics. The decrease is due to new minimum staffing requirements of full-time union firefighter/paramedics.
• Budgeted pension contributions across all Fire Department programs increased $62,375 in 2020.
Department 9 — Development Services
This department is responsible for implementing the Village's Comprehensive Plan, zoning regulations, building codes, subdivision regulations, and
other Village codes as they relate to the built environment of the community.
• The Development Services Management program includes the Director's salary and benefits continue to be split between the Engineering
program (40%) and the Development Services program (60%). The Village Planner position continues to have 40% of salary and benefits
reimbursed by the Hotel Fund for work done on beautification projects.
Exceptional Charges:
Exceptional Charges in the General Corporate Fund include:
• Contributions to the Police and Firefighters' Pension Funds. These contributions are expected to increase for the duration of the Five -Year
Financial Plan.
10
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
• Vehicle replacement charges are funded in the General Corporate Fund with 100% of funding contributions in years 2020 - 2024 to cover
annual lease charges and capital purchases.
• An annual reimbursement to the Infrastructure Fund in order to offset costs (primarily administrative) funded by the Infrastructure Fund
that relate to General Corporate Fund activities.
Capital Improvements:
Significant capital expenditures reflected in the Plan include continued outlays for maintaining our current technology systems, Heritage Center
improvements, renovations to the Police Department, improvements to Fire Stations 93 and 94, replacement of critical equipment in the fire
department, Butler Government Center improvements, and many more. The prioritization of specific projects are reviewed annually during the budget
process and included if the General Corporate Fund has sufficient funds.
OTHER CONSIDERATIONS:
It is the financial policy of the Village Board to make every effort to maintain a six month reserve fund for operating expenses. The six month reserve
fund is expected to end 2020 at 10.7 months once all of the budget changes noted here have been fully implemented. Oak Brook's current philosophy
is to always try to keep reserves at or above 6 months even in downtimes. During years when we are in unexpected difficult economic times or having
a significant unplanned expenditure, this excess fund balance could be used to keep the village at or above the 6 month reserve funding without making
drastic cuts in services or personnel to deal with one or two years of financial issues.
11
Unrestricted Cash Available, January 1, 2019
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Unrestricted Cash Available at Year -End
6 Months Operating Expenditures
# of Months Reserve
Village of Oak Brook
2020-2024 Five -Year Financial Plan
General Fund
Summary
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
$17,932,009
$25,320,945
$26,839,060
$26,128,780
$26,464,897
$26,804,668
$26,775,385
$27,127,184
18,776,305
18,422,065
19,202,980
19,102,549
19,730,272
20,614,773
21,304,288
5,549,520
5,208,675
5,640,840
5,376,573
5,632,513
5,876,976
5,981,136
995,120
3,208,320
1,284,960
1,985,775
1,441,883
283,636
(158,240)
17,932,009
17,932,009
20,165,229
20,762,159
19,951,209
20,244,692
19,810,028
18,927,129
21,140,329
21,450,189
22,747,934
21,393,092
20,528,328
19,651,788
862,475
975,100
688,030
2,796,725
1,148,400
718,300
429,700
$18,064,654
$20,165,229
$20,762,159
$19,951,209
$20,244,692
$19,810,028
$19,222,088
$11,288,858
$11,288,858
$11,601,018
$11,864,770
$12,258,546
$12,809,772
$13,191,881
9.6
10.7
10.7
10.1
9.9
9.3
8.7
12
Village of Oak Brook
2020-2024 Five -Year Financial Plan
General Fund
Revenue Projections
13
2019
2019
2020
2021
2022
2023
2024
Description
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
General Sales Tax
12,325,000
12,492,780
12,502,000
12,689,530
12,879,873
13,073,071
13,269,167
State Income Tax
743,000
822,000
770,000
785,400
801,108
817,130
833,473
Replacement Tax
248,000
283,850
292,500
298,350
304,317
310,403
316,611
York Township Road and Bridge Tax
30,000
35,000
35,000
35,000
35,000
35,000
35,000
State Use Tax
206,750
251,500
254,500
259,590
264,782
270,077
275,479
Charitable Games Tax
300
300
300
300
300
300
300
Grants
13,500
13,500
15,400
15,400
15,400
15,400
15,400
Telecommunications Tax/Utility
5,857,500
6,187,500
6,125,000
6,186,250
6,248,113
6,310,594
6,373,700
Total Intergovernmental
19,424,050
20,086,430
19,994,700
20,269,820
20,548,892
20,831,976
21,119,130
Liquor License
185,000
192,000
192,000
192,000
192,000
192,000
192,000
Scavenger Licenses
8,000
8,000
8,000
8,000
8,000
8,000
8,000
Taxi Licenses
15,000
6,000
6,000
61000
6,000
6,000
6,000
Tobacco License
1,200
1,000
1,000
1,000
1,000
1,000
1,000
Raffle Licenses
500
450
350
350
350
350
350
Building Permits
1,800,000
2,725,000
2,500,000
2,500,000
2,500,000
2,125,000
2,125,000
Electrical Permits
70,000
40,000
50,000
50,000
50,000
50,000
50,000
Plumbing Permits
20,000
12,000
15,000
15,000
15,000
15,000
15,000
Alarm Application Fee
37,000
37,000
37,000
37,000
37,000
37,000
37,000
Annual Alarm Permit Fee
100
90
90
90
90
90
90
Accessory Structure Permits
75,000
75,000
75,000
75,000
75,000
75,000
75,000
HVAC Permits
25,000
10,000
15,000
15,000
15,000
15,000
15,000
Demolition Permits
7,500
28,000
10,000
10,000
10,000
10,000
10,000
Application/Occupancy Fees
40,000
25,000
30,000
30,000
30,000
30,000
30,000
Miscellaneous Licenses & Permits
50,000
50,000
50,000
50,000
50,000
50,000
50,000
Solicitation Permits
750
750
750
750
750
750
750
Total Licenses and Permits
2,335,050
3,210,290
2,990,190
2,990,190
2,990,190
2,615,190
2,615,190
Elevator Inspections
115,000
115,000
115,000
115,000
115,000
115,000
115,000
Zoning/Subdivision Appl. Fees
15,000
20,000
15,000
15,000
15,000
15,000
15,000
Plan Review Fees
25,000
23,000
23,000
23,000
23,000
23,000
23,000
Building/inspection Fees
120,000
110,000
115,000
115,000
115,000
115,000
115,000
Ambulance Fees
1,741,000
1,895,820
1,830,000
1,848,300
1,866,783
1,885,451
1,904,305
Toll Road Fire Service
40,000
31,200
32,000
32,000
32,000
32,000
32,000
Special Services -EMS
5,000
4,000
4,000
4,180
4,368
4,565
4,770
13
Village of Oak Brook
2020-2024 Five -Year Financial Plan
General Fund
Revenue Projections
14
2019
2019
2020
2021
2022
2023
2024
Description
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Special Services -Fire
5,000
9,000
7,500
7,838
8,190
8,559
8,944
False Alarm -Fire
3,500
4,750
4,000
4,000
4,000
4,000
4,000
Compliance
5,000
2,500
2,500
2,500
2,500
2,500
2,500
Fingerprinting
2,000
1,500
1,500
1,500
1,500
1,500
1,500
Special Services -Police
140,000
140,000
140,000
146,300
152,884
159,763
166,953
Field Services -Police
100
100
100
100
100
100
100
Misc. Support Services -Police
4,000
8,000
5,500
5,500
5,500
5,500
5,500
False Alarm -Police
23,000
20,000
20,000
20,000
20,000
20,000
20,000
Eng. Plan Review & Inspection
7,500
5,000
5,000
5,000
5,000
5,000
5,000
Fire Plan Review Fees
20,000
20,000
20,000
20,000
20,000
20,000
20,000
Library Services
3,300
3,000
3,000
3,000
3,000
3,000
3,000
Bad Debt
(223,000)
(300,000)
(300,000)
(303,000)
(306,030)
(309,090)
(312,181)
Ambulance Insurance Unallowable
(560,000)
(830,500)
(790,000)
(797,900)
(805,879)
(813,938)
(822,077)
Total Charges for Services
1,491,400
1,282,370
1,253,100
1,267,318
1,281,916
1,296,909
1,312,314
Court Fines
120,000
126,400
125,000
128,750
132,613
136,591
140,689
Village Fines
25,000
65,000
50,000
50,000
50,000
50,000.
50,000
DUI Fines
0
0
35,000
0
0
0
0
ISATTF Reimbursement
0
0
176,395
184,333
192,628
201,296
210,354
Administrative Towing Fees
30,000
20,000
20,000
20,000
20,000
20,000
20,000
Administrative Fines
7,500
10,000
10,000
10,500
11,025
11,576
12,155
Library Fines
5,500
7,000
7,000
7,000
7,000
7,000
7,000
Interest
330,000
450,000
415,000
415,000
415,000
415,000
415,000
IMF/Franchise Fees
213,000
211,625
210,000
216,300
222,789
229,473
236,357
Rental income
144,000
194,500
173,500
217,550
224,660
232,005
239,600
Miscellaneous
40,000
20,000
27,500
27,500
27,500
27,500
27,500
Road Maintenance Reimbursement
15,000
15,000
15,000
15,450
15,914
16,391
16,883
Total Other Revenues
930,000
1,119,525
1,264,395
1,292,383
1,319,128
1,346,832
1,375,537
Transfer From Equipment Replacement Fund
508,235
508,235
0
0
0
0
0
Reimbursements From Other Funds
632,210
632,210
626,395
645,187
664,542
684,479
705,013
Total Interfund Revenues
1,140,445
1,140,445
626,395
645,187
664,542
684,479
705,013
Total Revenue
25,320,945
26,839,060
26,128,780
26,464,897
26,804,668
26,775,385
27,127,184
14
Village of Oak Brook
2020-2024 Five -Year Financial Plan
General Fund
Long -Range Operating Budget
Exceptional Charges
Police Pension Contribution
2019
2019
2020
2021
2022
2023
2024
Firefighters' Pension Contribution
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Personnel
$14,086,435
$13,823,755
$14,764,470
$15,527,724
$16,330,798
$17,175,785
$18,064,892
Materials and Supplies
559,780
554,730
539,170
552,649
566,465
580,627
595,143
Operations and Contractual
4,130,090
4,043,580
3,899,340
4,027,574
4,092,388
4,174,198
4,247,802
Total Operating Budget
$18,776,305
$18,422,065
$19,202,980
$20,107,947
$20,989,651
$21,930,610
$22,907,837
Adjustment for Budget Goal Attainment
$19,202,980
$19,102,549
$19,730,272
$20,614,773
$21,304,288
Exceptional Charges
Police Pension Contribution
$1,988,740
$2,057,115
$2,224,805
$2,314,555
$2,405,746
$2,524,526
$2,550,259
Firefighters' Pension Contribution
2,108,570
2,150,925
2,170,945
2,312,435
2,381,075
2,480,245
2,531,215
Vehicle Replacement Charges
94,385
94,385
172,320
595,620
687,410
709,475
732,350
Transfer to DuComm Building Reserve
10,000
10,000
10,000
10,000
10,000
10,000
10,000
Reimbursement to Infrastructure Fund
131,100
131,100
139,770
143,963
148,282
152,730
157,312
Transfer to Sports Core Fund
1,216,725
765,150
923,000
0
0
0
0
Total Exceptional Charges
$5,549,520
$5,208,675
$5,640,840
$5,376,573
$5,632,513
$5,876,976
$5,981,136
Capital Improvement Program
(See Schedule)
$862,475
$975,100
$688,030
$2,796,725
$1,148,400
$718,300
$429,700
Total Budget
$25,188,300
$24,605,840
$25,531,850
$27,275,847
$26,511,185
$27,210,050
$27,715,125
15
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
Butler Government Center
Undesignated Repairs/Safety Projects $
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
Legislative and General Management:
5,000
5,000 20,000
Administration Coffee Bar/Reception Area
15,000
15,000
- -
-
-
Computer Hardware and Software
$ 171,400
$ 155,000
$ 100,000
$ 321,415
$ 150,000
$ 150,000
$ 150,000
$ 871,415
Total Program 151
$ 171,400
$ 155,000
$ 100,000
$ 321,415
$ 150,000
$ 150,000
$ 150,000
$ 871,415
Butler Government Center
Undesignated Repairs/Safety Projects $
15,000 $
15,000 $
15,000 $ 15,000 $
15,000 $
15,000 $
15,000 $ 75,000
Building Needs Study
-
2,400
- -
-
-
- -
Interior Painting
5,000
17,000
5,000 5,000
-
5,000
5,000 20,000
Administration Coffee Bar/Reception Area
15,000
15,000
- -
-
-
- -
New Office Furniture
4,500
4,500
- 4,500
4,500
4,500
4,500 18,000
Department Mailboxes and Furniture
5,000
-
5,000
-
-
- 5,000
Board Room Ramp
-
-
- -
20,000
-
- 20,000
Board Room Carpet
-
-
- -
-
50,000
- 50,000
Board Room Seating and Table Refinish
-
-
- -
-
100,000
- 100,000
Board Room Photo
-
-
- -
125,000
-
- 125,000
Police Dep. Remodel Roll Call Room
-
-
- -
25,000
-
- 25,000
Police Department Sgt. Office/Hallway Tile
-
- -
25,000
-
- 25,000
Police Dep. Upstairs Carpet
-
-
- 63,810
-
-
- 63,810
Police Dep. Admin. Kitchen Remodel
10,000
10,000
- -
-
-
- -
Redesign East Entrance
-
-
- 75,000
-
-
- 75,000
Development Services Counter Bullet Proofing
-
-
- -
165,000
-
- 165,000
BGC Roof
-
-
- 500,000
-
-
- 500,000
BGC Roof Safety Ladders
-
-
- 30,000
-
-
- 30,000
BGC A/C Unit #2
-
-
- -
75,000
-
- 75,000
BGC A/C Unit #5
-
-
- 125,000
-
-
- 125,000
BGC A/C Unit #7
-
-
- -
-
75,000
- 75,000
16
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
17
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
BGC A/C Unit #8
-
-
-
-
-
-
75,000
75,000
Server Room A/C Units
-
-
-
85,000
-
-
-
85,000
Computer Lab A/C Unit
-
-
-
40,000
40,000
Generator Emergency Power Survey
30,000
30,000
-
-
-
BGC Electrical Upgrade/Generator
-
19,870
-
500,000
-
-
-
500,000
West Wing Painting
5,000
5,000
-
5,000
5,000
5,000
5,000
20,000
Galvanized Plumbing Replacement
15,000
15,000
15,000
10,000
10,000
-
-
35,000
Village Hall Exterior Beautification
7,500
7,500
-
7,500
7,500
7,500
7,500
30,000
Ductwork Cleaning
10,000
10,000
10,000
10,000
10,000
10,000
10,000
50,000
Electric Door Strikes
15,000
15,000
-
15,000
15,000
15,000
15,000
60,000
Irrigation System
-
-
-
15,000
20,000
20,000
-
55,000
Fire Station 94:
Painting
5,000
5,000
5,000
5,000
-
5,000
5,000
20,000
Station 94 Apparatus Floor Patching/Sealing
-
-
-
15,000
-
-
-
15,000
Station 94 Apparatus Floor Ceiling Fans
5,000
2,500
-
-
-
-
-
-
Kitchen Remodel
-
-
55,000
55,000
Apparatus Floor Speakers
5,000
-
-
-
-
-
-
-
Outdoor Signage
-
-
-
-
-
7,500
-
7,500
Plymovent Upgrades
-
-
2,000
2,000
2,000
2,000
2,000
10,000
Furniture
5,000
6,100
-
-
-
-
-
-
Beds
6,000
10,000
-
-
-
-
-
-
Washer and Dryer
-
1,800
-
-
-
-
-
-
Fire Station 93:
Building Needs Study
30,000
2,025
-
-
-
-
-
-
Pressure Wash Exterior
-
17,150
-
-
-
-
-
-
Kitchen Remodel
-
-
55,000
-
-
-
55,000
17
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
18
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
Women's Lockers
-
-
-
10,000
-
-
-
10,000
Bunkroom Wall Insulation
-
-
-
8,000
-
-
-
8,000
Painting Outside/Bird Proofing
10,000
10,000
-
Keyless Entry Upgrades
-
-
-
-
9,000
-
-
9,000
Apparatus Door Close Safety System
-
-
-
-
45,000
45,000
Plymovent Upgrades
-
-
2,000
2,000
2,000
2,000
2,000
10,000
Bathroom Remodel
-
-
-
50,000
-
-
-
50,000
Exterior Security Upgrades
-
-
-
-
1,500
-
-
1,500
Interior Painting
5,000
5,000
5,000
5,000
5,000
15,000
Carpet Replacement
-
5,185
-
-
-
-
-
-
Outdoor Signage
-
-
-
-
-
-
6,500
6,500
Window Replacement
-
-
-
75,000
-
-
-
75,000
Apparatus Floor Resurfacing and Refinishing
-
-
-
-
-
75,000
-
75,000
EMS Office Ceiling Replacement
-
-
2,500
-
-
-
-
2,500
Furniture
5,000
3,000
-
5,000
-
-
-
5,000
Beds
6,000
7,000
-
-
-
-
-
-
Generator Replacement
-
-
-
75,000
-
-
-
75,000
Refridgerators (3)
-
5,000
-
-
-
-
-
-
Washer and Dryer
-
-
-
1,800
-
-
-
1,800
Public Works Building:
Building Needs Study
-
2,275
-
-
-
-
-
-
Recondition/Reseal Garage Floor
25,000
25,000
-
25,000
25,000
25,000
25,000
100,000
Garage Exhaust Fans
-
-
-
125,000
-
-
-
125,000
Garage Makeup Air Unit (Heat)
-
-
-
-
250,000
-
-
250,000
Heritage Center:
HVAC
-
-
310,000
-
-
-
-
310,000
18
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
Dd1111UU111 RCIIIUUCI
Office Painting
Carpeting Replacement
Exterior Wood Siding Maintenance
Electrical Improvements
HVAC Controls Upgrade
Exterior Landscaping
Convert Computer Lab to Conference Roorr
Sound Dampening - Lobby
Sound Dampening - Study Rooms
Combine Reference and Youth Services Des
Total Program 421
Police:
Hand Gun Replacement
Patrol Outfitted ATV
License Plate Recognition System
In -Car Camera Units (10)
Body Cameras
Total Program 621
LJ,VVV
2019
2019
2020
2021
2022
2023
2024 Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection 2020-2024
10,000
-
- 10,000 - - -
10,000
90,000
90,000
- - - - -
-
Repoint Exterior
25,000
25,000
25,000
25,000
25,000
25,000
25,000 125,000
Painting
5,000
5,000
-
5,000
5,000
5,000
- 15,000
Library:
-
- 10,000 - - -
10,000
$ 459,900 $
418,305 $
411,500 $ 2,370,510 $ 896,500 $ 463,500 $ 202,500
4,344,510
Building Reserve Study
-
10,000
15,000
-
-
-
- 15,000
Dd1111UU111 RCIIIUUCI
Office Painting
Carpeting Replacement
Exterior Wood Siding Maintenance
Electrical Improvements
HVAC Controls Upgrade
Exterior Landscaping
Convert Computer Lab to Conference Roorr
Sound Dampening - Lobby
Sound Dampening - Study Rooms
Combine Reference and Youth Services Des
Total Program 421
Police:
Hand Gun Replacement
Patrol Outfitted ATV
License Plate Recognition System
In -Car Camera Units (10)
Body Cameras
Total Program 621
LJ,VVV
-
- LJ,VVV - - -
LJ,VVV
5,000
5,000
5,000 - 5,000 5,000 -
15,000
-
- 200,000 - - -
200,000
-
- 20,000 - - -
20,000
10,000
-
- 10,000 - - -
10,000
90,000
90,000
- - - - -
-
10,000
10,000
- - - - -
-
15,000
-
- 15,000 - - -
15,000
10,700
-
- 10,700 - - -
10,700
10,200
-
- 10,200 - - -
10,200
10,000
-
- 10,000 - - -
10,000
$ 459,900 $
418,305 $
411,500 $ 2,370,510 $ 896,500 $ 463,500 $ 202,500
4,344,510
$ - $ - $ 25,200 $ S $ S 25,200
22,000 24,045 - - - - - -
- 166,350 - - - - - -
70,000 73,495 - - - - - -
- - 35,000 - - - - 35,000
$ 92,000 $ 263,890 $ 60,200 $ - $ - $ - $ - 60,200
19
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
Technical Rescue Air Cart & Hoses
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
- $
- $
- $
6,000
Zoll Monitor/Defibrillator
$
35,200 $
35,200 $
35,200
Fire:
35,200 $
35,200 $
35,200 $
35,200 $
176,000
Zoll Auto Pulse CPR Units
18,000
Fire Gear Replacement
$ 21,875 $
21,625
$ 24,500
$ 24,500
$ 24,500
$ 24,500
$ 24,500
$ 122,500
Fire Gear Inspection
-
-
-
-
-
-
-
-
Large Diameter Fire Hose
10,000
9,845
10,000
10,000
10,000
10,000
10,000
50,000
Gear Dryer - Station 93
8,000
8,000
-
-
-
-
-
-
Gear Extractor - Station 94
-
-
-
-
15,000
-
-
15,000
Station Alerting Upgrades
10,000
10,000
-
-
-
-
-
-
Refrigerator/Freezer - Station 93
5,000
4,250
-
-
-
-
-
-
Thermal Imaging Camera - E93
-
-
-
7,500
-
-
-
7,500
Thermal Imaging Camera - S93
-
-
-
-
-
7,500
-
7,500
Office Chairs
7,600
7,500
-
-
-
-
-
-
Mattresses - Stations 93 and 94
17,000
16,985
-
-
-
-
-
-
Recliner Chairs
-
-
-
10,400
-
10,400
-
20,800
Paratech Struts
-
-
7,880
-
-
-
7,880
Paratech Rescue Air Bags
-
-
8,250
-
-
-
-
8,250
Fitness Equipment - Station 93
-
-
-
-
7,500
-
7,500
15,000
Fitness Equipment - Station 94
-
-
-
7,500
-
7,500
-
15,000
Total Program 700
$ 79,475 $
78,205
$ 50,630
$ 59,900
$ 57,000
$ 59,900
$ 42,000
$ 269,430
Technical Rescue Air Cart & Hoses
$
- $
- $
6,000
$
- $
- $
- $
- $
6,000
Total Program 722
$
- $
- $
6,000
$
- $
- $
- $
- $
6,000
Zoll Monitor/Defibrillator
$
35,200 $
35,200 $
35,200
$
35,200 $
35,200 $
35,200 $
35,200 $
176,000
Zoll Auto Pulse CPR Units
18,000
18,000
18,000
-
-
-
-
18,000
EMS Body Armor
-
-
-
3,200
3,200
3,200
-
9,600
20
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
General Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
AED Units
Total Program 731
Total General Corporate Fund
$ 59,700 $ 59,700 $ 59,700 $ 44,900 $ 44,900 $ 44,900 $ 35,200 $ 229,600
$ 862,475 $ 975,100 $ 688,030 $ 2,796,725 $ 1,148,400 $ 718,300 $ 429,700 $ 5,781,155
21
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
HOTEL/MOTEL TAX FUND
DESCRIPTION:
This fund is used to account for funds collected from imposition of the Village's Hotel/Motel Tax. State law requires that for non -home rule
communities this revenue must be devoted to programs and activities designed to increase tourism and overnight stays in hotels located within the
Village. For 2006 and prior, most expenditures of funds from the tax were those recommended by the Hotel, Convention and Visitors Committee and
specifically approval of the Village Board. Beginning in 2007, the Village Board established a Hotel Beautification District designed to improve and
maintain the landscape and hardscape features in the areas served by the hotels also in order to increase overnight stays in hotels located within the
Village. Village code dedicates 1% of the 3% Hotel/Motel Tax rate to funding activities of the Hotel, Convention and Visitors Committee; the remaining
2% of the 3% rate is dedicated to funding the Hotel District streetscape projects.
OVERVIEW:
Revenue:
For 2020, revenues from the 3% Hotel/Motel Tax are projected to be $1.2 million, which is decrease of $55,500, or 4.4%, compared to the 2019 Budget
and 2019 projected revenue. For 2021 and thereafter, revenue is projected to increase 1.0% per year.
Operations (1% Fund):
For 2020, the projections reflect expenditures for marketing efforts of the Hotel, Convention and Visitors Committee, as well as payments to the
DuPage Convention and Visitors Bureau equal to 25% of the first 1% of the Hotel Tax imposed. Thereafter, expenditures increase approximately 3.0%
per year.
Exceptional Charges:
The Plan reflects an annual reimbursement to the General Corporate Fund for administrative services from the Hotel, Convention and Visitors
Committee for a portion of the Village Planner.
A transfer of $303,125 to the Infrastructure Fund is budgeted in 2020 related to SB1217, which allows local governments to allocate 25% of tourism
funds to improve capital infrastructure.
Additionally, a transfer of $35,000 to the Sports Core Fund is budgeted in 2020 to sponsor the annual Taste of Oak Brook event.
22
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
Capital Improvement Program (2% Fund):
The 2020 Budget includes pedestrian access improvements budgeted for $290,000 and median and street lighting projects for $50,395. Thereafter,
additional outlays of specific projects are budgeted for improvements and maintenance in the Hotel Beautification District.
23
Unrestricted Cash Available, January 1, 2019 $4,809,830
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Estimated Unrestricted Cash Balance at Year -End
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Hotel/Motel Tax Fund
Summary
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
$1,298,000
$1,373,000
$1,287,500
$1,306,870
$1,312,483
$1,311,027
$1,316,243
577,860
557,490
576,615
437,800
413,985
415,195
421,415
103,115
103,115
412,840
418,111
423,485
116,643
119,092
617,025
712,395
298,045
450,959
475,013
779,189
775,736
4,809,830
4,809,830
5,042,085
4,699,735
4,320,694
3,530,707
3,114,896
5,426,855
5,522,225
5,340,130
5,150,694
4,795,707
4,309,896
3,890,632
4,180,545
480,140
640,395
830,000
1,265,000
1,195,000
258,000
$1,246,310
$5,042,085
$4,699,735
$4,320,694
$3,530,707
$3,114,896
$3,632,632
24
25
Village of Oak Brook
2020-2024
Five -Year Financial Plan
Hotel/Motel Tax Fund
Revenue Projections
2019
2019 2020
2021
2022
2023
2024
Budget
Estimate Budget
Projection
Projection
Projection
Projection
Hotel/Motel Tax $1,268,000
$1,268,000 $1,212,500
$1,224,625
$1,236,871
$1,249,240
$1,261,732
Interest 30,000
105,000 75,000
82,245
75,612
61,787
54,511
Total Revenue $1,298,000
$1,373,000 $1,287,500
$1,306,870
$1,312,483
$1,311,027
$1,316,243
25
Operations and Contractual
Total Operating Budget
Exceptional Charges
Reimbursement to General Fund
Transfer to Infrastructure Fund
Transfer to Sports Core Fund
Total Exceptional Charges
Capital Improvement Program
Hotel Beautification and Projects
Total Budget
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Hotel/Motel Tax Fund
Long -Range Operating Budget
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
$577,860 $557,490 $576,615 $437,800 $413,985 $415,195 $421,415
$577,860 $557,490 $576,615 $437,800 $413,985 $415,195 $421,415
$103,115
0
0
$103,115
0
0
$74,715 $76,956 $79,265 $81,643 $84,092
303,125 306,155 309,220 0 0
35,000 35,000 35,000 35,000 35,000
$103,115 $103,115 $412,840 $418,111 $423,485 $116,643 $119,092
$4,180,545 $480,140 $640,395 $830,000 $1,265,000 $1,195,000 $258,000
$4,861,520 $1,140,745 $1,629,850 $1,685,911 $2,102,470 $1,726,838 $798,507
26
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Hotel Tax Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
Median/Streetlighting Projects
Irrigation Water Service Connection - 11 Locations
Irrigation Design and Installation - 11 Locations
Jorie Blvd and York Road Trees
Jorie Blvd and York Road Bushes
Jorie Blvd and York Road Plantings
22nd St. Replaement Trees, Bushes, and Plantings
Design -Jorie, Kensington, Forest Gate
Construction -Jorie, Kensington, Forest Gate
Jorie, 31st St. Directional Sign, Flagpoles
Design - York, 16th Street
Construction - York, 16th Street
Perimeter of OB Center Plantings
Median Plantings
TBD Additional projects
Total Median/Streetlighting Projects
Pedestrian Access Projects
Traffic Signals with Pedestration Crossing Count Dowr $ - $ 272,275 $ - $
Street Light Head LED Reaplacement (Dark Sky) - 122,865 -
16th St. & Spring Rd. Pedestration Crossing Design (2) - - $ 80,000 $
16th St. & Spring Rd. Connection (2) - - -
York Rd. Pedestration Crossing Design (2) - - -
Jorie Blvd. Pedestrian Crossing Design (4) 269,010 - 160,000
Jorie Blvd. Pedestrian Crossing (4) - - -
27
50,000
125,000
75,000
125,000
$
$ 80,000
125,000
88,000 88,000
- 160,000
250,000
$
100,000 $
-
$ -
$ -
$ 100,000
-
-
-
275,000
-
-
-
275,000
-
-
40,000
-
-
-
-
40,000
-
-
-
20,000
-
-
-
20,000
-
-
-
-
20,000
-
-
20,000
-
-
20,000
10,000
10,000
10,000
10,000
60,000
1,112,910
-
-
-
-
-
-
-
2,723,625
-
-
-
-
-
-
-
-
-
120,395
-
-
-
-
120,395
-
-
-
40,000
-
-
-
40,000
-
-
-
-
1,000,000
1,000,000
-
2,000,000
-
10,000
20,000
10,000
10,000
10,000
10,000
60,000
25,000
25,000
25,000
25,000
25,000
25,000
25,000
125,000
50,000
50,000
25,000
250,000
25,000
50,000
25,000
375,000
$ 3,911,535 $
85,000 $
350,395 $
630,000
$ 1,090,000
$ 1,095,000 $
70,000
$ 3,235,395
Traffic Signals with Pedestration Crossing Count Dowr $ - $ 272,275 $ - $
Street Light Head LED Reaplacement (Dark Sky) - 122,865 -
16th St. & Spring Rd. Pedestration Crossing Design (2) - - $ 80,000 $
16th St. & Spring Rd. Connection (2) - - -
York Rd. Pedestration Crossing Design (2) - - -
Jorie Blvd. Pedestrian Crossing Design (4) 269,010 - 160,000
Jorie Blvd. Pedestrian Crossing (4) - - -
27
50,000
125,000
75,000
125,000
$
$ 80,000
125,000
88,000 88,000
- 160,000
250,000
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Hotel Tax Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
TBD Additional projects
-
- 50,000
25,000
50,000
25,000
100,000
250,000
Total Pedestrian Access Projects
$ 269,010 $
395,140 $ 290,000
$
200,000
$ 175,000
$ 100,000
$
188,000
$ 953,000
Total Hotel and Motel Fund
$ 4,180,545 $
480,140 $ 640,395
$
830,000
$ 1,265,000
$ 1,195,000
$
258,000
$ 4,188,395
0
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
MOTOR FUEL TAX FUND
The Motor Fuel Tax (MFT) Fund is used to account for funds distributed to the Village by the State of Illinois pursuant to the MFT distribution formula.
State law limits the use of these funds for specified purposes. This edition of the Five -Year Financial Plan continues the practice of periodically allocating
MFT funds to eligible street resurfacing and reconstruction projects.
OVERVIEW:
Revenue:
The Motor Fuel Tax is levied on a cents -per -gallon basis and is deposited into a segregated fund at the State level. From there, funds are distributed to
local governments on a per -capita basis, according to a formula and based on the last certified census. Beginning in 2019, the State increased the gas
tax by 19 cents per gallon and is distributing the additional tax to local governments on a comparable formula. Revenues for 2020 are budgeted at
$314,250, an increase of $116,500, or 58.9%, over projected 2019 Budget and $78,145, or 33.1%, over the 2019 projected revenue. For years, 2021-
2024 revenues are projected to increase 2.0% each year, with the additional 19 -cent formula holding steady.
Exceptional Charges:
Funds are projected to be transferred to the Infrastructure Fund as needed for related Motor Fuel Tax projects. For 2020, a $1,350,000 transfer to the
Infrastructure Fund is budgeted.
29
Unrestricted Cash Available, January 1, 2019
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Estimated Unrestricted Cash Balance at Year -End
$779,844
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Motor Fuel Tax Fund
Summary
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
$203,750
$254,105
$319,250
$317,821
$319,400
$320,987
$322,582
0
0
0
0
0
0
0
900,000
0
1,350,000
320,000
320,000
321,000
322,000
(696,250)
254,105
(1,030,750)
(2,179)
(600)
(13)
582
779,844
779,844
1,033,949
3,199
1,020
421
408
83,594
1,033,949
3,199
1,020
421
408
990
0
0
0
0
0
0
0
$83,594
$1,033,949
$3,199
$1,020
$421
$408
$990
30
Village of Oak Brook
2020-2024 Five -Year Financial Pian
Motor Fuel Tax Fund
Revenue Projections
31
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Motor Fuel Tax Allotments
$197,750
$236,105
$314,250
$315,821
$317,400
$318,987
$320,582
Interest
6,000
18,000
5,000
2,000
2,000
2,000
2,000
Miscellaneous
0
0
0
0
0
0
0
Total Revenue
$203,750
$254,105
$319,250
$317,821
$319,400
$320,987
$322,582
31
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Motor Fuel Tax Fund
Long -Range Operating Budget
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
Exceptional Charges
Transferto Infrastructure Fund $900,000 $0 $1,350,000 $320,000 $320,000 $321,000 $322,000
Total Exceptional Charges $900,000 $0 $1,350,000 $320,000 $320,000 $321,000 $322,000
32
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
INFRASTRUCTURE FUND
The Infrastructure Fund was established to separately account for revenues and expenditures related to certain categories of capital projects including
street resurfacing/reconstruction, safety pathways and drainage projects. Due to statutory restrictions on use, beginning in 2005 the Village's non -
home rule sales tax of 0.25% (authorized by referendum in 2004) became the major source of funding for this Fund. In April, 2007 a second referendum
was passed and the rate of tax increased to 0.50% effective January 1, 2008 (collections began in April, 2008). Periodic transfers from the Motor Fuel
Tax Fund have been made in order to supplement the roadway maintenance program. In 2005 and after, most operating costs of the Public Works and
Engineering Departments have been shifted to this fund.
OVERVIEW:
Revenue:
Revenue from the Village's Non -Home Rule Sales Tax is projected at $5.6 million for 2020, which represents a $67,000, or 1.2%, increase from the 2019
budget, but a $8,000, or 0.1%, decrease from the 2019 projected revenue. As is the case with the General Sales Tax, 20% of the incremental Non -Home
Rule Sales Taxes generated by the Promenade Development are required to be deposited in the Promenade Special Tax Allocation Fund. Thereafter, for
2021— 2024, the revenues are estimated to grow approximately 1.5% per year (See GENERAL ASSUMPTIONS).
Transfers from the Motor Fuel Tax Fund are reflected as needed in order to supplement the roadway maintenance program. In 2020, a transfer of
$1,350,000 from the Mother Fuel Tax Fund is budgeted.
In addition, a transfer of $303,125 from the Hotel Tax Fund is budgeted in 2020. This transfer relates to 561217, which allows 25% of tourism money to
be used on capital infrastructure projects.
Reimbursements from the General Corporate Fund are reflected in order to allocate costs (mostly administrative) that are funded by the Infrastructure
Fund that relate to activities in these funds.
Operations:
The 2020 Budget continues the outsourcing of the Village project engineering functions.
33
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
Capital Improvements:
Major projects scheduled for 2020 include Salt Storage Facility construction for $1,911,845, York Road/Harger Road Intersection reconfiguration for
$2,320,725, and the Windsor Bridge/Street widening for $2,625,000. A full list of all projects is included in this document.
34
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Infrastructure Fund
Summary
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
Unrestricted Cash Available, January 1, 2019 $9,278,944
Estimated Income $7,082,570 $6,398,570 $7,756,005 $6,699,100 $6,798,700 $6,588,688 $6,689,542
Less Estimated Operating Expenses
Operating Budget
3,153,820
3,100,365
3,394,265
3,366,636
3,442,445
3,461,428
3,599,001
Exceptional Charges
240,370
240,370
267,660
340,149
356,594
370,970
378,130
Estimated Net Operating Income
3,688,380
3,057,835
4,094,080
2,992,315
2,999,661
2,756,290
2,712,411
Add Beginning of Year Cash Balance
9,278,944
9,278,944
6,137,799
11,789
(5,323,371)
(6,620,375)
(7,584,750)
Estimated Available Funds
12,967,324
12,336,779
10,231,879
3,004,104
(2,323,710)
(3,864,085)
(4,872,339)
Less Capital Improvement Program
10,008,575
6,198,980
10,220,090
8,327,475
4,296,665
3,720,665
4,517,435
Estimated Unrestricted Cash Balance at Year -End
$2,958,749
$6,137,799
$11,789
($5,323,371)
($6,620,375)
($7,584,750)
($9,389,774)
35
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Infrastructure Fund
Revenue Projections
I
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Non -Home Rule Sales Tax
$5,548,000
$5,623,000
$5,615,000
$5,699,225
$5,784,713
$5,871,484
$5,959,556
Utility Inspection Fees
0
1,000
1,000
1,000
1,000
1,000
1,000
Interest
80,000
225,000
125,000
59
0
0
0
Transfer From Equipment Replacement Fund
216,125
216,125
0
0
0
0
0
Transfer From Motor Fuel Tax Fund
900,000
0
1,350,000
320,000
320,000
321,000
322,000
Transfer From Hotel Tax Fund
0
0
303,125
306,155
309,220
0
0
Reimbursements From Other Funds
333,445
333,445
359,380
370,161
381,266
392,704
404,485
Miscellaneous
5,000
0
2,500
2,500
2,500
2,500
2,500
Total Revenue
$7,082,570
$6,398,570
$7,756,005
$6,699,100
$6,798,700
$6,588,688
$6,689,542
I
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Infrastructure Fund
Long -Range Operating Budget
37
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Personnel
$1,322,375
$1,295,930
$1,389,540
$1,452,069
$1,517,412
$1,523,501
$1,657,052
Materials and Supplies
246,845
226,085
253,295
259,627
266,118
272,771
279,590
Operations and Contractual
1,584,600
1,578,350
1,751,430
1,795,216
1,840,096
1,886,099
1,933,251
Total Operating Budget
3,153,820
3,100,365
3,394,265
3,506,912
3,623,627
3,682,371
3,869,894
Adjustment for Budget Goal Attainment
3,394,265
3,366,636
3,442,445
3,461,428
3,599,001
Exceptional Charges
Vehicle Replacement Charges
78,835
78,835
105,360
172,980
184,410
193,620
195,460
Reimbursement to Other Funds
161,535
161,535
162,300
167,169
172,184
177,350
182,670
Total Exceptional Charges
240,370
240,370
267,660
340,149
356,594
370,970
378,130
Capital Improvement Program
(See Schedule)
10,008,575
6,198,980
10,220,090
8,327,475
4,296,665
3,720,665
4,517,435
Total Budget
$13,402,765
$9,539,715
$13,882,015
$12,034,260
$8,095,704
$7,553,063
$8,494,566
37
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Infrastructure Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
Drainage Maintenance
Drainage Improvements
Storm Sewer Maping and Verrification
Storm Sewer Inspection and Testing
B&T Circle Drainage
8&T Drive Drainage
B&T Tennis Area Drainage
B&T Parking Permeable Pavers and Parking Expansion
B&T Wedding Area Walkway Drainage
Golf Parking Lot Drainage
Golf Parking Lot Permeable Pavers
Salt Storage Drainage Construction
Salt Storage Building Construction
Total Program 364
Roadway Improvements
Street Resurfacing/Reconstruction
Street Cracksealing
Brook Forest Phase 1 Street Improvements
Brook Forest Phase 2 Street Improvements
Brook Forest Phase 3 Street Improvements
Brook Forest Phase 4 Street Improvements
Ginger Creek Street Improvements
Luthin/Enterprise Reconstruction
York Road/1-88 Bridge
York Road/Harger Road Intersection/Bike Path
B&T Circle Construction
Harger Road Bike Path Construction
$ 20,000
$ 20,000
$ 20,000
$ 20,000 $
20,000 $ 20,000 $ 20,000 $ 100,000
-
-
20,000
10,000
- - - 30,000
-
-
20,000
20,000
20,000 20,000 - 80,000
15,000
10,000
-
-
- - - -
50,000
33,000
-
-
- - - -
-
-
-
350,000
- - - 350,000
-
-
-
1,840,000
- - - 1,840,000
-
-
-
50,000
- - - 50,000
-
-
-
-
- 75,000 75,000
-
-
-
-
- - 1,500,000 1,500,000
1,985,000
2,029,385
-
-
- - - -
nnn nnn
evn nnn
t Q11 uaa
_
_ - _ 1 011 unc
$ 2,331,580 $ 1,323,875 $ 750,000 $
- 75,000
825,000
621,000
621,000 -
762,420
762,420 653,505
257,300
257,300 2,320,725
616,275
892,000 -
1,750,000
- 409,015
38
750,000 $ 1,000,000 $ 3,000,000 $ 3,000,000 $ 8,500,000
75,000 75,000 75,000 75,000 375,000
- - - - 825,000
2,000,000 - - 2,000,000
- 2,000,000 - - 2,000,000
- 210,000 - 210,000
- - 375,000 375,000
- - - - 653,505
1,045,305 - - - 3,366,030
409,015
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Infrastructure Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
Harger Road Resurfacing After Water Main Replacemem
- - -
700,000
-
-
- 700,000
Spring Road, 22nd North to Limits After Water Main
- - -
-
850,000
-
- 850,000
Windsor Bridge/Street Utility Relocation
- - 1,000,000
-
-
-
- 1,000,000
Windsor Bridge(Tollway)
- - -
762,420
762,420
762,420
- 2,287,260
Windsor Bridge/Street Construction
- - 2,625,000
1,125,000
-
-
- 3,750,000
Total Program 461 $
6,338,575 $ 3,856,595 $ 8,658,245
$ 6,457,725
$ 4,687,420
$ 4,047,420
$ 3,450,000 $27,300,810
Less Engineering Fees
(400,000) (400,000) (410,000)
(420,250)
(430,755)
(441,525)
(452,565) (2,155,096)
Net Program 461 $
5,938,575 $ 3,456,595 $ 8,248,245
$ 6,037,475
$ 4,256,665
$ 3,605,895
$ 2,997,435 $ 25,145,714
Total Infrastructure Fund $10,008,575 $ 6,198,980 $10,220,090 $ 8,327,475 $ 4,296,665 $ 3,720,895 $ 4,517,435 $29,170,714
39
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
PROMENDADE SPECIAL TAX ALLOCATION FUND
The Promenade Special Tax Allocation Fund was established in 2006 as a result of a redevelopment agreement approved by the Village Board that
provides for Tax Increment Financing (T.I.F.) for certain infrastructure improvements for the Promenade Development. As provided for in the
redevelopment agreement, the Village has issued a limited obligation note of $4.25 million bearing interest at 8%. The note is secured by 100% of the
incremental real estate taxes and 20% of the incremental sales taxes generated by the Promenade Development. The note is not a general obligation of
the Village and the Village's liability is limited to the pledge of incremental revenues previously noted for a period not to exceed 15 years.
OVERVIEW:
Revenue:
Revenues from the incremental real estate tax revenue generated by the development are projected based on sales tax projections from the General
and Infrastructure Funds. For 2021 and thereafter, real estate tax revenues are projected based on increasing at 1.5%. Sales tax receipts from the
General Fund and Infrastructure Fund is included based on 20% of the expected General Sales Tax and Non -Home Rule Sales Tax expected to be
generated from the development.
Exceptional Charges:
Exceptional charges consist of debt service on the $4.25 million limited obligation notes that were issued in early 2008. The notes provide in November
each year the Village is to notify the holders of the notes as to the amount funds expected to be on hand to fund debt service for the subsequent year.
Based on the amounts projected to be available for the succeed year debt service payments are to scheduled to be applied to (1) interest on past due
interest, (2) current interest, and (3) repayment of principal. For the 2020 Budget and years 2021-2024, principal and interest payments are projected
based on the original repayment schedule.
40
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Promenade T.I.F. Fund
Summary
41
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Unrestricted Cash Available, January 1, 2019 $257,485
Estimated Income
$460,900
$511,210
$476,500
$480,361
$485,643
$490,984
$496,463
Less Estimated Operating Expenses
Operating Budget
4,210
3,750
3,890
3,987
4,087
4,189
4,294
Exceptional Charges
460,980
460,980
504,900
481,440
488,385
337,785
0
Estimated Net Operating Income
(4,290)
46,480
(32,290)
(5,066)
(6,829)
149,010
492,170
Add Beginning of Year Cash Balance
257,485
257,485
303,965
271,675
266,609
259,779
408,789
Estimated Available Funds
253,195
303,965
271,675
266,609
259,779
408,789
900,959
Less Capital Improvement Program
0
0
0
0
0
0
0
Estimated Unrestricted Cash Balance at Year -End
$253,195
$303,965
$271,675
$266,609
$259,779
$408,789
$900,959
41
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Promenade T.I.F. Fund
Revenue Projections
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Real Estate Taxes $360,000
$411,710
$380,000
$383,800
$387,638
$391,514
$395,430
Sales Tax 100,000
97,500
95,000
96,425
97,871
99,339
100,830
Interest 900
2,000
1,500
136
133
130
204
Total Revenue $460,900 $511,210 $476,500 $480,361 $485,643 $490,984 $496,463
42
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Promenade T.I.F. Fund
Long -Range Operating Budget
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Operations and Contractual $4,210
$3,750
$3,890
$3,987
$4,087
$4,189
$4,294
Total Operating Budget 4,210 3,750 3,890 3,987 4,087 4,189 4,294
Exceptional Charges
Debt Service Interest
243,980
243,980
224,900
278,400
308,200
257,000
0
Debt Service Principal
217,000
217,000
280,000
203,040
180,185
80,785
0
Total Exceptional Charges
460,980
460,980
504,900
481,440
488,385
337,785
0
Total Budget
$ 465,190
$ 464,730
$ 508,790
$ 485,427
$ 492,472
$ 341,974 $
4,294
43
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
WATER FUND
The water utility is one of two large enterprises operated by the Village. It serves approximately 5,200 customers, nearly 2,000 of which are located
outside the corporate limits of Oak Brook. The Water Fund supports both operations and capital improvements to the water system. The Water Fund
is considered an enterprise fund and is operated on a self-supporting basis.
OVERVIEW:
Revenue:
Revenue from the sale of water is based on an average of 886 million gallons billed per year and usage is projected to remain flat in order to mitigate
fluctuations due to weather. In late 2018, the Village worked with a consultant to update its 2015 a water rate study. The results of the study
recommend rate increases over the next five years to continue its capital improvement plan on schedule. The 2020 budget was prepared using a 7.0%
increase effective January 1, 2020. The 2020-2024 Five Year Plan reflects rate increases of 7.0% annually in order to fund expected long-term capital
outlays due to the aging of the system and an estimated 2.5% rate increase from the City of Chicago to the DuPage Water Commission.
Operations:
The cost to DuPage Water Commission is reflective in the 2020 budget at $4,843,265 and 2.5% increases in years 2021— 2024.
Capital Improvements:
The capital improvement program reflects a focus on water main replacement for the next twenty years.
44
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Water Fund
Summary
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
Unrestricted Cash Available, January 1, 2019 $6,426,743
Estimated Income $10,715,835 $10,359,460 $10,696,725 $11,386,151 $12,123,362 $12,911,693 $13,754,701
Less Estimated Operating Expenses
Operating Budget
1,496,810
1,473,245
1,894,485
1,636,062
1,680,844
1,726,753
1,773,812
Exceptional Charges
5,782,225
5,081,520
5,409,050
5,581,241
5,721,628
5,865,607
6,014,828
Estimated Net Operating Income
3,436,800
3,804,695
3,393,190
4,168,848
4,720,890
5,319,333
5,966,061
Add Beginning of Year Cash Balance
6,426,743
6,426,743
5,027,363
2,127,328
586,176
(1,428,359)
(909,026)
Estimated Available Funds
9,863,543
10,231,438
8,420,553
6,296,176
5,307,066
3,890,974
5,057,034
Less Capital Improvement Program
6,244,075
5,204,075
6,293,225
5,710,000
6,735,425
4,800,000
5,000,000
Estimated Unrestricted Cash Balance at Year -End
$3,619,468
$5,027,363
$2,127,328
$586,176
($1,428,359)
($909,026)
$57,034
45
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Water Fund
Revenue Projections
46
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Water Sales
$10,223,250
$9,627,175
$10,302,525
$10,980,125
$11,705,155
$12,480,940
$13,311,025
Unmetered Sales
30,000
33,000
30,000
30,900
31,827
32,782
33,765
Connection Fees
50,000
175,000
100,000
103,000
106,090
109,273
112,551
Meter Fees
20,000
27,000
20,000
20,600
21,218
21,855
22,510
Special Services
30,000
32,000
30,000
30,900
31,827
32,782
33,765
Fire Service Charge
5,000
0
0
0
0
0
0
Plan Review Fees
1,500
1,200
1,200
1,236
1,273
1,311
1,351
Inspection Fees
5,000
8,000
8,000
8,240
8,487
8,742
9,004
Interest
55,000
160,000
130,000
133,900
137,917
142,055
146,316
Transfer From Equipment Replacement Fund
221,085
221,085
0
0
0
0
0
Miscellaneous
75,000
75,000
75,000
77,250
79,568
81,955
84,413
Total Revenue
$10,715,835
$10,359,460
$10,696,725
$11,386,151
$12,123,362
$12,911,693
$13,754,701
46
Exceptional Charges
DWC Fixed and 0 & M Charges
$5,192,805
Village of Oak Brook
$4,843,265
$4,964,347
$5,088,455
$5,215,667
$5,346,058
2020-2024 Five -Year Financial Plan
551,830
551,830
526,815
542,619
558,898
575,665
Water Fund
Vehicle Replacement Charges
37,590
37,590
38,970
74,275
74,275
Long -Range Operating Budget
75,835
Total Exceptional Charges
$5,782,225
$5,081,520
$5,409,050
$5,581,241
$5,721,628
$5,865,607
$6,014,828
Capital Improvement Program
2019
2019 2020
2021
2022
2023
2024
$6,244,075
Budget
Estimate Budget
Projection
Projection
Projection
Projection
Personnel
$828,710
$793,935 $868,705
$907,797
$948,648
$991,337
$1,035,947
Materials and Supplies
76,210
76,010 74,260
76,488
78,782
81,146
83,580
Operations and Contractual
591,890
603,300 951,520
702,378
723,449
745,152
767,507
Total Operating Budget
$1,496,810
$1,473,245 $1,894,485
$1,686,662
$1,750,879
$1,817,635
$1,887,034
Adjustment for Budget Goal Attainment
$1,894,485
$1,636,062
$1,680,844
$1,726,753
$1,773,812
Exceptional Charges
DWC Fixed and 0 & M Charges
$5,192,805
$4,492,100
$4,843,265
$4,964,347
$5,088,455
$5,215,667
$5,346,058
Reimbursement To General Corporate Fund
551,830
551,830
526,815
542,619
558,898
575,665
592,935
Vehicle Replacement Charges
37,590
37,590
38,970
74,275
74,275
74,275
75,835
Total Exceptional Charges
$5,782,225
$5,081,520
$5,409,050
$5,581,241
$5,721,628
$5,865,607
$6,014,828
Capital Improvement Program
(See Schedule)
$6,244,075
$5,204,075
$6,293,225
$5,710,000
$6,735,425
$4,800,000
$5,000,000
Total Budget
$13,523,110
$11,758,840
$13,596,760
$12,927,303
$14,137,897
$12,392,360
$12,788,640
47
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Water Fund
New Water Meters Customet Portahole
$ -
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
550,000
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
Install Master Meters
610,825
610,825
285,000
Water Modeling Update
-
-
45,000
Water Tower Painting
650,000
Distribution Improvements:
1,168,225
Water System Control Valves Replacement
-
-
100,000
Booster Station Electrical Upgrade
-
-
-
Water System Controls Radio Upgrade
$
-
-
Well #5 Rehab
-
-
-
Well #6 Rehab
$ -
Replacement Water Meters
$
20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 100,000
Total Program 351
$
20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 20,000
$ 100,000
New Water Meters Customet Portahole
$ -
$ -
$ 35,000 $
SCADA Controls
500,000
500,000
-
SCADA Software, Programming, and Upgrades
-
-
550,000
Water Storage Mixer
100,000
75,000
40,000
Master Meter Design
25,000
25,000
250,000
Install Master Meters
610,825
610,825
285,000
Water Modeling Update
-
-
45,000
Water Tower Painting
650,000
-
1,168,225
Water System Control Valves Replacement
-
-
100,000
Booster Station Electrical Upgrade
-
-
-
31st St Electrical Upgrde and Well Electctric
-
-
-
Well #5 Rehab
-
-
-
Well #6 Rehab
-
-
-
Luthin Road Engineering and Construction
408,250
408,250
-
Redesign Reseveor B Electrical Survey Design
-
-
-
Generator Reservoir B
-
-
-
Harger Road Bridge to Yorkshire Construction
365,000
-
425,000
Harger Road - Spring to Yorkshire
-
-
-
Enterprise to Clearwater Watermain
632,500
632,500
-
Concord/Ivy/Devonshire Watermain
2,932,500
2,932,500
-
Charleton/Kimberly, Pembroke/Shelburne WM
-
-
2,850,000
Sports Core - Golf to B&T
525,000
Hamilton, Victoria, Briarwood
-
-
-
48
$ - $ 35,000
550,000
-
-
- 40,000
80,000
25,000
25,000
25,000 25,000
350,000
190,000
195,000
195,000 195,000
1,060,000
-
20,000
- 20,000
85,000
-
-
- -
1,168,225
-
-
100,000
1,000,000
-
-
1,000,000
-
250,000
- -
250,000
-
-
1,060,000 -
1,060,000
1,090,000
- 1,200,000
2,290,000
550,000
-
- -
550,000
-
750,000
- -
750,000
-
-
- -
425,000
1,375,000
-
- -
1,375,000
-
-
- -
2,850,000
-
525,000
2,550,000
-
- -
2,550,000
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Water Fund
Project Name
2019
Budget
2019
Projected
2020
Budget
2021
Projection
2022
Projection
2023
Projection
2024
Projection
Total
2020-2024
Mockingbird, Lambeth, Heather, Camelot WM
-
-
-
-
2,635,425
-
-
2,635,425
Spring Road - 22nd North To Corporate Limits
-
-
-
-
1,750,000
-
-
1,750,000
Ginger Creek North (Royal Vale), Misc. Saddlebrook
-
-
-
-
-
3,500,000
-
3,500,000
Fullersburg Southwest, Misc. Trinity Lakes
-
-
-
-
-
-
3,500,000
3,500,000
Total Program 451
$ 6,224,075
$ 5,184,075
$ 6,273,225
$ 5,690,000
$ 6,715,425
$ 4,780,000
$ 4,980,000
$28,438,650
Total Water Fund
$ 6,244,075
$ 5,204,075
$ 6,293,225
$ 5,710,000
$ 6,735,425
$ 4,800,000
$ 5,000,000
$28,538,650
49
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
E7I�L•i6Ydill �;tILll7
The Oak Brook Sports Core is the other large enterprise operated by the Village. The Sports Core Fund supports the entire operation including uses of
the Sports Core's fields and forest areas, the Oak Brook Golf Club, the Oak Brook Bath and Tennis Club (all available for use by the general public) and
food and beverage services at the various Sports Core venues. It is considered an enterprise fund since the majority of its revenues are derived from
userfees.
In order to make clear the specific designation of certain resources, the Sports Core Fund is broken down into three segments: Sports Core Operations,
the Golf Surcharge Account and the Capital Improvement Account. The Sports Core Fund - Consolidated presentation brings all of the parts together.
OVERVIEW:
For many years it has been the goal of the Village to operate the Sports Core on a self-sufficient basis; that is, it should be 100% supported by user fees.
Based on projections contained in this document, revenues are expected to cover operating expenses. However, scheduled capital expenditures will
vary depending on the amount of resources available each year. For 2020, a transfer from the General Fund totaling $923,000 is needed to fund
current capital expenditures. Delays in capital items are expected to occur in the future as funds are available.
Revenue:
The total number of Golf Club members is projected at 150 throughout the planning period. For years 2021- 2024, memberships are to remain flat and
membership fees are increased 3% per year. Daily greens fees increase $.50 to $1.00 per round per year. Other revenues are adjusted consistent with
market factors.
Memberships for the Bath & Tennis Club is projected at 225 swim members and 45 tennis members. For 2020, a 7.5% membership rate was assumed
across all swimming and tennis membership types. For years 2021-2024, memberships remain flat and membership fees are increased 2.5-3.0% per
year.
Bath and Tennis Clubhouse rental revenue is budgeted to increase by $65,000, or 27.7%, in 2020 compared to the 2019 budget due to the increase in
future events booked. In 2021 and thereafter, rental income revenue is projected to increase 2.0%.
50
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
Operations:
The Bath and Tennis Clubhouse will continue to market the preferred caterer (partner) concept to our wedding and special event clients.
Capital Improvements:
The capital improvement program in the Sports Core Fund Operations presentation reflects an ongoing program of maintaining existing equipment and
facilities. The 2020 budget includes $1,921,545 in capital improvements and equipment replacements.
FUTURE CONSIDERATIONS:
Favorable operating results of the Sports Core Fund are largely dependent on weather, annual increases in user fee revenue, capital investment back
into the Sports Core, and improved financial results of the Food and Beverage operations. Capital improvements completed over the past several years
were planned with a view toward enhancing user experience.
51
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Sports Core Fund
Summary
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
Cash Available, January 1, 2019 $192,897
Estimated Income $4,842,290 $4,390,580 $5,014,735 $3,762,174 $3,689,171 $3,757,358 $3,826,964
Less Estimated Operating Expenses
Operating Budget
3,186,390
3,179,940
3,168,070
3,280,413
3,396,984
3,517,954
3,643,499
Exceptional Charges
0
0
56,450
58,144
59,888
61,684
63,535
Estimated Net Operating Income
1,655,900
1,210,640
1,790,215
423,617
232,299
177,720
119,930
Add Beginning of Year Cash Balance
192,897
192,897
240,047
108,717
(2,515,091)
(3,035,792)
(3,158,572)
Estimated Available Funds
1,848,797
1,403,537
2,030,262
532,334
(2,282,792)
(2,858,072)
(3,038,642)
Less Capital Improvement Program
1,655,900
1,163,490
1,921,545
3,047,425
753,000
300,500
227,500
Estimated Cash Balance at Year -End
$192,897
$240,047
$108,717
($2,515,091)
($3,035,792)
($3,158,572)
($3,266,142)
52
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Sports Core Fund
Revenue Projections
53
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Bath & Tennis Club:
General Administration
Grants
$0
$0
$139,800
$139,800
$0
$0
$0
Miscellaneous
(250)
(1,300)
(1,250)
(1,250)
(1,250)
(1,250)
(1,250)
Transfer From General Fund
95,000
25,195
160,245
0
0
0
0
Reimbursement From Infrastructure Fund
24,000
24,000
24,000
24,000
24,000
24,000
24,000
Reimbursement From Water Fund
8,000
8,000
8,000
8,000
8,000
8,000
8,000
Swimming
Memberships
222,615
207,255
223,885
229,482
235,219
241,100
247,127
Swim Fees
20,200
19,745
18,800
19,364
19,945
20,543
21,160
Miscellaneous
3,000
6,475
3,500
3,500
3,500
3,500
3,500
Transfer From General Fund
870,500
454,455
574,755
0
0
0
0
Tennis
Memberships
22,200
14,750
17,750
18,283
18,831
19,396
19,978
Tennis Lessons and Programs
33,250
44,250
46,000
47,380
48,801
50,265
51,773
Beverage & Pro Shop Revenue
0
2,300
1,500
1,515
1,530
1,545
1,561
Miscellaneous
500
5,910
750
750
750
750
750
Transfer From General Fund
0
0
22,500
0
0
0
0
Open Fields
Field Rental
200,000
200,000
212,000
218,360
224,911
231,658
238,608
Butler Range Rental
0
75,000
75,000
80,000
80,000
80,000
80,000
Taste of Oak Brook
185,000
0
120,000
122,400
124,848
127,345
129,892
Miscellaneous
0
114,740
0
0
0
0
0
Transfer From Hotel Tax Fund
0
0
35,000
35,000
35,000
35,000
35,000
Total Bath & Tennis Club
$1,684,015 -
$1,200,775
$1,682,235
$946,584
$824,085
$841,853
$860,099
Food & Beverage:
Clubhouse Food & Beverage
Rental Income
235,000
300,000
300,000
306,000
312,120
318,362
324,730
Miscellaneous
0
120
0
0
0
0
0
Transfer From General Fund
251,225
285,500
165,500
0
0
0
0
Poolside Grill
Food Sales
36,000
35,375
36,000
36,720
37,454
38,203
38,968
Beverage/Liquor Sales
19,500
19,535
20,000
20,400
20,808
21,224
21,649
53
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Sports Core Fund
Revenue Projections
Golf Club
Memberships
2019
2019
2020
2021
2022
2023
2024
Golf Fees
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Golf Club Lounge
200,000
205,000
207,000
211,140
215,363
219,670
224,063
Food Sales
125,000
130,000
130,000
132,600
135,252
137,957
140,716
Beverage/Liquor Sales
233,000
244,000
245,000
249,900
254,898
259,996
265,196
Candy/Cigarette Sales
14,500
14,500
14,500
14,790
15,086
15,388
15,695
Total Food & Beverage
$914,225
$1,029,030
$911,000
$760,410
$775,618
$791,131
$806,953
Golf Club
Memberships
$209,000
$197,675
$217,500
221,850
226,287
230,813
235,429
Golf Fees
930,000
915,000
930,000
948,600
967,572
986,923
1,006,662
Merchandise Sales
200,000
205,000
207,000
211,140
215,363
219,670
224,063
Driving Range Fees
310,000
244,000
244,000
246,440
248,904
251,393
253,907
Golf Lessons
40,000
40,000
40,000
40,400
40,804
41,212
41,624
Cart Rental Fees
371,000
331,000
371,000
374,710
378,457
382,242
386,064
Equipment Rental Fees
4,000
4,500
4,000
4,040
4,080
4,121
4,162
Miscellaneous
5,050
8,130
8,000
8,000
8,000
8,000
8,000
Transfer from Golf Surcharge
175,000
215,470
400,000
0
0
0
0
Total Golf Club
$2,244,050
$2,160,775
$2,421,500
$2,055,180
$2,089,468
$2,124,375
$2,159,912
Total Sports Core Operations
$4,842,290
$4,390,580
$5,014,735
$3,762,174
$3,689,171
$3,757,358
$3,826,964
54
Exceptional Charges
Reimbursement to General Fund 0 0 56,450 58,144 59,888 61,684 63,535
Total $0 $0 $56,450 $58,144 $59,888 $61,684 $63,535
Capital Improvement Program
Sports Core Operations (See Schedule)
1,655,900
Village of Oak Brook
1,921,545
3,047,425
753,000
300,500
227,500
2020-2024
Five -Year Financial Plan
$1,163,490
$1,921,545
$3,047,425
$753,000
$300,500
$227,500
Sports Core Fund
$4,842,290
$4,343,430
$5,146,065
$6,385,981
$4,209,872
$3,880,138
Long -Range Operating Budget
2019
2019 2020
2021
2022
2023
2024
Budget
Estimate Budget
Projection
Projection
Projection
Projection
Personnel
$1,572,920
$1,557,480 $1,578,100
$1,649,115
$1,723,325
$1,800,874
$1,881,914
Materials and Supplies
580,645
658,890 618,025
633,476
649,313
665,545
682,184
Operations and Contractual
1,115,975
1,046,720 1,055,095
1,080,972
1,107,497
1,134,684
1,162,551
Other
(83,150)
(83,150) (83,150)
(83,150)
(83,150)
(83,150)
(83,150)
Total
$3,186,390
$3,179,940 $3,168,070
$3,280,413
$3,396,984
$3,517,954
$3,643,499
Exceptional Charges
Reimbursement to General Fund 0 0 56,450 58,144 59,888 61,684 63,535
Total $0 $0 $56,450 $58,144 $59,888 $61,684 $63,535
Capital Improvement Program
Sports Core Operations (See Schedule)
1,655,900
1,163,490
1,921,545
3,047,425
753,000
300,500
227,500
Total
$1,655,900
$1,163,490
$1,921,545
$3,047,425
$753,000
$300,500
$227,500
Total Budget
$4,842,290
$4,343,430
$5,146,065
$6,385,981
$4,209,872
$3,880,138
$3,934,534
55
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Sports Core Fund
Swimming Operations
Pool Lounge Chairs $
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
400,000
700,000
Concrete and Finish Pool Deck
-
-
40,000
Remodel Washrooms
-
-
Bath & Tennis General Operations:
Locker Room Painting
-
-
20,000
Fence
-
11,440
-
New Parking Lot Signs
$ 5,000 $
-
$ -
$ 5,000
$ -
$ 5,000
$ 5,000
$ 15,000
HVAC Replacement
-
-
-
50,000
-
-
-
50,000
Exterior Painting
-
-
-
25,000
25,000
-
-
50,000
Replace Domestic Plumbing in Basement
90,000
25,195
-
-
-
-
-
-
B&T Hot Water Heater
-
-
-
15,000
-
-
-
15,000
B&T Clubhouse Roof Scuppers
-
-
-
20,000
-
-
-
20,000
Pond Bank Stabilization
-
-
108,215
-
-
-
-
108,215
Pond Fountain and Lights
-
-
-
25,000
-
-
-
25,000
Picnic Pavilion Area
-
-
100,000
108,635
-
-
-
208,635
Picnic Area Pathway
-
-
-
155,180
-
-
-
155,180
Jogging Track
-
-
91,830
-
-
-
-
91,830
Entryway Beautification
-
-
-
367,310
-
-
-
367,310
Drainage Improvements
-
-
-
100,000
-
-
-
100,000
Total Program 811
$ 95,000 $
25,195
$ 300,045
$ 871,125
$ 25,000
$ 5,000
$ 5,000
$ 1,206,170
Swimming Operations
Pool Lounge Chairs $
8,000 $
- $
- $
Pool Umbrellas
-
1,265
-
Diving Boards
15,000
17,045
-
Repair/Replace Stairs
-
-
20,000
Repair Pools, Gutter System, Flow Meters/Gauge
810,000
400,000
700,000
Concrete and Finish Pool Deck
-
-
40,000
Remodel Washrooms
-
-
-
Locker Room Painting
-
-
20,000
Fence
-
11,440
-
Pool Awning Replacement/Guard Station
20,000
5,820
-
M.
8,000 $ 8,000 $ - $ - $ 16,000
- - - - 20,000
- - 700,000
- 40,000 - 80,000
- 250,000 - - 250,000
- 20,000 - 40,000
25,000 - - 25,000
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Sports Core Fund
57
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
Pool Check -In Station
5,000
4,385
-
-
15,000
-
-
15,000
Foundation Leak in Basement
10,000
-
10,000
-
-
10,000
Light Poles Around Pool (6)
-
-
-
35,000
-
-
-
35,000
Pool Electrical Improvements
-
14,500
-
-
-
-
-
-
Swim Team Storage Shed, Flags
2,500
-
-
-
-
-
-
-
Total Program 812
$
870,500
$
454,455
$
790,000
$
43,000
$
298,000
$
60,000
$
-
$
1,191,000
Tennis Operations:
Tennis Court Nets and Posts
$
-
$
-
$
7,500
$
-
$
-
$
3,000
$
-
$
10,500
Fencing for Courts
-
-
-
-
30,000
-
-
30,000
Tennis Court Drainage and Irrigation
-
-
-
75,000
-
-
-
75,000
Tennis Court Clay Curbing
-
-
-
48,750
-
-
-
48,750
Paint Fencing
-
-
15,000
-
-
-
20,000
35,000
Drainage Improvements
-
-
-
125,000
-
-
-
125,000
Tennis Shelter/Pro Building
-
-
-
715,000
-
-
-
715,000
Demo and Rebuild Tennis Gazebo
-
-
-
55,000
-
-
-
55,000
Total Program 813
$
-
$
-
$
22,500
$
1,018,750
$
30,000
$
3,000
$
20,000
$
1,094,250
Open Fields:
Soccer Building Foundation
$
20,000
$
-
$
-
$
-
$
-
$
-
$
-
$
-
Soccer Building Windows
-
-
-
-
-
-
20,000
20,000
Drainage Improvements
-
-
-
125,000
-
-
-
125,000
Field Improvements
15,000
13,000
15,000
15,000
15,000
15,000
20,000
80,000
New Soccer Fields
-
-
-
153,050
-
-
-
153,050
Total Program 816
$
35,000
$
13,000
$
15,000
$
293,050
$
15,000
$
15,000
$
40,000
$
378,050
57
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Sports Core Fund
58
2019
2019
2020
2021
2022 2023 2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection Projection Projection
2020-2024
B&T Clubhouse:
Flooring Replacement
$ -
$ 38,260
$-
Electrical Service Upgrade and Generator
200,000
238,075
-
-
- - -
-
B&T Generator Fence
-
7,980
-
-
- - -
New Roof Standing Steel
-
-
$ 165,000
$ -
$ - $ - $ -
$ 165,000
B&T Clubhouse Exterior Painting
-
-
-
30,000
- - 30,000
60,000
B&T Clubhouse Interior Painting
10,000
36,815
-
5,000
5,000 5,000 5,000
20,000
Brass Door Plates Kick Plates and Handle Plates
-
-
-
2,500
- - -
2,500
Patio Lighting
-
-
-
5,000
- - -
5,000
Floor Electrical Outlets
-
-
-
20,000
- - -
20,000
B&T Clubhouse Faux Stone/Brick
30,000
8,900
-
-
- - -
-
B&T Clubhouse Tuck Pointing
-
9,075
-
Restain Window Trim and Interior Wood
15,000
3,465
-
Lighting Exterior Fixtures Around Clubhouse
36,400
-
-
-
- - -
-
Dishwasher Replacement
-
-
-
25,000
- - -
25,000
Tiered Steps Brick Sidewalk Wedding (ADA)
-
-
-
42,000
- - -
42,000
Wedding Area Electric (Lights & Sound System)
-
-
-
12,000
- - -
12,000
B&T Clubhouse Bar Update
50,000
6,135
-
-
- - -
-
B&T Clubhouse Front Entrance Fascia
10,000
-
-
-
- - -
-
B&T Clubhouse Front Entrance Bird Netting
15,000
-
-
-
- - -
-
Ice Maker (3)
-
-
24,000
-
- - -
24,000
Kitchen Equipment Replacement
-
-
-
20,000
- - -
20,000
Designer Fee
-
-
-
5,000
- - -
5,000
B&T Clubhouse Bathrooms
-
-
-
250,000
- - -
250,000
Ceiling Repair Over Bar
5,000
-
-
-
- - -
-
Remove Bead Board, Drywall and Paint
10,000
-
-
-
- - -
-
New Banquet Chairs
7,000
-
-
2,500
- 2,500 2,500
7,500
58
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Sports Core Fund
Golf Club
Patio Improvements
$ - $
2019
2019
Outdoor Furniture
2020
2021
2022
Sewer Drain Repairs
2023
2024
Total
Project Name
20,000
Budget
Projected
Golf Club Lounge Improvements
Budget
Projection
Projection
Exterior Staining
Projection
Projection
2020-2024
Pro Shop Upgrades
100,000
116,035 -
- - - - -
Pro Shop Entry Door
-
- -
10,000 - - - 10,000
Interior Flooring
-
- -
- - - - -
New Banquet Tables
-
2,000
-
Parking Lot Seal Coating/Striping
-
2,000
-
Parking Lot Replacement
2,000
2,000
6,000
Kitchen Floor Tile
-
-
-
Cart Path Replacement
-
35,500
-
Tee Signs
-
-
35,500
Kitchen Ceiling Tile
-
-
-
-
-
5,000
-
-
5,000
Total Program 821
$
390,400
$ 348,705
$
189,000
$ 456,500
$ 10,000
$
9,500
$ 39,500
$ 704,500
Golf Cafe:
New Ice Maker (2)
$
-
$ -
$
16,000
$ -
$ -
$
-
$ -
$ 16,000
Total Program 823
$
-
$ -
$
16,000
$ -
$ -
$
-
$ -
$ 16,000
Golf Club
Patio Improvements
$ - $
59,725 $-
Outdoor Furniture
-
31,055 -
- - - - -
Sewer Drain Repairs
-
- 30,000
- - - - 30,000
Golf Club Lounge Design Fees
20,000
- -
- - - - -
Golf Club Lounge Improvements
-
- 400,000
- - - - 400,000
Exterior Staining
-
- -
- - 30,000 - 30,000
Pro Shop Upgrades
100,000
116,035 -
- - - - -
Pro Shop Entry Door
-
- -
10,000 - - - 10,000
Interior Flooring
-
- -
- - - - -
Interior Design Improvements
-
- -
- - - - -
Parking Lot Seal Coating/Striping
10,000
- 10,000 10,000
Parking Lot Replacement
-
- -
- 250,000 - - 250,000
Parking Lot Drainage
-
- -
- - 75,000 - 75,000
Cart Path Replacement
25,000
17,685 25,000
25,000 25,000 25,000 25,000 125,000
Tee Signs
15,000
15,000 -
- - - - -
Exhaust Fans (2)
-
- -
20,000 - - - 20,000
59
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Sports Core Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
Roof Replacement
HVAC Replacement
Total Program 831
Ball Dispenser Replacement
Ball Shelter Replacement
Picker Cart Replacement
Turf Range Hitting Stations
Housing Structure Ball Machine Area
Total Program 832
Tractors/Mowers
Greens Riders (2)
Utility Vehicle
Sprayers
Lastec 721XR
Lastec 61
Skid Steer
Trim Mowers
Golf Maintenance Parking Lot Replacement
Total Program 834
Total Sports Core Operations
100,000
80,000
100,000
80,000
$ $ $ 12,000 $ $ $ $ - $ 12,000
25,000 - - - - 25,000
- - 10,000 - - 10,000
- - 40,000 - - - 40,000
5,000 2,500 - - - - - -
$ 51000 $ 2,500 $ 37,000 $ 40,000 $ 10,000 $ - $ - $ 87,000
$ $ $ 50,000 $ 50,000 $ 50,000 $ 50,000 $ - $ 200,000
- - - - - - 60,000 60,000
- - 28,000 28,000 28,000 28,000 112,000
40,000 39,140 35,000 - - - - 35,000
- - - - 12,000 - - 12,000
50,000 40,995 - - - - - -
- - 12,000 12,000 - - - 24,000
$ 90,000 $ 80,135 $ 97,000 $ 90,000 $ 90,000 $ 78,000 $ 88,000 $ 443,000
$ 1,655,900 $ 1,163,490 $ 1,921,545 $ 3,047,425 $ 753,000 $ 300,500 $ 227,500 $ 6,249,970
Ci]
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
GOLF SURCHARGE FUND
DESCRIPTION:
The Golf Surcharge Fund is the repository for revenues received from the $3.00 per round surcharge levied on every round of golf played at the Oak
Brook Golf Club. Surcharge revenues are reserved for golf course improvements and for restoration of flood damage to the course, should it be
necessary in the future.
OVERVIEW:
Revenue:
Revenue is projected based on the $3.00 surcharge applied to 38,335 rounds played.
Exceptional Charges:
Transfers of $400,000 in 2020 are planned to help fund golf clubhouse improvements.
61
Unrestricted Cash Available, January 1, 2019
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Estimated restricted Cash Balance at Year -End
$436,292
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Golf Surcharge Fund
Summary
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
$125,000
$117,500
$117,500
$117,579
$120,513
$123,508
$126,567
0
0
0
0
0
0
0
175,000
215,470
400,000
0
0
0
0
(50,000)
(97,970)
(282,500)
117,579
120,513
123,508
126,567
436,292
436,292
338,322
55,822
173,401
293,914
417,422
386,292
338,322
55,822
173,401
293,914
417,422
543,989
0
0
0
0
0
0
0
$386,292
$338,322
$55,822
$173,401
$293,914
$417,422
$543,989
62
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Golf Surcharge Fund
Revenue Projections
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Golf Surcharge $120,000
$110,000
$115,000
$117,300
$119,646
$122,039
$124,480
Interest 5,000
7,500
2,500
279
867
1,470
2,087
Total Revenue $125,000
$117,500
$117,500
$117,579
$120,513
$123,508
$126,567
63
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Golf Surcharge Fund
Long -Range Operating Budget
64
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Exceptional Charges
Transfer to Sports Core Fund
$175,000
$215,470
$400,000
$0
$0
$0
$0
Total Exceptional Charges
$175,000
$215,470
$400,000
$0
$0
$0
$0
64
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
SELF-INSURANCE FUND
The Self -Insurance Fund is an internal service fund used for funding the Village's employee welfare benefit programs, including the self-insured medical
and dental plans and group life and accidental death insurance coverage. These programs also are made available to employees of the Oak Brook Park
District, retired Village employees and separated employees and their dependents pursuant to COBRA regulations.
OVERVIEW:
Revenue:
Revenue comes principally from charges to other funds, through the budgets of departments where plan participants are employed, charges to the Oak
Brook Park District, charges to retirees, and charges to COBRA participants. The Plan also reflects increased participant contribution to the cost of
health and dental insurance for all covered Village employees. Revenue from equivalent premiums is projected to increase at a rate sufficient to fund
projected expenses.
Operations:
Since 2012, the amount expended for health insurance claims has moderated due primarily to a change in the third party administrator to Blue
Cross/Blue Shield and alternative plan offerings. The Village offers a PPO, HMO alternative and High Deductible plans to all employees. For 2020,
claims are projected based on various rates used to set equivalent premiums. For 2021 and beyond, a claims inflation factor of 5% per year has been
used. Other expenses, including reinsurance costs, are also projected to increase 3% to 5% annually, beginning in July 2020.
FUTURE CONSIDERATIONS:
The future of health insurance is changing and the Affordable Care Act (ACA) presents the Village a number of challenges in forecasting and budgeting
for federally mandated increases in benefits and taxes. We will continue to conservatively budget in order to prepare for unforeseen circumstances
related to the on-going implementation of the ACA.
65
Unrestricted Cash Available, January 1, 2019
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Estimated Unrestricted Cash Balance at Year -End
$468,568
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Self -Insurance Fund
Summary
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
$3,414,750 $3,406,560 $3,548,730 $3,717,333 $3,903,157 $4,098,318 $4,303,285
3,400,500
3,326,245
3,521,165
3,682,148
3,850,708
4,027,209
4,212,033
14,250
80,315
27,565
35,185
52,448
71,108
91,251
468,568
468,568
548,883
576,448
611,633
664,082
735,190
482,818
548,883
576,448
611,633
664,082
735,190
826,441
0
0
0
0
0
0
0-
$482,818
$548,883
$576,448
$611,633
$664,082
$735,190
$826,441
M
Village of Oak Brook
2020-2024 Five -Year Financial Plan
SELF-INSURANCE FUND
Revenue Projections
67
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Village Contributions
$1,814,250
$1,769,420
$1,851,150
$1,943,708
$2,040,893
$2,142,938
$2,250,084
Participant Contributions
482,000
479,720
504,300
529,515
555,991
583,790
612,980
Park District Contributions
717,000
717,860
750,300
787,815
827,206
868,566
911,994
Retiree Contributions
399,000
418,060
431,730
453,317
475,982
499,781
524,771
Cobra Contributions
0
4,000
1,250
1,250
1,250
1,250
1,250
Interest
2,500
17,500
10,000
1,729
1,835
1,992
2,206
Total Revenue
$3,414,750
$3,406,560
$3,548,730
$3,717,333
$3,903,157
$4,098,318
$4,303,285
67
Village of Oak Brook
2020-2024 Five -Year Financial Plan
SELF-INSURANCE FUND
Long -Range Operating Budget
m
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Exceptional Charges
Stop -Loss Premiums
$289,000
$313,480
$325,000
$334,750
$344,793
$355,136
$365,790
PPO Health Claims
2,153,000
2,082,315
2,214,000
2,324,700
2,440,935
2,562,982
2,691,131
HMO Health Premiums
382,000
410,810
455,000
477,750
501,638
526,719
553,055
Retiree Supplemental Premiums
138,000
130,005
139,050
143,222
147,518
151,944
156,502
Dental Premiums
203,000
209,445
196,800
204,672
212,859
221,373
230,228
Vision Insurance Premiums
8,300
12,085
12,115
12,478
12,853
13,238
13,636
Life Insurance Premiums
22,200
21,390
22,200
22,866
23,552
24,259
24,986
Plan Administration Fees
145,000
99,480
102,000
105,060
108,212
111,458
114,802
Miscellaneous
60,000
47,235
55,000
56,650
58,350
60,100
61,903
Total Exceptional Charges
$3,400,500
$3,326,245
$3,521,165
$3,682,148
$3,850,708
$4,027,209
$4,212,033
m
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
GARAGEFUND
DESCRIPTION:
This fund is an internal service fund financed by charges to Village departments for maintenance of vehicle fleet equipment. Expenditures support the
operation and maintenance of cars, trucks, most fire equipment, public works construction equipment and related items.
OVERVIEW:
Revenue:
Revenues are calculated as charge -backs to various operating budget programs based on historical fuel and maintenance cost information.
Operations:
All costs associated with operation and maintenance of the Village's vehicle and equipment fleet are charged to this fund. Annual transfers to the
General Corporate Fund for administrative services are also included. The projections include increases in the cost of fuel due to elevated oil prices as
well as increases in the cost of repairs.
Capital Expenditures:
A floor lift replacement for $20,000 is planned for 2020.
we
Unrestricted Cash Available, January 1, 2019
Estimated Income
Less Estimated Operating Expenses
Operating Budget
Exceptional Charges
Estimated Net Operating Income
Add Beginning of Year Cash Balance
Estimated Available Funds
Less Capital Improvement Program
Estimated Unrestricted Cash Balance at Year -End
$331,134
Village of Oak Brook
2020-2024 Five -Year Financial Plan
Garage Fund
Summary
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
$664,615
$668,715
$738,315
$755,975
$778,458
$801,612
$825,456
709,410
673,635
722,945
745,988
769,830
794,502
820,035
46,150
46,150
45,145
58,549
59,882
61,255
62,669
(90,945)
(51,070)
(29,775)
(48,562)
(51,254)
(54,145)
(57,248)
331,134
331,134
280,064
230,289
181,727
130,473
76,328
240,189
280,064
250,289
181,727
130,473
76,328
19,080
0
0
20,000
0
0
0
0
$240,189
$280,064
$230,289
$181,727
$130,473
$76,328
$19,080
70
Village of Oak Brook
2020-2024 Five -Year financial Plan
GARAGEFUND
Revenue Projections
71
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Vehicle 0 & M Charges
$605,560
$605,560
$732,315
$754,284
$776,913
$800,220
$824,227
Interest
4,000
7,500
5,000
691
545
391
229
Transfer From Equipment Replacement Fund
54,555
54,555
0
0
0
0
0
Miscellaneous
500
1,100
1,000
1,000
1,000
1,000
1,000
Total Revenue
$664,615
$668,715
$738,315
$755,975
$778,458
$801,612
$825,456
71
72
Village of Oak Brook
2020-2024
Five -Year Financial Plan
GARAGEFUND
Long -Range Operating Budget
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Personnel
$231,450
$203,930
$248,450
$259,630
$271,314
$283,523
$296,281
Materials and Supplies
170,790
171,335
174,875
179,247
183,728
188,321
193,029
Operations and Contractual
307,170
298,370
299,620
307,111
314,788
322,658
330,724
Total Operating Budget
$709,410
$673,635
$722,945
$745,988
$769,830
$794,502
$820,035
Exceptional Charges
Reimbursement to Infrastructure Fund
$40,490
$40,490
$43,135
$44,429
$45,762
$47,135
$48,549
Vehicle Replacement Charge
5,660
5,660
2,010
14,120
14,120
14,120
14,120
Total Exceptional Charges
$46,150
$46,150
$45,145
$58,549
$59,882
$61,255
$62,669
Capital Improvement Program.
Floor Lift
$0
$0
$20,000
$0
$0
$0
$0
Total Capital Improvement Program
$0
$0
$20,000
$0
$0
$0
$0
Total Budget
$755,560
$719,785
$788,090
$804,537
$829,712
$855,757
$882,704
72
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Garage Fund
2019 2019 2020 2021 2022 2023 2024 Total
Project Name Budget Projected Budget Projection Projection Projection Projection 2020-2024
Floor Lift $ - $ -
Total Program 341 $ - $ -
- $ - $ - $ - $ 20
R
Total Garage Fund $ - $ - $ 20,000 $ - $ - $ - $ - $ 20,000
73
VILLAGE OF OAK BROOK
2020-2024
FIVE-YEAR FINANCIAL PLAN
EQUIPMENT REPLACEMENT FUND
This fund was created as a means of pre -funding replacement of major capital equipment, primarily vehicles. It has been supported by other funds,
principally the General Corporate, Infrastructure, and Water Funds, through vehicle user charges. This fund is utilized solely for replacement of fleet
equipment. Acquisition of new equipment (i.e., not as replacements) is reflected in the fund where the using department or division resides.
OVERVIEW:
Revenue:
Prior to 2002, revenues were calculated as charge -backs to various operating budget programs based on future replacement cost and funded over the
remaining life of existing vehicles and equipment. In 2002, the charge -back attributable to the General Corporate Fund was eliminated and replaced
with 20% of utility tax collections (i.e. 1% of the total 5% rate). For 2003 and 2004, the Equipment Replacement Fund's share of utility tax collections
was redirected to the General Corporate Fund in order to fund operating needs (the General Corporate Fund share was not funded). For 2005 and
thereafter there is a return to the 2002 practice whereby operating budget programs are assessed a charge -back based on future replacement cost.
Operations:
A new vehicle -leasing program began in 2020. Annual lease fees of $206,720 are budgeted for 2020 and increase each year as more vehicles are added
to the leased fleet. The entire small vehicle fleet is scheduled to be under lease within five years. The Village is currently exploring leasing opportunities
for larger vehicles, such as fire trucks.
Exceptional Charges:
Reimbursements to the Infrastructure Fund are budgeted for administration services for the Public Works Director and Public Works Superintendent.
Capital Expenditures:
The capital program reflects normal scheduled replacements of existing fleet vehicles. The actual timing of the replacement will be based on mileage,
condition, and maintenance history of the vehicle at that time. The deferral of the replacement of some vehicles from the schedule contained here is
likely to occur.
74
Village of Oak Brook
2020-2024 Five -Year Financial Plan
EQUIPMENT REPLACEMENT FUND
Summary
2019 2019 2020 2021 2022 2023 2024
Budget Estimate Budget Projection Projection Projection Projection
Unrestricted Cash Available, January 1, 2019 $1,622,866
Estimated Income
$233,970
$251,370
$335,660
$866,585
$969,805
$1,001,080
$1,027,405
Less Estimated Operating Expenses
Operating Budget
115,440
64,600
206,720
543,505
635,365
658,155
683,545
Exceptional Charges
1,009,585
1,009,585
14,590
15,028
15,479
15,479
15,479
Estimated Net Operating Income
(891,055)
(822,815)
114,350
308,052
318,961
327,446
328,381
Add Beginning of Year Cash Balance
1,622,866
1,622,866
800,051
859,726
878,778
932,810
1,015,491
Estimated Available Funds
731,811
800,051
914,401
1,167,778
1,197,740
1,260,256
1,343,873
Less Capital Improvement Program
129,310
0
54,675
289,000
264,930
244,765
299,000
Estimated Unrestricted Cash Balance at Year -End
$602,501
$800,051
$859,726
$878,778
$932,810
$1,015,491
$1,044,873
75
Village of Oak Brook
2020-2024 Five -Year Financial Plan
EQUIPMENT REPLACEMENT FUND
Revenue Projections
FZ:
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Vehicle Replacement Charges
216,470
216,470
318,660
856,585
959,805
991,080
1,017,405
Interest
7,500
17,400
14,000
10,000
10,000
10,000
10,000
Sales/Insurance Proceeds
10,000
17,500
3,000
0
0
0
0
Total Revenue
$233,970
$251,370
$335,660
$866,585
$969,805
$1,001,080
$1,027,405
FZ:
Village of Oak Brook
2020-2024 Five -Year Financial Plan
EQUIPMENT REPLACEMENT FUND
Long -Range Operating Budget
2019
2019
2020
2021
2022
2023
2024
Budget
Estimate
Budget
Projection
Projection
Projection
Projection
Operations and Contractual $115,440
$64,600
$206,720
$543,505
$635,365
$658,155
$683,545
Total Operating Budget $115,440
$64,600
$206,720
$543,505
$635,365
$658,155
$683,545
Exceptional Charges
Transfer to Other Funds
$1,000,000
$1,000,000
$0
$0
$0
$0
$0
Reimbursement to Infrastructure Fund
9,585
9,585
14,590
15,028
15,479
15,479
15,479
Total Exceptional Charges
$1,009,585
$1,009,585
$14,590
$15,028
$15,479
$15,479
$15,479
Capital Improvement Program
(See Schedule)
$129,310
$0
$54,675
$289,000
$264,930
$244,765
$299,000
Total Budget
$1,254,335
$1,074,185
$275,985
$847,533
$915,774
$918,399
$998,024
77
VILLAGE OF OAK BROOK, ILLINOIS
Capital and Debt
Budgeted Capital Requests
Fiscal Year 2020
Equipment Replacement Fund
78
2019
2019
2020
2021
2022
2023
2024
Total
Project Name
Budget
Projected
Budget
Projection
Projection
Projection
Projection
2020-2024
Fire and EMS Vehicles
$
-
$ -
$
-
$ 289,000
$ -
$ -
$ 299,000
$ 588,000
Public Works Vehicles
129,310
-
54,675
-
264,930
244,765
-
564,370
Total Program 342
$
129,310
$ -
$
54,675
$ 289,000
$ 264,930
$ 244,765
$ 299,000
$ 1,152,370
Total Equipment Replacement Fund
$
129,310
$ -
$
54,675
$ 289,000
$ 264,930
$ 244,765
$ 299,000
$ 1,152,370
78