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HomeMy WebLinkAbout5-9-2023 SPECIAL FORMAL SESSION CITY OF VIRGINIA EACH "COMMUNITY FOR A LIFETIME" CITY COUNCIL MAYOR ROBERT M. "BOBBY"DYER,At Large GA141'•BEAc VICE MAYOR ROSEMARY WILSON—District sL�� MICHAEL F.BERL UCCHI—District 3 O BARBARA M.HENLEY—District 2 C 2 N D. "ROCKY"HOLCOMB—District 1 U f ;` �` j 5 ROBERT W. "WORTH"REMICK—District 6 DR.AMELIA N.ROSS-HAMMOND—District 4 ; JENNIFER ROUSE—District 10 ~� JOASHUA F. 'JOASH"SCHULMAN—District 9 *+f OUR .0%00 CHRIS TAYLOR—District 8 SABRINA D. WOOTEN—District 7 CITY HALL BUILDING 1 CITY COUNCIL APPOINTEES 2401 COURTHOUSE DRIVE CITY MANAGER—PATRICK A.DUHANEY VIRGINIA BEACH, VIRGINIA 23456 CITY ATTORNEY—MARK D.STILES CITY COUNCIL AGENDA PHONE:(757)385-4303 CITY ASSESSOR—SUE CUNNINGHAM FAX(757)385-5669 CITY AUDITOR—LYNDONS.REMIAS SPECIAL FORMAL SESSION EMAIL:CITYCOUNCIL@VBGOV.COM CITY CLERK—AMANDA BARNES May 9,2023 MAYOR ROBERT M. "BOBBY" DYER PRESIDING I. SPECIAL FORMAL SESSION -City Council Chamber- 6:00 PM A. CALL TO ORDER—Mayor Robert M. "Bobby" Dyer 1. READING OF THE MAYOR'S CALL FOR SPECIAL SESSION B. ROLL CALL OF CITY COUNCIL II. FY2023-24 RESOURCE MANAGEMENT PLAN 1. RECONCILED PROPOSAL a. FY2023-24 OPERATING BUDGET 1. Ordinance to APPROPRIATE $3,480,472,315 consisting of$668,045,496 in inter- fund transfers, $266,328,271 for internal service funds, and $2,546,098,548 for operations for Fiscal Year beginning July 1, 2023 and ending June 30, 2024 2. Ordinance to ESTABLISH the Tax Levy on Real Estate for FY2024 3. Ordinance to ESTABLISH the Tax Levy on Personal Property and Machinery and Tools for Calendar Year 2024 4. Ordinance to AUTHORIZE the City Manager to submit an Annual Funding Plan to the U.S. Department of Housing and Urban Development(HUD) 5. Ordinance to AMEND City Code Sections 35-64 and 35-67 and to ADD Section 35- 69.1 re Exemption or Deferral of Real Estate Taxes for elderly or disabled persons 6. Ordinance to AMEND City Code Section 37-7.1 re Water Capital Recovery Fees 7. Ordinance to AMEND City Code Section 2-411 re create the Department of Emergency Management and set forth the functions thereof 8. Ordinance to AMEND City Code Section 21-240 re reimbursement for expenses incurred from emergency response to DUIs and related incidents 9. Ordinance to AMEND City Code Sections 35-253 and 35-254 re local telecommunications service taxes 10. Ordinance to AMEND City Code Section 31-39 re Waste Collection Fee to increase the waste collection fee for such services commencing July 1,2023 11. Ordinance to AMEND City Code re Water and Sewer Fees b. ORDINANCE THAT AMENDS CITY POLICY 1. Ordinance to REPEAL and UPDATE various City Code Sections re Modernize Human Resource Policies c. FY 2023-24 CAPITAL BUDGET 1. Ordinance to ADOPT the FY2023-24 through FY2028-29 Capital Improvement Program (CIP) and APPROPRIATE $375,640,111 re FY2023-24 Capital Budget, subject to funds being provided from various sources set forth herein 2. Ordinance to AUTHORIZE the issuance of General Obligation Public Improvement Bonds in the maximum amount of$62,460,057 re various public facilities and general improvements 3. Ordinance to AUTHORIZE the issuance of Storm Water Utility System Revenue Bonds in the maximum amount of$6,399,140 4. Ordinance to AUTHORIZE the issuance of Water and Sewer System Revenue Bonds in the maximum amount of$26,030,000 5. Resolution AFFIRMING the City's commitment to fund the Locality Share of Projects and PROVIDE Signature Authority for projects under agreement with the Virginia Department of Transportation If you are physically disabled or visually impaired and need assistance at this meeting, please call the CITY CLERK'S OFFICE at 385-4303 ************************* The Agenda(including all backup documents) is available at https://www.vbgov.com/government/departments/city-clerk/city-council under the eDocs Document Archive. If you would like to receive by email a list of the agenda items for each Council meeting,please submit your request to TChelius@u,vbgov.com or call 385-4303. Citizens who wish to speak can sign up either in-person or virtually via WebEx. Anyone wishing to participate virtually, must follow the two-step process provided below: 1. Register for the WebEx at: https://vbgov.webex.com/weblink/register/re9f0122 I Ofb9a9dabead3b9c 1 cc67942 2. Register with the City Clerk's Office by calling 757-385-4303 prior to 5:00 p.m. on May 9, 2023. �ti4G ., U 4 City of Vir a " each t • 9'�s vp OUR NI►10 � VBgov.com MUNICIPAL CENTER ROBERT.M."BOBBY"DYER BUILDING 1 MAYOR 2401 COURTHOUSE DRIVE VIRGINIA BEACH,VIRGINIA 23456-9000 (757)3854581 CELL:(757)749-4659 bdverlWvbvov.com May 4, 2023 HONORABLE MEMBERS OF CITY COUNCIL In accordance with the Virginia Beach City Code Section 2-21, and by the authority vested in me as Mayor of the City of Virginia Beach, I hereby call for a SPECIAL FORMAL SESSION of the VIRGINIA BEACH CITY COUNCIL Tuesday,May 9, 2023 at 6:00 P.M. City Council Chamber Building 1 -2nd Floor 2401 Courthouse Drive The purpose of this SPECIAL FORMAL SESSION is to allow the City Council to consider the FY2023-2024 RESOURCE MANAGEMENT PLAN(Operating Budget, Capital Improvement Program Budget, and related ordinances) as listed in the published agenda. Citizens may comment either in person or virtually. If you would like to speak in person,please call the City Clerk's office at 757-385-4303 to sign up. If you wish to make comments virtually on an item,please follow the two-step process provided below: • Register for the WebEx at: httos://vbgov.webex.com/weblink/register/re9f012210fb9a9dabead3b9c1 cc67942 • Register with the City Clerk's Office by calling (757) 385-4303 or via email at ABarnesvbgov.com prior to 5:00 p.m. on May 9, 2023. This Special Formal Session will be streamed live on www.vbgov.com and Facebook Live, and will be recorded for rebroadcast on Cable TV. Citizens are encouraged to submit their comments to the City Council prior to the meeting via email at CitvCouncil@vbgov.com. Sincerely, JKc/ Robert M. Dyer Mayor Cc: City Manager City Attorney City Clerk Deputy City Managers FOIA Officer Communications Office �'tip rS�'\ + i --'A. CITY OF VIRGINIA BEACH AGENDA ITEM J ITEMS: The FY 2023-24 Operating Budget and Capital Improvement Program (CIP) Related Ordinances MEETING DATE: May 9, 2023 • Background: On March 21 , 2023, the City of Virginia Beach's FY 2023-24 Proposed Resource Management Plan, which includes the Operating Budget and Capital Improvement Program, was presented to City Council. The City held a public hearing on April 19 to provide the public the opportunity to comment on proposed adjustments to taxes and fees and various authorizations of bonds for the CIP. On April 25, a separate public hearing regarding the Resource Management Plan and an effective tax increase was also held, which allowed further comment on the Real Estate tax rate in the Proposed Operating Budget. • Considerations: At the May 2 City Council workshop, Mayor Dyer and Vice Mayor Wilson presented a letter proposing various additional amendments to the City Manager's Proposed Budget. The Proposed Resource Management Plan has been amended with these revisions, which are set out in the attached letter and corresponding matrix (Attachment A), dated May 2, 2023. The changes included in the letter are reflected in the following ordinances. With the Council's approval, these ordinances will provide for the implementation of the City's FY 2023-24 Budget. Ordinances that support the Operating Budget: 1. An Ordinance to Appropriate Funds for the Fiscal Year Beginning July 1, 2023 and Ending June 30, 2024 for Operations 2. An Ordinance Establishing the Tax Levy on Real Estate for Fiscal Year 2023-24 3. An Ordinance Establishing the Tax Levy on Personal Property and Machinery and Tools for the Calendar Year 2024 4. An Ordinance to Authorize the City Manager to Submit an Annual Funding Plan to the U.S. Department of Housing and Urban Development 5. An Ordinance to Amend Sections 35-64 and 35-67 of the City Code and to Add Section 35-69.1 Pertaining to the Exemption or Deferral of Real Estate Taxes for Elderly or Disabled Persons 6. An Ordinance to Amend Section 37-7.1 of the City Code Pertaining to Water Capital Recovery Fees 7. An Ordinance to Amend Section 2-411 of the City Code to Create the Department of Emergency Management and to Set Forth the Functions Thereof 8. An Ordinance to Amend Section 21-240 of the City Code Pertaining to Reimbursement for Expenses Incurred from Emergency Response to DUIS and Related Incidents 9. An Ordinance to Amend City Code Pertaining to Local Telecommunications Service Taxes 10.An Ordinance to Amend Section 31-39 of the City Code Regarding the Waste Collection Fee to Increase the Waste Collection Fee for Such Services Commencing July 1, 2023 11.An Ordinance to Amend the City Code Pertaining to the Water and Sewer Fees Ordinances that Amend City Policy: 12.An Ordinance to Repeal and Update Various Sections of the City Code to Modernize Human Resource Policies Ordinances and Resolutions that Support the Capital Budget: 13. An Ordinance to Adopt the FY 2024 through FY 2029 Capital Improvement Program and to Appropriate Funds for the FY 2023-24 Capital Budget Subject to Funds Being Provided from Various Sources Set Forth Herein 14. An Ordinance Authorizing the Issuance of General Obligation Public Improvement Bonds of the City of Virginia Beach, Virginia, in the Maximum Amount of $62,460,057 for Various Public Facilities and General Improvements 15. An Ordinance Authorizing the Issuance of Stormwater Utility System Revenue Bonds of the City of Virginia Beach, Virginia, in the Maximum Amount of $6,399,140 16. An Ordinance Authorizing the Issuance of Water and Sewer System Revenue Bonds of the City of Virginia Beach, Virginia, in the Maximum Amount of $26,030,000 17.A Resolution Affirming the City of Virginia Beach's Commitment to Fund the Locality Share of Projects and Provide Signature Authority for Projects Under Agreement With the Virginia Department of Transportation • Public Information: Two public hearings were held concerning the Operating Budget and Capital Improvement Program. Information on these ordinances was disseminated to the public through the publication of the Proposed Operating Budget and Capital Improvement Program documents which were available for public review at Virginia Beach Public Libraries, City Hall, and on the City's website. In accordance with the City Charter and the Code of Virginia, a series of public notices appeared in the Virginian Pilot on March 25 as well as in the Beacon on April 2 and April 9. • Recommendations: It is recommended that all of the attached ordinances and resolutions implementing the FY 2023-24 Operating Budget and Capital Improvement Program be approved. • Attachments: - Letter from Mayor Dyer and Vice Mayor Wilson concerning Reconciliation of the FY 2023-24 Operating Budget and Six Year Capital Improvement Program and corresponding matrix (Attachment A) - FY 2023-24 Operating Budget and Capital Improvement Program Ordinances and Resolutions - Disclosure Statements Recommended Action: Approval of Ordinances Submitting Department/Agency: Department of Budget and Management Services City Manager: 0814 r w Lt amity of Vir "a Beach o; .1- 0 S Op OUR NA11ONS VBgov.com ROBERT M."BOBBY"DYER MAYOR MUNICIPAL CENTER BUILDING 1 2401 COURTHOUSE DRIVE VIRGINIA BEACH,VA 23456-9000 (757)385-4581 FAX(757)428-5899 May 2, 2023 Members of City Council Subject: FY 2023-24 Resource Management Plan Reconciliation Dear City Council Members: On March 21, 2023,the City Manager presented the Proposed FY 2023-24 Operating Budget and Capital Improvement Program(CIP). Since that time,through a series of City Council workshops, including briefings from individual departments and Capital Improvement Program section managers,we have worked diligently as a collective body to finalize a budget that meets the needs of the community. Through those workshop meetings, as well as valuable input from the community at public hearings, emails to City leadership, digital participation through Balancing Act, SpeakUp VB, and via social media, recommended changes to the Proposed Budget are outlined below. 1. To honor the sacrifice of military families within our community, it is recommended that the real estate tax rate for surviving spouses of military service members who died in the line of duty be reduced to$0.000001(one millionth of one cent)per$100 of assessed value. It is estimated this rate reduction will reduce real estate revenue by$89,040.This reduction in revenue will be fully absorbed by the General Fund and will not be shared with Virginia Beach City Public Schools. 2. Reduce the Sandbridge Real Estate tax rate by 10, decreasing the FY 2023-24 Real Estate Tax revenue within the Sandbridge Special Services District (SSD) Fund by $172,973. This reduction in revenue will be offset through an equivalent reduction in the Sandbridge SSD's reserve for contingencies. Due to the healthy performance of lodging tax revenues dedicated to the fund, as well as anticipated federal cost sharing in the amount of$22.2 million for the next phase of sand replenishment, this reduction in real estate tax revenue is not anticipated to negatively impact the sand replenishment cycle or prevent the current practice of having two replenishments fully funded. In FY 2023-24 the total Sandbridge SSD real estate tax rate will be$1.00 per$100 of assessed value,which comprises the 990 citywide base tax rate and the 10 SSD tax rate. Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 12 3. Following the financial close-out of FY 2022-23 in August 2023, the City Manager shall report to the City Council the actual revenue collections for Business, Professional, and Occupational License (BPOL) tax compared to the budgeted estimates for both FY 2022- 23 and FY 2023-24. The report should provide options for consideration for amending the threshold for businesses beginning in January 2024 in the event updated projections reflect higher than budgeted estimates. If capacity exists,the options should be budget neutral and not necessitate a need for a reduction in expenditures. 4. The City Manager shall provide a report to the City Council regarding the real estate surcharge within the Town Center Special Service District (SSD), providing options on amending the existing tax rate within the district to ensure residential and commercial properties are equitably charged for the level of enhanced services they receive through the SSD. It is further recommended by this body that the Operating Budget be adopted on May 9,2023,with the following additional adjustments.These adjustments provide needed support to our community partners and enhance the quality of life within the City. 5. Increase Non-Departmental Regional Grants by$20,000 to provide a one-time contribution to Men of Faith's 1Died4All basketball camp.This event will be held at the Virginia Beach Sports Center and children who attend this camp will be provided with a basketball camp experience that includes technical skill improvement as well as mentorship. 6. Increase General Fund Non-Departmental contributions by $50,000 to provide a one-time contribution to support the SonRise Christian Music Festival to be held in Virginia Beach in September 2023 at the 24th Street Stage at the Oceanfront. 7. Increase Non-Departmental Regional Grants by$75,000 to provide a one-time contribution to the Center for Global Diplomacy for workforce development training, exercise and wellness coaching, senior citizen workshops, and food packaging and distribution. 8. Increase Non-Departmental Regional Grants by$25,000 to provide a one-time contribution to the Great Neck Athletic Association's youth tackle football program. 9. Increase Non-Departmental Regional Grants by$75,000 to provide a one-time contribution to the Philippine Cultural Center of Virginia to provide funding for audio-visual and HVAC upgrades to their facility. 10. Increase Non-Departmental Regional Grants by$75,000 to provide a one-time contribution to support Kempsville PONY Baseball, a historic youth baseball organization. Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 13 11. Increase Non-Departmental Regional Grants by$25,000 to provide a one-time contribution to support the Kings Grant Lynnhaven Recreation Association. 12. Increase Non-Departmental Regional Grants by $150,000 to provide a one-time contribution to the Parks and Recreation Foundation for fundraising efforts related to park and playground enhancements within the Bay Colony and Seatack communities. 13. Increase Non-Departmental Regional Grants by$25,000 to provide a one-time contribution to Families of Autistic Children in Tidewater(FACT)to assist in their capital campaign to build an Autism Resource Center, a state-of-the-art facility to provide social and recreational programs to benefits autistic individuals and their families in Hampton Roads. 14. Increase Non-Departmental Regional Grants by$50,000 to provide a one-time contribution to the LAMBS foundation. This one-time contribution is to support their coordination of the Juneteenth festival to be held in June of 2024. 15. Increase Non-Departmental Regional Grants by$10,000 to provide a one-time contribution to the Hospice House of Hampton Roads,the first freestanding inpatient hospice facility in Hampton Roads. This house is located in the Red Mill area of the city and will include 12- bedroom suites. 16. Increase Non-Departmental Regional Grants by $30,000 to provide one-time additional funding to the Virginia African American Cultural Center. This one-time increase will bring the City's total contribution to the organization to $80,000 in FY 2023-24. 17. Increase Non-Departmental Regional Grants by$10,000 to provide a one-time contribution to the UP Center's Cohen Military Family Clinic. The Clinic serves the region's post 9/11 veterans, active-duty service members, and military families with accessible, culturally competent mental health care. The Cohen Military Family Clinic also offers referrals for other challenges such as unemployment, financial counseling, housing, and legal issues. 18. Increase Non-Departmental Regional Grants by$10,000 to provide a one-time contribution to New Oak Grove Baptist Church for the organization's Summer Reading Academy, a free, three-week proactive reading program for students in grades K-5 provided in partnership with Virginia Beach City Public Schools. 19. All funding provided to outside entities through Non-Departmental Regional Grants, including those not listed above, will be required to report to City Council on the use of funds from the City, including reviewed financials and the impact of the programs supported by City funding by the end of FY 2023-24. This request will be included within award letters sent to the organizations, and acknowledgement of such terms will be required prior to payment of the grant award.Reporting requirements will be modeled after Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 14 the requirements set in place by the Community Organization Grant Committee and are attached to this letter.In addition,any special events/festivals to be held utilizing City funds must follow City's established procedures and processes for special event permitting. 20. Increase Non-Departmental FY 2023-24 Operating Budget by $152,960 for a one- time increased contribution to Community Organization Grant (COG) program. Between this increase and the amount provided in the Proposed Budget,the total COG funding will be $707,960 This increased funding will allow the City Council appointed committee to have two application periods within the fiscal year to provide additional opportunities for local nonprofit organizations. 21. Increase the Municipal Council's Operating Budget by $3,000 for a one-time increased allocation to the Ignite Series.This will bring the total allocation for this purpose to$6,000 in FY 2023-24. 22. Increase the Department of Emergency Medical Services Operating Budget by $75,000 to increase the one-time grant award to the Volunteer Rescue Squads to a total of$775,000. This grant is intended to provide support to the various volunteer rescue squads for recruitment and retention activities as well as operational costs. 23. Increase the Department of Cultural Affair's Operating Budget by $70,000 in one-time funding to provide additional contributions to the Arts and Humanities Commission. The total amount provided for these grant opportunities will be $765,000 in FY 2023-24. 24. Increase the Department of Parks and Recreation Operating Budget by $5,000 for a one- time expense for the purpose of offsetting lost revenue for waived space rental fees of Mt. Trashmore Park for the annual Fil-Fest USA event that celebrates Filipino spirit and culture within the community. 25. Increase the Department of Public Works Operating Budget by $20,000 for establishment of a pilot program to install and maintain two portable bathrooms (one of which is to be ADA compliant) in the parking lot at Fentress Avenue and Oceanfront Avenue. This location is in a heavily visited area and is the only beach parking lot along the western portion of the Bayfront. Due to a lack of public restrooms, nearby businesses and homeowners are experiencing a high volume of beachgoers who want access to their restroom facilities. 26. Establish a dedicated reserve within the General Fund in the amount of$150,000. This funding is expected to be split between Economic Development and Public Works for the design,creation,and installation of placemaking signage within historic African American neighborhoods throughout the City. Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 15 27. Increase the Resort Management Division of the Convention and Visitor's Bureau by $100,000 to provide an additional contribution to the Virginia Beach Neptune Festival to support the Boardwalk Weekend during the last weekend of September. This investment will bring the City's annual contribution to the event to a total of$375,000. This level of funding is the same as approved by City Council through a mid-year adjustment in FY 2022-23. 28. The City Manager is hereby authorized to amend the flexible holiday value to 24 hours for the Fire Department as presented to the City Council in March 2023 as Option 1 a. This will reduce the amount of annual leave needed to have an entire shift off of work when utilizing flexible holiday leave. In addition, the amount of sick leave earned monthly by sworn members of the Fire Department shall be modified from 11.2 hours to 12.0. This will provide additional monthly accrual of leave and ease administrative management of sick leave accrual and usage of leave throughout the course of the year. This change will result in a higher number of days eligible for sick leave payout upon retirement. 29. The Department of Parks of Recreation shall develop and present a plan for City Council's consideration to mitigate and address invasive species vegetation such as bamboo.Bamboo is on the Commonwealth of Virginia's invasive plants list because the plant, and its complex horizontal root system,aggressively spreads and can be destructive to the natural environment and suppress native plant species. Following the City Manager's Proposed Budget, several other items are recommended to be amended during Reconciliation to better align resources with the community need and to amend departmental revenue estimates based on additional information provided by the state and federal governments. These changes are within Human Services, the Department of Housing and Neighborhood Preservation, and Virginia Beach City Public Schools. 30. In order to improve efficiencies and ensure critical services are being provided by the Department of Human Services' Developmental Services Division, it is recommended that ten part-time positions be converted to five full-time. This change will have no impact on the operating budget but will improve service delivery within the department. Many of the services provided are either mandated or provide services to vulnerable populations that are essential for the health and safety of those served. The recently reported vacancy rate is approximately 26%, which significantly impacts workloads, quality, and the overall ability to provide necessary services. 31. The Department of Housing and Neighborhood Preservation has been notified of their award from the federal Department of Housing. This amount is $434,843 greater than the amount estimated within the City Manager's Proposed Budget and will be used for increased contracted manpower and overall programmatic support. Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 16 32. At their March 7, 2023, meeting, the School Board approved an additional $4,017,393 in estimated state revenue to the School Operating Budget. Due to the timing of this addition, it was not incorporated within the City Manager's Proposed Operating Budget. Though the Commonwealth has not yet adopted a budget for the upcoming fiscal year, this amount is closely in line with the budget as proposed by the House of Delegates. This estimate shall be approved by the City Council,and once the Commonwealth adopts a budget,additional changes to state revenue may be necessary. It is further recommended that the FY 2023-24 through FY 2028-29 Capital Improvement Program be adopted as presented by the City Manager with the following modifications. 33. At the March 21,2023, City Council meeting,the initial phase-in of Sheriff's Office Body Worn Cameras was authorized. In order to provide cameras to an additional 280 Sheriff's Deputies, $1,172,606 is recommended to be included within Project 100656 "Sheriff's Office Body Worn Cameras" in year-one of the CIP. The funding source for this increase is fund balance of the General Fund. This will allow for increased safety, accountability, and transparency within the Virginia Beach Sheriff's Office. 34. Provide an additional $380,000 of General Fund pay-as-you-go funding to Project 100632 "Parks Infrastructure & Underdeveloped Parks" in year-one for enhancements at Oak Springs Park and Pine Meadows Park, and well as for pickleball courts located within Birchwood Malibu Park. 35. Establish Capital Improvement Project 100665 "Employee Engagement Tool" within the Information Technology section of the CIP and increase year-one funding by $75,000, supported by pay-as-you-go funding from the General Fund. This project will improve employee communications and enhance employee engagement within the organization. 36. The City Manager is hereby directed to conduct an updated Shore Drive Corridor Plan. This plan has not been updated since 2000 and will provide community input on the future redevelopment of the corridor. Funding for this initiative will be through existing appropriations within Project 100399 "Strategic Development Projects." 37. In order to progress the Atlantic Park Development project, a total of $14,078,900 in funding is being redirected within the Economic and Tourism Development section of the CIP and authorized for use in Phase I of the Project. Authorized for use and transfer in Phase I is $1,500,000 from Project 100148 "Atlantic Park Streetscape" to Project 100606 "Atlantic Park Offsite Infrastructure" with the remaining $12,578,900 being redirected in year 1 of the CIP from Project 100629 "Sports Tourism Facilities & Infrastructure" (a)to Project 100146 "Atlantic Parks Entertainment Venue" in the amount of $6,360,614, and (b) to Project 100606 "Atlantic Park Offsite Infrastructure" in the amount of$6,218,286. Members of City Council FY 2023-24 Operating Budget and CIP Reconciliation Page 17 A portion of the funding redirected to Project 100606 "Atlantic Park Offsite Infrastructure" is in an effort to avoid unnecessary re-design of certain Project components related to utilities;however,should redesign become necessary and this portion of the transfer not be needed the City Manager is authorized to transfer an amount not to exceed$3,900,000 from Project 100606 "Atlantic Park Offsite Infrastructure" to Project 100147 "Atlantic Park Parking"or utilize existing funds available within Project 100147"Atlantic Park Parking" to address additional parking deck construction needs. Within 30 days after any such transfer or use of funds, the City Manager will provide a report expressing the intent, reasoning, and amount to be transferred. 38. Increase funding for 100629 "Sports Tourism Facilities and Infrastructure"by$12,578,900 in year two of the six-year CIP with Public Facility Revenue Bonds increased accordingly. Sliding funding previously programmed for this project into year two of the CIP will allow for additional planning, evaluation, and public input on project plans. With the restoration of these funds in year-two,the project remains fully funded at $19,500,000. 39. In order to reflect actual amounts to be reimbursed by the Commonwealth and federal government, $2,100,000 in total funding ($420,000 from the Commonwealth and $1,680,000 from the federal government) shall be reduced from Project 100057 "Centerville Turnpike Phase II."This project remains fully funded at$77.4 million,despite this adjustment, as the total project cost was previously overstated. 40. At the recommendation of the City Attorney's Office, ten Capital Improvement Project detail sheet project scopes are recommended to be amended within FY 2023-24 CIP.These edits clarify the public nature of certain improvements contemplated within the projects. This recited public purpose is useful in the event that site acquisition is needed for the projects. Attached are the detail sheets for each of these projects, along with the amended verbiage highlighted. Additional details about the funding sources and appropriation adjustments outlined in this letter are identified on the attachments. We want to thank the members of the community who participated in public hearings or weighed in on social media or other platforms to offer their comments on the FY 2023-24 Operating Budget and CIP as well as the staff members who made every effort to respond to our requests for information. If you have any questions or concerns, please contact us directly. Sincerely, 76-4e-e*Ptee-er Robert"Bobby"M. Dyer, Mayor Rosemary Wilson, Vice Mayor FY 2023-24 Operating Budget Reconciliation Operating Budget Changes Item# Description A•. .• •n 1 Tax Rate for Surviving Spouses of Military Service Members Killed in the Line of Duty General Fund (89,040) - - 2 Reduce Sandbridge Real Estate Tax Rate Sandbridge SSD (172,973) (172,973) - 5 Men of Faith General Fund - 20,000 - 6 SonRise Music Festival General Fund 50,000 - 7 Center for Global Diplomacy General Fund 75,000 - 8 Great Neck Athletic Association General Fund - 25,000 - 9 Philippine Cultural Center of Virginia General Fund - 75,000 - 10 Kempsville PONY Baseball General Fund - 75,000 - 11 Kings Grant Recreation Association General Fund - 25,000 - 12 Parks and Recreation Foundation(Seatack and Bay Colony) General Fund - 150,000 - 13 Families of Autistic Children of Tidewater General Fund - 25,000 - 14 The L A M B S Foundation(Juneteenth) General Fund - 50,000 - 15 Hospice House General Fund - 10,000 - 16 African American Cultural Center General Fund - 30,000 - 17 UP Center's Cohen Military Family Clinic General Fund - 10,000 - 18 New Oak Grove Baptist Church-Summer Reading Academy General Fund - 10,000 - 20 Increase Community Organization Grants(COG) General Fund - 152,960 - 21 Increase Municipal Council-Ignite Series General Fund 3,000 - 22 Increase EMS-Virginia Beach Volunteer Rescue Squads General Fund - 75,000 - 23 Increase Cultural Affairs-Arts&Humanities General Fund - 70,000 - 24 Increase Parks and Recreation-Fil Fest General Fund - 5,000 - 25 Increase Public Works-Chic's Beach Restrooms General Fund - 20,000 - 26 Establish Dedicated Reserve-Placemaking Signage for Historic African American Neighborhoods General Fund - 150,000 - 27 Resort Management-Virginia Beach Neptune Festival Tourism Investment Program - 100,000 - 31 Housing Federal Grants-Community Development Grant Community Development 46,274 46,274 - 31 Housing Federal Grants-Federal Housing Assistance Federal Housing 10,883 10,883 - 31 Housing Federal Grants-Consolidated Grants/HOPWA/ESG Consolidated Grants 377,686 377,686 - 32 School State Revenue Adjustments School Operating Fund 4,017,393 4,017,393 - 1,5-26,34-35 Additional Interest Income General Fund 1,650,000 - - 27 Fund Balance of the Tourism Investment Program Tourism Investment Program 100,000 - - 34 Increase Pay-As-You-Go Funding to Parks and Recreation CIP General Fund - 380,000 - 35 Increase Pay-As-You-Go Fundin:to Information Technolo: CIP General Fund - 75,000 - Total Operating Budget Changes All Funds 5,940,223 5,940,223 - FY 2023-24 Operating Budget Reconciliation apital Project Changes Item r: Description Appropriations to Date FY 24 FY 25 FY 26-FY 29 33 100656 Sheriffs Office Body Worn Cameras - 1,172,606 - - 34 100632 Parks Infrastructure-Oak Springs Park Enhancements - 150,000 - - 34 100632 Parks Infrastructure- Pickleball Birchwood Malibu Park - 100,000 - - 34 100632 Parks Infrastructure- Pine Meadows Park Enhancements - 130,000 - - 35 100665 Employee Engagement Tool - 75,000 - - 37-38 100629 Sports Tourism Infrastructure - (12,578,900) 12,578,900 - 37 100146 Atlantic Park Entertainment Venue - 6,360,614 37 100606 Atlantic Park Offsite Infrastructure 1,500,000 6,218,286 - - 37 100148 Atlantic Park Streetscape (1,500,000) - - - 39 100057 Centerville Turnpike Phase II - (2,100,000) - - Total CIP Appropriation Changes - (472,394) 12,578,900 - Item# Description FY 24 FY 25 FY 26-FY 29 33 Fund Balance of the General Fund - 1,172,606 - - 34 Increased Pay-As-You-Go Funding to Parks and Recreation - 380,000 - - 35 Increased Pay-As-You-Go Funding to Information Technology CIP - 75,000 - - 38 Increased Public Facility Revenue Bonds - - 12,578,900 - 39 Reduce State Revenue Estimate - (420,000) - - 39 Reduced Federal Revenue Estimate - (1,680,000) - - A72,394 12,578,900 - Total CIP Revenue Changes (172,394) . , Letter Item p19 VBBudget & Management '-'�-� Services Award Instructions and Forms: Community Organization Grants Regional Grants FY 2023-24 T 7 vs Budget & Management ---'"" Services Information for Recipients: Community Organization Grants Regional Grants FY 2023-24 Table of Contents Overview 1 Instructions for Completing Forms Instructions for Form A 2 Form A—Conditions of Grant Award 3 Instructions for Form B 4 Form B—Capital Equipment Purchases 5 Instructions for Form C 6 Form C— Request for Payment 7 Instructions for Form D 8 Form D—Summary of Services 10 Instructions for Form E 12 Form E— Financial Report 13 Grant Award Instructions ii Overview Congratulations on your Grant Award! The City of Virginia Beach is pleased to support your non-profit organization's efforts to improving the quality of life in our community. The Department of Budget and Management Services (BMS) administers the Community Organization Grant and Regional Grant programs based on the City's fiscal year beginning July 1 and ending June 30. The forms included in this instructions package are: Form A - Conditions of Grant Award Form D - Summary of Services Form B - Capital Equipment Purchases Form E - Financial Report Form C - Request for Payment Disbursement of Community Organization Grants: • Grants up to $25,000: Grants for Programs or Capital Equipment up to $25,000 can be requested in one payment as early as July 1. The submission must include forms A and C. Forms D and E are due to BMS by May 1. If the grant is for capital equipment, form B must also be submitted, accompanied with three bids or quotes. A copy of the invoice for the equipment must also be provided to BMS by May 31. • Grants over $25,000: The City will disburse these over two equal payments (50%). The first payment may be requested as early as July 1, and should include forms A and C. The second payment may be requested as early as January 1. Forms D and E are due to BMS by May 1. • Capital Equipment Grants over $25,000: Grants for capital equipment will also be disbursed over two payments, the first at 90%, and the second at 10%. The first payment may be requested as early as July 1 and should include forms A, B, and C. In addition, the first request for payment must be accompanied by a vendor's price quotation to show what the actual price of the item(s) is expected to be. The second payment may be requested as early as January 1, and should include form C as well as a copy of the actual invoice. Forms D and E are due to BMS by May 1. Disbursement of Regional Grants: • Payments of Regional Grants can be requested in one payment as early as July 1. The submission must include forms A and C. Forms D and E are due to BMS by May 1. Final Deadline: • Please be sure that BMS receives your final payment request by May 31. • A copy of your most recent Audit Report prepared by a Certified Public Accountant or reviewed financial statement should also be sent to BMS by May 1. Where to Send: Please send your payment requests to Michael Evans at mtevansvbqov.com. More detailed instructions for completing the various forms are included in the following pages. For further information, please call the Department of Budget and Management Services at 385- 8234. Grant Award Instructions 1 Forms Instructions Form A — Conditions of Grant Award Community Organization Grants Regional Grants Form A is to be completed, signed, and returned by all grant recipients. a. Review the Conditions of Grant Award which specifies the requirements and conditions of the grant. If you have questions please call the Department of Budget and Management Services at 385-8234 b. To accept the award, send one copy, signed by the agency director or designee, to BMS along with the first payment request. Grant Award Instructions 2 FORM A CITY OF VIRGINIA BEACH CONDITIONS OF GRANT AWARD COMMUNITY ORGANIZATION GRANTS REGIONAL GRANTS FY 2023-24 With the acceptance of this grant, the grantee agrees to the following conditions: 1. The City shall have the right to audit all books and records relating or pertaining to this Agreement, kept by or under the control of Contractor, including, but not limited to those kept by Contractor, its employees, agents, assigns, successors and subcontractors. Contractor shall maintain such books and records, together with such supporting or underlying documents and materials, for the duration of this Agreement and for at least three years following the completion of this Agreement, including any and all renewals thereof. The books and records, together with the supporting or underlying documents and materials shall be made available, upon prior written request, to the City, through its employees, agents, representatives, contractors or other designees, during normal business hours at Contractor's office or place of business in Virginia Beach, Virginia. In the event that no such location is available, then the books and records, together with the supporting or underlying documents and records, shall be made available for audit at a time and location in Virginia Beach, Virginia, which is convenient for the City. 2. Grantee will inform the City of any changes to its tax-exempt status, Board of Directors, mission statement or by-laws during the period of this award. 3. Grantee will provide the City with an annual report as specified in Summary of Services and Financial Report forms provided to the agency by the City of Virginia Beach. 4. If funding is awarded specifically for capital equipment, the grantee will provide the City with a receipt for equipment purchased with grant funds. 5. Funds are awarded for specific programs and/or equipment. If any portion of the funds awarded for the specified programs or equipment will remain unexpended during the fiscal year, the recipient agency agrees to report the unexpended amount by contacting the Department of Budget and Management Services at 385-8234. 6. Grantee agrees to maintain accounting procedures in accordance with generally accepted accounting standards and agrees to the review and audit of those records by the City's designee, if requested. 7. Grantee agrees to the on-site inspection of its facilities and/or programs, by the City's designee, if requested. 8. Improper use of funds awarded in the grant will result in the termination of the grant, forfeiture of any outstanding grant award, and reimbursement of payments processed. 9. Grantee must have fulfilled all reporting, auditing, and payment obligations for any previous loans or grants from the City prior to the disbursement of the first payment. 10. A Report on Audit by an independent Certified Public Accountant for the agency's most recently ended fiscal year must be received by the Department of Budget and Management Services by May 1st Grant Award Instructions 3 a. If there will be a delay in the completion of the audit, or you do not have a professional audit, please contact the BMS at 385-8234. 11. Conditions of this grant award may be changed or adjusted on an individual basis by the City Manager and/or his representative. 12. Programs, activities, employment opportunities, etc. funded totally or partially by the City of Virginia Beach must be made available to all people regardless of race, color, religion, sex, age, national origin, handicap, or political affiliation. The undersigned, having received the notice of the grant award, and the Conditions of Grant Award, does hereby accept this grant and agree to the conditions pertaining thereto, this day of , 20 . Signature: Title: Organization:: Grant Award Instructions 4 Forms Instructions Form B - Capital Equipment Purchases Community Organization Grants Regional Grants FY 2023-24 Form B is to be completed only by organizations receiving support for Capital Equipment purchases. Organizations receiving program funding are not required to submit this form. Please note: The City of Virginia Beach requires three bids to be acquired for any capital equipment purchases. No payment will be made until three bids are received, along with a brief statement explaining the reasons why a vendor has been selected. a. Item: please provide a description of the item(s) to be purchased with grant funds. b. Unit Cost: if more than one of each type of equipment is to be purchased, list the cost for each. c. # of Units: specify the total number of units to be purchased with grant funds. d. Total Cost: Multiply the unit cost by the # of units. e. Equipment Life Span: Provide a reasonable estimate of the useful life of the equipment to be purchased with COG funds. f. Annual Support Costs: Estimate annual operating costs, including (but not limited to) licensing, technical support, user fees, fuel, staffing, etc. g. Purpose or Use of Equipment: How will the equipment be used? How will it improve the quality of the programs and services you offer to residents of the City of Virginia Beach? If necessary, attach a continuation sheet. This form must be submitted, along with three bids or price quotes and a brief explanation of the reasons for selecting the vendor, to the Department of Budget and Management Services. Send one copy, signed by the agency director or designee, to BMS along with the payment request. Upon receipt of the Capital Equipment Form and supporting documentation, a request for payment of 90% of the total grant amount will be submitted for processing. Final payment of 10% will be processed after DMS has received all final reports and all receipts. Please allow a minimum of 6 weeks to process payment requests. Note: Capital equipment grants up to $25,000 may be requested in their entirety as early as July 1. The request must be accompanied with the required documents. Grant Award Instructions 5 FORM B CITY OF VIRGINIA BEACH CAPITAL EQUIPMENT PURCHASES COMMUNITY ORGANIZATION GRANTS REGIONAL GRANTS FY 2023-24 Agency: Address: Program Title: Prepared by: Telephone: CAPITAL EQUIPMENT GRANTS If funding was granted specifically for capital or equipment purchases, please complete the following information: #of Equipment Annual Purpose or Use of Item Unit Cost Units Total Cost Life Span Support Cost Equipment I certify that this report represents the proposed use of funding in accordance with approved grant application. Bids or quotes and receipts of purchase will be provided to the City upon obtaining the above-mentioned capital equipment. If an item is purchased at a lesser price than estimated, excess funds will be returned to the City. Name and Title of Official Signature of Authorized Official Date Signed Grant Award Instructions 6 Forms Instructions Form C - Request for Payment Community Organization Grants Regional Grants FY 2023-24 Form C is to be completed and submitted with each payment request. You may want to copy the unsigned form so that it can be used for each payment request. 1. Enter the organization's name, address, and phone number. 2. Enter the organizations fiscal year covered under the grant. 3. Enter the organization's contact person, title, phone number, and e-mail address. 4a. Enter the total grant award. 4b. Enter the amount of the grant previously received. 4c. Enter the amount of the current grant request. 4d. Enter the remaining balance of the grant after the current request. Note: Grants of up to $25,000 may be requested in their entirety as early as July 1. Please include the required documentations. Grant Award Instructions 7 FORM C CITY OF VIRGINIA BEACH REQUEST FOR PAYMENT COMMUNITY ORGANIZATION GRANTS REGIONAL GRANTS FY 2023-24 1. Organization's Name, Address, Phone: 2. Organization's Fiscal Year: Beginning Date: Ending Date: 3. Contact Person's Name, Title, Phone, and E-mail: 4a. Total Amount of Grant $ 4b. Less: Amount Received to Date - 4c. Less: Amount of This Request: - 4d. Balance After this Request $ i Typed Name of Authorized Official Signature of Authorized Official Date Signed Please note: 1. First payments may be requested as early as July 1, and second payments as early as January 1. 2. Grants of$25,000 or less may be requested in their entirety as early as July 1. 3. Initial payment requests for capital equipment grants must be accompanied by a vendor's price quotation. 4. Final payment requests are due to the Department of Budget and Management Services one month prior to the end of the City's fiscal year(i.e., not later than May 31). Grant Award Instructions 8 Forms Instructions Form D - Summary of Services Community Organization Grants Regional Grants FY 2023-24 Form D requests both quantitative and qualitative information about the program for which your organization will receive funding. Organizations are required to submit a brief narrative description of the progress that is being made toward achieving the goals outlined in the grant application. These brief narrative reports, ordinarily no longer than a page in length, are to be submitted with the interim and final Summary of Services reports on Part 2 of Form D. a. Fill out name of your organization, the title of program for which you have received funding, and the name, title, phone number, and e-mail address of the individual providing the information. b. Part 1 includes the number of people to be served and the services and outcomes related to the grant. This section compares the amounts at the time of the grant submission with the actual or revised amounts based on the grant award. • The first line indicated the number of unduplicated individuals to be served by the program. Unduplicated means one individual can only be counted one time for each program he participates in, even if he received benefits from that same program several times. If that same individual participates in another program, then he may be counted again for that different program. You may modify this line as needed. For example, a program that deals with homeless youth may change this line to say, "Number of residential shelters for youth ages 9 to 18." After entering the population to be served, enter the specific service or outcome. • In column 1 list the proposed Services/Outcomes (e.g., pounds of emergency food distributed). • In column 2 enter the amount for the total program requested (e.g., $11,667,000). • In column 3 enter the amount for Virginia Beach residents only for the program requested (e.g., 2,077,000). • The amounts in columns 2 and 3 should generally match those in your original grant submission. The amounts in columns 4 and 5 are based on actual and projected date through June 30. • In column 4 enter the amount for the total program based on the grant award. • In column 5 enter the amount for Virginia Beach residents only based on the grant award. • If there are large differences between the projected and revised amounts, please explain in Part 2. For example, there may be a difference if only a portion of the grant requested was awarded. If you have questions about the kind of information that is being requested, please call the Department of Budget and Management Services at 385-8234. Grant Award Instructions 9 c. Part 2: Please describe your organization's success and/or challenges encountered in implementing the program for which funding has been provided. Also describe any unanticipated outcomes or particular successes that you would like to highlight. If there have been delays in implementing the program, please explain possible causes for the delay and describe plans for achieving success between now and the end of the grant period. When submitting the Final Report, please indicate any additional services that will be delivered under this grant through the end of June. Please be succinct. In most cases, the area provided on the reporting form will be sufficient to provide the required information. Additional pages may be attached, as necessary. d. Submit a final report to BMS by May 1 (Final Report). Grant Award Instructions 10 FORM D CITY OF VIRGINIA BEACH SUMMARY OF SERVICES COMMUNITY ORGANIZATION GRANTS REGIONAL GRANTS FY 2023-24 Organization: Program Title: Prepared By: (Name, Title, Phone, E-mail) Instructions: Part I requests data to compare data at the time of the grant submission with the actual/revised amounts, based on the actual grant award. First, enter the number of unduplicated people to be served. Then enter the services/outcomes related to the program. The "Total Program"columns should include the total number of people served, and the "Virginia Beach"columns should include only the number of Virginia Beach residents served. If there is a significant difference between the projected and revised amounts, please explain in Part 2 on the following page. Part 1 Projected Amounts for July-June Revised Amounts for July- (Projected amounts at the time of June grant submission) (Based on actual data projected to June 30) Services/Outcomes Total Program Virginia Beach Total Program Virginia (1) (2) (3) (4) Beach (5) Unduplicated number of individuals to be served: Grant Award Instructions 11 Form D — Part 2 Summary of Services FY 2023-24 Please provide a brief narrative description of your program to date. Include information such as: whether you are on track to meet the goals described in your application. If so, please describe successes and/or any unanticipated results. If not, please explain possible causes for the delay and describe the plans for achieving success between now and the end of the grant period. You may attach additional pages, as necessary. Part 3—Certification: I certify that this report represents the total service delivered by this agency in meeting its stated objectives in accordance with the approved application of the above-mentioned grant. Name and Title of Authorized Official Signature of Authorized Official Date Signed Grant Award Instructions 12 Forms Instructions Form E - Financial Report Community Organization Grants Regional Grants Form E is to be used to summarize the funding and costs of the organization's grant program. Please note: This form shown on the following page is in Word format. It is also available as an Excel worksheet, which calculates the totals automatically. To obtain an Excel copy of this form, please call Michael Evans with the Department of Budget and Management Services at 385-8389, or via e-mail at: mtevans@vbgov.com. Enter the name of the organization and the program title for which you have received funding. Program Revenues Part I involves program revenues. Please identify the type of revenue and enter in column 2 the funding generated within the City of Virginia Beach, including the grant received from the City on line I E. Enter in column 3 the program funding provided from other sources. Column 4 is the sum of the previous two columns. Program Expenses Part II involves program expenses, consisting of Compensation and Other Expenses. Column 2 represents program expenses on behalf of Virginia Beach residents. Column 3 represents program expenses for non-Virginia Beach residents. Column 4 represents the sum of the previous two columns. Capital Outlay for construction, furniture, vehicles, and equipment are to be entered on this form also. An interim report may be requested by Budget and Management Services during the year. A final report is to be submitted to Management Services by May 1. Grant Award Instructions 13 FORM E CITY OF VIRGINIA BEACH FINANCIAL REPORT COMMUNITY ORGANIZATION GRANTS REGIONAL GRANTS FY 2023-24 Organization and Program: REVENUE AND EXPENSE ACCOUNTS Virginia Beach Other Program Total (1) (2) (3) (4) I. PROGRAM REVENUES A. Contributions/Donations $ $ $ B. Special Events C. Charges for Services/Fees D. Foundations/United Way/Non-Profits E. Federal Government F. State Government City (including City Grant funds) G. From Other Local Cities (excluding Va. Beach) H. Virginia Beach COG I. Investment Income J. Fund Balance/Reserves K. All Other Revenue Total Program Revenues $ $ $ II. PROGRAM EXPENSES A. Personnel (Salaries & Fringe Benefits) $ $ $ B. Building Space (Rent/Mortgage) C. Utilities D. Supplies E. Conferences and Meetings F. Organizational Dues and Memberships G. Furniture, Computers, Equipment H. All Other Operating Expenses Total Other Expenses $ $ TOTAL PROGRAM EXPENSES $ $ $ Ill. REVENUES LESS EXPENSES $ $ $ Name and Title of Authorized Official Signature Date Grant Award Instructions 14 Letter Item#33 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100656 "Title:Sheriff's Office Body Worn Cameras 'Status:Approved Category:Information Technology Department:Information Technology Project Type Project Location Project Type:Technology District:Citywide Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 1,812,729 640,123 1,172,606 - - - - Description and Scope Video technology is becoming a mainstay of modern-day life with advancing surveillance and security requirements expected by the community at large. With this effort,the Virginia Beach Sheriff's Office(VBSO)wants to improve and heighten safety and security for the Virginia Beach Correctional Center (VBCC),the Courts,and Civil Processing,while additionally being a force multiplier to the Virginia Beach Police Department(VBPD).VBSO would like to issue body worn cameras(BWC)to all sworn staff members which include the Correctional Center,the Court buildings,and the Civil Process Division. Purpose and Need To improve and heighten safety and security,the VBSO needs a way to capture and store video of activities that occur in VBCC,courts,civil processing, and while being a force multiplier to the VBPD.This initiative would also allow VBSO to improve upon their situational awareness,help confirm and guide response recommendations for incidents,and provide opportunity for tactical decision making.It would also integrate with the VBSO video wall,as well as the City's Emergency Operations Center when needed. History and Current Status This project first appeared in the FY 2023-24 CIP document and was approved by City Council on March 21,2023. Operating Budget Impact Comments Annual expenses beginning in year 2 are$500,000 for on-going vendor maintenance and support. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - 500,000 500,000 500,000 500,000 500,000 Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Implementation 07/23-06/29 1,812,729 Total Budgetary Cost Estimate: 1,812,729 Means of Financing Funding Subclass Amount NO MAP REQUIRED Local Funding 1,812,729 Total Funding: 1,812,729 Letter Item#34 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100632 "Title:Park Infrastructure Replacement&Underdeveloped Park Improvements 'Status:Proposed Category:Parks and Recreation Department:Parks and Recreation Project Type Project Location Project Type:Rehabilitation/Replacement 'istrict:Citywide Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 25,380,000 1,000,000 4,380,000 4,000,000 4,000,000 4,000,000 4,000,00e 4,000,001 Description and Scope This project funds the design,construction and replacement of existing parks and recreation capital replacement backlog as well as implementing improvements and additions to underdeveloped park sites per the Parks Needs Assessment&Development Strategy which will be completed in March 2023.In FY24,projects include increased costs for Pungo Ferry Landing and PAAC Sports Managements Office,replacement of restroom building at Lynnhaven and Red Wing Parks,boardwalk railing replacement at Beach Garden Park,parking lot repairs at Great Neck Park,and replacement of public restroom sinks at PAAC. Purpose and Need The current funding mechanisms in place to address the parks and recreation capital replacement is insufficient. To make significant gains in addressing this backlog,additional funds are needed.In addition,underdeveloped park sites do not offer recreational opportunities for all ages and abilities.In many instances,a neighborhood park site will only consist of a small shelter and playground for children with nothing to offer teens,adults,or seniors. To enhance health and wellness opportunities throughout the parks system,funds to increase the availability of a variety of park amenities is needed. History and Current Status This project first appeared in the FY 2022-23 CIP as a new program and is based on the Parks Needs Assessment&Development Strategy,which was completed in February 2022. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 07/27-06/29 5,500,000 Construction 07/27-06/29 19,880,000 Total Budgetary Cost Estimate: 25,380,000 Means of Financing NO MAP REQUIRED Funding Subclass Amount Local Funding 25,380,000 Total Funding: 25,380,000 Letter Item#35 Fiscal Years FY24 through FY29 Capital Improvement Program Project:100665 "Title:Employee Engagement Tool "Status:Proposed Category:Information Technology Department:Information Technology Project Type Project Location Project Type:Technology District:Citywide Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 75,000 - 75,000 - - - - Description and Scope The City of Virginia Beach does not use any type of two-way employee engagement tool to entice or manage staff interaction,promote employee surveys or polls,or to allow employees to subscribe to information by interest.Beachnet,SharePoint,Outlook,and Microsoft Teams are the most widely used solutions the City has for employees to view content,become informed,and interact with each other.Unfortunately,these tools are not currently linked to monitor,measure and discover employee sentiment via a single platform,thus creating data gaps to drive informed decisions.To improve employee Communications,ensure information is reaching the workforce,and to increase overall employee engagement with the organization,Communications had recommended the selection and procurement of an employee engagement platform.This need has been identified in 4 main areas:Recovery Stat, Strategic Plan,Process Improvement Steering Committee(PISC),and by way of an Employee Poll.The recommendation is for the City to move forward with Sociabble as their Employee Engagement Tool.Sociabble is a mobile-friendly,enterprise employee engagement solution for internal communications and employee advocacy. Purpose and Need Implementing an employee engagement platform,would allow employees to be collaborative,engage the business by providing likes,comments,sharing of content,and participation in surveys and polls.An Employee Engagement Tool would also provide employees with a one-stop platform where access to knowledge bases can be provided to non-user generated or user-generated content,and information regarding City news and events.The tool also can be used for"Social Selling"recruitment efforts to save the City in advertising spend by utilizing employees to create and share recruitment content. History and Current Status This project first appeared in the FY 2023-24 CIP. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Implementation 07/23-06/35 75,000 Total Budgetary Cost Estimate: 75,000 Means of Financing Funding Subclass Amount NO MAP REQUIRED Local Funding 75,000 Total Funding: 75,000 Letter Item#37 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100148 'Title:Atlantic Park Streetscapes `Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:Rehabilitation/Replacement •istrict:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 6,000,000 6,000,000 - - - - - Description and Scope This project will fund the streetscape and other public pedestrian area improvements to support the redevelopment of the former Dome site into a mixed- use,high density development including space for residences,offices,retail,restaurants,a surf park,an entertainment venue,and parking.The site will be constructed on approximately 10.35 acres of City-owned property in the Central Beach Entertainment District. Purpose and Need This project will help develop the Resort's Central Beach Entertainment District,a key implementation strategy of the Resort Area Strategic Action Plan 2030,helping to create a year-round,first class,urban resort destination.This project is essential to ensure the successful construction of the Atlantic Park project. History and Current Status This project first appeared in the FY 2018-19 CIP.This project is funded using Public Facility Bonds and the associated debt service will be paid out of the Tourism Investment Program Fund.The Dome Site development agreement was approved on November 19,2019.This project is currently in design in accordance with the development agreement. Project funding was added for FY 2022-23 in accordance with a Development Agreement amendment approved by City Council.Prior to FY 2022-23 this project was titled"Dome Site Streetscapes." Operating Budget Impact Comments Operating budget impacts to be determined. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 07/18-01/23 750,000 „"°"•�"` __"°'` Construction 01/23-06/25 4,125,000 Contingencies 07/18-06/25 1,125,000 Total Budgetary Cost Estimate: 6,000,000 Means of Financing •10014$ Funding Subclass Amount Local Funding 6,000,000 Total Funding: 6,000,000 Me Soo Call islo • • Letter Item#37 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100606 'Title:Atlantic Park Offsite Infrastructure 'Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:Rehabilitation/Replacement 'istrict:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 33,153,251 26,934,965 6,218,286 - - - Description and Scope This project will allow the timely design and construction of certain offsite infrastructure connected to the Atlantic Park Project. These improvements include Pacific Avenue and 19th Street traffic signal and pedestrian crossing,Pacific Avenue and 20th Street traffic signal,18th Street Streetscape improvements from Artic to Pacific,18th Street Undergrounding Duct Bank,Arctic Avenue Streetscape improvements,Arctic Avenue Undergrounding Duct Bank,19th Street and Baltic Avenue traffic signal relocation,20th Street Streetscape improvements and related stormwater,20th Street Undergrounding Duct Bank,and stormwater improvements abutting the Project. It is anticipated this work will require coordination with the contractor undertaking the Atlantic Park Development,and to avoid construction conflicts and consistent with any required procurement approvals the work is intended to be completed by cost participation agreement with the Developer of the Atlantic Park Project. Purpose and Need The work is consistent with the undergrounding of utilities and streetscape improvements undertaken in adjacent areas of the Resort. Moreover,the decision to do this work now will avoid undertaking the work at a future date,which could duplicate costs.The current plan to provide these improvements would be for the City Council to authorize appropriation of funds to the Atlantic Park Community Development Authority("CDA"),and the CDA would commit to repayment to the City from revenues that exceed debt service for such times as the CDA has bonds outstanding and thereafter from the revenues of the CDA prior to retirement of the CDA. History and Current Status The project was established at the November 16,2021 City Council meeting.The initial funding for this project was General Fund Fund Balance in the amount of$17,729,147.Future repayments for these funds should be made to the General Fund.In FY 2022-23,$4 million of PFRBs were programmed for this project,with the associated debt service to be repaid by the Tourism Investment Program Fund.In FY 2022-23,$3,705,818 was transferred to this project from 100145"Atlantic Park Development Acquisition." Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities t Project Activities From-To Amount Design 11/21-06/23 2,127,498 Construction 01/23-06/25 28,882,259 Contingencies 11/21-06/25 2,143,494 Total Budgetary Cost Estimate: 33,153,251 t~~tG•'t Means of Financing •100606 Funding Subclass Amount Local Funding 33,153,251 ° Total Funding: 33,153,251 GT~G� • Letter Item#37 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100146 ('Title:Atlantic Park Entertainment Venue (Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:New Facility Construction/Expansion District:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 59,797,614 48,437,000 6,360,614 - - - - Description and Scope This project will fund the construction of an entertainment venue as part of the redevelopment of the former Dome site.The venue will have an estimated capacity of 3500 people for events including:live musical performances,comedic acts,sporting events,spoken word events,and speaking engagements. The entertainment venue will be among a mixed-use,high density development including space for residences,offices,retail,restaurants,a surf park, and parking.The venue will be constructed on approximately 10.35 acres of City-owned property in the Central Beach Entertainment District. Purpose and Need This project will help develop the Resort's Central Beach Entertainment District,a key implementation strategy of the Resort Area Strategic Action Plan 2030,helping to create a year-round,first class,urban resort destination.This project is essential to ensure the successful construction of the Atlantic Park project.The entertainment venue was conceptualized as an important piece of the former Pavilion that was not rebuilt in the Resort Area when the Sandler Center for the Performing Arts was developed in Town Center. History and Current Status This project first appeared in the FY 2018-19 CIP.In FY 2018-19,City Council approved a transfer of$3,500,000 in appropriations to date from this project to CIP 100147 Dome Site Parking.This project is funded using Public Facility Bonds and the associated debt service is anticipated to be paid out of the Tourism Investment Program Fund.The Dome Site development agreement was approved on November 19,2019.The entertainment venue is currently in design in accordance with the development agreement.A non-programmed,operator contribution of$5,000,000 is anticipated with this project at the end of construction.Prior to FY 2022-23 this project was titled"Dome Site Entertainment Venue."In FY 2022-23,this project was transferred $1,212,000 from the fund balance of the TIP Fund for additional construction costs. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities • Project Activities From-To Amount Design 07/18-01/23 3,500,000 Construction 01/23-06/25 51,297,614 SSN•Nab SSN° Contingencies 07/18-06/25 5,000,000 Total Budgetary Cost Estimate: 59,797,614 se, Means of Financing •100146 Funding Subclass Amount ,j1„fT Local Funding 54,797,614 Total Programmed Financing: 54,797,614 Total Non-Programmed Financing: 5,000,000 tat"'� ha is Total Funding: 59,797,614 Elementary • Letter Item#37&38 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100629 }Title:Sports Tourism Infrastructure 'Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:Rehabilitation/Replacement •istrict:Citywide Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 19,500,000 1,950,000 4,971,100 12,578,900 - - - Description and Scope A Sports Tourism Infrastructure and Development program allows the City of Virginian Beach to reinvest,remain relevant and grow market share in a proven/lucrative market.Program funds will:renovate,maintain existing facilities/venues,explore and facilitate new development opportunities,reinvest in current facilities/venues. Purpose and Need Renovating and maintaining existing facilities/venues—Examples may include but are not limited to:Renovations and upgrades to Virginia Beach SportsPlex,Princess Anne Athletic Complex and Hampton Roads Soccer Complex;Exploring and facilitating new development opportunities-Examples may include but are not limited to:Market research and analysis,design and implementation of new venues;Identification,onboarding and delivering new sports tourism venue opportunities(action sports,cross country,or other appropriate investments);Reinvesting in current sports tourism program infrastructure—Examples may include but are not limited to: Upgrades to parking,wayfinding signage,and future program and event development. History and Current Status This project first appeared in the FY2022-23 CIP and is funded by the Tourism Investment Program.A Sports Tourism Inventory Market Assessment began in 2022 and will be complete by Spring 2023. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 07/22-06/28 1,950,000 Construction 01/24-06/28 17,550,000 Total Budgetary Cost Estimate: 19,500,000 Means of Financing Funding Subclass Amount NO MAP REQUIRED Local Funding 19,500,000 Total Funding: 19,500,000 Letter Item#39 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100057 'Title:Centerville Turnpike Phase II 'Status:Proposed Category:Roadways Department:Public Works Project Type Project Location Project Type:New Facility Construction/Expansion District:7 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed OP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 77,384,612 47,077,711 19,320,596 10,171,884 - 814,421 - Description and Scope VDOT UPC#103005.City Council identified this project as an Initiative under the Goal Improve the Transportation System in the 2018 Annual Report to City Council.This project is for the construction of a four-lane divided highway within a 130 foot right-of-way from Indian River Road to Kempsville Road,a distance of 1.85 miles.This project will provide improvements at the Kempsville Road and Indian River Road intersections,including triple left turn lanes onto Indian River Road from Centerville Turnpike.This project will also include sidewalk,dedicated on-road bike lanes,landscaping,and relocation of existing aerial utilities to a new overhead location. Purpose and Need This project will address congestion in the Centerville area.The existing two-lane roadway carries 20,000 vehicles per day(2017)with a capacity of 13,200 vehicles.It has a projected volume of 36,000 vehicles by the year 2040.This corridor is ranked#1 of 311 in the 2017 Technical Ranking of Congested Roadway Segments list. History and Current Status This project first appeared in the FY 2011-12 CIP as Centerville Turnpike Interim Improvements.In FY 2012-13,a separate project,Centerville Turnpike- Phase II appeared along with the interim project.Additional funding enabled the merger of Phase II initiatives into the funded interim project;therefore, this project was re-titled and now incorporates all Centerville Phase II activities.At the request of VDOT,the City Council adopted an ordinance on February 25,2013 that transferred$10,326,327 in aid from the Commonwealth($5 million)and local Revenue Sharing funding from this project to Lesner Bridge Replacement due to Lesner's higher construction bids.The City was able to replace the local funding through appropriations-to-date transfers and new Revenue Sharing funding.In 2019,Centerville Phase II received$1,380,901 from VDOT through the Highway Infrastructure Program. Operating Budget Impact Comments Based on FY23 VDOT maintenance rates per lane mile of roadway. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - 88,844 90,621 Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 09/13-06/24 3,100,963 >•��s�..>•• Site Acquisition 05/22-05/23 16,012,689 ,. Private Utility Adjustments 05/23-10/24 2,055,948 Construction 01/25-03/28 49,461,953 •�e '••N• Contingencies 09/13-03/28 6,753,059 Total Budgetary Cost Estimate: 77,384,612 •100057 ae` J1 Means of Financing Funding Subclass Amount '•� Local Funding 30,931,637 Federal Contribution 29,195,033 P 4 State Contribution 17,257,942 Sd+ooi Total Funding: 77,384,612 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100002 !Title:17th Street Improvements-Phase II Cypress to Birdneck !Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:Rehabilitation/Replacement 'istrict:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 48,881,000 442,640 - - - - 48,438,360 Description and Scope This project provides funding to improve 17th Street from Cypress Avenue to Birdneck Road to design a safer,rehabilitated streetscape through the undergrounding of overhead utilities,traffic safety improvements,better bicycle and pedestrian accommodations,utility and stormwater upgrades,and aesthetic improvements such as street trees and pedestrian lights.This project will build upon existing streetscape rehabilitations such as Laskin Gateway,19th Street,and Pacific Avenue. Purpose and Need Rehabilitation of the 17th Street Corridor is a critical component in the success of the Central Beach Entertainment District development and has been identified as a need in the Resort Area Strategic Action Plan.17th Street serves as one of several vehicular priority streets providing a direct connection and gateway to the oceanfront from all points west.This project will increase safety,mitigate flooding,facilitate the redevelopment of local businesses and make the area more accessible and attractive for future redevelopment. History and Current Status This is project first appeared in the FY 2019-20 CIP.A Preliminary Engineering Report(PER)and public outreach was completed in 2020 to determine the full scope and cost of the project.A supplement to the PER was completed in fall 2021 to study the cost and economic impacts of building a regional stormwater management facility along the corridor(see CIP#100630).In FY 2022-23$807,360 was transferred to the ViBe Streetscape infrastructure project(CIP#100459)to advance 18th Street to construction when bids came in over the funding available. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 10/19-06/28 4,417,000 Site Acquisition 07/25-06/28 3,500,000 Private Utility Adjustments 10/26-05/28 5,970,000 Construction 10/26-05/29 28,201,000 .°�a•° ti� Street Lights 10/27-05/29 700,000 Landscaping 10/27-05/29 750,000 Contingencies 10/19-06/29 5,343,000 0. •100002 Total Budgetary Cost Estimate: 48,881,000 Means of Financing 11fM!1 Funding Subclass Amount •°=r Local Funding 442,640 \1[w Total Funding: 442,640 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100630 }Title:17th Street Regional Stormwater Management Facility 'Status:Proposed Category:Economic&Tourism Development Department:Public Works Project Type Project Location Project Type:New Facility Construction/Expansion District:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 18,700,000 - 2,770,000 15,930,000 - - Description and Scope This project includes the design and construction of a regional stormwater management facility.The Regional Stormwater Management Facility has potential to provide stormwater management,both water quality treatment and quantity management,to address flooding of streets,for the future redevelopment of private properties that front the south side of 17th Street between North Birdneck Road and Cypress Avenue within the service area of the facility.The project includes improvements to the stormwater system along 17th Street east to Washington Avenue and additional improvements to the east and west of the new facility to redirect stormwater to the proposed stormwater pond.The project includes improvements to the downstream stormwater system to discharge the stormwater from this new pond.Improvements to the downstream stormwater system will require acquisition of permanent drainage easements.Some of the stormwater that is redirected will result in discharging stormwater from land that previously discharged to the Lynnhaven River watershed and redirecting it to the Rudee Inlet watershed.The project includes new stormwater management facilities on the north side of 17th Street to offset water quality reduction impacts to existing stormwater management facilities.This wet pond,a VA Best Management Practice Clearinghouse Level 2,will remove nutrients,sediment,and bacteria from stormwater prior to being discharged to Rudee Inlet. Purpose and Need The City's Stormwater Management Ordinance requires redevelopment projects increasing impervious cover to offset the resulting increased runoff during and following heavy rainfall events with stormwater quantity and quality solutions.Future re-development within the drainage area would require stormwater management solutions and could potentially take advantage of the flood storage and stormwater quality benefits provided by this proposed regional stormwater management facility to improve public safety and promote economic development in the area.This project would incentivize development along 17th Street by reducing or eliminating the amount of stormwater management facilities developers would be required to construct, operate,and maintain on their own property.In turn,the resources that would have been channeled into stormwater management can be used in ways that would improve public safety and generate more economic benefits for the property owner and the City of Virginia Beach.The project would also meet all or a part of the stormwater management requirements for public projects in the area. History and Current Status This project first appeared in the FY2022-2023 OP.A Technical Memorandum to analyze this project's potential benefits and feasibility was developed in December 2021 as part of a supplement to the 17th Street Phase II(CIP 100002)Preliminary Engineering Report.This project is funded by the Tourism Investment Program Fund. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 01/23-01/25 2,100,000 Site Acquisition 07/24-06/25 1,400,000 coca.we L" Private Utility Adjustments 07/25-03/26 250,000 Construction 11/26-12/27 12,300,000 Contingencies 07/22-12/27 2,650,000 Total Budgetary Cost Estimate: 18,700,000 •100630 Means of Financing Funding Subclass Amount Local Funding 18,700,000 M1 W1\S D. Total Funding: 18,700,000 .,L Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100001 'Title:17th Street Improvements-Phase I Pacific to Cypress !Status:Proposed Category:Economic&Tourism Development Department:Planning Project Type Project Location Project Type:Rehabilitation/Replacement 9 istrict:5,6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 36,600,000 25,416,516 - - - - - 11,183,484 Description and Scope This project provides funding to improve 17th Street from Cypress Avenue to Pacific Avenue and provides increased safety,essential connectivity and improved aesthetics for the 17th Street Corridor through the implementation of an 80 foot typical section consisting of wide sidewalks,street trees,bicycle lanes,traffic signals,curb and gutter,and four lanes of traffic.Associated utility and accessibility upgrades including undergrounding of overhead utilities, new storm,sewer,and water infrastructure,improved crosswalks,and curb ramps will be implemented.This project will build upon existing streetscapes including Laskin Gateway,29th Street,19th Street,18th Street,and Pacific Avenue. Purpose and Need Rehabilitation of the 17th Street Corridor is a critical component in the success of the Central Beach Entertainment District development and has been identified as a need in the 2020 Resort Area Strategic Action Plan.17th Street serves as one of several vehicular priority streets providing a direct connection and gateway to the oceanfront from all points west.This project will increase safety,mitigate flooding,facilitate the redevelopment of local businesses and make the area more accessible and attractive for future redevelopment. History and Current Status This project first appeared in the FY 2019-20 CIP.A portion of the design for this project(30%)is funded by CIP 100459 ViBe District Street Infrastructure Improvements.Full design will be completed in 2022 with construction beginning as early as December 2023.Two and half years of year-round construction is anticipated.This project is funded using Public Facility Bonds and the associated debt service is anticipated to be paid out of the Tourism Investment Program Fund.In FY 2022-23$583,484 was transferred to the Oceanfront Restroom project(CIP#100286)to cover a bid for the 30th Street restroom replacement that came in over the funding available.90%construction designs for 17th Street Phase I were complete in the fall of 2022. Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities ; Project Activities From-To Amount li - . :f_...iw,`'�� • Design 07/19-12/23 2,300,000 Site Acquisition 10/23-12/24 1,766,000 :°•"" ST Private Utility Adjustments 01/25-05/27 3,000,000 ,9�,t :ot.'' Construction 01/25-05/27 25,124,000 ��•. Street Lights 01/26-05/27 410,000 Landscaping 01/26-05/27 400,000 Contingencies 03/20-06/27 3,600,000 .ai0000t �1 °f Total Budgetary Cost Estimate: 36,600,000 _4 i,N, School X i S Means of Financing CookEkmentary Funding Subclass Amount School yt o., Local Funding 25,416,516 ,...so I Total Funding: 25,416,516 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100048 'Title:Burton Station Road Improvements III 'Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:New Facility Construction/Expansion 'istrict:4 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 17,611,465 5,491,465 9,000,000 3,120,000 - - Description and Scope This project will provide public infrastructure to connect an area for commercial and residential development.Phase III-B includes:approximately 1,300 linear feet of new roadway for Tolliver Road,starting from the end of Burton Station Phase III-A;approximately 1,450 linear feet of Air Rail Avenue reconstruction with new water and sanitary sewer service;a preliminary design study for a potential Tolliver Road extension south to Northampton Boulevard; and relocation and upgrading of an existing pump station to improve service and support area development.The existing sanitary sewage pump station on Air Rail Avenue requires replacement due to its age and lacks capacity for the projected sewage flows from the expanded service area.This project funds design and construction of water main,gravity sewer,and force sewer main,but only pump station design.Public Utilities CIP will fund pump station construction separately.An at-grade railroad crossing on Tolliver Road will be added in addition to modifications at several other crossings within the area. Purpose and Need The purpose of this project is to provide a roadway connection between Burton Station Road and Air Rail Avenue via an extension of Tolliver Road (formerly Golf Course Road).This project is consistent with the phasing and implementation goals recommended in the adopted Burton Station/Northampton Boulevard Corridor Strategic Growth Area Implementation Plan. History and Current Status This project first appeared in the FY 2011-12 CIP.The project was put on hold in April 2014 when the design was at 60%.The project was restarted in August 2015 and a new alignment for Tolliver Road was selected.In the FY 2016-17 CIP,additional funding of$2,420,595 was provided,and$3,114,905 of previous years'appropriations were transferred from project 9-085 SGA-Burton Station Road Improvements Phase II to this project to cover the increased project costs totaling$5,535,500 due to shifts in the realignment of the roadways to be designed and built in response to requests from multiple property owners including the Norfolk Airport Authority.In 2016 Phase III was broken in to two phases,Phase III-A and III-B.In FY 2017-18,$3,895,035 was transferred from 9-091 Phase III-A to project 9-022 Burton Station Roadway Improvements I,combining the scopes of both projects and allowing the projects to be bid and constructed at the same time.Phase III-A construction completed in 2019.In FY 2020-21,$4,500,000 in appropriations to date were transferred to help finance the renovations of municipal center buildings 1,2,and 11.100%designs are anticipated in 2023 with construction beginning as early as the fall of 2024.In FY 2023-24,$1,950,000 in appropriations to date were transferred to this project from 100049 Burton Station Roadway Improvements. Operating Budget Impact Comments FY24 FY2S FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities �,4 :a Project Activities From-To Amount Design 06/12-07/23 1,500,000 Site Acquisition 03/23-03/24 2,400,000 Construction 10/24-06/26 11,950,318 Contingencies 06/12-06/26 1,761,147 .., Total Budgetary Cost Estimate: 17,611,465 f` fti.f •100048 Means of Financing Funding Subclass Amount Local Funding 17,611,465 -'' Total Funding: 17,611,465 yf Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100190 !Title:FoxFire Trail Pedestrian Bridge 'Status:Proposed Category:Parks and Recreation Department:Parks and Recreation Project Type Project Location Project Type:New Facility Construction/Expansion 'istrict:2 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 2,165,397 2,615,397 - - - - - Description and Scope This project will fund the design and construction of the Foxfire Trail pedestrian bridge on the former railroad line between the Municipal Center and the Foxfire neighborhood. Purpose and Need This project is included in the 2011 Bikeways and Trails Plan and the 2021 Active Transportation Plan as a High Priority project.It will provide a safe active transportation connection(pedestrian roadway)between the Foxfire neighborhood and the Municipal Center.Reaching the Municipal Center will also allow pedestrians and cyclists to make a connection to paths along Princess Anne Road and Nimmo Parkway and the rest of the bikeways and trails system.The Foxfire neighborhood does not have adequate connections for pedestrians and cyclists who are uncomfortable traveling along narrow roads without sidewalks. History and Current Status This project first appeared in the FY 2018-19 CIP.The Bikeways and Trails Advisory Committee included this project as a High Priority in the 2011 Bikeways and Trails Plan because of the isolation of the Foxfire neighborhood for active transportation.VDOT awarded$775,235 in grant funding through the Transportation Alternatives Program in early 2017.On September 5,2017,City Council appropriated the grant funding and transferred$348,295 from CIP 100040,"Bikeways and Trails Plan Implementation"as the local match.In FY 2022-23,$300,000 in appropriations to date were transferred to this project from CIP 100249 Little Island Park Parking Lot Improvements.In FY 2023-24,$191,867 in appropriations to date was transferred to this project from CIP 100249 Little Island Park Parking Lot Improvements. Operating Budget Impact Comments There are no operating budget impacts anticipated at this time. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities ""` Project Activities From-To Amount Design 01/20-08/22 230,000 s�o<. Site Acquisition 08/21-07/22 50,000 °4% Construction 01/23-01/24 2,335,397 Total Budgetary Cost Estimate: 2,615,397 Means of Financing •100190 4� • Funding Subclass Amount Local Funding 1,840,162 Federal Contribution 775,235 04, Total Funding: 2,615,397 << ♦,ti �J� � 1 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100282 ITitle:Oceana&ITA Conformity&Acquisition II `Status:Proposed Category:Economic&Tourism Development Department:Economic Develo•ment Project Type Project Location Project Type:Site Acquisition 'istrict:2,3,5,6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 13,067,649 8,067,649 - 1,000,000 1,000,000 1,000,000 1,000,000 1,000,00. Description and Scope This project continues the multi-faceted program designed to retain Naval Air Station Oceana as the East Coast Master Jet Base in Virginia Beach.The annual program costs include acquisition of property and easements to complete program goals and costs associated with the zoning measures that continue to stop and roll back incompatible development around the base and maintenance of acquired properties.Project funding will be provided on an annual basis using proceeds generated by the sale or lease of City property in APZ-1 and the Interfacility Traffic Area(ITA)and the sale to the U.S.Navy of restrictive easements over City land in the ITA,which properties were acquired by the City through this project and the previous project 9-060 Oceana &Interfacility Traffic Area Conformity&Acquisition. Purpose and Need This project provides support for the Federal Defense Base Realignment and Closure Commission(BRAC)directives,which were issued on August 24, 2005,and became law in November 2005.This project supports Council's priorities related to economic development and land use conformity with the U.S.Navy. History and Current Status This project first appeared in the FY 2015-16 CIP.It provides follow-up and closure to the initial state-supported project 100282 Oceana&ITA Conformity, which was shown as completed in the FY 2015-16 CIP.In the FY 2016-17 CIP,$1,000,000 in City funding from appropriations to date were transferred from this project to project 9-037 APZ-1 Economic Incentives.Also in the FY 2016-17 CIP,the remaining balance and associated revenues from the previous project,9-060,were transferred to this project to consolidate funding.In the FY 2019-20 CIP,$4,958 in BRAC sale of property revenue was reduced from the project. Operating Budget Impact Comments Costs related to demolition or maintenance of parcels(e.g.landscape maintenance,signage,etc.)acquired via this project or project 9-060 prior to the resale of the property are charged to this project. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Site Acquisition 07/19-06/29 13,067,649 Total Budgetary Cost Estimate: 13,067,649 Means of Financing Funding Subclass Amount NO MAP REQUIRED Lease of Properties(BRAC) 3,108,156 Fed Cont-Fed Encroachment Partnership Fds 298,244 Sale of Property(BRAC) 9,661,249 Total Funding: 13,067,649 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100511 'Title:Southern Rivers Watershed Site Acquisition Program !Status:Proposed Category:Parks and Recreation Department:Parks and Recreation Project Type Project Location Project Type:Site Acquisition 'istrict:2 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 2,000,000 2,000,000 - - - - - Description and Scope This project funds the acquisition and associated due diligence costs for real estate planned for preservation or future public purposes including stormwater handling,watershed protection,and recreation.Acquired sites may remain natural areas or preserve flood plains,act as stormwater management facilities,be conserved/preserved for tree canopy and protection of natural resources,or be improved and used as passive recreation facilities(trails,public waterway access sites,or other outdoor passive recreational purposes). Purpose and Need The need for open space acquisition and conservation in the Southern Rivers Watershed has been identified as a worthwhile nature-based solution within the Sea Level Wise Adaptation Strategy. The study cites an opportunity for landowners and residents of properties that border Back Bay,North Landing River,and others in the Southern Rivers Watershed to conserve the natural assets of the waterway through a conservation easement or by voluntarily selling their property to the City. Benefits of this acquisition program are tax benefits for the landowner conserving the land,conservation of habitat and watersheds and providing a water sink during flood and storm events to improve stormwater management. History and Current Status This project first appeared in the FY 2020-21 CIP. Operating Budget Impact Comments Operating budget impacts as a result of this program will vary depending on the size and composition of the property acquired and any ongoing maintenance requirements(if applicable). FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Site Acquisition 07/20-06/29 2,000,000 Total Budgetary Cost Estimate: 2,000,000 Means of Financing Funding Subclass Amount NO MAP REQUIRED Local Funding 2,000,000 Total Funding: 2,000,000 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100399 'Title:Strategic Development Projects _ 'Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:New Facility Construction/Expansion 'istrict:Citywide Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 12,879,687 11,379,687 250,000 250,000 250,000 250,000 250,001 250,000 Description and Scope This project will provide planning and design services,environmental studies,build or replace public infrastructure improvements,such as pedestrian roadways,utilities,and stormwater facilities,and acquire property as needed to support implementation of the eight Strategic Growth Areas(SGA)and the Comprehensive Plan.In addition,the project will provide for consulting,staffing,and other contractual services to support Strategic Development initiatives.Priorities for the SGA implementation efforts include development of Zoning Overlay Districts,implementation of Resort Area Mobility Plan initiatives(RAMP)and Resort Area Strategic Action Plan(RASAP)2030 priorities,and a small area plan for the Central Village District in the Pembroke SGA and Central Beach Entertainment District in the Resort SGA.This scope also includes development of detailed specific area development plans and preliminary design and cost estimating for future Strategic Development CIP projects. Purpose and Need The purpose of this project is to develop and implement clear objectives based upon the goals and vision set forth in the Comprehensive Plan and City Council's Vision for the Strategic Growth Areas.This will involve partnering with civic groups,residents,businesses,and property owners to develop projects with clear objectives,which draw a link between past accomplishments,present conditions and future goals.Planning and design services will be used to prepare,facilitate,and align plans with the community to accelerate development,increase economic opportunity,and expand the tax base. History and Current Status This project first appeared in the FY 2008-09 CIP as the Strategic Growth Area Projects.On October 23,2012,City Council added$2,500,000 to this project for the additional cost of property acquisition and drainage improvements associated with Burton Station Village Phase I from completed projects ($1,133,372),new revenue($366,628)and reallocation of funding totaling$1,000,000 from various projects.In the FY 2016-17 CIP,$8,054,399 was transferred from this project to 100376 Burton Station Roadway Improvements I.In FY 2021-22,the project advanced initiatives established in the 2030 Resort Area Strategic Action Plan(RASAP)including sense of arrival/gateway improvements,streetscape improvements throughout the resort;and planning support for the Comprehensive Plan update and the Resort Area Mobility Plan initiatives(RAMP). FY 2022-23 this project advanced RAMP initiatives such as the Microtransit Pilot Program providing point-to-point and fixed route transportation opportunities in the Resort.In FY 2023-24 this project is expected to support public engagement efforts for the future of Rudee Loop,the sense of arrival initiative and Central Beach Entertainment District Small Area Plan. Operating Budget Impact Comments To be determined. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities Project Activities From-To Amount Design 07/08-06/29 7,867,494 Site Acquisition 07/08-06/29 3,343,133 Construction 10/10-06/29 1,000,000 Contingencies 07/08-06/29 669,060 Total Budgetary Cost Estimate: 12,879,687 NO MAP REQUIRED Means of Financing Funding Subclass Amount Local Funding 12,879,687 Total Funding: 12,879,687 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100415 "Title:Thalia Creek Greenway I 'Status:Proposed Category:Parks and Recreation Department:Parks and Recreation Project Type Project Location Project Type:New Facility Construction/Expansion District:4 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 3,400,157 3,400,157 - - - - - Description and Scope This project will fund the design and construction of the boardwalk and trail facilities outlined in the greenway corridor of the Thalia Creek Greenway Master Plan.This project is a unique initiative to develop a pedestrian roadway in the form of an urban greenway that will provide a safe alternative route while also providing access to natural open space and active mobility in the Town Center area.In addition to city funding,VDOT Transportation grants have been received for the Thalia Creek Greenway project.The scope of this project covers all work to design and construct the greenway,excluding those portions funded by the federal grant. Purpose and Need The project will provide a safe alternative transportation route to reduce pedestrian/vehicle conflicts around Town Center.The 2008 Virginia Beach Outdoors Plan and the 2016 Update include the Thalia Creek Greenway project as a priority to address the need for additional open space in the Little Neck planning area.The Thalia Creek Greenway project is also included as part of the proposed bikeway network in the Pembroke Strategic Growth Area Implementation Plan and is ranked by the Bikeways and Trails Advisory Committee as a Top Priority in the 2011 Virginia Beach Bikeways and Trails Plan. This project is also linked to the 2014 Central Business Core Design Guidelines Sustainability 6.10 Open Space Preservation by providing valuable outdoor amenity space for walking,hiking,and biking,protecting waterways from erosion and runoff,and increased urban tree canopy. History and Current Status This project first appeared in the FY 2012-13 CIP.The Thalia Creek Greenway builds on the natural area and greenway concept introduced in the 1991 Central Business District Master Plan.The Thalia Creek Greenway Master Plan was completed in 2007 and most of the property along the creek is privately owned.The city will need to acquire property easements or purchase property to construct some portions of the greenway.Since the 2007 Thalia Creek Master Plan,phasing of the project has changed.Phase I was privately developed but added to Phase II via a public access easement. Phase II(CIP 4-522)was also constructed for a completed network from Constitution Drive to Bonney Road.This current CIP funds the trail facilities for Phase III of the greenway,which will continue the trail to Independence Boulevard.Future phases will be developed as additional funding opportunities arise.On February 16,2016,City Council accepted and appropriated$1M of federal funding from the Virginia Department of Transportation's(VDOT's) Transportation Alternatives Program(TAP).In FY 2020-21,this project received$350,157 in appropriations to date from CIP 4-503,Parks and Recreation Administration Office Relocation($86,524)and 4-509,Replacement of Kempsville Recreation Center($263,633). Operating Budget Impact Comments FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities x . . Project Activities From-To Amount . .r Design 07/14-09/20 140,000 Site Acquisition 12/20-06/23 134,000 INKS M '1 Construction 09/20-06/24 3,126,157 11 li Total Budgetary Cost Estimate: 3,400,157 r+ we,* Means of Financing •100415 4% Funding Subclass Amount Local Funding 2,400,157 1111111111111 Federal Contribution 1,000,000 „,0 %IN.,.... Total Funding: 3,400,157 Letter Item#40 Fiscal Years FY24 through FY29 Capital Improvement Program Project:PG100459 Title:ViBe District Street Infrastructure Improvements 'Status:Proposed Category:Economic&Tourism Development Department:Economic Development Project Type Project Location Project Type:Rehabilitation/Replacement 'istrict:6 Programmed Funding Programmed Appropriated Budgeted Non-Appropriated Programmed CIP Funding Funding Funding To Date FY24 FY25 FY26 FY27 FY28 FY29 Future 10,875,750 10,875,750 - - - - Description and Scope This project provides essential connectivity,increased safety and improved aesthetics for the ViBe District through phased street infrastructure improvements ranging from wide sidewalks,bicycle facilities,pedestrian lights,street trees,on-street parking,crosswalks,accessibility upgrades and associated storm water,utility,and traffic improvements.This project supports design and improvements on 18th Street from Cypress to Arctic Avenues and Cypress Avenue from Virginia Beach Blvd/17th Street to 19th Street.These improvements support the development of the ViBe Creative District by increasing walkability,public safety,and aesthetics and support the Resort Area Strategic Action Plan,by implementing portions of the 17th Street and 19th Street Corridors and Central Beach Transportation Network. Purpose and Need The purpose of this project is to provide improved pedestrian,bicycle,and traffic connections between ViBe business and community destinations such as the Convention Center,Dome Redevelopment Area,and Oceanfront Library,and enhance the growing ViBe Creative District.These street infrastructure improvements are needed to achieve the goals of the ViBe District by helping to enhance public safety,reduce vehicular conflicts,mitigate flooding,and attract and foster creative business,grow real estate values,stimulate commerce,and enhance the quality of life for citizens and visitors. History and Current Status This project first appeared in the FY 2016-17 CIP.Following the establishment of the ViBe Creative District in 2015,a community driven Connectivity Vision Plan was completed which determined conceptual streetscape improvements for the entire District.In FY 2017-18,$1,301,607 was transferred from 100283 Oceanfront Capital Projects Reinvestment to consolidate streetscape infrastructure projects in the ViBe Creative District and programmed funding was increased by an additional$3,499,450 to move forward with construction on 18th Street from Cypress to Arctic Avenues and Cypress Avenue from 17th to 19th Streets.19th St construction was completed in October 2020.30%Designs for 17th Street Phase I were completed in March 2020.In the summer of 2022 three bids were received for the 18th Street section above the funding available and$2,074,692 was transferred to advance the project.The 18th St section is anticipated to begin construction in late 2022 and be completed by May of 2024. Operating Budget Impact Comments To be determined. FY24 FY25 FY26 FY27 FY28 FY29 Total Operating Budget Impacts - - - - - - Total FTE - - - - - - Project Map Schedule of Activities „�."•"'` �--�r Project Activities From-To Amount Design 07/16-01/21 700,000 „>.5• Site Acquisition 05/19-02/21 401,000 Private Utility Adjustments 12/21-12/22 401,000 Construction 12/22-06/24 7,228,289 Street Lights 05/22-06/24 493,000 Landscaping 05/22-06/24 916,000 Contingencies 07/16-06/24 736,461 •100459 Total Budgetary Cost Estimate: 10,875,750 V,^G,N1.OC�GN«VO Means of Financing Coate Funding Subclass Amount c ,ra, School `"'`woe, Local Funding 10,875,750 �,",• Total Funding: 10,875,750 1 AN ORDINANCE MAKING APPROPRIATIONS FOR THE FISCAL YEAR 2 BEGINNING JULY 1, 2023 AND ENDING JUNE 30, 2024 FOR 3 OPERATIONS 4 WHEREAS, the City Manager has heretofore submitted an Annual Budget for the City for the fiscal year 5 beginning July 1, 2023, and ending June 30, 2024, and it is necessary to appropriate sufficient funds to cover said 6 budget. 7 8 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 9 10 Sec. 1. The amounts named aggregating $3,480,472,315 consisting of $668,045,496 in inter-fund transfers, 11 $266,328,271 for internal service funds, and $2,546,098,548 operations, are hereby appropriated subject to the 12 conditions hereinafter set forth for the use of departments, and designated funds of the City government, and for 13 the purposes hereinafter mentioned, as set forth in the Annual Operating Budget, which is hereby incorporated by 14 reference, for the fiscal year beginning July 1, 20223 and ending June 30, 20234 (hereinafter, the "Fiscal Year"), a 15 summary of which is attached to this ordinance as "Attachment A—Appropriations."The City Council elects to fund 16 the Virginia Beach City Public Schools by lump sum appropriation. 17 18 Sec. 2. In accordance with Section 5.04 of the City Charter, Estimated Revenue in Support of Appropriations is set 19 forth in said Annual Operating Budget,with a summary of Estimated Revenue in Support of Appropriations attached 20 to this ordinance as "Attachment B—Revenues." 21 22 Sec.3. With the exception of the funds under the control of the School Board, specifically the funds numbered 23 115, 135, 201,202, 203, 204, 210, 211, 212,213,214, 215, 650,651,652, 750,751,and 752(hereinafter referred to 24 as "School Board Funds"), the total number of full-time permanent positions shall be the maximum number of 25 positions authorized for the various departments of the City during the Fiscal Year, except for changes or additions 26 authorized by the Council or as hereinafter provided.The City Manager may from time to time increase or decrease 27 the number of part-time or temporary positions provided the aggregate amount expended for such services shall 28 not exceed the respective appropriations made therefore. The City Manager is further authorized to make such 29 rearrangements of positions within and between the departments as may best meet the needs and interests of the 30 City, including changes necessary to implement the employee transition program. 31 32 Sec.4. To improve the effectiveness and efficiencies of the government in service delivery,the City Council hereby 33 authorizes the City Manager or his designee to transfer appropriated funds and existing positions throughout the 34 Fiscal Year as may be necessary to implement organizational adjustments that have been authorized by the City 35 Council. Unless otherwise directed by the City Council, such organizational adjustments shall be implemented on 36 such date or dates as the City Manager determines, in his discretion, to be necessary to guarantee a smooth and 37 orderly transition of existing organizational functions. The City Manager shall make a report each year to the City 38 Council identifying the status and progress of any such organizational adjustments. 39 40 Sec.5. All current and delinquent collections of local taxes shall be credited to the General Fund, Special Service 41 District Funds, Tax Increment Financing Fund or any fund to which City Council has, by ordinance, dedicated a tax 42 levy. 43 44 Sec.6. All balances of the appropriations payable out of each fund of the City Treasury at the close of the Fiscal 45 Year, unless otherwise provided for, are hereby declared to be lapsed into the fund balance of the respective funds, 46 except all appropriations to School Board Funds derived from local public sources,which shall lapse and revert to 47 the Fund Balance of the General Fund, and may be used for the payment of the appropriations that may be made in 48 the appropriation ordinance for the fiscal year beginning July 1, 2022-3 . Prior to the expenditure of any sums that 49 have lapsed to the fund balance of any fund, an appropriation by the City Council shall be required. 50 51 Sec.7. All balances of appropriations in each fund which support authorized obligations or are encumbered at the 52 close of the business for the Fiscal Year,are hereby declared to be re-appropriated into the fiscal year beginning July 53 1, 20223 and estimated revenues adjusted accordingly. 54 55 Sec.8. All balances of appropriations and position authorizations attributable to grants or other similar funding 56 mechanism from state or federal sources and trust or gift funds, whose period of expenditure extends beyond the 57 fiscal year ending on June 30, 20223 are hereby declared to be re-appropriated and re-authorized into the Fiscal 58 Year, and estimated revenues adjusted accordingly. The close-out of any grant or similar funding mechanism shall 59 account for all expenditures in such grant, and provided there is any remaining balance in the grant, the portion of 60 the balance attributable to local sources shall revert to the General Fund, special revenue fund, or enterprise fund 61 that provided the local contribution. 62 63 Sec.9. No department or agency for which appropriations are made under the provisions of this ordinance shall 64 exceed the amount of such appropriations except with the consent and approval of the City Council first being 65 obtained. It is expressly provided that the restrictions with respect to the expenditure of the funds appropriated 66 shall apply only to the totals for each Appropriation Unit included in this ordinance and does not apply to Inter-fund 67 Transfers. 68 69 Sec. 10. The City Manager or the Director of Budget and Management Services is hereby authorized to approve 70 transfers of appropriations in an amount up to$100,000$250,000 between any Appropriation Units included in this 71 ordinance through the accrual period. The City Manager shall make a monthly report to the City Council of all 72 transfers between $25,000 and $100,000 $250,000. In addition, the City Manager may transfer, in amounts 73 necessary, appropriations from all Reserves for Contingencies except Reserve for Contingencies — Regular, within 74 the intent of the Reserve as approved by City Council. 75 76 Sec. 11. The City Manager or the Director of Budget and Management Services is hereby authorized to establish and 77 administer budgeting within Appropriation Units consistent with best management practices, reporting 78 requirements, and the programs and services adopted by the City Council. Consistent with best management 79 practices, the City utilizes a modified accrual system of accounting. Revenues are considered available when 80 collectible either during the current period or after the end of the current period, but in time to pay year-end 81 liabilities. Expenditures are recognized when a transaction or event is expected to draw upon current spendable 82 resources rather than future resources. In practical effect,the modified accrual system allows a window of 45 days 83 wherein the City may accrue back to the immediately preceding fiscal year revenues and expenditures. The City 84 Manager or the Director of Budget and Management Services is further authorized to establish administrative 85 directives to provide additional management oversight and control to ensure the integrity of the City's budget. 86 87 Sec. 12. The City Manager or the Director of Budget and Management Services is hereby authorized to change the 88 Estimated Revenues included in this ordinance to reflect expected collections. If the Estimated Revenue in support 89 of an Operating Appropriation Unit declines, the City Manager or the Director of Budget and Management Services 90 is hereby authorized to reduce, subject to any other provision of law, those appropriations to equal the decline in 91 Estimated Revenue. The City Manager shall give prior notice to the City Council of any reduction to total 92 appropriations exceeding$100,000$250,000. The notice to City Council shall identify the basis and amount of the 93 appropriation reduction and the Appropriation Units affected.The accounting records of the City will be maintained 94 in a manner that the total of Estimated Revenue is equal to the total of the Appropriation Units for each of the City's 95 funds. The City Manager or the Director of Budget and Management Services is hereby authorized to transfer any 96 excess appropriations to the Reserve for Contingencies after all anticipated expenditures for which those funds were 97 appropriated have been incurred. Nothing in this section shall be construed as authorizing any reduction to be made 98 in the amount appropriated in this ordinance for the payment of interest or principal on the bonded debt of the City 99 Government. 100 101 Sec. 13. The Department of Economic Development is hereby authorized to pay an amount up to $1,000,000 from 102 their FY 20223-234 Operating Budget to the City of Virginia Beach Development Authority, for the purpose of 103 pursuing, implementing,and furthering initiatives recommended by the Bio-medical Task Force.The Department of 104 Economic Development is hereby authorized to pay an amount up to $100,000 from their FY 20223-234 Operating 105 Budget to the City of yirginia Beach Development Authority,for the purpose of implementing a District Improvement 106 Plan(DIP).A five-year extension of the agreement with the Central Business District Association is hereby authorized 107 provided such an agreement shall relate only to the expenditure of special service district funds within the Town 108 Center SSD. 109 110 Sec. 14. Allowances made from the appropriations made in this ordinance by any or all of the City departments, 111 bureaus,or agencies,to any of their officers and employees for expenses on account of the use by such officers and 112 employees of their personal automobiles in the discharge of their official duties shall follow the Internal Revenue 113 Service standard mileage rates used to calculate the deductible costs of operating an automobile for business, 114 charitable, medical or moving purposes. 115 116 Sec. 15. In the event of an emergency and under emergency circumstances wherein the City Council cannot 117 reasonably hold a meeting, the City Manager is authorized to transfer and expend appropriated sums from any 118 budget account to ensure that the emergency is handled as efficiently and expeditiously as possible. Immediately 119 following the expenditure of funds under this provision,and as soon as the City Council can reasonably meet under 120 the existing circumstances, the City Manager shall notify the City Council of the reason for such action, how funds 121 were expended,and present to the City Council for adoption an emergency appropriations ordinance that sets forth 122 what measures are required to ensure that funds are forthwith restored to the appropriate accounts and that the 123 budget is balanced at the end of the fiscal year in which the emergency expenditures occurred. 124 125 An emergency is defined for the purposes of this provision as an event that could not have been reasonably foreseen 126 at the time of the adoption of the budget,and in which(i)an immediate threat to the public health,safety or welfare 127 is involved,such as clean-up after a hurricane, and/or(ii)immediate action is required to protect or preserve public 128 properties. 129 130 Sec. 16. All travel expense accounts shall be submitted on forms approved by the Director of Finance and according 131 to regulations approved by the City Council. Each account shall show the dates expenses were incurred or paid; 132 number of miles traveled; method of travel;hotel expenses;meals;and incidental expenses.The Director of Finance 133 is specifically directed to withhold the issuance of checks in the event expense accounts are submitted for "lump- 134 sum" amounts. 135 136 Sec. 17. The General Fund includes a compensation reserve totaling $32,827,489 for pay increases for City 137 employees. The direction and intent of these funds is to implement a hybrid pay plan system that includes a step 138 139 hour. The goal is to provide every full time and part time City employee a minimum 5% compensation increase. 140 These compensation reserves are to be allocated as necessary between Departments and funds to adjust salaries 141 A salary increase totaling 5% on the 142 pay date containing July 1, 2023 is hereby provided to both part-time and full-time City employees. Salary increases 143 for full-time City employees on a step plan are to receive a 2%general increase and a 3%step increase. Employees 144 not on a step plan are to receive a 2%general increase and a 3%merit increase 145 146 Sec 18. A salary increase totaling 5% on the pay date containing July 1, 2023 is hereby provided to both part-time 147 and full-time appointees within Constitutional Offices.Salary increases for full-time appointees on a step plan are to 148 receive a 2% general increase and a 3% step increase. Employees on an administrative plan are to receive a 2% 149 general increase and a 3%merit increase. 150 151 Sec.19 A salary increase of 5%on the pay date containing July 1, 2023 is hereby provided for the five Constitutional 152 Officers. 153 154 Sec.20. All or portions of the salary increase authorized by section 17 and section 18 of this ordinance is contingent 155 upon a satisfactory performance evaluation for the time period of 2022-2023 or 2021-2022 if the evaluation is not 156 due prior to July 1, 2023. Probationary employees with a satisfactory interim or annual evaluation or for 157 probationary employees whose interim evaluation is not due prior to July 1,2023,employees with no discipline shall 158 be deemed to have satisfactory performance for the purpose of the merit increase. 159 160 Sec. 18. An amount equiva4ent to'1.1 cents real estate tax,which is$27,996,608,is hereby placed in a "lockbox"to 161 be use solely for the servicing of debt associated with the 2021 Flood Protection Bond Referendum. 162 163 Sec.4421 An amount of up to$8,000,000$10,000,000 in attrition savings is hereby used to balance the Fiscal Year 164 2022 23 2023-24 Operating Budget. To accomplish this purpose, the City Manager or his designee is hereby 165 authorized to transfer savings in salary or fringe benefit accounts among General Fund supported_departments up 166 to $8,000,000 $10,000,000, notwithstanding other budgetary controls outlined in this ordinance. Of this amount, 167 $500,000 is designated for contractual services to provide full-time sworn law enforcement officers in the Virginia 168 Beach Police Department, uniformed employees in the Departments of Fire and Emergency Medical Services, and 169 Emergency Communications and Citizen Services 911 Telecommunicators access to a team of licensed mental health 170 professionals to coordinate support services. 171 172 Sec.-0 22.To ensure proper allocation of health insurance,the City Manager is hereby authorized to transfer health 173 insurance between departments and funds,in any amount notwithstanding other budgetary controls outlined in the 174 ordinance up to the total amount budgeted for health insurance, to ensure health insurance cost align with actual 175 expenditure. 176 177 Sec. 213. In Fiscal Year 2022 23 2023-24, to further improve the effectiveness and efficiency of the government in 178 service delivery,the City Council hereby authorizes the City Manager to implement any organizational adjustments 179 not otherwise set out within this budget document that may be necessary to carry out the following initiatives: 180 a. The departments throughout the City to improve existing technology services and applications and to 181 streamline the implementation of technology applications. 182 b. The City Council to secure administrative and clerical staff support and executive assistance. 183 c. The City's Automotive Services Division of the Department of Public Works to review the provision of 184 ' 185 include the sale or conveyance of City inventory and assets. 186 d. The Convention and Visitors Bureau, to provide the Resort Management Office with staff support to 187 188 189 Adjustments in furtherance of this Section , 190 191 document.Any adjustme 192 193 authority granted by this section. 194 195 , 196 transferred from the General Debt Fund to the Agriculture Reserve Program(ARP).The FY 2021 22 budget included 197 appropriations in the General Debt fund to make payment on ARP principal. The first purchases made through the 198 ARP occurred in FY 1996 97. The 25 year term on these initial purchases became due in FY 2021 22. This transfer 199 200 201 , 202 203 204 I 205 206 the City,RES 03612,adopted May 14,2013,is hereby rescinded,effective immediately. Henceforth,the recoupment 207 of special events fees shall be within the discretion of the City Manager. The City will provide safety standards and 208 209 to the special events. 210 211 Sec. 24. The appropriations herein include an amount equal to $1 per capita for the Hampton Roads Economic 212 213 214 215 Sec.24.The FY 2023-24 Operating Budget reorganized the department of Parks and Recreation between the General 216 Fund and Parks and Recreation Special Revenue Fund in the total amount of$19,256,204 and 315.72 FTEs.The City 217 Manager or his designee is hereby authorized to make adjustments to this allocation and FTEs to ensure the proper 218 alignment of resources within the department between the two funds notwithstanding other budgetary controls 219 outlined in this ordinance so long as the changes do not place an additional burden on the General Fund. 220 221 Sec. 25. Violation of this ordinance may result in disciplinary action by the City Manager against the person or 222 persons responsible for the management of the Appropriation Unit in which the violation occurred. 223 224 Sec.26.With the exception of Section 21,This ordinance shall be effective on July 1, 20223. 225 226 Sec.27. If any part of this ordinance is for any reason declared to be unconstitutional or invalid, such decision shall 227 not affect the validity of the remaining parts of this ordinance. 228 229 230 Requires an affirmative vote by a majority of all of the members of City Council. 231 232 Adopted by the Council of the City of Virginia Beach,Virginia,on the day of May, 2023. APPROVED AS TO CONTENT: S T LEGAL SUFFICIENCY: udget and Management Services i ttorney's Office City of Virginia Beach, Virginia FY 2023-24 Budget Ordinance Attachment A FY 2023-24 Adopted FD100 General Fund Agriculture 1,028,782 Board of Equalization 2,774 Budget and Management Services 1,440,815 Circuit Court 1,527,838 City Attorney 5,580,657 City Auditor 1,044,762 City Clerk 665,964 City Manager 3,439,541 City Real Estate Assessor 3,479,593 City Treasurer 7,938,987 Clerk of the Circuit Court 4,969,858 Commisioner of the Revenue 6,265,317 Commonwealth's Attorney 12,278,995 Communications Office 2,844,730 Community Organization Grants 707,960 Computer Replacements 3,087,214 Convention And Visitors Bureau 11,094,014 Cultural Affairs and Historic Houses 3,429,248 Debt Service 59,311,299 Economic Development 6,129,469 Emergency Communications and Citizen Services 12,041,822 Emergency Management 1,673,251 Emergency Medical Services 22,025,307 Employee Services 8,877,040 Finance 6,360,146 Fire 70,568,170 General District Court 531,845 Health Department 3,913,005 Housing And Neighborhood Preservation 7,588,004 Human Resources 7,699,936 Human Services 136,714,578 Independent Financial Services 188,638 Information Technology 25,321,717 Juvenile and Domestic Relations District Court 217,841 Juvenile Probation 1,475,707 Leases 3,780,869 Library 20,252,492 Magistrates 48,573 Municipal Council 687,189 Office of Performance and Accountability 875,119 Parks And Recreation 37,227,758 Planning 14,055,052 Police 122,563,672 Public Works 104,423,611 Regional Participation 11,504,277 Reserve for Contingencies 19,620,554 Revenue Reimbursements 15,084,044 Subscriptions 9,805,644 Transfer to Other Funds 590,194,246 Vehicle Replacements 6,000,000 Virginia Aquarium 16,021,491 Voter Registration and Elections 2,714,569 General Fund Appropriation Totals 1,416,323,984 FD115 School Operating Fund Debt Service 50,071,611 Public Education 916,009,516 Transfer to Other Funds 16,665,512 School Operating Fund Appropriation Totals 982,746,639 FD150 Flood Protection Referendum Reserve for Contingencies 30,750,997 Transfer to Other Funds 1,000,000 Flood Protection Referendum Appropriation Totals 31,750,997 FD190 General Debt Fund Transfer to Other Funds 1,478,174 General Debt Fund Appropriation Totals 1,478,174 FD201 Green Run Collegiate Charter School Operating Fund Public Education 4,363,929 Green Run Collegiate Charter School Operating Fund Appropriation Totals 4,363,929 FD203 School Instructional Technology Special Revenue Fund Public Education 560,840 School Instructional Technology Special Revenue Fund Appropriation Totals 560,840 FD204 School Athletics Special Revenue Fund Public Education 5,771,170 School Athletics Special Revenue Fund Appropriation Totals 5,771,170 FD210 School Equipment Replacement Special Revenue Fund Public Education 327,651 School Equipment Replacement Special Revenue Fund Appropriation Totals 327,651 FD211 School Vending Operations Special Revenue Fund Public Education 130,000 School Vending Operations Special Revenue Fund Appropriation Totals 130,000 FD212 School Communication Tower Technology Special Revenue Fund Public Education 800,000 School Communication Tower Technology Special Revenue Fund Appropriation Totals 800,000 FD213 School Cafeterias Special Revenue Fund Public Education 47,700,219 School Cafeterias Special Revenue Fund Appropriation Totals 47,700,219 FD214 School Grants Special Revenue Fund Public Education 142,411,540 School Grants Special Revenue Fund Appropriation Totals 142,411,540 FD215 School Textbooks Special Revenue Fund Public Education 6,600,738 School Textbooks Special Revenue Fund Appropriation Totals 6,600,738 FD220 School Reserve Special Revenue Fund Transfer to Other Funds 333,591 School Reserve Special Revenue Fund Appropriation Totals 333,591 FD221 Agriculture Reserve Program Special Revenue Fund Agriculture 678,791 Debt Service 6,469,524 Reserve for Contingencies 16,371 Transfer to Other Funds 990,000 Agriculture Reserve Program Special Revenue Fund Appropriation Totals 8,154,686 FD222 Law Library Special Revenue Fund Library 235,598 Law Library Special Revenue Fund Appropriation Totals 235,598 FD223 Open Space and Parks Special Revenue Fund Debt Service 1,820,662 Parks And Recreation 518,337 Reserve for Contingencies 2,525,221 Transfer to Other Funds 2,500,000 Open Space and Parks Special Revenue Fund Appropriation Totals 7,364,220 FD224 Parks And Recreation Special Revenue Fund Debt Service 3,716,702 Parks And Recreation 22,315,947 Public Works 4,074,518 Reserve for Contingencies 691,963 Transfer to Other Funds 1,574,550 Parks And Recreation Special Revenue Fund Appropriation Totals 32,373,680 FD230 Commonwealth's Attorney Forfeited Assets Special Revenue Fund Commonwealth's Attorney 100,000 Commonwealth's Attorney Forfeited Assets Special Revenue Fund Appropriation Totals 100,000 FD233 Sheriff's Office Special Revenue Fund Sheriff and Corrections 62,973,654 Transfer to Other Funds 11,600 Sheriff's Office Special Revenue Fund Appropriation Totals 62,985,254 FD240 Tourism Advertising Program Special Revenue Fund Convention And Visitors Bureau 16,016,930 Reserve for Contingencies 37,820 Transfer to Other Funds 57,083 Tourism Advertising Program Special Revenue Fund Appropriation Totals 16,111,833 FD241 Tourism Investment Program Special Revenue Fund Convention And Visitors Bureau 11,796,784 Cultural Affairs and Historic Houses 520,500 Debt Service 37,113,682 Parks And Recreation 1,029,680 Public Works 4,613,828 Regional Participation 1,205,648 Reserve for Contingencies 925,425 Transfer to Other Funds 3,968,170 Tourism Investment Program Special Revenue Fund Appropriation Totals 61,173,717 FD250 Central Business District South Tax Increment Financing Fund Debt Service 4,932,676 Reserve for Contingencies 5,423,659 Transfer to Other Funds 150,000 Central Business District South Tax Increment Financing Fund Appropriation Totals 10,506,335 FD251 Town Center Special Service District Fund Economic Development 3,082,730 Parks And Recreation 132,990 Transfer to Other Funds 645,976 Town Center Special Service District Fund Appropriation Totals 3,861,696 FD252 Sandbridge Special Service District Fund Public Works 720,259 Reserve for Contingencies 285,732 Transfer to Other Funds 4,676,341 Sandbridge Special Service District Fund Appropriation Totals 5,682,332 FD260 Federal Section 8 Program Special Revenue Fund Housing And Neighborhood Preservation 27,136,331 Reserve for Contingencies 61,763 Federal Section 8 Program Special Revenue Fund Appropriation Totals 27,198,094 FD261 State Rental Assistance Program Special Revenue Fund Housing And Neighborhood Preservation 1,241,338 Reserve for Contingencies 3,410 State Rental Assistance Program Special Revenue Fund Appropriation Totals 1,244,748 FD270 Consolidated Grants Special Revenue Fund Commonwealth's Attorney 637,528 Emergency Communications and Citizen Services 4,000 Emergency Medical Services 375,000 Fire 2,209,718 Housing And Neighborhood Preservation 3,280,101 Human Services 3,047,957 Public Works 20,000 Reserve for Contingencies 4,955 Transfer to Other Funds 300,000 Consolidated Grants Special Revenue Fund Appropriation Totals 9,879,259 FD272 Federal Housing Assistance Grant Special Revenue Fund Housing And Neighborhood Preservation 1,231,533 Reserve for Contingencies 2,616 Federal Housing Assistance Grant Special Revenue Fund Appropriation Totals 1,234,149 FD273 Community Development Grant Special Revenue Fund Housing And Neighborhood Preservation 2,474,318 Reserve for Contingencies 59,163 Transfer to Other Funds 95,163 Community Development Grant Special Revenue Fund Appropriation Totals 2,628,644 FD310 Old Donation Creek Dredging Special Service District Fund Reserve for Contingencies 83,449 Old Donation Creek Dredging Special Service District Fund Appropriation Totals 83,449 FD311 Bayville Creek Dredging Special Service District Fund Reserve for Contingencies 79,000 Bayville Creek Dredging Special Service District Fund Appropriation Totals 79,000 FD312 Shadowlawn Dredging Special Service District Fund Transfer to Other Funds 209,000 Shadowlawn Dredging Special Service District Fund Appropriation Totals 209,000 FD313 Chesopeian Colony Dredging Special Service District Fund Reserve for Contingencies 231,025 Chesopeian Colony Dredging Special Service District Fund Appropriation Totals 231,025 FD314 Harbour Point Dredging Special Service District Fund Transfer to Other Funds 108,000 Harbour Point Dredging Special Service District Fund Appropriation Totals 108,000 FD315 Gills Cove Dredging Special Service District Fund Reserve for Contingencies 15,919 Gills Cove Dredging Special Service District Fund Appropriation Totals 15,919 FD316 Hurds Cove Dredging Special Service District Fund Reserve for Contingencies 246,905 Hurds Cove Dredging Special Service District Fund Appropriation Totals 246,905 FD317 Schilling Point Dredging Special Service District Fund Reserve for Contingencies 43,916 Schilling Point Dredging Special Service District Fund Appropriation Totals 43,916 FD510 Water And Sewer Enterprise Fund Debt Service 18,934,769 Public Utilities 99,923,594 Reserve for Contingencies 3,777,810 Transfer to Other Funds 18,664,080 Water And Sewer Enterprise Fund Appropriation Totals 141,300,253 FD520 Storm Water Utility Enterprise Fund Debt Service 9,827,631 Public Works 16,238,648 Reserve for Contingencies 138,966 Transfer to Other Funds 20,317,965 Storm Water Utility Enterprise Fund Appropriation Totals 46,523,210 FD530 Waste Management Enterprise Fund Public Works 39,857,995 Reserve for Contingencies 336,520 Transfer to Other Funds 3,059,278 Waste Management Enterprise Fund Appropriation Totals 43,253,793 FD540 Parking Enterprise Fund Debt Service 654,773 Economic Development 4,500,828 Reserve for Contingencies 17,818 Transfer to Other Funds 1,046,767 Parking Enterprise Fund Appropriation Totals 6,220,186 FD600 City Garage Internal Service Fund Public Works 16,628,826 Reserve for Contingencies 240,462 City Garage Internal Service Fund Appropriation Totals 16,869,288 FD601 Fuels Internal Service Fund Public Works 8,367,672 Fuels Internal Service Fund Appropriation Totals 8,367,672 FD602 Risk Management Internal Service Fund Finance 20,324,368 Reserve for Contingencies 9,486 Risk Management Internal Service Fund Appropriation Totals 20,333,854 FD603 Landscaping Internal Service Fund Parks And Recreation 5,312,697 Reserve for Contingencies 131,363 Landscaping Internal Service Fund Appropriation Totals 5,444,060 FD605 Telecommunications Internal Service Fund Information Technology 3,184,523 Reserve for Contingencies 32,623 Telecommunications Internal Service Fund Appropriation Totals 3,217,146 FD650 School Risk Management Internal Service Fund Public Education 15,379,958 School Risk Management Internal Service Fund Appropriation Totals 15,379,958 FD651 School Flexible Benefits Forfeiture Internal Service Fund Public Education 206,000 School Flexible Benefits Forfeiture Internal Service Fund Appropriation Totals 206,000 FD652 School Health Insurance Internal Service Fund Public Education 196,510,293 School Health Insurance Internal Service Fund Appropriation Totals 196,510,293 FD801 City Beautification Fund Parks And Recreation 100,000 City Beautification Fund Appropriation Totals 100,000 FD814 Parks And Recreation Gift Fund Parks And Recreation 55,000 Parks And Recreation Gift Fund Appropriation Totals 55,000 FD817 Social Services Gift Fund Human Services 46,710 Social Services Gift Fund Appropriation Totals 46,710 FD818 Virginia Beach Library Gift Fund Library 112,000 Virginia Beach Library Gift Fund Appropriation Totals 112,000 FD400 General Government Capital Projects Fund Pay-As-You-Go Capital Projects 52,897,141 General Government Capital Projects Fund Appropriation Totals 52,897,141 FD410 Water and Sewer Capital Projects Fund Pay-As-You-Go Capital Projects 8,600,000 Water and Sewer Capital Projects Fund Appropriation Totals 8,600,000 FD420 Stormwater Capital Projects Fund Pay-As-You-Go Capital Projects 18,984,820 Stormwater Capital Projects Fund Appropriation Totals 18,984,820 FD430 Flood Protection Capital Projects Fund Pay-As-You-Go Capital Projects 1,000,000 Flood Protection Capital Projects Fund Appropriation Totals 1,000,000 FD480 Schools Capital Projects Fund Pay-As-You-Go Capital Projects 2,000,000 Schools Capital Projects Fund Appropriation Totals 2,000,000 Total Appropriations 3,480,472,315 Less Internal Services Funds 266,328,271 Less Interfund Transfers 668,045,496 Net Budget Appropriations 2,546,098,548 City of Virginia Beach,Virginia FY 2023-24 Budget Ordinance Attachment B FY 2023-24 Adopted FD100 General Fund Charges for Services 52,705,150 Utility Taxes 43,125,249 Permits,Fees,and Regulatory Licenses 9,453,844 Fines and Forfeitures 1,497,541 Miscellaneous Revenue 5,685,004 Personal Property 208,222,299 General Sales Tax 91,916,310 Hotel Room Tax 11,245,386 Business License 58,742,554 Real Estate 669,607,745 Cigarette Tax 7,260,669 Other Taxes 15,914,203 From the Use of Money and Property 8,529,849 Automobile License 10,769,956 Restaurant Meal Tax 58,729,025 Revenue from the Commonwealth 121,377,504 Specific Fund Reserves 1,734,776 Transfer In 15,254,360 Revenue from the Federal Government 24,552,560 FD100 Revenue Total 1,416,323,984 FD115 School Operating Fund Miscellaneous Revenue 3,968,341 Revenue from the Commonwealth 451,994,592 Transfer In 513,283,706 Revenue from the Federal Government 13,500,000 FD115 Revenue Total 982,746,639 FD150 Flood Protection Referendum Real Estate 31,750,997 FD150 Revenue Total 31,750,997 FD190 General Debt Fund Specific Fund Reserves 1,478,174 FD190 Revenue Total 1,478,174 FD201 Green Run Collegiate Charter School Operating Fund Transfer In 4,363,929 FD201 Revenue Total 4,363,929 FD203 School Instructional Technology Special Revenue Fund Specific Fund Reserves 560,840 FD203 Revenue Total 560,840 FD204 School Athletics Special Revenue Fund Charges for Services 65,000 Miscellaneous Revenue 489,000 From the Use of Money and Property 5,000 Transfer In 5,212,170 FD204 Revenue Total 5,771,170 FD210 School Equipment Replacement Special Revenue Fund Specific Fund Reserves 327,651 FD210 Revenue Total 327,651 FD211 School Vending Operations Special Revenue Fund Charges for Services 124,000 Specific Fund Reserves 6,000 FD211 Revenue Total 130,000 FD212 School Communication Tower Technology Special Revenue Fund From the Use of Money and Property 516,000 Specific Fund Reserves 284,000 FD212 Revenue Total 800,000 FD213 School Cafeterias Special Revenue Fund Charges for Services 13,050,890 Miscellaneous Revenue 650,000 From the Use of Money and Property 75,000 Revenue from the Commonwealth 605,000 Specific Fund Reserves 6,901,953 Revenue from the Federal Government 26,417,376 FD213 Revenue Total 47,700,219 FD214 School Grants Special Revenue Fund Miscellaneous Revenue 2,817,629 Revenue from the Commonwealth 29,694,877 Transfer In 5,089,413 Revenue from the Federal Government 104,809,621 FD214 Revenue Total 142,411,540 FD215 School Textbooks Special Revenue Fund Miscellaneous Revenue 27,000 From the Use of Money and Property 29,483 Revenue from the Commonwealth 4,972,218 Specific Fund Reserves 1,572,037 FD215 Revenue Total 6,600,738 FD220 School Reserve Special Revenue Fund Specific Fund Reserves 333,591 FD220 Revenue Total 333,591 FD221 Agriculture Reserve Program Special Revenue Fund Real Estate 6,645,558 From the Use of Money and Property 30,954 Transfer In 1,478,174 FD221 Revenue Total 8,154,686 FD222 Law Library Special Revenue Fund Charges for Services 169,305 From the Use of Money and Property 6,293 Transfer In 60,000 FD222 Revenue Total 235,598 FD223 Open Space and Parks Special Revenue Fund Restaurant Meal Tax 7,364,220 FD223 Revenue Total 7,364,220 FD224 Parks And Recreation Special Revenue Fund Charges for Services 6,384,915 Permits,Fees,and Regulatory Licenses 375 Real Estate 25,666,620 From the Use of Money and Property 321,770 FD224 Revenue Total 32,373,680 FD230 Commonwealth's Attorney Forfeited Assets Special Revenue Fund Specific Fund Reserves 100,000 FD230 Revenue Total 100,000 FD233 Sheriff's Office Special Revenue Fund Charges for Services 4,976,608 Permits,Fees,and Regulatory Licenses 4,000 Miscellaneous Revenue 3,000 From the Use of Money and Property 14,000 Revenue from the Commonwealth 21,706,135 Transfer In 36,131,511 Revenue from the Federal Government 150,000 FD233 Revenue Total 62,985,254 FD240 Tourism Advertising Program Special Revenue Fund Charges for Services 4,000 Hotel Room Tax 7,629,721 From the Use of Money and Property 49,100 Restaurant Meal Tax 8,368,432 Specific Fund Reserves 60,580 FD240 Revenue Total 16,111,833 FD241 Tourism Investment Program Special Revenue Fund Permits,Fees,and Regulatory Licenses 1,778 Hotel Room Tax 26,091,535 Cigarette Tax 518,619 Amusement Tax 7,780,275 From the Use of Money and Property 891,250 Restaurant Meal Tax 17,741,076 Specific Fund Reserves 8,149,184 FD241 Revenue Total 61,173,717 FD250 Central Business District South Tax Increment Financing Fund Hotel Room Tax 500,000 Real Estate 10,004,335 From the Use of Money and Property 2,000 FD250 Revenue Total 10,506,335 FD251 Town Center Special Service District Fund Charges for Services 194,300 Real Estate 2,370,626 From the Use of Money and Property 365,500 Specific Fund Reserves 781,270 Transfer In 150,000 FD251 Revenue Total 3,861,696 FD252 Sandbridge Special Service District Fund Hotel Room Tax 5,506,543 Real Estate 172,772 From the Use of Money and Property 3,017 FD252 Revenue Total 5,682,332 FD260 Federal Section 8 Program Special Revenue Fund Charges for Services 2,606,322 Specific Fund Reserves 180,860 Transfer In 76,000 Revenue from the Federal Government 24,334,912 FD260 Revenue Total 27,198,094 FD261 State Rental Assistance Program Special Revenue Fund Revenue from the Commonwealth 1,244,748 FD261 Revenue Total 1,244,748 FD270 Consolidated Grants Special Revenue Fund Charges for Services 40,000 Revenue from the Commonwealth 4,765,000 Transfer In 629,762 Revenue from the Federal Government 4,444,497 FD270 Revenue Total 9,879,259 FD272 Federal Housing Assistance Grant Special Revenue Fund Other Financing Sources 60,000 Revenue from the Federal Government 1,174,149 FD272 Revenue Total 1,234,149 FD273 Community Development Grant Special Revenue Fund Transfer In 539,184 Other Financing Sources 75,000 Revenue from the Federal Government 2,014,460 FD273 Revenue Total 2,628,644 FD310 Old Donation Creek Dredging Special Service District Fund Real Estate 83,449 FD310 Revenue Total 83,449 FD311 Bayville Creek Dredging Special Service District Fund Real Estate 79,000 FD311 Revenue Total 79,000 FD312 Shadowlawn Dredging Special Service District Fund Real Estate 37,119 Specific Fund Reserves 171,881 FD312 Revenue Total 209,000 FD313 Chesopeian Colony Dredging Special Service District Fund Real Estate 231,025 FD313 Revenue Total 231,025 FD314 Harbour Point Dredging Special Service District Fund Real Estate 31,424 Specific Fund Reserves 76,576 FD314 Revenue Total 108,000 FD315 Gills Cove Dredging Special Service District Fund Real Estate 15,919 FD315 Revenue Total 15,919 FD316 Hurds Cove Dredging Special Service District Fund Real Estate 246,905 FD316 Revenue Total 246,905 FD317 Schilling Point Dredging Special Service District Fund Real Estate 43,916 FD317 Revenue Total 43,916 FD510 Water And Sewer Enterprise Fund Charges for Services 135,311,910 Permits,Fees,and Regulatory Licenses 6,205 Miscellaneous Revenue 130,917 From the Use of Money and Property 442,222 Transfer In 2,223,326 Other Financing Sources 3,185,673 FD510 Revenue Total 141,300,253 FD520 Storm Water Utility Enterprise Fund Charges for Services 45,919,210 Miscellaneous Revenue 4,000 From the Use of Money and Property 600,000 FD520 Revenue Total 46,523,210 FD530 Waste Management Enterprise Fund Charges for Services 41,806,207 Permits,Fees,and Regulatory Licenses 125,000 Miscellaneous Revenue 712,286 From the Use of Money and Property 275,000 Revenue from the Commonwealth 40,000 Specific Fund Reserves 295,300 FD530 Revenue Total 43,253,793 FD540 Parking Enterprise Fund Charges for Services 5,054,886 Permits,Fees,and Regulatory Licenses 99,000 Fines and Forfeitures 541,000 From the Use of Money and Property 80,000 Specific Fund Reserves 373,300 Transfer In 72,000 FD540 Revenue Total 6,220,186 FD600 City Garage Internal Service Fund Charges for Services 16,486,902 Miscellaneous Revenue 150,000 From the Use of Money and Property 40,000 Specific Fund Reserves 192,386 FD600 Revenue Total 16,869,288 FD601 Fuels Internal Service Fund Charges for Services 8,161,527 From the Use of Money and Property 55,809 Specific Fund Reserves 150,336 FD601 Revenue Total 8,367,672 FD602 Risk Management Internal Service Fund Charges for Services 18,757,799 From the Use of Money and Property 248,259 Specific Fund Reserves 1,327,796 FD602 Revenue Total 20,333,854 FD603 Landscaping Internal Service Fund Charges for Services 5,444,060 FD603 Revenue Total 5,444,060 FD605 Telecommunications Internal Service Fund Charges for Services 3,202,146 From the Use of Money and Property 15,000 FD605 Revenue Total 3,217,146 FD650 School Risk Management Internal Service Fund Charges for Services 8,995,919 Specific Fund Reserves 6,384,039 FD650 Revenue Total 15,379,958 FD651 School Flexible Benefits Forfeiture Internal Service Fund Specific Fund Reserves 206,000 FD651 Revenue Total 206,000 FD652 School Health Insurance Internal Service Fund Charges for Services 176,510,293 Specific Fund Reserves 20,000,000 FD652 Revenue Total 196,510,293 FD801 City Beautification Fund Charges for Services 100,000 FD801 Revenue Total 100,000 FD814 Parks And Recreation Gift Fund Miscellaneous Revenue 55,000 FD814 Revenue Total 55,000 FD817 Social Services Gift Fund Specific Fund Reserves 46,710 FD817 Revenue Total 46,710 FD818 Virginia Beach Library Gift Fund Miscellaneous Revenue 112,000 FD818 Revenue Total 112,000 FD400 General Government Capital Projects Fund Parks and Recreation 8,248,593 Buildings and Assets 8,062,010 Economic and Tourism Development 5,812,308 Roadways 7,589,845 Information Technology 12,227,463 Coastal 10,956,922 FD400 Revenue Total 52,897,141 FD410 Water and Sewer Capital Projects Fund Water Utility 3,525,465 Sewer Utility 5,074,535 FD410 Revenue Total 8,600,000 FD420 Stormwater Capital Projects Fund Stormwater 18,984,820 FD420 Revenue Total 18,984,820 FD430 Flood Protection Capital Projects Fund Flood Protection 1,000,000 FD430 Revenue Total 1,000,000 FD480 Schools Capital Proiects Fund Schools 2,000,000 FD480 Revenue Total 2,000,000 Total Budgeted Revenues 3,480,472,315 Less Internal Service Funds 266,328,271 Less Interfund Transfers 668,045,496 NET BUDGET REVENUES 2,546,098,548 1 AN ORDINANCE ESTABLISHING THE TAX LEVY ON REAL ESTATE FOR 2 FISCAL YEAR 2024 3 BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA: 4 5 Sec. 1. Amount of Levy on Real Estate. 6 There shall be levied and collected for fiscal year 2023-4 taxes for general purposes on all real estate, 7 including all separate classifications of real estate set forth in the Code of Virginia, not exempt from taxation and not 8 otherwise provided for in this ordinance,at the rate of ninety-nine cents($0.99)on each one hundred dollars($100) 9 of assessed valuation thereof.The real property tax rate that has been prescribed in this section shall be applied on 10 the basis of one hundred percentum of the fair market value of such real property, except for public service real 11 property,which shall be on the basis as provided in Section 58.1-2604 of the Code of Virginia. 12 13 Sec.2. Amount of Levy on "Certified Storm Water Management Developments and Property," "Certified Solar 14 Energy Recycling Equipment, Facilities or Devices" Classified as Real Estate, and "Environmental 15 Restoration Sites,"Real Estate Improved by Erosion Controls,and Certain Wetlands and Riparian Buffers. 16 In accordance with Sections 58.1-3660(A), 58.1-3660.1, 58.1-3661,58.1-3664, 58.1-3665 and 58.1-3666 of 17 the Code of Virginia, there shall be levied and collected for general purposes for fiscal year 20223, taxes on all real 18 estate (a) certified by the Department of Environmental Quality as "Certified Storm Water Management 19 Developments and Property," (b) certified as provided by Section 58.1-3661 of the Code of Virginia as "Certified 20 Solar Energy Equipment, Facilities or Devices," or "Certified Recycling Equipment, Facilities or Devices," (c) defined 21 by Section 58.1-3664 of the Code of Virginia as an"Environmental Restoration Site,"(d)improved to control erosion 22 as defined by§58.1-3665 of the Code of Virginia, or (e) qualifying as wetlands and riparian buffers as described by 23 § 58.1-3666 of the Code of Virginia, not exempt from taxation, at a rate of ninety-nine cents ($0.99) on each one 24 hundred dollars of assessed valuation thereof. The real property tax rates imposed in this section shall be applied 25 on the basis of one hundred percentum of fair market value of such real property except for public service property, 26 which shall be on the basis as provided in Section 58.1-2604 of the Code of Virginia. 27 28 Sec.3.Amount of Levy on Real Property Owned by Certain Surviving Spouses. 29 There shall be levied and collected for general purposes for the fiscal year 2024 taxes on all real estate that 30 has been separately classified pursuant to Section 58.1-3228.2 of the Code of Virginia, at a rate of one millionth of 31 one cent ($0.000001) on each one hundred dollars of assessed valuation thereof. The application for such tax 32 classification shall be made to the Commissioner of the Revenue in the manner provided by City Code Section 35- 33 42,and the application for fiscal year 2024 shall be received prior to June 30,2023. In the event of a mid-year change 34 in qualification or residence,the Commissioner of the Revenue shall use the same proration methodology as is used 35 for the surviving spouse of servicemember killed in action tax exemption program. The applicant shall provide notice 36 to the Commissioner of the Revenue if he or she remarries or moves from such residence. 37 38 Sec.,34. Amount of Levy on Real Estate Within the Sandbridge Special Service District. 39 There shall be levied and collected for fiscal year 20234, taxes for the special purpose of providing beach 40 and shoreline restoration and management at Sandbridge on all real estate within the Sandbridge Special Service 41 District, not exempt from taxation, at the rate of two one cents ($0.021) on each one hundred dollars ($100) of 42 assessed value thereof. This real estate tax rate shall be in addition to the real estate tax rate set forth in Section 1 43 of this ordinance. For real property that qualifies for Land Use Assessment, pursuant to Division 2 of Chapter 35 of 44 the City Code, or Exemption, or Freeze for Elderly and Disabled Persons, pursuant to Division 3 of Chapter 35 of the 45 City Code,this real estate tax rate shall be applied in the same manner as the real estate tax rate set forth in Section 46 1 of this ordinance.The real estate tax rate imposed herein shall be applied on the basis of one hundred percentum 47 of the fair market value of such real property except for public service real property, which shall be on the basis as 48 provided in Section 58.1-2604 of the Code of Virginia. 49 50 Sec.-45. Amount of Levy on Real Estate Within the Town Center Special Service District. 51 For the special purpose of operating and maintaining the parking garage and providing enhanced services 52 for the plaza and public spaces within the boundaries of the service district at the Town Center, as well as other 53 additional services authorized by § 15.2-2403 of the Code of Virginia, there shall be levied and collected for fiscal 54 year 20234,taxes on all real estate within the Town Center Special Service District, not exempt from taxation,at the 55 rate of forty-five cents ($0.45) on each one hundred dollars ($100) of assessed value thereof. This real estate tax 56 rate shall be in addition to the real estate tax set forth in Section 1 of this ordinance. For real property that qualifies 57 for Land Use Assessment, pursuant to Division 2 of Chapter 35 of the City Code, or Exemption or Freeze for Elderly 58 and Disabled Persons, pursuant to Division 3 of Chapter 35 of the City Code,this real estate tax rate shall be applied 59 in the same manner as the real estate tax rate set forth in Section 1 of this ordinance.The real estate tax rate imposed 60 herein shall be applied on the basis of one hundred percentum of the fair market value of such real property,except 61 for public service real property,which shall be on the basis as provided in Section 58.1-2604 of the Code of Virginia. 62 63 Sec.-66. Amount of Levy on"Energy-Efficient Buildings". 64 In accordance with Section 58.1-3221.2 of the Code of Virginia and any relevant section of the City Code, 65 there shall be levied and collected for general purposes for the fiscal year 20234, taxes on all real estate that has 66 been classified as an energy efficient building, not exempt from taxation, at a rate of eighty-four cents ($0.84) on 67 each one hundred dollars of assessed valuation thereof. The real property tax rate imposed in this section shall be 68 applied on the basis of one hundred percentum of fair market value of such real property except for public service 69 property,which shall be on the basis as provided in Section 58.1-2604 of the Code of Virginia. 70 71 Sec.67. Amount of Levy on Properties Listed in the Virginia Landmarks Register. 72 In accordance with Section 58.1-3221.5 of the Code of Virginia and any relevant section of the City Code, 73 there shall be levied and collected for general purposes for the fiscal year 20234, taxes on buildings that are 74 individually listed on the Virginia Landmarks Register, not including the real estate or land on which the building is 75 located, so long as the building is maintained in a condition such that it retains the characteristics for which it was 76 listed on the Virginia Landmarks Register at a rate of fifty-two cents($0.52)on each one hundred dollars of assessed 77 valuation thereof. The real property tax rate imposed in this section shall be applied on the basis of one hundred 78 percentum of fair market value of such real property except for public service property, which shall be on the basis 79 as provided by Section 58.1-2604 of the Code of Virginia. 80 81 Sec.78. Amount of Levy on Real Estate Within the Various Dredging Special Service Districts. 82 There shall be levied and collected for fiscal year 202344 taxes for the special purpose of providing 83 neighborhood channel dredging of creeks and rivers to maintain existing uses on all real estate within each special 84 service district listed below: 85 a. Old Donation Special Service District,not exempt from taxation,at the rate of eighteen and four-tenths 86 cents($0.184)on each one hundred dollars ($100)of assessed value thereof. 87 b. Bayville Creek Special Service District, not exempt from taxation, at the rate of forty seven and two- 88 tenths cents($0.472)on each one hundred dollars($100)of assessed value thereof. 89 c. Shadowlawn Special Service District, not exempt from taxation, at the rate of fifteen and ninety-four 90 hundredths cents($0.1594)on each one hundred dollars($100)of assessed value thereof. 91 d. Chesopeian Special Service District, not exempt from taxation, at the rate of twenty nine and thirteen 92 hundredths cents($0.2913)on each one hundred dollars($100)of assessed value thereof. 93 e. Harbour Point Special Service District, not exempt from taxation,at the rate of twelve cents($0.12)on 94 each one hundred dollars ($100)of assessed value thereof. 95 f. Gills Cove Special Service District, not exempt from taxation, at the rate of six and three-tenths cents 96 ($0.063)on each one hundred dollars($100)of assessed value thereof. 97 g. Hurd's Cove Special Service District, not exempt from taxation, at the rate of forty-three and eight- 98 tenths cents($0.438)on each one hundred dollars($100)of assessed value thereof. 99 h. Schilling's Point Special Service District, not exempt from taxation, at the rate of forty and four-tenths 100 cents ($0.404)on each one hundred dollars($100)of assessed value thereof. 101 102 This real estate tax rate shall be in addition to the real estate tax rate set forth in Section 1 of this ordinance. Except 103 as provided explicitly in Chapter 35.3 of the Code of the City of Virginia Beach, this tax rate shall apply without 104 reduction to any properties subject to ad valorem taxes including those properties enrolled in the Exemption or 105 Freeze for Elderly and Disabled Persons,City Code§§35-61,et seq. As set forth in section 15.2-2403(6)of the Code 106 of Virginia,written consent is required to apply this tax rate to the full assessed value of properties subject to special 107 use value assessment. The real estate tax rate imposed herein shall be applied on the basis of one hundred 108 percentum (100%)of the fair market value of such real property except for public service real property,which shall 109 be on the basis as provided in Section 58.1-2604 of the Code of Virginia. 110 111 Seca-8 9 Severability. 112 If any portion of this ordinance is for any reason declared to be unconstitutional or invalid, such decision 113 shall not affect the validity of the remaining portions of this ordinance. 114 115 116 Sec.9 10 Effective Date. 117 The effective date of this ordinance shall be July 1, 20223. 118 119 Requires an affirmative vote by a majority of all of the members of City Council. 120 Adopted by the City Council of the City of Virginia Beach,Virginia, on the day of May, 2023. APPR VED AS TO CONTENT: APPROV AS TO AL SUFFICIENCY: Budget and Management Services - • e ' ffice 1 AN ORDINANCE ESTABLISHING THE TAX LEVY ON PERSONAL 2 PROPERTY AND MACHINERY AND TOOLS FOR THE CALENDAR 3 YEAR 2024 4 BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA: 5 6 Sec. 1. Amount of Levy on the General Classification of Tangible Personal Property. 7 In accordance with Chapter 35 of Title 58.1 of the Code of Virginia, taxes shall be levied and collected for 8 general purposes for the calendar year 20234 on all tangible personal property, including all separate classifications 9 of personal property set forth in the Code of Virginia, not exempt from taxation and not otherwise provided for in 10 this ordinance,at the rate of four dollars($4.00)on each one hundred dollars($100)assessed valuation thereof. 11 12 Sec. 2. Personal Property Tax Relief. 13 As required by § 58.1-3523 of the Code of Virginia, qualifying vehicles (as defined by § 58.1-3523), not 14 otherwise exempted from taxation in this ordinance or by law,shall be subject to the following: 15 1. Any qualifying-vehicle with a total assessed value of$1,000 or less will be levied no tax, reflecting a 16 reimbursement of 100%Personal Property Tax Relief Act. 17 2. Any qualifying vehicle with an assessed value of between $1,001 and $20,000 will be levied 50.4% 18 55.4%of the computed tax based on the total assessed value of the vehicle. Reimbursement is expected from the 19 Commonwealth under the Personal Property Tax Relief Act equal to the remaining 49.&°/A4.6%of the computed tax 20 on the first$20,000 of assessed value. 21 3. Any qualifying vehicle with an assessed value of over $20,000 will be levied 50.4%55.4% of the 22 computed tax based on the first $20,000 of assessed value and 100% of the computed tax based on the assessed 23 value in excess of$20,000. Reimbursement is expected from the Commonwealth under the Personal Property Tax 24 Relief Act equal to the remaining 49.6%44.6%of the computed tax on the first$20,000 of assessed value. 25 26 Sec.3. Amount of Levy on Certain Classifications of Tangible Personal Property 27 In accordance with Chapter 35 of Title 58.1 of the Code of Virginia, taxes shall be levied and collected for 28 general purposes for the calendar year 20234 on the certain classifications of tangible personal property set forth 29 below at the rate of four dollars($4.00)on each one hundred dollars($100) assessed valuation thereof. 30 a. heavy construction equipment as described in §58.1-3506 (A)(8)of the Code of Virginia; 31 b. computer equipment as described in §58.1-3506 (A)(11)of the Code of Virginia; 32 c. tangible personal property as described in(a)§58.1-3506 of the Code of Virginia as"certified pollution 33 control equipment and facilities" and (b) §58.1-3661 of the Code of Virginia as"certified solar equipment,facilities 34 or devices and certified recycling equipment,facilities or devices"; 35 d. furniture, office, and maintenance equipment as described in § 58.1-3506 (A) (24) of the Code of 36 Virginia; 37 e. all tangible personal property employed in a trade or business other than described in subdivisions A 1 38 through A 18,except for subdivision A 17,of§58.1-3503 as described in§58.1-3506(A)(26)of the Code of Virginia; 39 f. programmable computer equipment and peripherals employed in a trade or business ad described in 40 §58.1-3506(A) (27)of the Code of Virginia; 41 g. tangible personal property used in the provision of internet service as described in§58-1-3506(A)(31) 42 of the Code of Virginia; 43 h. forest harvesting and silvicultural activity as described in §58-1-3506(A) (33)of the Code of Virginia; 44 i. equipment used primarily for research, development, production or provision of biotechnology as 45 described in §58-1-3506(A) (34)of the Code of Virginia; 46 j. tangible personal property which is owned and operated by a service provider who is not a CMRS 47 provider and is not licensed by the FCC used to provide, for a fee,wireless broadband internet service as described 48 in §58-1-3506 (A) (37)of the Code of Virginia. 49 50 Sec.4. Amount of Levy on Manufactured Homes. 51 There shall be levied and collected for general purposes for the calendar year 20234 taxes on all vehicles 52 without motive power, used or designated to be used as manufactured homes,as defined by Section 36-85.3 of the 53 Code of Virginia, at the rate of ninety-nine-cents ($0.99) on each one hundred dollars ($100) of assessed valuation 54 thereof. Such property declared a separate class of tangible personal property in Section 58.1-3506(A) (10). 55 56 Sec.5. Amount of Levy on All Boats or Watercraft Used for Business Purposes Only. 57 There shall be levied and collected for general purposes for the calendar year 20234 taxes on all boats or 58 watercraft used for business purposes (both boats weighing less than five (5)tons and boats weighing five (5)tons 59 or more), except as provided for in Section 8 of this ordinance, at the rate of one dollar and fifty cents ($1.50) on 60 each one hundred dollars ($100) of assessed valuation thereof. Such property declared a separate class of tangible 61 personal property in Sections 58.1-3506(A)(35)and (A) (36). 62 63 Sec.6.Amount of Levy on All Boats or Watercraft Not Used Solely for Business Purposes. 64 There shall be levied and collected for general purposes for the calendar year 20234 taxes on all boats or 65 watercraft not used solely for business purposes weighing less than five(5)tons,and weighing five(5)tons or more, 66 except as provided for in Section 8 of this ordinance, at the rate of one dollar and fifty cents ($1.50) on each one 67 hundred dollars ($100) of assessed valuation thereof. Such property declared a separate class of tangible personal 68 property in Sections 58.1-3506(A)(1) (a)and (A) (1) (b)of the Code of Virginia. 69 70 Sec.7. Amount of Levy on Machinery and Tools. 71 In accordance with Section 58.1-3507 of the Code of Virginia,there shall be levied and collected for general 72 purposes for the calendar year 20234 taxes on machinery and tools, including machinery and tools used directly in 73 the harvesting of forest products or semiconductor manufacturing, not exempt from taxation, at the rate of one 74 millionth of one cent ($.000001) on each one hundred dollars ($100) of assessed valuation thereof. As provided by 75 § 58.1-3506 (B)of the Code of Virginia,the following personal property shall also be taxed at the rate of machinery 76 and tools: 77 a. all tangible personal property used in research and development businesses, as described in § 58.1- 78 3506(A)(7)of the Code of Virginia; 79 b. generating or cogenerating equipment, as described in §58.1-3506(A)(9)of the Code of Virginia;and 80 c. all motor vehicles,trailers and semitrailers with a gross vehicle weight of 10,000 pounds or more used 81 to transport property or passengers for hire by a motor carrier engaged in interstate commerce, as described in § 82 58.1-3506(A) (25)of the Code of Virginia. 83 84 Sec.8.Amount of Levy on Privately Owned Pleasure Boats and Watercraft Used for Recreational Purposes Only. 85 There shall be levied and collected for general purposes for the calendar year 20234 taxes on all privately 86 owned pleasure boats and watercraft used for recreational purposes only, at the rate of one millionth of one cent 87 ($.000001) on each one hundred dollars ($100) of assessed valuation thereof. Such property declared a separate 88 class of tangible personal property in Sections 58.1-3506(A) (12), (A)(28), and (A)(29)of the Code of Virginia. 89 90 Sec.9. Amount of Levy on Privately Owned Camping Trailers, Privately Owned Travel Trailers, and Motor Homes 91 Used for Recreational Purposes Only,and Privately Owned Horse Trailers. 92 There shall be levied and collected for general purposes for the calendar year 20234 taxes at the rate of 93 one dollar and fifty cents($1.50)on each one hundred dollars($100)of assessed valuation thereof on the following 94 property: (a) all privately owned camping trailers and motor homes as defined in Section 46.2-100 of the Code of 95 Virginia and privately owned travel trailers as defined in § 46.2-1900 of the Code of Virginia, that are used for 96 recreational purposes only;and (b) privately owned trailers as defined in §46.2-100 of the Code of Virginia that are 97 designed and used for the transportation of horses, except those trailers described in subdivision (A) (11)of§ 58.1- 98 3505 of the Code of Virginia.Such property declared a separate class of tangible personal property in Sections 58.1- 99 3506(A)(18)and (A) (30)of the Code of Virginia. 100 101 Sec. 10.Amount of Levy on One Motor Vehicle Owned and Regularly Used by a Disabled Veteran. 102 There shall be a reduced tax, levied and collected for general purposes for the calendar year 20234 at the 103 rate of one dollar and fifty cents($1.50)on each one hundred dollars($100)of assessed valuation,on one(1)motor 104 vehicle owned and regularly used by a veteran who has either lost, or lost the use of, one or both legs, or an arm or 105 a hand, or who is blind, or who is permanently and totally disabled as certified by the Department of Veterans' 106 Affairs.Any motor vehicles in addition to the one(1)so taxed shall not qualify for the taxation at the rate established 107 herein,and shall be taxed at the rate or rates applicable to that class of property.To qualify,the veteran shall provide 108 a written statement to the Commissioner of the Revenue from the Department of Veterans'Affairs that the veteran 109 has been so designated or classified by the Department of Veterans'Affairs as to meet the requirements of Section 110 58.1-3506(A)(19)_of the Code of Virginia,and that his or her disability is service connected. Such property is declared 111 a separate class of tangible personal property in Section 58.1-3506(A)(19)of the Code of Virginia. 112 113 Sec.11.Amount of Levy on a Motor Vehicle Owned and Used Primarily by or for Someone at Least Sixty-Five 114 Years of Age or Anyone Found to be Permanently and Totally Disabled. 115 a. In accordance with Sections 58.1-3506.1 et seq. of the Code of Virginia,there shall be a reduced tax, 116 levied and collected for general purposes for calendar year 20234, at the rate of one millionth of one cent 117 ($0.000001) on each one hundred dollars($100.00)of assessed valuation, on one(1)automobile or pickup truck 118 owned and used primarily by or for anyone at least sixty-five years of age or anyone found to be permanently and 119 totally disabled, as defined in Section 58.1-3506.3 of the Code of Virginia, subject to the following conditions: 120 1. The total combined income received, excluding the first $7,500 of income, from all sources 121 during calendar year 20212 by the owner of the motor vehicle shall not exceed twenty-two thousand dollars 122 ($22,000). 123 2. The owner's net financial worth, including the present value of all equitable interests, as of 124 December 31 of calendar year 20212 excluding the value of the principal residence and the land, not exceeding one 125 (1)acre, upon which it is situated, shall not exceed seventy thousand dollars($70,000). 126 3. All income and net worth limitations shall be computed by aggregating the income and assets, 127 as the case may be, of married individuals who reside in the same dwelling and shall be applied to any owner of the 128 motor vehicle who seeks the benefit of the preferential tax rate permitted under this ordinance,irrespective of how 129 such motor vehicle may be titled. 130 b.Any such motor vehicle owned by married individuals may qualify if either spouse is sixty-five or over or 131 if either spouse is permanently and totally disabled,and the conditions set forth in subsection(a)have been satisfied. 132 133 Sec. 12.Amount of Levy on Computer Equipment and Peripherals Used in a Data Center. 134 There shall be levied and collected for general purposes for the calendar year 20234 taxes on all computer 135 equipment and peripherals used in a data center as authorized in § 58.1-3506(A)(43) of the Code of Virginia at the 136 rate of forty cents($0.40)on each one hundred dollars($100)of assessed valuation thereof. 137 138 Sec. 13.Amount of Levy on EMS Volunteer Motor Vehicles. 139 There shall be levied and collected for general purposes for the calendar year 20234 taxes on motor vehicles 140 that meet the ownership and tax burden requirements as set forth in § 58.1-3506(A)(15) of the Code of Virginia at 141 the rate of one millionth of one cent($0.000001)on each one hundred dollars($100)of assessed valuation thereof. 142 Such property declared a separate class of tangible personal property in § 58.1-3506(A)(15) of the Code of Virginia 143 and is limited to one motor vehicle per member. The member is required to regularly respond to emergency calls 144 and the Council believes such designation may be obtained if the member has completed at least 80%of their hourly 145 duty commitment. Such property shall be subject to the certification of the applicable chief of the volunteer 146 emergency medical services agency or volunteer fire department, and if the owner or lessee discontinues active 147 volunteer participation in the activities of such volunteer emergency medical services agency or volunteer fire 148 department,the applicable chief shall forthwith provide the Commissioner of the Revenue of such change in status, 149 which shall result in the Commissioner of the Revenue issuing a prorated tax assessment in accordance with the 150 taxation of motor vehicles. 151 152 Sec. 14. Tangible Personal Property of a Business that Qualifies for the Business License Incentive Program for 153 New Businesses. 154 The tax rate applicable to the tangible personal property of a business that qualifies for the Business License 155 Incentive Program for New Businesses, such classification authorized by § 58.1-3506(A)(45), shall be one millionth 156 of one cent($0.000001)per$100 of assessed value. This tax classification shall apply for the first two years in which 157 the qualifying business is subject to tax upon its personal property in the City of Virginia Beach. 158 159 160 161 Sec. 145.Assessed Value Determination; method of filing returns for motor vehicles,trailers and boats. 162 In accordance with Section 58.1-3103 of the Code of Virginia, personal property mentioned in the above 163 sections shall be assessed at actual fair market value,to be determined by the Commissioner of the Revenue for the 164 City of Virginia Beach. As authorized by Section 58.1-3518.1,the Commissioner of the Revenue may provide for the 165 annual assessment and taxation of motor vehicles, trailers and boats based on a previous personal property tax 166 return filed by the owner or owners of such property. The Commissioner of the Revenue may also rely upon 167 registration information held by the Department of Motor Vehicles in ascertaining ownership and situs of vehicles. 168 169 Sec. 166.Severability. 170 If any portion of this ordinance is for any reason declared to be unconstitutional or invalid, such decision 171 shall not affect the validity of the remaining portions of this ordinance. 172 173 Sec. 167. Effective Date. 174 175 This ordinance shall be effective January 1, 20234. 176 177 Requires an affirmative vote by a majority of all of the members of City Council. 178 179 Adopted by the City Council of the City of Virginia Beach,Virginia, on the day of May, 2023. APPR VED AS TO CONTENT: AP D AS TO LEGAL SUFFICIENCY: B get and Management Services Cit r y's Office 1 AN ORDINANCE TO AUTHORIZE THE CITY MANAGER TO SUBMIT AN ANNUAL 2 FUNDING PLAN TO THE U.S. DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT 3 4 WHEREAS, the United States Congress established legislation designated as the Housing and Community 5 Development Act of 1974 that sets forth the development of viable urban communities as a national goal; and 6 established additional legislation addressing the goals of reducing homelessness, increasing affordable housing 7 opportunities, and providing housing for people with HIV/AIDS; 8 9 WHEREAS, there is federal assistance available to help achieve these goals and conduct related activities, 10 including additional federal assistance set aside for related programs made available through various acts providing 11 coronavirus pandemic relief and support;and 12 13 WHEREAS,as a prerequisite to receiving the above-referenced federal assistance,the City of Virginia Beach 14 has developed an Annual Funding Plan for submission to the Department of Housing and Urban Development and 15 has created the necessary mechanisms for its implementation in compliance with federal and local directives; 16 17 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 18 19 The City Manager is hereby authorized and directed, as the executive and administrative head of the City, 20 to submit the City's FY 20223-234 Annual Funding Plan (the "Plan") and amendments thereto, along with 21 understandings and assurances contained therein and such additional information as may be required, to the 22 Department of Housing and Urban Development to permit the review,approval,and funding of the Plan. 23 Adopted by the Council of the City of Virginia Beach,Virginia, on the day of May, 2023. APP OVED AS TO CONTENT: A AS TO GAL SUFFICIENCY: -} udget and Management Services ity or y's Office 1 AN ORDINANCE TO AMEND SECTIONS 35-64 AND 35-67 OF 2 THE CITY CODE AND TO ADD SECTION 35-69.1 PERTAINING 3 TO THE EXEMPTION OR DEFERRAL OF REAL ESTATE TAXES 4 FOR ELDERLY OR DISABLED PERSONS 5 SECTIONS AMENDED: §§35-64 AND 35-67 6 SECTION ADDED: §35-69.1 7 8 WHEREAS,the City Council has previously directed adjustments to the income component of the tax relief 9 for elderly and disabled persons to be adjusted annually to mirror the average increase or decrease of the value of 10 single family residences;and 11 12 WHEREAS,the median increase in the value of a single family residence for FY 20223-234 is 48-8 9.3%; 13 14 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 15 16 1. Sections 35-64 and 35-67 of the City Code are hereby amended and reordained to read as follows: 17 18 Sec.35-64. General prerequisites to grant;effect of residency in hospital, nursing home,etc. 19 20 (a) Either the exemption or freeze, but not more than one (1), as provided for in this division shall be 21 granted to persons subject to the following provisions: 22 23 (1) The title to the property for which exemption or freeze is claimed is held, or partially held, on 24 June thirtieth immediately preceding the taxable year, by the person or persons claiming exemption, deferral or 25 freeze and is occupied as the sole dwelling of such person or persons. 26 27 (2) The head of the household occupying the dwelling and owning title or partial title thereto or 28 either spouse in a dwelling jointly held by married individuals is either permanently and totally disabled or is sixty- 29 five (65) years of age or older on June thirtieth of the year immediately preceding the taxable year; provided, 30 however,that a dwelling jointly held by married individuals may qualify if either spouse is over sixty-five (65)years 31 of age. 32 33 (3) For the tax exemption programs, the total combined income received from all sources during 34 the preceding calendar year by: (i)the owner or owners of the dwelling who use it as their principal residence and 35 (ii) the owner's or owners' relatives who live in the dwelling, shall not exceed 36 ninety nine dollars ($67,599) seventy three thousand eight hundred eighty six dollars ($73,886) provided that the 37 first ten thousand dollars($10,000.00)of income of each relative,other than a spouse of the owner,who is living in 38 the dwelling,shall not be included in such total:and provided further that the first ten thousand dollars($10,000.00) 39 or any portion thereof of income received by a permanently and totally disabled owner shall not be included in such 40 total. 41 42 (4) For the tax freeze program, the total combined income received from all sources during the 43 preceding calendar year by: (i) the owner or owners of the dwelling who use it as their principal residence and (ii) 44 the owner's or owners' relatives who live in the dwelling, shall not exceed 45 two dollars ($88,202 ninety six thousand four hundred five ($96,405) dollars provided that the first ten thousand 46 dollars($10,000.00)of income of each relative,other than a spouse of the owner,who is living in the dwelling,shall 47 not be included in such total;and provided that the first ten thousand dollars($10,000.00)or any portion thereof of 48 income received by a permanently and totally disabled owner shall not be included in such total. 49 50 (5) For the tax exemption programs, the net combined financial worth, including equitable 51 interests, as of December thirty-first of the year immediately preceding the taxable year, of the owners, and of the 52 spouse of any owner, excluding the value of the dwelling and the land (not exceeding ten acres) upon which it is 53 situated, shall not exceed three hundred and fifty thousand dollars ($350,000.00). 54 55 (6) For the tax freeze program, the net combined financial worth, including equitable interests, as 56 of December thirty-first of the year immediately preceding the taxable year,of the owners,and of the spouse of any 57 owner,excluding the value of the dwelling and the land(not exceeding ten acres)upon which it is situated,shall not 58 exceed three hundred and fifty thousand dollars($350,000.00). 59 60 (7) The dwelling is occupied. 61 . . . . 62 Sec.35-67. Amount of exemption. 63 When a person claiming exemption under this division conforms to the standards and does not exceed 64 the limitations contained in this division,the tax exemption shall be as shown on the following schedule: 65 66 Total income, 67 All Sources Tax Exemption 68 $0.00—$51,588 $0.00-$56,386.00 100% 69 $51,588.01 $55,592.00 $56,386.01-$60,762.00 80% 70 $55,592.01 $59,594.00 $60,762.01-$65,136.00 60% 71 $59,594.01 $63,597.00 $65,136.01-$69,512.00 40% 72 $63,597.01 $67,59A.00 $69,512.01-$73,886.00 20% 73 74 No lien shall accrue as a result of the amount certified as exempt. 75 76 77 2. Section 35-69.1 is hereby added to the City Code to read as follows: 78 79 Sec.35-69.1.-Prorated tax exemption for partial ownership 80 To the extent allowed by Virginia Code§58.1-3211.1,.the whole or partial exemption from real property taxes 81 authorized by the Division may be extended to dwellings jointly held by two or more individuals not all of whom 82 are at least 65 or permanently and totally disabled,provided that the dwelling is occupied as the sole dwelling by 83 all such joint owners.The proportional amount of such exemption shall by determined as provided in Virginia Code 84 §58.1-3211.1. 85 86 87 3. That this ordinance shall be effective on July 1, 2023. 88 89 Adopted by the City Council of the City of Virginia Beach,Virginia, on this day of May, 2023. APPROVED AS TO CONTENT: VED AS TO LEGAL SUFFICIENCY: B dget and Management Services rn 's Office 1 AN ORDINANCE TO AMEND SECTION 37-7.1 OF THE CITY CODE 2 PERTAINING TO WATER CAPITAL RECOVERY FEES 3 4 SECTION AMENDED: §37-7.1 5 6 WHEREAS, under Virginia Code § 15.2-2119, the City Council of the City of Virginia Beach,Virginia, is authorized to 7 impose fees for the recovery of water services provided; 8 9 WHEREAS,the City held a public hearing on this fee to provide public comment;and 10 11 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 12 13 1. Section 37-7.1 of the City Code is hereby amended and reordained to read as follows: 14 15 .... 16 (2) For multiple-family dwellings,the fee shall be in an amount equal to seventy(70) percent of the applicable 17 water capital recovery fee, per dwelling unit. 18 19 (3) For irrigation meters,the fee shall be in an amount equal to twenty-five(25) percent of the applicable water 20 capital recovery fee for the equivalent size meter. 21 22 (34) For mixed-use and other buildings containing both residential and non-residential uses,separate meters shall 23 be required to serve the residential and non-residential components of the property. Fees shall be payable for 24 each meter serving the property in accordance with this section. 25 26 (45)Where a use or structure connected to the public water system is reconstructed, expanded or modified so as 27 to result in an increase in water meter size,the water capital recovery fee shall in an amount equal to the 28 difference between the fee corresponding to the size of new water meter installed to serve such use or structure 29 and the fee corresponding to the size of the water meter replaced. 30 31 32 2. That this ordinance shall be effective on July 1, 2023. 33 34 Adopted by the City Council of the City of Virginia Beach,Virginia, on this day of May, 2023. AP'ROVED AS TO CONTENT: PROV AS T EGAL SUFFICIENCY: Budget and Management Services • tt me ' Office 1 AN ORDINANCE AMEND SECTION 2-411 OF THE CITY CODE TO CREATE THE 2 DEPARTMENT OF EMERGENCY MANAGEMENT AND TO SET FORTH THE 3 FUNCTIONS THEREOF 4 5 SECTIONS AMENDED:§2-411 6 7 NOW, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA: 8 9 That the title of Article XVIII and Section 2-411 of the Code of the City of Virginia Beach, Virginia, are hereby re- 10 ordained to read as follows: 11 12 ARTICLE XVIII.—DEPARTMENT OF EMERGENCY MANAGEMENT OFFICE 13 14 Sec. 2-492.—Created;director;coordinator. 15 16 In accordance with section§44-146.19 of the Code of Virginia,an office a department of emergency management is 17 hereby created for and within the city.The city manager is hereby appointed as director of emergency management. 18 A coordinator,who shall be provided all benefits of a department director,shall be appointed by the director, with 19 the consent of council. 20 21 Adopted by the Council of the City of Virginia Beach,Virginia on the day of May 2023. Approved as to Content: A s to Legal Sufficiency: B dget and Management Services C ty Attorney's Office 1 AN ORDINANCE TO AMEND SECTION 21-240 OF THE CITY CODE 2 PERTAINING TO REIMBURSEMENT FOR EXPENSES INCURRED 3 FROM EMERGENCY RESPONSE TO DUIS AND RELATED 4 INCIDENTS 5 6 SECTION AMENDED: §21-240 7 8 WHEREAS, § 15.2-1716 of the Code of Virginia states that localities may bill a flat fee of$350 or a minute 9 by minute accounting of the actual costs incurred when responding to DUls and related incidents.As used in this 10 section, "appropriate emergency response" includes all costs of providing law enforcement,firefighting, and 11 emergency medical services. 12 13 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 14 15 1. Section 21-240 of the City Code is hereby amended and reordained to read as follows: 16 ... 17 (b)Personal liability under this section for reasonable expenses of an appropriate emergency response pursuant to 18 subsection (a)shall not exceed one thousand dollars($1,000.00)in the aggregate for a particular accident, arrest 19 or incident. In determining the"reasonable expenses" a flat fee of two hundred and fifty dollars($250.00)three 20 hundred fifty dollars($350.00) may be billed,or a minute-by-minute accounting of the actual cost incurred may be 21 billed. 22 23 24 2. That this ordinance shall be effective on July 1, 2023. 25 26 Adopted by the City Council of the City of Virginia Beach,Virginia, on this day of May, 2023 APPROVED AS TO CONTENT: ,APPROV AS TO LEGAL SUFFICIENCY: B get and Management Services rn 's Office 1 AN ORDINANCE TO AMEND SECTIONS 35-253 AND 35-254 OF 2 THE CITY CODE PERTAINING TO LOCAL 3 TELECOMMUNICATIONS SERVICE TAXES 4 5 SECTIONS AMENDED:§§35-253 and 35-254 6 7 WHEREAS,Article 4 of Title 58.1 of the Code of Virginia outlines Consumer Utility fees that may be 8 charged by a municipality. In the 2006 General Assembly Session, §§58.1-3812 and 58.1-3813.1 were repealed by 9 the Commonwealth. 10 11 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 12 13 1. Section 35-253 of the City Code is hereby amended and reordained to read as follows: 14 15 Except where the context clearly indicates a different meaning, in this article definitions of words and phrases 16 related to telecommunication or enhanced 911 service shall be provided by the provisions of sections 58.1 3812(J) 17 and 58.1 3813.1(A)58.1-648 and 58.1-1730 of the Code of Virginia. 18 19 2. Section 35-254 of the City Code is hereby amended and reordained to read as follows: 20 21 (a)Pursuant to section 58.1 3812 58.1-648 of the Code of Virginia, as amended,there is hereby imposed and levied 22 on every taxable purchase by a consumer of local telecommunication service,when such consumer's service 23 , 24 consumer of such service;provided,however,that this tax shall not be applicable to any amount so charged in 25 excess of fifteen dollars($15.00)per month for each residential consumer. there is levied and imposed, in addition 26 to all other taxes and fees of every kind imposed by law, a sales or use tax on the customers of communications 27 services in the amount of 5%of the sales price of each communications service. Such amounts are billed and 28 collected by the Commonwealth. 29 30 ( , 31 taxable purchase by a consumer of mobile local telecommunication service,when such consumer's service address 32 mer of such 33 service; provided, however,that this tax shall not be applicable to any amount so charged in excess of thirty dollars 34 ($30.00)per month for each mobile service consumer. 35 36 (c)With respect to commercial consumers of local telecommunication service,the tax shall be twenty(20)percent 37 38 of a monthly charge for any single telecommunication service to a commercial or industria.l consumer that exceeds 39 40 41 (d)Pursuant to section 58.1 3813.1 58.1 1730 of the Code of Virginia,as amended, in addition to the taxes 42 imposed by subsections(a), (b)and(c)of this section,there is hereby imposed and levied on every consumer of 43 telephone service or services provided by any corporation subject to the provisions of Title 58.1,Chapter 44 26(section 58.1 2600 et seq.)of the Code of Virginia),a tax for Enhanced 9 1 1 service in the amount of two 45 46 ($2.40)per month on July 1, 2004, and it shall increase to two dollars and sixty cents($2.60)per month on July 1, 47 2005.The tax imposed by this subsection(d)shall not apply to any local telephone service where a periodic bill is 48 not rendered. 49 50 Adopted by the City Council of the City of Virginia Beach,Virginia,on this day of May, 2023 APPROVED AS TO CONTENT: ' '"0 AS T EGAL SUFFICIENCY: '''20 .1111. NV Budget and Management Services ttor ey's 0 ice 1 AN ORDINANCE TO AMEND SECTION 31-39 OF THE CITY CODE 2 REGARDING THE WASTE COLLECTION FEE TO INCREASE THE 3 WASTE COLLECTION FEE FOR SUCH SERVICES COMMENCING 4 JULY 1,2023 5 6 WHEREAS, under Virginia Code § 15.2-928, the City Council of the City of Virginia Beach, Virginia, is 7 authorized to impose fees for providing the services to its residents of collection,management,and disposal of solid 8 waste, recyclable materials, and other refuse;and 9 10 WHEREAS,the City held a public hearing on this fee to provide public comment;and 11 12 WHEREAS, the City Council desires to have a fiscally responsible solution to solid waste collection, 13 management, and disposal. 14 15 NOW,THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA: 16 17 1. That Section 31-39 is hereby amended to the Code of the City of Virginia Beach to read as follows: 18 19 Sec. 31-39. Waste Collection Fee; billing and collection 20 21 a. That rate(s)to be charged for access to the service of solid waste collection, management, and disposal of 22 solid waste materials, and other refuse shall be as follows: 23 24 i. A waste collection fee of$25.00 $27.50 per month shall be charged to each occupied dwelling unit 25 eligible for, and each participating church receiving, City trash collection services in accordance with 26 this chapter. 27 28 b. That the billing and collection of the waste collection fee shall be pursuant to the same procedures as the 29 collection of water and sewer utility service and stormwater management charges as described in section 30 37-53. 31 32 2.This ordinance shall be effective on July 1, 2023. 33 Adopted by the City Council of the City of Virginia Beach,Virginia,on this day of May, 2023. APPROVED AS TO CONTENT: APP S TO LEGAL SUFFICIENCY: Budget and Management Services ne ' Office 1 AN ORDINANCE TO AMEND THE CITY CODE PERTAINING TO THE WATER AND 2 SEWER FEES 3 4 SECTIONS AMENDED:CITY CODE §§28-3.1, 28-4.1, 28-26, 37-7.01, 37-7.1, 37-16, 5 and 37-47 6 7 WHEREAS,under Virginia Code§15.2-2119,the City Council of the City of Virginia Beach,Virginia,is authorized to impose 8 fees for the recovery of costs for water and sewer services provided to a property owner; 9 10 WHEREAS,the City held a public hearing on this fee to provide public comment; 11 12 13 NOW,THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA: 14 15 1. That Section 28-3.1 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 16 follows: 17 18 Sec.28-3.1 Same;existing dwelling imandatory connections) 19 20 a) Sewer tap, cleanout and installation fees for existing dwellings qualifying under Section 28-2, pertaining to 21 mandatory connections to the public sewer system,shall be$450.00$760.00 for a four-inch tap. For six-inch or 22 larger taps,the fee shall be the actual cost of installation by the City. 23 24 25 2. That Section 28-4.1 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 26 follows: 27 28 Sec. 28-4.1.Sewer capital recovery fees,amount. 29 30 The sewer capital recovery fee shall be determined as follows: 31 (a) For single-family and duplex dwellings and triplexes where the dwelling units are separately-metered (per 32 dwelling unit)and for all non-residential uses: Meter Size(in inches) Sewer Capital Recovery F^^ Sewer Capital Recovery Fee 5/a $1,545.00 $2,521.00 1 $3,863.00 $6,302.00 1.5 $7,727.00 $12,603.00 2 $4-27-36-3,0G $20,165.00 3 $23 00 $37,809.00 4 $38,634.00 $63,016.00 6 $126,032.00 • 8 $123,629.00 $201,650.00 • 10 $177,717.00 $289,872.00 33 34 35 3. That Section 28-26 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 36 follows: 37 38 Sec. 28-26.Sanitary sewer charges established. 39 40 The following monthly charges are hereby established with respect to all property connected directly or indirectly 41 to the public sewer system maintained by the city: 42 1) Residential uses: 43 a) Single-family detached residences:, $19.54 effective July 1, 2009,and$22.12 effective July 1, 2011; 44 , 45 $31.58 effective July 1, 2023; and$32.37 effective July 1, 2024;and $33.18 effective July 1, 2025. 46 b) Structures with two(2)or more family residential units with one(1)connection to the public sewer 47 system, except where structures meet the criteria set forth in subsection (e), and trailer parks: 48 (1) First unit or trailer: $19.54 effective July 1, 2009,and4.$'�=-efftcive--July', 201 ; and$2446 49 effective July 1, 2012;and$27.76 effective July 1, 2013;and$30.81 effective July 1, 2014.$31.58 50 effective July 1, 2023;and $32.37 effective July 1, 2024;and $33.18 effective July 1, 2025. 51 (2) Each additional unit or trailer:$14.65 effective July 1, 2009, and$16.60 effective July 1, 2011;and 52 $18.66 effective July 1, 2012;and$20.83 effective July 1, 2013;and$23.12 effective July 1, 2014. 53 $23.70 effective July 1, 2023;and$24.29 effective July 1, 2024;and $24.90 effective July 1, 2025. 54 c) Hotels and motels: 55 (1) First room provided for occupancy: $19.54 effective July 1, 2009, and$22.12 effective July 1, 2011; 56 and$24.86 effective July 1, 2012;and$27.76 effective July 1, 2013;and$30.81 effective July 1, 2014. 57 $31.58 effective July 1, 2023;and$32.37 effective July 1, 2024;and $33.18 effective July 1, 2025. 58 (2) Each additional room provided for occupancy:$7.84-effecti my 1,2 effec-tive y-1, 59 ; 60 2014. $12.69 effective July 1, 2023; and $13.01 effective July 1, 2024;and$13.33 effective July 1, 61 2025. 62 d) Campgrounds: 63 (1) First space provided:$19.54 effective July 1, 2009,an4$22.12 effective July 2011; and $2^ 46 64 $31.58 65 effective July 1, 2023;and $32.37 effective July 1, 2024;and $33.18 effective July 1, 2025. 66 (2) Each additional space provided:$7.84effective +I 2009,and-$8.89-effect-ive-Jules 1; nd 67 , 68 $12.69 effective July 1, 2023;and $13.01 effective July 1, 2024; and $13.33 effective July 1, 2025. 69 e) If a structure or property has two(2)or more family residential units, each of which is directly 70 connected to the public sewer system owned and operated by the city,the charge for individual 71 unit(s)shall be no less than $19.54$31.58 per unit effective July 1, 2009,and$22.12 effective July 1, 72 , 73 2014.July 1, 2023;and $32.37 effective July 1, 2024;and $33.18 effective July 1, 2025. 74 f) Separately metered multi-unit structures served by a privately-owned, on-site sewer collection 75 system with a single connection point to the city's sewer system shall be charged$14.65 effective July 76 1, 2009, and$16.60$23.70 effective July 1, 2011;and$18.66 effective July 1, 2012;and$20.83 77 effective July 1, 2013;and$23.12 effective July 1, 2014.July 1, 2023;and $24.29 effective July 1, 78 2024;and$24.90 effective July 1, 2025. 79 2) Nonresidential uses:Effective July 1, 2009,for all nonresidential uses in which there is also supplied public 80 water service,the sanitary sewer service charge shall be determined by the size of the water tap through 81 , 82 83 %inch$19.61 84 1 inch24.76 85 1%inch49.02 86 2 inch74.30 87 3 inch145.85 88 '1 inch213.61 89 6 inch189.01 90 8 inch1,135.86 91 10 inch1,878.81 92 12 inch2,848.23 93 Effective July 1, 2011,for all nonresidential uses in which there is also supplied public water service,the 94 sanitary sewer service charge shall be determined by the size of the water tap through which water is 95 provided,as e-fol-lowing table: Tap Size Monthly Charge Effective July 1, 2011 %inch $22.21 1 inch 28.04 1! inch 55.52 844-5 165.18 /1 inch 275.91 64nch 553.83 1,286.00 f► 2,128.00 12 i h 3� 0 96 97 Effective July 1, 2012,for all nonresidential uses in which there is also supplied public water service,the 98 sanitary sewer service charge shall be determined by the size of the water tap through which water is 99 , Tap Size Monthly Charge Effective July 1, 2012 %inch $24.97 �+► # 31.52 4440E4 6-2 40 Vich 94.58 3 ch 18 4ifl£h34046 622.50 8 inch 1,446.00 Eh 2,392.00 3762-6-00 100 101 102 sanitary sewer service charge shall be determined by the size of the water tap through which water is 103 llowing table: Tap Size Monthly Charge Effective July 1, 2013 44064 8.06 1 inch 35.43 112 inch 70.14 # 106.31 31h 208.68 4 h 348,64 6-inch 699.67 8-inch 47625,00 10 inch 27688.00 424Reh 470-7-5:00 104 105 , 106 sanitary sewer service charge shall be determined by the size of the water tap through which water is 107 , Tap Size Monthly Charge Effective July 1, 2014 744 nch $3 1.1 5 1 inch ?A.32 77.84 2 inch 117.98 3 inch 231.60 /l inch 386.89 6 inch 776.51 8-+ 44 1,804.00 10 2� °�,00 4 1h 47-523,00 108 109 Effective July 1, 2023,for all nonresidential uses in which there is also supplied public water service,the 110 sanitary sewer service charge shall be determined by the size of the water tap through which water is 111 provided, as per the following table: Tap Size Monthly Charge Effective July 1, 2023 %inch $31.93 1 inch $40.30 1% inch $79.79 2 inch $120.93 3 inch $237.39 4 inch $396.56 6 inch $795.92 8 inch $1,849.10 10 inch $3,057.58 12 inch $4,636.08 112 113 Effective July 1, 2024,for all nonresidential uses in which there is also supplied public water service,the 114 sanitary sewer service charge shall be determined by the size of the water tap through which water is 115 provided,as per the following table: Tap Size Monthly Charge Effective July 1, 2024 inch $32.73 1 inch $41.31 1% inch $81.78 2 inch $123.95 3 inch $243.32 4 inch $406.48 6 inch $815.82 8 inch $1,895.33 10 inch $3,134.01 12 inch $4,751.98 116 117 Effective July 1, 2025,for all nonresidential uses in which there is also supplied public water service,the 118 sanitary sewer service charge shall be determined by the size of the water tap through which water is 119 provided, as per the following table: Tap Size Monthly Charge Effective July 1, 2025 %inch $33.55 1 inch $42.34 11/2 inch $83.83 2 inch $127.05 3 inch $249.41 4 inch $416.64 6 inch $836.22 8 inch $1,942.71 10 inch $3,212.36 12 inch $4,870.78 120 121 a. For all nonresidential uses in which public water service is not available,the monthly charge shall be 122 as follows: 123 (1) 0-4 commodes:$39.21 effective July 1, 2009,and$44.40 effective July 1, 2011;and$49.90 effective 124 July 1, 2012;and$55.72 effective July 1, 2013;and$61.83 effective July 1, 2014. $63.38 effective July 125 1, 2023;and$64.96 effective July 1, 2024;and $66.58 effective July 1, 2025. 126 (2) Each additional commode over four(4):$7.84 effective July 1, 2009,and$8.89 effective July 1, 2011; 127 , 128 $12.69 effective July 1, 2023; and $13.01 effective July 1, 2024;and$13.33 effective July 1, 2025. 129 The charges prescribed in this section shall be calculated for each service period by multiplying the number of days in 130 the service period by the applicable daily charge for the rates on a twelve-month basis. 131 132 133 4. That Section 37-7.01 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 134 follows: 135 136 Sec.37-7.01.Same—Existing dwellings(mandatory connections). 137 138 a) Installation fees for existing dwellings qualifying under Section 37-5, pertaining to mandatory connections to the 139 public water system, shall be as follows: 140 (1) Tap and meter fees: 141 (A) %-inch and%-inch tap: 142 Tap and meter:$493.00$1,014.00 effective July 1, 2023;and$1,073.00 effective July 1, 2024;and 143 $1,138.00 effective July 1,2025;and $1,210.00 effective July 1, 2026;and $1,289.00 effective July 1, 144 2027. 145 Meter only:$363.00$592.00 effective July 1, 2023;and$651.00 effective July 1, 2024;and$716.00 146 effective July 1, 2025;and$788.00 effective July 1, 2026;and $867.00 effective July 1, 2027. 147 (B) One inch tap: 148 Tap and meter: c $1,094.00 effective July 1, 2023;and$1,161.00 effective July 1, 2024; and 149 $1,235.00 effective July 1, 2025;and $1,316.00 effective July 1, 2026;and $1,406.00 effective July 1, 150 2027. 151 Meter only:$449.00$672.00 effective July 1, 2023;and$739.00 effective July 1, 2024; and$813.00 152 effective July 1, 2025;and$894.00 effective July 1, 2026;and $984.00 effective July 1, 2027. 153 (C) One and one-half inch or larger tap and/or meter, or where the installation requires a different size 154 tap and meter than set forth above:actual cost to the City of installation. 155 (b) "Actual cost"shall mean the average installation cost determined by the Department of Public Utilities annually 156 based upon contract unit bid prices and contract administration cost. 157 158 5. That Section 37-7.1 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 159 follows: 160 Sec.37-7.1 Water Capital Recovery Fee generally. 161 .... 162 (b) The water capital recovery fee shall be determined as follows: 163 (1) For single-family and duplex dwellings and triplexes where the dwelling units are separately-metered 164 (per dwelling unit)and for all non-residential uses: Meter Size Water Capital Water Capital (in inches) Recovery Fee Recovery Fee $ 2,267.00 $2,900.00 1 5,667.00 $7,251.00 1.5 11,333.00 $14,502.00 2 18,133.00 $23,203.00 3 34,000.00 $43,506.00 4 56,667.00 $72,509.00 6 113,334.00 $145,019.00 8 48 33n 00 $232,030.00 10 — 000 $333,543.00 165 166 167 6. That Section 37-46 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 168 follows: 169 170 Sec.37-46-Minimum service availability charges prescribed. 171 Each consumer shall pay a monthly minimum service availability charge as follows for each meter connecting his premises 172 with the city water system: 173 Meter Size y Monthly Monthly Monthly Monthly Monthly Charge: Charge Charge Charge Charge Charge Effective Effective Effective Effective Effective Effective July 1, July 1, July 1, July 1, July 1, July 1, 2010 2023 2024 2025 2026 2027 %inch $4.41 $5.00 $5.53 $6.00 $6.30 $6.61 %inch 5-56 $6.31 $6.97 $7.56 $7.94 $8.34 1 inch 7.91 $8.97 $9.92 $10.76 $11.30 $11.86 11A inch 13.56 $15.38 $17.00 $18.44 $19.37 $20.33 2 inch 20.41 $23.16 $25.59 $27.76 $29.15 $30.61 3 inch 36.31 $41.19 $45.52 $49.39 $51.86 $54.45 4 inch 59.01 $66.95 $73.98 $80.26 $84.28 $88.49 6 inch 116.31 $131.95 $145.81 $158.20 $166.11 $174.42 8 inch 184.31 $209.10 $231.06 $250.69 $263.23 $276.39 10 inch 264.31 $299.86 $331.34 $359.51 $377.48 $396.36 12 inch 1191.31 $557.39 $615.92 $668.27 $701.68 $736.77 Fire hydrant 36.31 $41.19 $45.52 $49.39 $51.86 $54.45 meter 174 175 7. That Section 37-47 of the Code of the City of Virginia Beach is hereby amended and reordained, to read as 176 follows: 177 178 Sec.37-47.Water usage rates prescribed. 179 In addition to the charges provided for in section 37-46, each consumer shall pay for water usage the rate of 180 four dollars and ninety cents ($4.90) per one thousand (1,000) gallons, as of July 1, 20 °five dollars and twenty cents 181 ($5.20) per one thousand (1,000) gallons, as of July 1, 2023; and five dollars and seventy-four cents ($5.74) per one 182 thousand (1,000) gallons, as of July 1, 2024; and six dollars and twenty-three cents ($6.23) per one thousand (1,000) 183 gallons,as of July 1, 2025;and six dollars and fifty-four cents($6.54)per one thousand (1,000)gallons,as of July 1,2026; 184 and six dollars and eighty-seven cents($6.87) per one thousand (1,000)gallons,as of July 1, 2027. 185 186 8. The effective date of this ordinance shall be July 1,2023. 187 188 Adopted by the Council of the City of Virginia Beach,Virginia, on this day of May, 2023. APPROVED AS TO CONTENT: (f32 - BudgetS TO LEGAL SUFFICIENCY: k - and Management Services Cit rn Office 1 AN ORDINANCE TO REPEAL AND UPDATE VARIOUS SECTIONS OF THE CITY CODE 2 TO MODERNIZE HUMAN RESOURCES POLICIES 3 SECTIONS AMENDED: 2-85; 2-104; 2-105; 2-106; 2-107; 2-109; 2-110; 2-111; 2- 4 112; 2-116; 2-117;and 2-117.1 5 SECTIONS REPEALED: 2-83.1; 2-83.2; 2-83.3; 2-84; 2-113; 2-114; 2-115; and 2- 6 119 7 BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA,THAT: 8 The following sections of the City Code are hereby amended and reordained to read as follows: 9 Sec.2-85. Leave and PTO Carryover 10 (a) No employee shall be required to take annual leave. No employee shall be paid for unused annual leave except 11 upon termination of employment. Upon termination,employees shall be paid straight time for accrued annual 12 leave, and payment shall be processed as expeditiously as possible. No employee shall be allowed to carry 13 more than four hundred (400) hours of accumulated annual leave from one calendar year to the next if the 14 employee is scheduled to work forty (40) hours or more per consecutive workweek, or eighty (80) hours or 15 more per consecutive pay period if exempt under or excluded from the Fair Labor Standards Act of 1938, or is 16 a sworn law enforcement officer assigned to a fourteen-day work period, excluding firefighters assigned to a 17 twenty-one-day work period. No firefighter assigned to a twenty-one-day work period shall be allowed to carry 18 more than five hundred sixty(560)hours of accumulated annual leave from one calendar year to the next,nor 19 shall any employee who terminates employment with the city receive pay for more than four hundred (400) 20 hours of accumulated annual leave if the employee is scheduled to work forty (40) hours or more per 21 consecutive workweek, or eighty(80) hours or more per consecutive pay period if exempt under or excluded 22 from the Fair Labor Standards Act of 1938, or is a sworn law enforcement officer assigned to a fourteen-day 23 work period; or five hundred sixty (560) hours of accumulated annual leave if the employee is a firefighter 24 assigned to a twenty-one-day work period. 25 (b) Part-time employees hired on or after July 1,1996,shall not be allowed to carry more than one hundred twelve 26 (112)hours of accumulated personal leave from one calendar year to the next 27 receive any monetary payout upon ter Upon 28 termination, employees shall be paid straight time for personal leave, and payment shall be processed as 29 expeditiously as possible. 30 31 .... 32 33 Sec.2-104.Original employment. 34 { Original employment shall be defined as an employee's initial period of continuous employment with the city. 35 The effective date of original employment shall usually be the date on which the employee actually begins 36 work and shall constitute the first day of the probation period. In cases when a city-recognized holiday, 37 weekend, or city manager-designated inclement weather period prohibits the employee from reporting to 38 work on the first day of a pay period, the effective date of original employment shall be appropriately 39 established by the director of human resources. 40 ( .} An individual beginning employment for the first time shall be placed at the minimum salary of the pay range 41 established for the class in which employed,or at the lowest salary received by any incumbent(s)in such class, 42 whichever is lower; provided, however, that based on a new employee's prior experience, proficiency, or 43 44 45 ion within the assigned pay range may be authorized upon written 46 , 47 manager. 48 49 Sec.2-105. Re-employment. 50 (a) Re-employment shall be defined as the employment of a former permanent or probation full-time city 51 employee following a separation from city employment of more than twelve (12) consecutive months, or the 52 employment of a former part-time city employee, hired on or after July 1, 1996, following a separation from 53 city employment of any length of time.All other conditions of section 2-104 shall apply. 54 (b) All time served in previous employment with the city shall not be counted towards the probation period, 55 annual leave,service awards,or other longevity-based employment conditions or benefits with the exception 56 of: (1) the Virginia Retirement System benefit that is determined in accordance with state law: and (2) 57 determining eligibility for the employer's contribution toward retiree healthcare premiums. Eligible veterans 58 returning to the city should refer to the Military Leave Policy and Procedure. 59 60 Sec.2-106. Reinstatement. 61 (-a} Reinstatement shall be defined as the employment of a former full time permanent or probation city employee 62 within twelve (12) consecutive months from the date of the employee's separation from the city service. To 63 be eligible for reinstatement the employee must have been in good standing at the time of separation from 64 the city service. Part-time employees separated from city employment for any length of time will follow the 65 reemployment procedure set forth in section 2-105. Furthermore, the appointing department head must be 66 in agreement and a vacancy must exist. The director of human resources shall determine the appropriate 67 merit date of the reinstated employee. The department head shall determine the position of the 68 reinstated employee and the director of human resources shall determine the appropriate salary within the 69 range of the position for the reinstated employee. Should the employee return in a lower position, the 70 employee's salary may not exceed the maximum salary of the new position. All time that a former employee 71 is employed with the city prior to separation shall be credited toward the probation period, annual leave, 72 service awards,or other longevity-based employment conditions or benefits subject to necessary adjustments 73 to account for the number of months of separation.Sick leave accrued prior to separation shall be restored to 74 employees who are reinstated to the extent that it is not transferred and used during interim employment 75 with another participating employer. 76 (b) An employee who has been retired because of a job related disability, although separated more than twelve 77 (12)consecutive months, may be reinstated provided the following criteria are met: 78 (1) The injury or disability which resulted in retirement was incurred in the line of duty; 79 80 perform the duties of the position into which the employee is reinstated; 81 ; 82 (-1) An opening for employment is available without the establishment of a new position or the reassignment 83 of personnel to accommodate the employee. 84 85 Sec. 2-107.Conversion from part-time to full-time status for employees hired prior to 86 July 1, 1996. 87 (a) Conversion shall be defined as the change, upon the request of the employing authority,from part-time status 88 to probation or permanent status. Upon such conversion,the director of human resources shall credit towards 89 probation, annual leave, service awards and merit increases, all prior time worked in a part-time status to 90 those employees converted to probation or permanent status.Conversion status will be awarded only to those 91 employees who have rendered acceptable service during their part-time employment.The director of human 92 resources shall not approve any conversion unless there is an established permanent budgeted position. 93 (b) 94 95 96 shall be awarded only to those employees who have rendered acceptable service during their temporary 97 98 Employees converted from full-time status to part-time status or from part-time status to full-time status shall 99 have prior time worked credited towards probation and annual leave on the effective date of conversion. 100 101 Sec.2-109.Changes in pay generally. 102 (a) Administrative increase. An administrative increase shall be defined as an increase within a class that is 103 awarded to an employee based on criteria established by administrative directive. Employees may be 104 recommended for an administrative increase upon submission of a letter of justification by the respective 105 department head to the director of human resources, subject to the approval of the City Manager. Are 106 administrative increase does not affect the employee's merit date. A temporary administrative increase may 107 be granted to a City employee by the City Manager, at his/her sole discretion, when the City Manager has 108 assigned the employee a temporary new role;temporary oversight responsibilities for a program,department 109 or office; or due to a temporary reorganization. The temporary bi weekly pay adjustment cannot exceed ten 110 (10)percent of the incumbent's current bi wzz lly salary er exceed eighty (80) percent of the Ci* Manager's 111 112 113 , 114 115 City Council approval,shall more than ten (10)employees at one time, and no more than twenty(20)in total 116 in a fiscal year, be compensated under this provision. Within thirty(30)days of the end of the fiscal year, the 117 118 . 119 120 (b) Merit increase. A merit increase shall be defined as a salary increase within the pay range of the class to which 121 the employee is assigned that is awarded based on job performance in accordance with the city's performance 122 appraisal program. A formal performance appraisal shall be conducted for each employee on the employee's 123 respective merit date and each succeeding merit date thereafter. Merit increases shall become effective on 124 the employee's merit date as provided in section 2 116 date established by the City Manager and approved in 125 the budget by the City Council and shall only be awarded to full-time permanent employees. Merit increases 126 shall be prorated if a promotion, career pr , 127 The amount of the merit increase shall be prorated based on the length of time assigned to the classification 128 . 129 (c) Administrative decrease. An administrative decrease shall be defined as a salary reduction within a class as 130 131 ime and requires a letter 132 of justification submitted by the appropriate 133 the city manager.Merit dates arc not affecte 134 The effective date ef a#IFAi-strative decreases will be the first day of the pay period. 135 ( MteFket-eiljos-t-rFet-adiu-stment-s-h-a-1-1-lae-defi-Reel-a-s-a-peFeentage-i-Rer-ea&e4e-pay-Fafiges-A-R-th-e-eityls 136 137 range. A market adjustment sha44be r 138 ' 139 (e} Shift differential. A shift differential policy shall be established by the Department of Human Resources and 140 approved by the City Manager. Eligible classifications shall be maintained by the Department of Human 141 Resources. 142 143 commences on or between the hours of 3:00 p.m.to 3:00 a.m. Such employee shall receive the equivalent of 144 a five(5) percent increase in his or her normal salary rate for all hours worked during such time period only. 145 146 the city manager, and employees designated by the dir-ecteer cif-Human rresourees as "exempt „der ;f 147 Labor Standards Act,work shall be ineligible under the provisions of this subsection. 148 (d)(#}[Bonuses.]The city manager is authorized to establish bonus programs to address a variety of needs, including 149 recruitment, retention, and performance. Bonuses may be provided to employees in accordance with 150 applicable administrative directives and guidelines. A "bonus" shall be defined as a lump-sum payment to an 151 employee that is not part of the base salary. 152 153 Sec. 2-110. Promotion. 154 {�} A promotion shall be defined as an advancement by an employee to a classification assigned a higher pay range 155 with more complex job duties and responsibilities. Unless the city manager shall determine otherwise and 156 notifies city council of that determination for a non-competitive promotion in advance of promotion, no 157 employee may be promoted unless there is a position vacancy and the employee is selected pursuant to a 158 competitive selection process that is either restricted to current employees or open to the general public. 159 { } , 160 , 161 whichever results in the higher salary;for a promotion of two(2)or more pay ranges,the employee will receive 162 a salary increase of ten(10)percent,or the minimum salary of the pay range,whichever results in the higher 163 salary.The city manager has discretion to adjust the pay increase,or to deny a pay increase,to the incumbent's 164 salary based on the organizational structure,compression factors,level of supervisory responsibilities,position 165 in pay range,inter , 166 shall not delegate this authority 167 168 or her merit date and is eligible for a merit increase shall also receive t 169 performance appraisal in addition to the pay increase received for the promotion. 170 171 Sec.2-111. Demotion. 172 (a) A disciplinary demotion shall be defined as an assignment to a new classification with an assigned pay range 173 lower than the assigned pay range of an employee's present classification as a result of disciplinary action. In 174 cases of disciplinary demotion, the employee's assigned salary will be determined by the director of human 175 resources 176 demotion. 177 (b) A voluntary demotion shall be defined as an assignment to a new classification with an assigned pay range 178 lower than the assigned pay range of an employee's present classification that is initiated with the concurrence 179 of the employee. In cases of voluntary demotion, the employee's assigned salary will be determined by the 180 director of human resources and the anniversary date will not be adjusted. 181 182 Sec.2-112. Reclassification. 183 (a-} A reclassification shall be defined as a reassignment of the appropriate job title and pay range of an employee 184 whose job responsibilities have been determined by the director of human resources to have evolved to a 185 degree that the present job classification does not accurately reflect the actual duties performed. When such 186 position cannot accurately be described or compensated by assignment to an existing class, the director of 187 human resources shall establish a new class with appropriate range and title, subject to the approval of the 188 city manager. When a position is reclassified, and reassigned to a higher pay range, the incumbent's salary 189 shall be adjusted in the same manner as set forth in section 2 110(b). In cases where an incumbent's salary is 190 below the minimum salary assigned to the new range,the incumbent will be assigned the minimum salary of 191 the new range. 192 (-b , 193 all employees in the reclassified position at the time of reclassification shall, continue to be compensated at 194 the salary received at that time. 195 (E} , 196 may exceed the highest stepmed a promotion. 197 198 Sec.2-116. Merit date. 199 The merit date shall be defined as the date on which an employee becomes eligible for a merit increase.The 200 201 days of sick leave,injury leave,suspension,or leave without pay status.The employee's first merit date shall coincide 202 with the completion of the probation period.be twelve(12)months from the date assigned to his or her present job 203 class. Thereafter, the merit date shall be one (1) year from the date of any personnel action that includes an 204 adjustment to the employee's pay. the last promotion, career progression, change of job duties, disciplinary 205er--awafel-er-eten-ia-l-ef-a-Me-F4--i-FfeFease-1-14wever-rwher-e-a-ve4Rtafy-ele-metio++45--inveWee17444e-employeels 206 present merit date will remain unchanged. 207 208 Sec. 2-117.Career Progression. 209 {-a} A career progression shall be defined as an advancement by an employee to a higher pay within a defined 210 classification series.A career progression does not require a position vacancy. 211 (-133 When a career progresses action occurs is an employeciorthe employee's salary will-be used as follows: 212 ge,the employeese of five(5)percent or 213 the minimum salary of the pay range, whichever results in the higher salary; for a career progression of two 214 , 215 of the pay range, whichever results in the higher salary. The city manager has discretion to adjust the pay 216 increase, or to deny a pay increase, to the incumbent's salary based on the organizational structure, 217 compression factors,level of supervisory responsibilities,position in pay range,internal equity,or other factors 218 219 exercise it only on a limited basis. 220 ({} 221 a career progression on his or her merit date and is eligible for a merit increase may also receive the merit 222 increase based on the employee's performance appraisal in addition to the pay increase received for the career 223 progression. 224 225 Sec. 2-117.1. Change in pay range for class. 226 A change in pay range for class shall be defined as a reassignment upward or downward of the appropriate 227 pay range assigned to a job classification as recommended by the director of human resources and approved by the 228 city manager. , 229 230 , 231 232 BE IT FURTHER ORDAINED,THAT: 233 234 The following sections of the City Code are hereby repealed: 235 236 237 238 as witnesses in nonper.soeal lit-igation.Any f-ees received-by such persons for service as witnesses shall be paid to the 239 city, or an equal amount shall be deducted from the 240 241 Sec.2-83.2. Bereavement leave, 242 (a) All full time merit employees of the city shall be eligible to receive leave with pay upon the death of a member 243 of such employee's immediate f 244 245 six(56)hours.Such leave cannot be saved and used at a later date. 246 (b) All part time employees shall be granted time off with pay for the portion of their regular weekly work schedule 247 , 248 249 250 All full time merit employees of the city shall be eligible to receive paid jury leave when summoned to serve 251 as jurors.The conditions upon which the city requires payment received by such employees for jury service will be 252 provided in an administrative policy promulgated by the city manager or designee. 253 254 • 255 , 256 in the hybrid retirement plan, all employees eligible to receive enhanced retirement benefits in hazardous duty 257 positions all employees hired on or after January 1, 2014 with Virginia Retirement System creditable service,and all 258 part time employees hired prior to July 1, 1996, shall earn annual leave and, with supervisory approval, may utilize 259 260 (1) All full time employees or appointees who arc scheduled to work forty (10) hours or more per consecutive 261 workweek or eighty(80)hours or more per consecutive pay period if exempt under or excluded from the Fair 262 , 263 i . 264 265 less than five(5)years of full time employment. 266 (b) Ten (10)hours per month for each month of employment for employees having accrued the equivalent of 267 five(5)or more years, but less than ten(10)years,of full time employment. 268 (c) Twelve(12)hours per month for each month of employment for employees having accrued the equivalent 269 of ten(10)or more years, but less than fifteen(15)years,of full time employment. 270 (d) Fourteen (14) hours per month for cvch month of employment for employees having accrued the 271 equivalent of fifteen(15)or more years, but less than twenty(20)years,of full time employment. 272 (e) Sixteen(16)hours per month for each month of employment for employees having accrued the equivalent 273 of tweet er more years of full time employment. 274 (2) All firefighters assigned to a twenty one day work period shall be credited with: 275 (a) Eleven and two tenths (11.2) hours per month for each month of employment for employees having 276 accrued the equivalent of less than five(5)years of full time employment. 277 (b) Fourteen (14) hours per month for each month of employment for employees having accrued the 278 equivalent of five(5)or more years, but less than ten(10)years,of full time employment. 279 (c) Sixteen and eight tenths (16.8) hours per month for 280 accrued the equivalent of ten(10)or more years, but less than fifteen(15)years,of full time employment. 281 (d) Nineteen and six tenths (19.6) hours per month for each month of employment for employees having 282 accrued the equivalent of fifteen (15) or more years, but less than twenty (20) years, of full time 283 284 (e) Twenty 285 accrued the equivalent of twenty(20)years or more of full time employment. 286 {3) Part time employees employed prior to July 1, 1996,shall continue to be credited with annual leave on a basis 287 proportionate to that awarded full time employees as set forth in subsection(1)above. Part time employees 288 employed on or after July 1, 1996, will accrue a maximum of eight (8) hours of personal leave per month 289 prorated based on the number of hours worked; provided, however, that the provisions of subsection (1) 290 above shall not be applicable to part time employees. Part time employees who have worked the equivalent 291 of six(6)calendar months may utilize accrued personal leave,with supervisory approval. 292 (4) Records shall be kept within each department of the annual leave accumulated and taken by each employee 293 , 294 department of human resources. 295 (5) Under no circumstances shall annual leave be granted in advance of its accrual or paid in lump sum except 296 297 (6) When an employee is in a nonpay status for portions of a calendar month,then annual leave accrual for such 298 month shall be reduced accordingly by the director of human resources to reflect the employee's nonpay 299 status. :suo1s!AOJd 5utMo!!o4 agl uo poscq Jneot)pis JA!JJaJ of Jtq!Otta oq Itegs aD!AJJs olgcl!pan wolsAS luowoi!1Jg 6tE sooRotdwo puc `suotlisod Alnp snopiezeg u! sl+tauaq 817E luowai!laJ poJuequa an!aJaJ of otgt5tlo sooAotdwa Ile 'ueid luowajllaj p!igAq an u! aledpt ied of poldo LtE lou oAeg oyM t iOZ 't Aienuef of Jo!Jd poJtq soolutodde puc saaAotdwa ipeog c!u!SJtA jo Al!' owll !IN 'iv (q) 9tE •sluowlu!odde SVE ` VVE 'ssoutl! Ieuosiod 4o spouod 0uunp JoRotdwa ue of poluei5 Red Lill! oneot se poui4op aq Hats oneo! )p!S (e) Et'£ ZtE It7E •poleD!put Rep JepuoteJ Jgl OtiE 6EE °A polio oyl 'uoneiedos to soseJ lie u! •pOleptpu!Rep JcpuolcJ Jql uo pouod 1JOM potnpotps R,JeinSoJ s,00Rotdwo SEE LEE . 9EE SEE •uotpe uonc edas aleudoidde an Aq pouwonog oq tteys Rep DEE EEE owM oaRoidwa teuoseas e to luowAotdwa woJ} uoneiedas ogl oq !legs luowAotdwa leuoseas jo uoilotdwoj (0) ZEE •suoticiap!suoD Rielo5pnq of onp uolleiedos Jo uowsod s,00Rotdwo ZEE Jgl Jo4 suogeD!4!tenb wnw!u!w an loow of onunuoJ of Awe!cut s,oaAotdwa ue 4o s!seq Jql uo touuosiod OEE 6ZE . . 8ZE Aq oinllet c oq !legs Jeodde of oinlie (a) LZE •13npuoJsiw Jo aDuewJo4Jod)IJOM AJope#sllesun s,oaAotdwa ayl to 9ZE SZE •sopuoge teiopo}Jo/pue owls wOJ}slt4auoq D'ZE luawaillaJ 9u!A!aDaJ utgoq of potnpogJs s! own oaRoldwa own lint c to uolleiedas an oq !legs luowoJllO�t (a) EZE ZZE TZE ooRotdwo Rieiodwol e to luowAotdwo woJi uollcJcdos oyl oq Heys luowAotdwo AJeiodwol to uolloldwop (q) OZE 6TE butRotdwa ogl of uo!leait!lou 145noigl luawRotdwa woJ4 uotleicdas RJeluntoA e og !legs uo! eu9tsob (c) STE LIE 9TE STE jo oz9ueLp ou 'sluowliedop uoaMloq Ja}sueil soaRotdwa uogM 'astMJoglo •Aidde !legs uotpc oleudoidde VIE £TE Jojsueil e paioptsuoJ oq ttcgs JJqnoue of opop neainq teluowliedop auo woJ4 oaRoidwa ue jo JJ4suCJl v (q} ZIE is to JSucyD ou 'luowlicdop T I E �yl UIg1tM JJ4SUeJI sooRotdwo uogM 'os,MJog10 •Atdde !legs uoipe oleudoidde oql to son ogl 'uo!lowop OTE 60E Begs luowliedop owes an Ulyl!M Jogloue of opop neeJnq teluowlJedop auo w0J4 JJAoIdwo ue 4o Jo4SueJl V (e) 80E LOE 90E •lcnoiddc punop Rl!)of po(gns SOE DOE ` EOE poldo oneg oqM trIOZ 'I AJenuec aiotoq pai!q soaRotdwa pine 'aD!AJas otelelipaiJ apt/dos luowaJilatt e!u! J!A ZOE yl!M poJ!g sooRotdwa pue suontsod Alnp snopiezeg u! sl!}auaq luowoJlloJ poJuequo Jo4 olgAlo sooRotdwo TOE to uogdaDxa aql Lilt! 'biOZ 'T RJenue[' Jaw JO uo paJ!g soaRotdwa gJeag e!u!SJ!A ;o AltD own !IN !iv (L) OOE 350 (1) Sick leave shall be credited at the rate of eight (8) hours per mantla bf employment with the city. A 351 proportionate number of hours shall be award ' 352 . 353 (2) The department head may at any time require the employee to provide written medical documentation of 354 his illness. 355 (3) All employees eligible to accrue sick leave who were employed prior to the effective date of this section 356 shall begin the sick leave system with a "beginning balance"of available sick leave hours. 357 ('1) An employee's"beginning balance"shall be determined by subtracting the hours of sick leave used by such 358 employee prior to the effective date of this section from those hours which would have been earned under 359 the provisions of this section had it been in effect since January 1, 1963. In the event that records which 360 arc necessary to compute an employee's"beginning balance"arc unavailable,it shall be assumed that each 361 362 (5) The"beginning balance"of sick leave hours available for use by an employee as of the effective date hereof 363 shall be noted in the employee'-s personnel file. However, those employees with a negative "beginning 364 balance"shall begin with a balance of zero sick leave hours. 365 (6) Firefighters assigned to fifty six(56)hour per workweek positions shall be credited with sick leave at a rate 366 of eleven and two tenths(11.2)hours per month. 367 (7) An employee's sick leave balance shall revert to a zero balance upon the change in number of hours from 368 full time status to part time status. 369 (8) Employees in an approved extended sick leave status(more than five(5)working days)on January 1, 1986, 370 shall remain under the provisions of the city's current sick leave policy until their return to work. Upon the 371 employee's return to work, his or her beginn 372 373 (c) Part time employees shall not be eligible to receive sick leave. 374 (d) All City of Virginia Beach full time employees hired on or after January 1,2014 with the exception of employees 375 eligible for enhanced retirement benefits in hazardous duty positions and who arc hired with Virginia 376 Retirement System creditable service, and all full time employees hired after January 1, 2014, and full time 377 , 378 be eligible to receive sick leave and shall receive paid time off in lieu of sick leave as set forth in the applicable 379 City of Virginia Beach Human Resources policy.Any and all future changes to paid time off shall be subject to 380 city council approval. 381 382 Adopted by the Council of the City of Virginia Beach,Virginia, on the day of May, 2023. APPROVED AS TO CONTENT: APPROVED AS TO LEGAL SUFFICIENCY: 76\--Ax 0/41 I I I I riv/Mayer Iv Budget and Management Services City Attorney's Office 1 AN ORDINANCE TO ADOPT THE FY 2024 - FY 2029 CAPITAL 2 IMPROVEMENT PROGRAM AND TO APPROPRIATE FUNDS FOR THE FY 3 2023-24 CAPITAL BUDGET SUBJECT TO FUNDS BEING PROVIDED FROM 4 VARIOUS SOURCES SET FORTH HEREIN 5 WHEREAS,the City Manager,on March 21,2023,presented to City Council the Capital Improvement Program for Fiscal 6 Years 2023-24 through 2028-29; 7 8 WHEREAS,the City Council held a public hearing on the program to provide for public comment; 9 10 WHEREAS, the City Council has determined the need for certain projects in the Capital Improvement Program; and 11 12 WHEREAS, it is necessary to appropriate funds for both existing projects and projects beginning in Fiscal Year 2023-24, 13 as set forth in said Capital Improvement Program. 14 15 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 16 17 Section 1. The Capital Improvement Program, as modified, for the construction of, or addition to, capital facilities 18 identified for Fiscal Years 20223-234 through 20278-289 is hereby adopted, and the projects listed therein are hereby 19 approved as capital projects. 20 21 Section 2. The projects shall be financed from funds to be appropriated periodically by City Council, and until funds 22 are so provided, the projects are for planning purposes only and may be deleted, altered, or rescheduled in any manner at 23 any time by City Council. 24 25 Section 3. Funds in the amounts aggregating $375,640,111 for capital projects in the Capital Budget for Fiscal Year 26 20223-234, as set forth in said Capital Improvement Program, are hereby appropriated, by project and subject to the 27 conditions set forth herein. The amount of funding for individual projects is set forth in "Attachment A — Capital Budget 28 Appropriations,"a copy of which is attached hereto. 29 30 Section 4. In accordance with Section 2-196 of the City Code, financing sources in support of the Capital Budget for 31 Fiscal Year 20223-234 as set forth in said Capital Improvement Program is attached to this ordinance as "Attachment B — 32 Financing Sources." 33 34 Section 5. Capital project funds appropriated in prior fiscal years are to be adjusted in accordance with said Capital 35 Improvement Program and reallocated as identified in "Attachment C—Transfers," a copy of which is attached hereto. 36 37financing sources in support of the Capital Budget for Fiscal Year 20223 234 as set forth in 38 said Capital Improvement Program are attached to this ordinance as "Attachment D—Changes in Financing Sources." 39 40 Section 7. Department of Transportation, 41 $1,710,000 of appropriated funds from the Commonwealth for Project if 100058 "Centerville Turnpike Phase Ill" is hereby 42 modified to$1,710,000 in funds from the federal government;$459,000 of appropriated funds from the Commonwealth for 43 Project # 100123 "Cleveland Street Improvements Phase IV" is hereby modified to $459,000 in funds from the federal 44 " 45 modified to $860,000 in funds from the federal government. In accordance with best financial practices and to avoid 46 arbitrage, previously authorized Stormwater Revenue Bonds totaling $61,009, are hereby deauthorized and replaced with 47 interest earned through the Virginia State Non-Arbitrage Program (SNAP). In addition, previously authorized Public Facility 48 Revenue Bonds in the total amount of$137,749, are hereby deauthorized and replaced with interest earned through the 49 Virginia State Non-Arbitrage Program (SNAP). 50 51 52 Section 8. In accordance with actual realized revenue at the completion of the projects, $682,718 in estimated 53 54 Camp Pendleton Improvements Projects. In accordance with best financial practices and to avoid arbitrage, previous 55 appropriations from authorized General Obligation bonds totaling $1,060,445 are herby reduced and replaced with 56 interest earned through the Virginia State Non-Arbitrage Program (SNAP). 57 58 Section 9. Additional appropriations,the addition of capital projects,and changes in project scope shall not be initiated 59 except with the consent and approval of the City Council first being obtained. An appropriation for a project in the Capital 60 Improvement Program shall continue in force and,to the extent required by law, re-appropriated for use in Fiscal Year 20223- 61 234 until the purpose for which it was made has been accomplished or abandoned. 62 63 Section 10. All contracts awarded for approved and appropriated capital projects, exclusive of school projects, must 64 be certified as to the availability of funds by the Director of Finance prior to the initiation of work on the contract. 65 66 Section 11.Subject to any applicable restriction of law or of any bonds or bond issue,the City Manager or the Director 67 of Budget and Management Services is authorized to approve transfers of appropriations in an amount up to $100,000 68 $250,000 between capital projects as may best meet the needs of the City. The City Manager shall make a monthly report to 69 the City Council of all transfers between $25,000 and $100,000$250,000. The City Manager or the Director of Budget and 70 Management Services is hereby authorized to establish and administer the budgeting of capital projects consistent with best 71 management practices, reporting requirements and the Capital Improvement Program adopted by the City Council. 72 73 Section 12. To ensure timely completion of water and sewer projects, appropriations for water and sewer companion 74 projects may be transferred between these projects by the City Manager (or designee). "Companion projects" mean water 75 and sewer projects having the same name or project scope and description with the exception of"water" or "sewer" being 76 in the title and/or project scope and description. 77 78 Section 13. To ensure timely completion of Flood Protection projects, appropriations for companion projects within 79 the same "master project" may be transferred by the City Manager or his designee. "Master Project" refers to any of the 80 seven umbrella projects as identified earlier within this document. These transfers will be reported to the Flood Protection 81 Citizen Oversight committee monthly. 82 83 Section 14.To ensure prompt construction contract execution and to mitigate the impacts of inflation on authorized 84 capital projects,transfers in excess of$100,000 may be made in FY 2022 23 between capital projects within the same capital 85 improvement section if such additional funding is immediately needed to issue a construction contract.These transfers will be 86 reported to City Council monthly. To the extent practicable, any such transfer should not materially jeopardize the schedule 87 of the project from which the funds are transferred. 88 89 Section 15. Notwithstanding other outlined budgetary controls,the City Manager or his designee, is hereby 90 authorized to transfer up to$12,000,000$3,900,000 between from 100146"Atlantic Park Entertainment Venue"and 100606 91 "Atlantic Park Offsite Infrastructure"to 100147"Atlantic Park Parking" based on the guidance provided in the May 2, 2023 92 Reconciliation Letter. For purposes of adding certain project enhancements,the City Manager may increase the contract for 93 the parking facilities in 100147 above the$30,000 per space cap in the Atlantic Park Development Agreement. Within 30 days 94 after any Prior to such a-transfer or authorization above the parking space cap,the City Manager will provide a report to City 95 Council expressing the intent, reasoning, and amount of the transfer. 96 97 Section 16. The City Manager or the Director of Budget and Management Services is hereby authorized to change, 98 subject to any applicable restriction of law or of any bonds or bond issue,the financing sources for the various capital projects 99 included in this or previous ordinances to reflect effective utilization of the financing sources and actual collections and/or 100 realized revenues. If the financing sources in support of capital projects decline, the City Manager or the Director of Budget 101 and Management Services is authorized to reduce,subject to any applicable restriction of law or of any bonds or bond issue, 102 those appropriations to equal the changed financing source. The City Manager must give prior notice to the City Council of 103 any reductions to total appropriations exceeding$100,000$250,000. The notice to City Council shall identify the basis and 104 amount of the appropriation reduction and the capital projects affected.The accounting records of the City will be maintained 105 in a manner where the total of financing sources is equal to the total appropriations for each of the City's capital projects 106 funds. 107 108 Section 17. The Capital Improvement Program debt management policies contained and included in the Resource 109 Management Plan document shall be the policy guidelines of the City, and the City Manager shall annually report on the 110 status of those guidelines and the projected impact of the proposed Capital Improvement Program on those guidelines,such 111 information to be included in the Resource Management Plan submittal. The City Manager may propose modifications to 112 those policies and guidelines through the Resource Management Plan. 113 114 Section 18. Subject to the appropriation of sufficient funds within a capital project, the acquisition of real property 115 necessary for the project is authorized by means of voluntary negotiation with willing sellers. 116 117 Section 19. Attachment B of this Ordinance includes $84,765,779 of funding using Public Facility Revenue Bonds 118 ("PFRB Financing"). "Attachment€ D—Projects Utilizing Public Facility Revenue Bonds," attached hereto and incorporated, 119 provides a list of projects that include PFRB Funding and the amount of PFRB Funding for Fiscal Year 2022-3-234. Without 120 changing the amount of total PFRB Funding authorized by this Ordinance,the Director of Finance is authorized to adjust the 121 allocations and/or amounts among the projects to ensure that the tax-exempt status for any resulting bonds is retained. 122 123 Section 20.Violation of this ordinance shall result in the City Manager taking disciplinary action against the person or 124 persons responsible for the capital project in which the violation occurred. 125 126 Section 21. If any portion of this ordinance is for any reason declared to be unconstitutional or invalid, such decision 127 shall not affect the validity of the remaining portions of this ordinance. 128 129 Section 22. This ordinance shall be in effect from the date of its adoption; however,appropriations for the Fiscal Year 130 20223-234 Capital Budget shall be effective on July 1, 20223. 131 132 Requires an affirmative vote of the majority of the members of City Council 133 134 Adopted by the Council of the City of Virginia Beach,Virginia, on the day of May, 2023. 135 APPROVED AS TO CONTENT: APP (1v D AS TO LEGAL SUFFICIENCY: Girl'Inv millirr rillr E51/ udget and Management Services it s f e Attachment A-Capital Budget Appropriations Appropriations Project Number Projects FY24 Buildings and Assets PG100047 Facilities Access Systems 425,000 PG100138 Convention Center Capital Maintenance 803,000 PG100165 Energy Performance Enhancements(City) II 550,000 PG100170 Facilities Planning Services 250,000 PG100175 Fire Apparatus IV 2,265,975 PG100176 Fire Facility Rehabilitation and Renewal III 1,000,000 PG100178 Fire Training Center Improvements IV 300,000 PG100203 Heritage Building Maintenance II 300,000 PG100225 Judicial Center Maintenance 70,000 PG100260 Beach Maintenance Facility 2,866,529 PG100325 Public Safety Equipment Replacement Project 1,450,000 PG100437 VA Aquarium Bldg Systems&Facility Infrastructure II 1,434,540 PG100445 Various Buildings HVAC Rehabilitation&Renewal IV 2,500,000 PG100446 Various Buildings Rehabilitation and Renewal IV 3,950,000 PG100463 Virginia Aquarium Renewal and Replacement III 600,000 PG100536 Creeds Training Center Renovations 1,500,000 PG100616 MOCA Building Rehabilitation 1,000,000 PG100651 Court Modernization Study 350,000 PG100653 Housing Resource Center Renovation 3,329,460 PG100655 Law Enforcement Training Academy Replacement 350,000 Total Buildings and Assets Projects 25,294,504 Coastal PG100038 Beach Replenishment II 5,100,000 PG100142 Croatan Beach Restoration 78,000 PG100258 Lynnhaven Inlet Maintenance Dredging II 375,000 PG100274 Neighborhood Dredging Spur Channels 593,981 PG100334 Replacement for Rudee Inlet Dredge 206,000 PG100344 Rudee Inlet Federal Dredging II 600,000 PG100345 Rudee Inlet Outer Channel Maintenance Dredging II 650,000 PG100349 Sandbridge Beach Access Improvements II 400,000 PG100450 Various Minor Dredging Projects II 500,000 PG100510 Sandbridge Beach Restoration IV 4,276,341 PG100550 Shadowlawn Area Dredging II 209,000 PG100552 Western Branch Lynnhaven River Maintenance Dredging II 3,714,040 PG100560 Harbour Point Neighborhood Dredging II 108,000 Total Coastal Projects 16,810,362 Economic and Tourism Development PG100048 Burton Station Road Improvements III 9,000,000 PG100146 Atlantic Park Entertainment Venue 6,360,614 PG100157 Economic Development Investment Program II 1,659,582 PG100456 Virginia Beach Amphitheater Capital Maintenance 200,000 PG100262 Lynnhaven Parkway Corridor Improvements 1,150,000 PG100283 Oceanfront Capital Projects Reinvestment 600,000 PG100285 Oceanfront Parking Facilities Capital Maintenance/Development II 500,000 PG100286 Oceanfront Restrooms 500,000 PG100300 Atlantic Avenue Street Improvements 11,000,000 PG100399 Strategic Development Projects 250,000 PG100420 Town Center Garage and Plaza Capital Maintenance II 352,726 PG100421 Town Center Reinvestment 150,000 PG100489 Winston Salem Avenue Improvements 5,000,000 PG100576 VA Beach Innovation Park Infrastructure II 12,659,000 PG100577 Strategic Site Acquisition and Disposition 1,000,000 PG100606 Atlantic Park Offsite Infastructure 6,218,286 PG100629 Sports Tourism Infrastructure 4,971,100 PG100630 17th Street Regional Stormwater Management Facility 2,770,000 PG100635 Corporate Landing Business Park Infrastructure 5,000,000 Total Economic and Tourism Development Projects 69,341,308 Information Technology PG100074 21st Century Enterprise Resource Planning(HCM) 2,301,100 PG100076 Accela Sustainment 705,000 PG100084 City Software Upgrade/Replacement Plan 4,360,000 PG100087 Communications Infrastructure Replacement III 626,801 PG100094 CIT-Enterprise Customer Relationship Management System 613,560 PG100103 IT Service Continuity II 1,020,458 PG100105 Maintain and Secure Corporate Data 2,983,063 PG100106 Next Generation Network 250,000 PG100107 Network Infastructure Replacement III 4,525,796 PG100118 Telecommunications Replacement II 1,270,000 PG100541 Enterprise Electronic Content&Records Mgmt(ECRM)Solution 250,000 PG100570 ECCS Back-Up Site Phase II 2,557,200 PG100572 HR/Finance System Sustainment 3,050,697 PG100574 Courts Technology Sustainment 250,000 PG100618 Revenue Management System Sustainment 250,000 PG100645 EOC Modernization 1,482,900 PG100656 Sheriff's Body Worn Cameras 1,172,606 PG100657 MyRevenue System Migration 414,000 PG100658 Treasurer's E-Billing 1,123,200 PG100665 Employee Engagement Tool 75,000 Total Information Technology Projects 29,281,381 Parks and Recreation PG100023 Athletic Fields Lighting and Renovations III 275,000 PG100040 Bikeways/Trails Repairs and Renovations I 280,000 PG100119 City Bikeways and Trails Plan Implementation II 1,000,000 PG100127 Community Recreation Centers Repairs and Renovations III 2,000,000 PG100194 Golf Courses Contractual Obligations-Maintenance I 120,000 PG100198 Greenways,Scenic Waterways and Natural Areas III 250,000 PG100256 Lynnhaven Boat Ramp& Beach Facility Repairs/Reno I 50,000 PG100299 Park Playground Renovations III 727,932 PG100320 Parks and Special Use Facilities Development/Reno III 1,917,526 PG100393 Sportsplex/Field Hockey National Trng Ctr Rep/Reno I 726,135 PG100402 Stumpy Lake Golf Course Contractual Obligations I 27,000 PG100413 Tennis Court Renovations III 300,000 PG100641 Open Space Acquisition IV 2,500,000 PG100644 Virginia Beach Trail 750,000 PG100632 Park Infrastructure Replacement&Underdeveloped Park Improvements 4,380,000 PG100663 Little Island Park Pier Repairs 1,200,000 Total Parks and Recreation Projects 16,503,593 Roadways PG100050 Bus Stop Infrastructure and Accessibility Improvements 250,000 PG100057 Centerville Turnpike Phase II 19,320,596 PG100058 Centerville Turnpike Phase III 5,674,751 PG100123 Cleveland Street Improvements IV 3,637,067 PG100159 Elbow Road Extended Phase II-C 3,000,000 PG100160 Elbow Road Extended Phase II-D 287,723 PG100192 General Booth Boulevard/Camp Pendleton Intersection Improvements 1,830,500 PG100213 Indian River Road Phase VII-B 3,934,818 PG100217 Indian River Road Phase VII-A 5,849,290 PG100235 Landstown Road Improvements Phase I 180,400 PG100239 Laskin Road Phase I-B 2,000,000 PG100268 Major Bridge Rehabilitation II 1,460,000 PG100278 Nimmo Parkway VII-B 3,000,000 PG100301 Parliament Drive Sidewalk Phase II 1,029,571 PG100340 Rosemont Road Phase V 858,429 PG100347 Rural Road Improvements II 250,000 PG100348 Rural Road Recurring Flooding,SLR& Resiliency 500,000 PG100381 Shore Drive Corridor Improvements Phase III 665,575 PG100401 Street Reconstruction II 2,150,000 PG100422 Traffic Calming 250,000 PG100423 Traffic Safety Improvements IV 2,359,928 PG100425 Traffic Signal Rehabilitation II 1,400,000 PG100447 Various Cost Participation Projects II 25,000 PG100484 Wetlands Mitigation Banking II 100,000 PG100502 Citywide Street Lighting Improvements III 70,000 PG100522 Traffic Signal Retiming II 740,614 PG100529 Elbow Road Extended Phase II-B 5,865,763 PG100537 Dam Neck Road/Holland Road Intersection Improvements 1,760,000 PG100542 General Booth Boulevard/Oceana Boulevard Intersection Improvements 2,050,277 PG100555 Parliament Dr.Sidewalk Phase I 1,020,801 PG100633 Atlantic Avenue Pedestrian Improvements 1,134,200 PG100634 Construction Engineering and Inspection(CEI) Program 3,500,000 PG100627 Relocation of 19th Street&Pacific Avenue Signal 106,000 PG100659 Indian River Road Bridge 500,000 PG100660 Indian River Road Safety Improvements 1,000,000 Total Roadways Projects 77,761,303 Sewer Utility PG100302 Pembroke Meadows Neighborhoods Sanitary Sewer Rehabilitation 480,000 PG100327 Pump Station Program VI 10,595,000 PG100361 Sanitary Sewer System Revitalization Program III 6,000,000 PG100371 Sewer Pump Repairs and Replacements 850,000 PG100374 Sewer Tap Installation Program II 315,000 PG100448 Various HRSD Coordination 450,000 PG100452 Various Roadway&Stormwater Coordination VI-Sewer 325,000 PG100519 Sanitary Sewer Force Main Rehabilitation I 3,140,000 PG100525 Landstown Yard Improvements IV 850,000 PG100526 Utilities Technology Support Program 200,000 PG100610 Aragona Village Sanitary Sewer System Improvements 280,000 Total Sewer Utility Projects 23,485,000 Storm Water PG100032 Bayville Lake Water Quality Improvement Project 1,100,000 PG100043 BMP Maintenance Program Phase I 1,000,000 PG100053 Canal Management Phase I 500,000 PG100232 Lake Management II 3,807,611 PG100264 Lynnhaven River Watershed Water Quality Projects II 380,000 PG100287 Oceanfront Stormwater Facilities Maintenance 1,650,000 PG100314 Primary System Infrastructure Improvements II 1,520,000 PG100335 Residential Drainage Cost Participation Program II 50,000 PG100380 Cave-In Repair Program 2,396,950 PG100390 Southern Canal/Lead Ditch and Culvert Improvements 2,390,000 PG100395 StormWater Pump Station Modifications 1,250,000 PG100397 Storm Water Quality Enhancements II 1,400,000 PG100404 Surface Water Regulatory Compliance Program 1,700,000 PG100405 SW Infrastructure Rehabilitation&Improvements II 5,000,000 PG100465 Little Creek Watershed Water Quality Projects 200,000 PG100472 Water Quality Cost Participation Projects II 250,000 PG100515 Enhanced Neighborhood Rehabilitation-Phase I 1,216,349 PG100566 Chatham Hall Water Quality Improvement Project 1,701,750 PG100567 Kemps Lake Water Quality Improvement Project 7,260,000 PG100642 Providence Park Wet Pond Project 330,000 Total Storm Water Projects 35,102,660 Water Utility PG100230 Lake Gaston Raw Water Transmission System Rehabilitation I 825,000 PG100238 Landstown Yard Improvements IV 850,000 PG100303 Pembroke Meadows Neighborhoods Water Rehabilitation 2,550,000 PG100432 Utilities Technology Support Program 200,000 PG100451 Various Roadway&Stormwater Coordination VI-Water 2,340,000 PG100470 Water Line Extension, Replacement&Rehab Program II 2,060,000 PG100471 Water Pump Repairs and Replacements 300,000 PG100478 Water Tap Installation Program II 525,000 PG100479 Water Transmission System Upgrade Program II 1,810,000 PG100562 Atlantic Avenue Water Meter Vault Replacements 1,700,000 PG100612 Green Garden Water System Improvements 3,100,000 Total Water Utility Projects 16,260,000 Flood Protection PG100578 Stormwater Project Administration 1,000,000 PG100582 Stormwater Infrastructure Cost Participation 2,000,000 Total Flood Protection Projects 3,000,000 Schools PG601001 Renovation and Replacement Energy Management/Sustainability 2,150,000 PG601002 Tennis Court Renovations-Phase II 200,000 PG601015 Princess Anne High School Replacement 23,300,000 PG601016 Energy Performance Contracts-Phase II 2,500,000 PG601017 Renovations and Replacements-Grounds Ill 1,900,000 PG601018 Renovations and Replacements-HVAC III 14,400,000 PG601019 Renovations and Replacements-Reroofing III 8,800,000 PG601020 Renovations and Replacements-Various III 5,600,000 PG601022 Elementary School Playground Equipment Replacement 250,000 PG601027 Renovations and Replacements-Safe School Improvements 200,000 PG601028 B.F.Williams Elementary/Bayside 6th(Grades 4-6)Replacement 2,000,000 PG601029 Bayside High School Replacement 1,500,000 Total Schools Projects 62,800,000 Total Capital Budget 375,640,111 Attachment B-Capital Budget Financing Sources Financing Sources Capital Budget Charter Bonds 66,098,668 Federal Contribution 30,898,434 Fund Balance-General Fund 41,054,274 Fund Balance-School Reserve Special Revenue Fund 11,000,000 Fund Balance-Parks and Recreation 1,000,000 General Appropriations 57,743,741 HRSD 115,000 Lease of Property 98,172 Miscellaneous Reimbursement 500,000 Public Facility Bonds 84,765,779 Retained Earnings-Storm Water Utility 2,000,000 Retained Earnings-Telecommunications 1,270,000 Retained Earnings-Water and Sewer Fund 5,000,000 Retained Earnings-Fuel Fund 860,000 Sale of Equipment 206,000 Sale of Property 1,009,000 State Contribution 13,853,683 Storm Water Utility Bonds 6,399,140 Storm Water Utility Fund 17,138,220 Water and Sewer Bonds 26,030,000 Water and Sewer Fund 8,600,000 Total Capital Budget 375,640,111 Attachment C-Transfers Appropriations Prior to Project# FY 2023-24 Public Education Transfer To: 601026 Lynnhaven Middle School Expansion(Achievable Dream) 400,000 Total Transfer To: $ 400,000 Transfer From: 601005 John B. Dey Elementary School 70,000 601007 Princess Anne Middle School Replacement 300,000 601021 Plaza Annex- Laskin Road Addition 30,000 Total Transfer From: $ 400,000 Roadways Transfer To: 100057 Centerville Turnpike Phase II 3,000,000 100058 Centerville Turnpike Phase III 1,373,684 100160 Elbow Road Extended Phase II-D 841,128 100217 Indian River Road VII-A 3,800,000 100381 Shore Drive Corridor Improvements Phase III 6,067,089 100556 Sandbridge Road Sidewalk 247,390 100627 Relocation of 19th Street& Pacific Avenue Signal 158,180 Total Transfer To: $ 15,487,471 Transfer From: 100171 Ferrell Parkway 3,800,000 100278 Nimmo Parkway VII-A 3,000,000 100383 Shore Drive Corridor Improvements IV 8,281,901 100423 Traffic Safety Improvements IV 247,390 100425 Traffic Signal Rehabilitation II 158,180 Total Transfer From: $ 15,487,471 Parks and Recreation Transfer To: 100559 Tree Oaks Elementary Multi-Use Path 195,028 100641 Open Space Acquisition 2,500,000 100190 Foxfire Trail Pedestrian Bridge 191,867 Total Transfer To: $ 2,886,895 Transfer From: 100289 Open Space Park Development Maintenance 2,500,000 100496 Woodstock Park HRSD Cost Contribution 195,028 100249 Little Island Parking Lot 191,867 Total Transfer From: $ 2,886,895 Attachment C-Transfers Appropriations Prior to Project# FY 2023-24 Flood Protection Transfer To: 100275 Central Resort District-21st and Baltic 400,000 100365 Sea Level Rise/Recurrent Flooding Analysis 75,000 100486 Windsor Woods Drainage 515,150 100487 Windsor Woods Pump Station 2,196,000 100600 Seatack Neighborhood Drainage 1,100,000 Total Transfer To: $ 4,286,150 Transfer From: 100022 Ashville Park Drainage 1,100,000 100061 Central Resort-24th Street Culvert 100,000 100062 Central Resort Drainage Improvements 300,000 100516 Bow Creek Stormwater Park 15,150 100551 Stormwater Green Infrastructure 75,000 100553 Windsor Woods-Thalia Creek/Lake Trashmore Imp. 1,853,500 100605 Windsor Wood Flood Barriers 842,500 Total Transfer From: $ 4,286,150 Stormwater Transfer To: 100053 Canal Management $ 1,000,000 100353 Atlantic Ocean Watershed Water Quality $ 650,000 100662 Lakeview Drive Channel Improvements $ 2,000,000 100549 Roadside Ditch Program 3,821,750 Total Transfer To: $ 7,471,750 Transfer From: 100391 Southern Rivers Watershed $ 400,000 100397 Stormwater Quality Enhancements II $ 1,625,000 100567 Kernps Lake Water Quality $ 3,925,000 100566 Chatham Hall Water Quality 1,521,750 Total Transfer From: $ 7,471,750 Economic and Tourism Development Transfer To: 100606 Atlantic Park Offsite 1,500,000 100048 Burton Station Road Improvements III 1,950,000 Total Transfer To: $ 3,450,000 Transfer From: 100148 Atlantic Park Streetscape 1,500,000 100049 Burton Station Road Improvements 1,950,000 Total Transfer From: $ 3,450,000 Attachment D-Projects Utilizing Public Facility Bonds Summary of Public Facility Bonds: 601016 Energy Performance Contracts Phase II (115 School Operating) $ 2,500,000 601015 Princess Anne High School Replacement (115 School Operating) $ 15,000,000 100165 Energy Performance Contracts II (100 General Fund) $ 550,000 100576 Virginia Beach Innovation Park Infastructure II (100 General Fund) $ 12,659,000 100262 Lynnhaven Parkway Corridor Improvements (100 General Fund) $ 1,150,000 100300 Atlantic Avenue Street Improvements (241 TIP Fund) $ 11,000,000 100629 Sports Tourism Infastructure (241 TIP Fund) $ 4,971,100 100146 Atlantic Park Entertainment Venue (241 TIP Fund) $ 6,360,614 100606 Atlantic Park Offsite Infrastructure (241 TIP Fund) $ 6,218,286 100630 17th Street Regional Stormwater Facility(241 TIP Fund) $ 2,770,000 100286 Oceanfront Restrooms (241 TIP Fund) $ 500,000 100635 Corporate Landing(100 General Fund) $ 3,850,000 100057 Centerville Turnpike Phase II (100 General Fund) $ 4,138,864 100058 Centerville Turnpike Phase III (100 General Fund) $ 5,674,751 100217 Indian River Road VII-A(100 General Fund) $ 5,849,290 100213 Indian River Road VII-B (100 General Fund) $ 1,573,874 $ 84,765,779 Note:The fund responsible for the debt service as a result of the issuance of bonds in these amounts is shown in parentheses next to the project title. 1 AN ORDINANCE AUTHORIZING THE ISSUANCE OF GENERAL 2 OBLIGATION PUBLIC IMPROVEMENT BONDS OF THE CITY OF 3 VIRGINIA BEACH, VIRGINIA, IN THE MAXIMUM AMOUNT OF 4 $62,460,057 FOR VARIOUS PUBLIC FACILITIES AND GENERAL 5 IMPROVEMENTS 6 WHEREAS, the City of Virginia Beach, Virginia (the "City"), desires to authorize the issuance of general 7 obligation public improvement bonds for various purposes in the maximum amount of$62,460,057, as permitted by 8 the City Charter,without submitting the question of their issuance to the qualified voters;and 9 10 WHEREAS, City Council held a public hearing on the General Obligation Debt Authorization to provide 11 for public comment. 12 13 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 14 15 1. It is hereby determined to be necessary and expedient for the City to construct and improve various public 16 facilities and make general improvements, all of which will promote the public welfare of the City and its inhabitants 17 and will facilitate the orderly growth, development, and general welfare of the City, and to finance the costs thereof 18 through the borrowing of up to$62,460,057 and issuing the City's general obligation bonds therefore. 19 20 2. Pursuant to the City Charter and the Public Finance Act of 1991(§ 15.2-2600 et seq.of the Code of Virginia), 21 there are hereby authorized to be issued general obligation public improvement bonds of the City in the maximum 22 amount of $62,460,057 to provide funds, together with other funds that may be available, for various public 23 improvement projects, including School, Roadway, Coastal, Economic and Tourism, and Building projects, for project 24 activities that include, but are not limited to, the following: preliminary studies and surveys, permit compliance, 25 environmental assessment, planning, design, engineering, site acquisition, relocation of residents, utility relocation, 26 construction, renovation, expansion, repair, demolition, site improvement, site work, legal services, inspection and 27 support services,furniture and equipment, and contingencies. 28 29 3. The bonds may be issued as a separate issue at one time or in part from time to time or combined with 30 bonds authorized for other purposes and sold as part of one or more combined issues of public improvement bonds. 31 32 4. The bonds shall bear such date or dates, mature at such time or times not exceeding 40 years from their 33 dates,bear interest,be in such denominations and form,be executed in such manner and be sold at such time or times 34 and in such manner as the Council may hereafter provide by appropriate resolution or resolutions. 35 36 5. The bonds shall be general obligations of the City for the payment of the principal, premium, if any, and 37 interest on which its full faith and credit shall be irrevocably pledged. 38 39 6. The City Clerk is directed to make a copy of this ordinance continuously available for inspection by the 40 general public during normal business hours at the City Clerk's office from the date of adoption hereof through the 41 date of the issuance of the Bonds. 42 43 7. The City Clerk, in collaboration with the City Attorney, is authorized and directed to immediately file a 44 certified copy of this ordinance with the Clerk of the Circuit Court of the City of Virginia Beach. 45 46 8. This ordinance shall be in full force and effective from its passage. 47 48 Adoption requires the affirmative vote of two-thirds of all members of the City Council. 49 50 Adopted by the Council of the City of Virginia Beach,Virginia, on the day of May, 2023. 51 52 Approved as to Content: Appr as to Legal Sufficiency: gudget and Management Services ity Attorney's Office 1 AN ORDINANCE AUTHORIZING THE ISSUANCE OF STORMWATER 2 UTILITY SYSTEM REVENUE BONDS OF THE CITY OF VIRGINIA BEACH, 3 VIRGINIA, IN THE MAXIMUM AMOUNT OF$6,399,140 4 WHEREAS, the City of Virginia Beach, Virginia (the "City"), desires to authorize the issuance of stormwater utility 5 system revenue bonds in the maximum amount of $6,399,140 for financing improvements and expansions to the City's 6 stormwater utility system (the "System"), as permitted by the City Charter without submitting the question of their issuance 7 to the qualified voters;and 8 9 WHEREAS,City Council held a public hearing on the Stormwater Utility Debt Authorization to provide for public 10 comment. 11 12 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 13 14 1. It is hereby determined to be necessary and expedient for the City to continue its program of improving and 15 extending the System, which will promote the public welfare of the City and its inhabitants and will facilitate the orderly 16 growth,development,and general welfare of the City, and to finance the costs thereof through the borrowing of$6,399,140 17 and issuing the City's revenue bonds therefore. 18 19 2. Pursuant to the City Charter and the Public Finance Act of 1991(§15.2-2600 et seq.of the Code of Virginia),there 20 are hereby authorized to be issued stormwater utility system revenue bonds of the City in the maximum amount of 21 $6,399,140 to provide funds,together with other available funds,for financing the costs of improvements and expansions to 22 the System. 23 24 3. The bonds shall bear such date or dates, mature at such time or times not exceeding 40 years from their dates, 25 bear interest, be in such denominations and form, be executed in such manner and be sold at such time or times and in such 26 manner as the Council may hereafter provide by appropriate resolution or resolutions. 27 28 4. The System is an undertaking from which the City may derive a revenue. The bonds shall be limited obligations 29 of the City,payable as to principal,premium,if any,and interest solely from the revenues derived by the City from the System, 30 and shall not be included within the otherwise authorized indebtedness of the City. The bonds shall not be deemed to create 31 or constitute an indebtedness of, or a pledge of the faith and credit of,the Commonwealth of Virginia or of any county, city, 32 town,or other political subdivision of the Commonwealth,including the City. The issuance of the bonds and the undertaking 33 of the covenants,conditions,and agreements to be contained in resolutions to be adopted or agreements to be entered into 34 hereafter shall not directly,indirectly,or contingently obligate the Commonwealth,the City,or any other political subdivision 35 of the Commonwealth to levy and collect any taxes whatsoever or make any appropriation therefore except from the 36 revenues pledged to the payment of the principal of and premium, if any, and interest on the bonds. 37 38 5. Such resolutions to be adopted and agreements to be entered into hereafter authorizing the issuance of the 39 bonds and providing the details thereof shall contain appropriate covenants requiring the City to fix,charge,and collect such 40 rates, fees, and other charges for the use of and the services furnished by the System and to revise the same from time to 41 time and as often as shall be necessary so as to produce sufficient net revenues to pay principal of and premium, if any, and 42 interest on the bonds as the same become due and to provide a margin of safety therefore. Such resolutions and agreements 43 shall also include such additional covenants, agreements,and other terms as are customary for the protection of the holders 44 of stormwater revenue obligations. 45 46 6. The City Clerk is directed to make a copy of this ordinance continuously available for inspection by the general 47 public during normal business hours at the City Clerk's office from the date of adoption hereof through the date of the 48 issuance of the bonds. 49 50 7. The City Clerk, in collaboration with the City Attorney, is authorized and directed to immediately file a certified 51 copy of this ordinance with the Clerk of the Circuit Court of the City of Virginia Beach. 52 53 8. This ordinance shall be in full force and effect from its passage. 54 Adoption requires the affirmative vote of a majority of all members of the City Council. Adopted by the Council of the City of Virginia Beach,Virginia,on the day of May,2023 Approved as to Content: Approved as to Legal Sufficiency: Atfilik;2111)—taltia% Budget and Management Services rt torney's Office 1 AN ORDINANCE AUTHORIZING THE ISSUANCE OF WATER AND SEWER 2 SYSTEM REVENUE BONDS OF THE CITY OF VIRGINIA BEACH,VIRGINIA, IN 3 THE MAXIMUM AMOUNT OF$26,030,000 4 WHEREAS, the City of Virginia Beach, Virginia (the "City"), desires to authorize the issuance of water and sewer 5 system revenue bonds in the maximum amount of $26,030,000 for financing improvements and expansions to the City's 6 water and sewer system (the "System"), as permitted by the City Charter without submitting the question of their issuance 7 to the qualified voters; and 8 9 WHEREAS, City Council held a public hearing on the Water and Sewer Revenue Bond Authorization to provide 10 for public comment. 11 12 NOW,THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 13 14 1. It is hereby determined to be necessary and expedient for the City to continue its program of improving and 15 extending the System, which will promote the public welfare of the City and its inhabitants and will facilitate the orderly 16 growth,development,and general welfare of the City,and to finance the costs thereof through the borrowing of$26,030,000 17 and issuing the City's revenue bonds therefore. 18 19 2. Pursuant to the City Charter and the Public Finance Act of 1991(§15.2-2600 et seq.of the Code of Virginia),there 20 are hereby authorized to be issued water and sewer utility system revenue bonds of the City in the maximum amount of 21 $26,030,000 to provide funds, together with other available funds, for financing the costs of improvements and expansions 22 to the System. 23 24 3. The bonds shall bear such date or dates, mature at such time or times not exceeding 40 years from their dates, 25 bear interest, be in such denominations and form, be executed in such manner and be sold at such time or times and in such 26 manner as the Council may hereafter provide by appropriate resolution or resolutions. 27 28 4. The System is an undertaking from which the City may derive a revenue. The bonds shall be limited obligations 29 of the City,payable as to principal,premium,if any,and interest solely from the revenues derived by the City from the System, 30 and shall not be included within the otherwise authorized indebtedness of the City. The bonds shall not be deemed to create 31 or constitute an indebtedness of, or a pledge of the faith and credit of,the Commonwealth of Virginia or of any county, city, 32 town,or other political subdivision of the Commonwealth,including the City. The issuance of the bonds and the undertaking 33 of the covenants,conditions,and agreements to be contained in resolutions to be adopted or agreements to be entered into 34 hereafter shall not directly,indirectly,or contingently obligate the Commonwealth,the City,or any other political subdivision 35 of the Commonwealth to levy and collect any taxes whatsoever or make any appropriation therefore except from the 36 revenues pledged to the payment of the principal of and premium, if any, and interest on the bonds. 37 38 5. Such resolutions to be adopted and agreements to be entered into hereafter authorizing the issuance of the 39 bonds and providing the details thereof shall contain appropriate covenants requiring the City to fix,charge, and collect such 40 rates, fees, and other charges for the use of and the services furnished by the System and to revise the same from time to 41 time and as often as shall be necessary so as to produce sufficient net revenues to pay principal of and premium, if any, and 42 interest on the bonds as the same become due and to provide a margin of safety therefore. Such resolutions and agreements 43 shall also include such additional covenants, agreements,and other terms as are customary for the protection of the holders 44 of water and sewer revenue obligations. 45 46 6. The City Clerk is directed to make a copy of this ordinance continuously available for inspection by the general 47 public during normal business hours at the City Clerk's office from the date of adoption hereof through the date of the 48 issuance of the bonds. 49 50 7. The City Clerk, in collaboration with the City Attorney, is authorized and directed to immediately file a certified 51 copy of this ordinance with the Clerk of the Circuit Court of the City of Virginia Beach. 52 53 8. This ordinance shall be in full force and effect from its passage. 54 Adoption requires the affirmative vote of a majority of all members of the City Council. Adopted by the Council of the City of Virginia Beach,Virginia,on the day of May,2023. Approved as to Content: Approved as to Legal Sufficiency: 4--....„1/4).4\_Citckh— klyz::::1 Budget and Management Services y Attorney's Office 1 A RESOLUTION AFFIRMING THE CITY OF VIRGINIA BEACH'S 2 COMMITMENT TO FUND THE LOCALITY SHARE OF PROJECTS 3 AND PROVIDE SIGNATURE AUTHORITY FOR PROJECTS UNDER 4 AGREEMENT WITH THE VIRGINIA DEPARTMENT OF 5 TRANSPORTATION 6 WHEREAS,the City of Virginia Beach is a recipient of Virginia Department of Transportation funds under 7 various grant programs for transportation-related projects;and 8 9 WHEREAS, the Virginia Department of Transportation requires each locality, by resolution, to provide 10 assurance of its commitment to funding its local share; 11 12 NOW,THEREFORE, BE IT RESOLVED BY THE COUNCIL OF THE CITY OF VIRGINIA BEACH,VIRGINIA THAT: 13 14 1. The City hereby commits to fund is local share of preliminary engineering,right-of-way,and construction, 15 as applicable, of the projects under agreement with the Virginia Department of Transportation in 16 accordance with the project financial documents through appropriation in its Operating Budget and 17 Capital Improvement Program. 18 19 2. The City Manager and/or his/her designees are authorized to execute all agreements and/or addendums 20 for any approved projects with the Virginia Department of Transportation subject to the requirements 21 set forth in City Code § 2-154 that such agreements include review as to sufficiency of funding by the 22 Director of Finance and as to legal sufficiency by the Office of the City Attorney. 23 24 Adopted by the Council of the City of Virginia Beach,Virginia, on the day of May, 2023. 25 Approved as to Content: Approved as to Legal Sufficiency: j\A j‘cgittctit-Xxic) udget and Management Services ity t orney's Office PJLQUEMENTM The completion and submission of th i s form i wherein such applicant may utilize certain services required for all applications institutions, and the City seeks to know providers or financial , upon such relationships in advance of any vote of the existence of suc application. SECTION 1 / APPLICANTDISCLOSURE (f , Organization name: ___Men of Faith SECTION 2. SERVICESDISCLOSURE Areany of the following services being provided in connection licant? I the answer to any item is YES, please identify the firm or dividual th the aroviding the service: providing YES NO I SERVICE PROVIDER(use additional sheets if needed) on Accounting and/or preparer of Faith Selective Tax Services,imi your tax return LLC I , Financial Services (include lending/banking institutions and Q' Chartway Credit Union 3 - current mortgage holders as applicable) 4 cli 6, Legal Services Broker/Contractor/Engineer/Other '1-14 MI Service Providers 40 CERTIFICATION: icertifythatall oftheinformationcontainedin this Disclosure Statement Formis ➢= complete, true,andaccurate. lunderstandlamresponsibleforupdating the information provided herein if it changes prior to the Council action upon this Application. w, Ronald Taylor 5/2/23 ICANT'S RE PRINT NAME DATE r DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: L.A.M.B.S FOUNDATION SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? if the answer to any item is YES, please identify the firm or individual providing the service: YE S NO SERVICE PROVIDER(u additional sleets C=l Accounting and/or preparer of Jennifer Branham your tax return Truist Bank Financial Services(include Navy Federal re( 0 lending/banking institutions Mortgage holders David and current mortgage holders as Leader with New Rez applicable) Leader No C7 Legal Services No cit/ Broker/Contractor/Engineer/Ot her Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action up David Leader 5/2/2 3 DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions,and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 /APPLICANT DISCLOSURE Organization name: ', , - c'V ea. , i el� 444. /7.'li SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER(use additional sheets if needed) L.1 Hetlitr LI hie',eli le 11 0 ❑ return Accounting and/or preparer of your tax f.e.Q. ` 4 � -_. 3 _ - ❑ ifinancial Services(include lending/banking nstitutions and current mortgage holders as applicable) ❑ Legal Services ❑ Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true,and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. - it - / Ad ('( i ---- e/ 'v y,,,,4. 3 �/APPLICANT'S SIGNATURE (21 PRINT NAME D T) ./ DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Virginia Beach Neptune Festival SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO I SERVICE 1 PROVIDER (use additional sheets if needed) ■ FTAccounting and/or preparer of White & Ambrose, PC your tax return Financial Services (include TowneBank ED lending/banking institutions and current mortgage holders as a. •licable) Williams Mullen Legal Services ■ Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes • o the Council action upon this Application. Christopher W. Chope 5/2/23 APPLI A ' IGNATU E PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: New Oak Grove Missionary Baptist Church SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) E x❑ Accounting and/or preparer of your tax return Townebank Brad Hunter Financial Services (include Vice President I Commercial Lender ® n lending/banking institutions and NMLS#740455 current mortgage holders as applicable) T: 757-391-3508 M: 757-617-1193 F: 757-391-9129 I Charles.Hunter@townebank.net David M. Bastiaans,CPA, Esq., LLM(Business Transactions) RIVERSIGATESWOLCOTT ' 200 Bendix Road,Suite 300,Virginia Beach,VA 23452 Iti 0 0: ( Legal Services 0: (757)497-6633 I D: (757) 554- 0242 I Text: (757)520- 0121 I bastiaans@wolriv.com www.wolcottriversgates.corn ❑ Ei Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. gee. Tyrone L. Johnson 05/02/2023 APPLI T'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM - - Mvy�gy���S �}�`MrCAVKiMV1Y/.YJJVMN.V.rJSJAV.wVM1FVJNYT v.WS{yq,.�y�Jk. � - The completion and submission of this form is required wherein such applicant may utilize certain servierVor all applications:- �- institutions, and the City seeks to know of the existence or offinasuch ., relationships in advance of any vote upon such application. such 01, SECTION 1 / APPLICANT DISCLOSURE OrganizationCov^(. 1 �� V;(S ,;,,c. 6 c k 9 name: V VAI-e — ( se s „-ds f)c. 4 SECTION 2, SERVICES DISCLOSURE Are any of the following services being answer to any item is YES, please identify�he or connectionvided in with the applicant? If the ndlvldual providing the service: P I YES NO SERV ICE VICEPROVIDER (use additional sheets if needed) 0 tie Accounting and/or preparer of your tax return .: hFinancial Services (include D lending/banking institutio Q cam, /= O. nTh, ,, nsand current mortgage holders as a. •licable) ltioIca#4- , )v �S �es ‘- tl• 0 Legal Services Q ea. Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure complete, true, and accurate. Statement Form is I understand I am responsible for updating the information r changes prior to the Council action upon this Application. p ovlded herein if it APPLICANT'S SIGNATURE �- c C(-)c Imo, EMIN ____ PRINT NAME DATE �k a�`�et.r r� +- Y� Scanned with CamScanner DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: SonRise Ministries SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YE N SERVICE PROVIDER (use additional S 0 sheets if needed) ❑ Accounting and/or preparer of Valerie Empson your tax return l/ ❑ Financial Services (include Truist/Town Bank lending/banking institutions and current mortgage holders as applicable) ❑ Legal Services Anchor Legal Group Broker/Contractor/Engineer/ Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. 'Nue a 16,9 Trina Olson Keeny 5/2/2023 APPLICANT'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Child and Family Services of Eastern Virginia (DBA The Up Center) SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES I NO SERVICE PROVIDER (use additional sheets if needed) Accounting and/or preparer of Wall Einhorn & Chernitzer, your tax return P.C. Financial Services (include Towne Bank n lending/banking institutions and Truist current mortgage holders as Southern Bank applicable) n/a U n Legal Services n/a n Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. fz)ti(6ih,,-)c_ V. ( S 31.23 APP CANT'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: , ��- R - /41/24te•SnAti1— �j�� " cg SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YE NO SERVICE PROVIDER (use additional sheets If S needed) Accounting and/or preparer of your ❑ tax return Financial Services (include - n I lending/banking institutions and i j�''`S�r A)At/ v ek Pal - current mortgage holders as _, a licablec4 �� 7V ❑ Legal Services ❑ Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. APPLICANT'S SIGNATURE PRINT NAME D T DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: - - F:F2-(JdbA.1 -b-(1-). IC")117-. SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) Cl �� Accounting and/or preparer of your tax return Financial Services (include • 6 lending/banking institutions and -lt-LS ` vi, lc n current mortgage holders as applicable) El Legal Services ❑ 1E1 Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Applic / iP nV\I A L G t i IQ p/l. 5-2 -23 APPLICANT'S SIGNATURE PR T NAME 1 DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: FACT (Families of Autistic Children of Tidewater) SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE 1 PROVIDER (use additional sheets if needed) Ei Accounting and/or preparer of Barnes, Brock, Cornwell & your tax return Painter, PLC Financial Services (include TowneBank El Ellending/banking institutions and current mortgage holders as Davenport a• •licable) McGuireWoods EI Legal Services Taylor Construction I�1 Broker/Contractor/Engineer/Other Service Providers Covington Hendrix Anderson Architects I CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. - Tyler Williamson 5/2/23 LICANT'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Great Neck Athletic Assoc SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) Accounting and/or preparer of your tax return Financial Services (include } lending/banking institutions and O1, ' t_ ``��`''' current mortgage holders as applicable) Legal Services Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. (`'\Nri& 15721/13 APi. ICANT'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Hospice House of Hampton Roads SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) Accounting: Westminster- Accounting and/or preparer of Canterbury on Chesapeake your tax return Bay; Tax Preparer: Barnes, Brock, Cornwell & Painter PLC Financial Services (include Loan: Southern Bank El lending/banking institutions and Banking: TowneBank current mortgage holders as Investments: Wilbanks, Smith applicable) & Thomas Legal: Hugh Patterson, E Legal Services Willcox & Savage, PC Architect: Cox Kliewer & Company, PC Contractor: Whiting Turner ri Broker/Contractor/Engineer/Other Construction Company Service Providers Environmental Testing: MSA Fundraising Consultant: The Curtis Group CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. )6` C` � Lynn B. Clements 5/2/2023 APPL4CANT'S SIGNATURE PRINT NAME DATE 1 _ DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Virginia African American Cultural Center, Inc. SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) x Accounting and/or preparer of Kelvin Arthur, CPA your tax return (Officer, Board of Director S.) Financial Services (include Towne Bank: Financial D lending/banking institutions and Institution x current mortgage holders as applicable) Kaufman and Canoles x E Legal Services None x Broker/Contractor/Engineer/Other Service Providers CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. Amelia Ross-Hammond Dr. Amelia Ross-Hammond 5/3/23 APPLICANT'S SIGNATURE PRINT NAME DATE DISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: _Kempsville PONY Baseball.l___ SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YES NO SERVICE PROVIDER (use additional sheets if needed) n 14 Accounting and/or preparer of your tax return Financial Services (include Towne Bank Fairfield hopping lending/banking institutions and Center in Kempsville current mortgage holders as applicable) 4 Legal Services Shawn Padgett (Field Broker/Contractor/Engineer/Other Maintenance) Service Providers AS Lawn and Landsciape(Cut Grass) CERTIFICATION: I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information provided herein if it changes prior to the Council action upon this Application. John Shipp (KPB President) 3 MAY 23 ICANT'S SIGNATURE PRINT NAME DATE IIFDISCLOSURE STATEMENT FORM The completion and submission of this form is required for all applications wherein such applicant may utilize certain service providers or financial institutions, and the City seeks to know of the existence of such relationships in advance of any vote upon such application. SECTION 1 / APPLICANT DISCLOSURE Organization name: Cau1vc/L o1= AJ/,cr2 oe6,4iv.a 77a•js o. ,o5w c.c., 7ar) SECTION 2. SERVICES DISCLOSURE Are any of the following services being provided in connection with the applicant? If the answer to any item is YES, please identify the firm or individual providing the service: YE NO SERVICE PROVIDER(us.additional shoats if 01 S footed) Accounting and/or preparer of your /17* C ff7 4` 1--- C tax return 7 g j- `f y'o --. 9/ q I Financial Services(include I A 11 lending/banking institutions and r- w'vC 4���G ��7 `�" current mortgage holders as ?O, E D '7 —047/ applicable) ��7 r Legal Services �' " 'v '< ' " L% �''SlL� I] 0 :?S7 - 5 3 -/0gs II Broker/Contractor/Engineer/Other )'SSEI- ._- A/c, CO Q Service Providers 7s) .3 - 7 --S3 7 / ii Ilk CERTIFICATION: . i I certify that all of the information contained in this Disclosure Statement Form is complete, true, and accurate. I understand I am responsible for updating the information P 9 provided herein if it changes prior to the Council action upon this Application. Q �A p j -ja IC SIGNATU E E^ G l/L- C ' ✓//t-Z •S=li-23 PRINT NAME DATE