10/13/2021COMMITTEE OF THE WHOLE – Meeting Minutes
October 13, 2021
The Village Board met as a Committee of the Whole in the Council Chambers of the Village
Hall at 3:30 p.m. on Wednesday, October 13, 2021. In attendance were:
PRESENT:
Village Board Staff
Dan Shapiro, Mayor Kent Street, Village Manager
Bob Benton, Trustee Andrew Lichterman, Assistant Village
Rebekah Metts-Childers, Trustee Manager/Director Community Development
Tom Jester, Trustee David Fitzgerald-Sullivan, Comm Coord
Elaine Jacoby, Trustee Desiree Van Thorre, Admin Services Coord
Mary Oppenheim, Trustee John Sliozis, Police Chief
Bill Seiden, Trustee Eric Burk, Finance Director
Bob Phillips, Public Works Director
Tyler Dickinson, Assistant Village Engineer
Justin Keenan, Asst. to Public Works Dir.
Brandon Janes, WRF Supervisor
Matt Weiss, IT Systems Coordinator
Chris Fry, Accreditation Commander
Brian Budny, Deputy Police Chief
Nick Hamilton, Water Division Foreman
Public Comment
There were no public comments on non-agenda items.
Business
Finance Director Eric Burk discussed the proposed 2022 budget. The budget is a working
document that allows the Village to maintain service levels and move into 2023 with adequate
resources. Mr. Burk explained there is a budget hearing planned for November 1, 2021 and a tax
levy hearing scheduled for November 15, 2021.
Mr. Burk reported the proposed tax levy would be collected in June and September of 2022 and
would fund a portion of the 2022 budget. The General Fund levy will be tied to public safety to
provide flexibility in case of a property tax freeze. The library is projecting a flat levy in the
general fund.
Mr. Burk explained the general fund, which is the largest operating fund, includes everything not
required to be accounted for elsewhere. 2021 revenues are projected above budget due to sales
tax and home rule sales tax, regular activity and Walgreens’ activity. Building permits
performed well. Hotel tax took a hit this year but the last few months have been better. Mr.
Burk believes hotel tax will be down in 2022. He noted interest income is below budget.
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October 13, 2021
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General Fund expenditures are also projected below budget. Mr. Burk noted the police pension
fund is close to 80 percent funded.
Mr. Burk discussed the water and sewer funds. He noted Highland Park is expected to increase
the wholesale water purchase rate by 32.2 cents per unit each year 2022 through 2024. The
increase drops to $0.38 for 2025 through 2031. The proposed budget includes passing on the
rate increase to water users by $0.322 (5.7 percent) to keep pace with increased costs. The sewer
rate will increase by 5 percent ($0.18) to keep up with the increased costs and build adequate
reserves over the next 5 years. Mr. Street added the Village is also pursuing an emergency
connection with Northbrook. The average cost for a Deerfield household will go from $167 to
$176. Mr., Burk noted the Village entered into a new refuse contract in May with a 3.5 percent
recommended increase in 2022.
The commuter parking lot fund has showed a significant decrease because people have not been
parking. This has allowed the Village to do a lot of work efficiently, but there is less revenue
being generated. The proposed budget shows revenues to come back in 2022, but that may need
to be adjusted.
Mr. Burk discussed the major revenues other than property tax. The proposed revenues are
based on outside information whenever possible, including local use tax ($700,000), State
income tax ($2 million), MFT funds ($700,000) and PPRT ($150,000). Mr. Burk indicated they
also look at trends and seasonal history for other revenues. The sales tax is budgeted at $5
million, the home rule sales tax at $3.985 million, the hotel tax at $1.5 million, the electric tax at
$1.1 million, food and beverage tax at $500,000, telecommunication tax at $1.3 million and
building permits at $1.1 million.
Mr. Burk discussed expenditures that affect multiple departments, including personnel costs,
which account for 40 percent of the budget, excluding capital and infrastructure and MFT funds.
He noted the salary increases are offset by decreases in medical and dental insurance costs as
well as IMRF. The projected personnel cost increase is approximately 1.1 percent or $210,000.
Mr. Burk explained the general liability and workers compensation insurance is pooled through
the Municipal Insurance Cooperative Agency. The projected budget is $1.1 million.
Public Works and Engineering
Mr. Phillips discussed the public works and engineering departmental expenditure detail
requests. He explained some of his workforce will be shifting in 2022 due to retirement and
open positions.
• Engineering Division
o 3.5 percent COLA increase is recommended
o Training and Development
▪ Get back on track with capital improvement inspections
o Contractual Services
▪ Will increase with the big developments such as Zion Woods
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o Building Maintenance and Repair
▪ Slight increase is proposed
▪ The building was built in 1989 and things are starting to fail
• Street Division
o 3.5 percent COLA increase is recommended
o Training and Development
▪ Recommended compliance space training, lockout/tagout training, etc.
o Contractual Services
▪ Hire up to 30 part-time laborers
▪ Directional drilling, snow shoveling at train station and streetscape,
landscaping, brick work, bollards, planting, lighting and larger roadway
repairs
o Building Repair and Maintenance
▪ Train station maintenance
▪ Bridge, overpass and underpass painting
o Commodities include concrete, asphalt, rock salt, trees, light fixtures and de-icing
liquid
• Water Fund
o Training
▪ Several employees are licensed water operators and the Village needs to
maintain those licenses
o Contractual Services
▪ Include SCADA consulting and leak detection
o Commodities
▪ Include asphalt, concrete, fire hydrants, pumps, dirt, wholesale water from
Highland Park
o Capital Outlay
▪ Meters and meter heads
▪ Costs are passed through
• Sewer Fund
o Training
▪ OSHA and Department of Labor training
o Contractual Services
▪ Televising software, major sewer repairs, WRF pump repairs, SCADA
services and sludge hauling
o Commodities
▪ Include pipes, fittings, polymer, concrete, asphalt and pumps
• Garage Division
o Commodities include oil and fuel
• Refuse Fund
o Expenses include leaf and garbage collection
• Commuter Parking Lot
o Expenses for landscaping, parking lot repair, striping, paving, electrical for
lighting improvements
• VERF
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o Capital outlay for trucks, cars and equipment
o Proposing purchasing several vehicles in 2022
▪ Dodge Caravan, pick-up truck, spreader, plow truck
▪ Large trucks are hard to come by
▪ Sewer televising equipment and software
▪ May have difficulty getting some of the equipment
Mr. Phillips discussed the one-time purchase memo which includes larger purchases. Some of
these purchases include fuel bay repairs, replacement windows, a work order management
system, shoring equipment and Wincan software for sewer televising. The fuel pumps and
software are original to the building which was built in 1989. Half of this $30,000 expenditure
will be billed to the Park District. The public works department needs the windows replaced.
They need better ventilation. The proposed $32,000 cost will be split between the engineering
department, street department and sewer and water funds. The current work order management
system, which was free with the website, is antiquated and not user friendly. If approved, the
$20,000 expenditure would be split between engineering, the WRF, street department and water
and sewer funds. The shoring equipment is an OSHA requirement and standard operating
procedures for evacuation of water/sewer mains during emergency repairs. It is a $10,000
expense. The sewer televising software would replace the software from 2013, which is now
obsolete. The new software is more streamlined and will integrate with the current televising
equipment.
Community Development
Mr. Lichterman reported the building division issued 1200 permits and performed 2400
inspections. The planning division, consisting of the Plan Commission, Appearance Review
Commission, Village Center Commission and Board of Zoning Appeals, held 24 meetings. He
discussed the proposed budget changes for 2022. The total budget is $2,356,749 ($82,701
increase).
▪ Personnel Services proposed increase of $102,737
o 3.45 percent COLA and merit increases
o Elimination of Village Manager’s loan forgiveness
o Full staffing levels for vacant positions and department reorganization
▪ Contractual Services
o $30,000 is budgeted for an affordable housing contractor
o $30,000 is budgeted for a comprehensive review of process efficiencies
▪ Including succession planning for senior staff
▪ Identifies process efficiency improvements
▪ Comprehensive review of building department operations
o Slight increase in Family Days festivities
Police Department
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Chief Sliozis explained the police summary looks similar to last year and the year prior. There
are no new programs or additional manpower planned, mostly due to Covid. The overall
proposed budget will increase 0.92% overall.
Chief Sliozis reported they hired a second social worker in 2021 and have three open patrol
positions to fill. Deputy Chief Keene is retiring on Friday and they have put in a lot of time and
effort looking at a replacement and transitions. The crossing guard function was eliminated from
the police department. The school has contracted with Andy Frain Usher Services. The
department will fund half the cost this year and 25 percent next year. This will save the
department about $80,000 per year once the payment agreement is complete.
Chief Sliozis noted the training costs will increase due to criminal justice legislation. Some of
the training will be done in house. He noted body cams will be a large expense in the future.
The challenges include FOIA, data storage and maintenance.
Chief Sliozis noted some of the increase percentages appear large, but the dollar amount is not a
large increase.
Finance
Mr. Burk reported the finance department has seven employees and do not anticipate any
changes for 2022. He noted the economic incentive with Walgreens National was extended for
10 years. The total finance department budget for 2022 shows a 5.4 percent decrease.
Administration - IT
Mr. Lichterman reported the administration department includes the Village Manager’s office
and the IT division. The proposed budget includes an increase in personnel services by 7.85
percent, training and development will increase by $300. The contractual services include
increases in the maintenance agreements for audio visual, a $1000 increase in membership dues,
increased postage costs, a slight increase in the Family Days budget and a possible increase in
the Harvest Fest budget. Other licenses related to IT will be decreased. Mr. Lichterman noted
the capital outlay will be reduced and capital improvements related to administration are flat.
Mr. Weiss discussed the proposed IT budget. He explained the IT costs are budgeted by
reviewing the inventory of assets and determining what needs to be retained, eliminated or
upgraded. Mr. Weiss meets with each department and explores their technology needs as well as
all telecommunication needs and accounts. Most of the budgeted expenses are renewing or
continuing software subscriptions. Highlights of the 2022 IT budget includes the primary
datacenter UPS battery system replacement ($30,000 VERF) and securities and risk testing
consulting services in the amount of $25,000.
Mr. Lichterman reported the Village sent out a façade improvement survey and received eight
responses. The Village budgeted $200,000 for the facade improvement program.
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Mayor Shapiro noted the proposed budget showed a lot of hard work.
Public Comment
There were no public comments.
Adjournment
There being no further business or discussion, Trustee Benton moved to adjourn the meeting.
Trustee Oppenheim seconded the motion. The motion passed by the following vote:
AYES: Benton, Jacoby, Jester, Metts-Childers, Oppenheim, Seiden (6)
NAYS: None
The meeting was adjourned at 6:05 p.m.
Respectfully submitted,
Jeri Cotton
Secretary