HomeMy WebLinkAbout05072001HARNETT COUNTY BOARD OF COMMISSIONERS
Minutes of Regular Meeting
May 7, 2001
The Harnett County Board of Commissioners met in regular session on Monday, May
7, 2001, in the County Administration Building, 102 East Front Street, Lillington, .
• North Carolina.
Members present: Teddy J. Byrd, Chairman
Beatrice Bailey Hill, Vice Chairman
Dan B. Andrews
Walt Titchener
Tim McNeill
Staff present: Neil Emory, County Manager
Wm, A. (Tony) Wilder, Assistant County Manager
Dwight W. Snow, County Attorney
Vanessa W. Young, Finance Officer
Kay S. Blanchard, Clerk to the Board
Chairman Byrd called the meeting to order at 9:00 a.m. and Commissioner Andrews
led the pledge of allegiance and prayer.
Commissioner Hill moved to approve the agenda as published with the following
changes:
- Delete Frank Lewis' request to address the Board
- Move consent agenda item regarding proposed amendment to the Ordinance
Regulating the Use of Water and Sewer Facilities to regular agenda for discussion.
• Commissioner Titchener seconded the motion and it passed unanimously.
Upon motion by Commissioner Andrews and seconded by Commissioner McNeill,
the Board unanimously approved the following items on the consent agenda:
1. Minutes: Regular Meeting, April 16, 2001
Special Meeting with Legislators, April 23, 2001
Special Meeting with Board of Education, April 24, 2001
Special Meeting, April 25, 2001
2. Budget Amendments:
378 Cooperative Extension (Fund 110-General
Code 110-0000-353.76-03 Teens as Parents
1,605. increase
110-7313-465.11-00 Salaries & Wages
1,402. increase
110-7313-465.22-00 FICA
107. increase
110-7313-465.23-01 Supplemental Retirement
28. increase
110-7313-465.23-00 Retirement
68. increase
380 Cooperative Extension (Fund 110-General)
Code 110-0000-344.13-00 Special
10,420. increase
110-0000-351.31-09 Misc./Coop. Ext. Special Prog. 4,215. decrease
• 110-7300-465.32-32 Special Programs 6,205. increase
381 Cooperative Extension (Fund 110-General)
Code 110-0000-344.11-00 FCS 7,335. increase
110-0000-351.31-09 Misc./Coop. Ext. Special Prog. 2,843. decrease
110-7300-465.32-30 Misc./Coop. Ext. Special Prog. 4,492. increase
382 Cooperative Extension (Fund 110-General
Code 110-0000-344.14-00 4-H Fees 18,216. increase
110-0000-351.31-09 Misc./Coop. Ext. Special Prog. 17,023. decrease
110-7300-465.32-31 Operating-4-1-1 3,713. increase
110-0000-353.01-00 United Way-4-H 2,520. increase
383 Cooperative Extension (Fund 110-General
Code 110-0000-344.12-00 Agriculture Program 4,279. increase
110-0000-351.31-09 Misc./Coop. Ext. Special Prog. 961. decrease
110-0000-344.13-00 Special Programs 825. decrease
110-7300-465.32-29 Operating -Agriculture Program 2,493. increase
384 Public Utilities (Fund 547-Southwest Regional)
Code 547-9106-431.45-70 Interest During Construction 63,616. increase •
547-0000-389.50-00 Interfund Transfer from P.U. 63,616. increase
385 Public Utilities (Fund 542-Riverside)
Code 542-9101-431.45-09 Construction -Part B Linden 277,364. increase
542-0000-389.50-00 Advance from PU 277,364. increase
388 Cooperative Extension (Fund 110-General
Code 110-0000-353.76-03 Tap -Duke Endowment 4,473. increase
110-7313-465.11-00 Salary & Wages 1,402. increase
110-7313-465.21-00 Group Insurance 1,368. increase
110-7313-465.22-00 FICA 107. increase
110-7313-465.23-00 Retirement 68. increase
110-7313-465.23-01 Supplemental Retirement 28. increase
110-7313-465.58-14 Travel 1,500. increase
389 Cooperative Extension (Fund 110-General)
Code 110-7313-465.12-00 Part time Salaries & Wages 3,607. decrease
110-7313-465.60-33 Materials & Supplies 1,982. decrease
110-7313-465.11-00 Salaries & Wages 5,589. increase
390 Emergency Management (Fund 110-General)
Code 110-0000-353.08-00 Contributions/Donations-EM 705. decrease •
110-0000-353.53-02 Contri./Donations-EM-LEPC 730. increase
110-5300-420.32-62 LEPC Implementation 25. increase
392 Human Resources-WIA (Fund 110-General
Code 110-0000-331.74-04 WIA Funds 64,735. increase
110-7404-465.32-72 Support Services 24,735. increase
110-7404-465.32-73 Training Vouchers 40,000. increase
395 Finance (Fund 110-General)
Code 110-4401-410.21-01 Insurance -Retirees 6,000. increase
110-8800-490.32-16 Contingency 6,000. decrease
396 Public Buildings (Fund 110-General)
Code 110-4700-410.12-00 Salaries & Wages-p.t. 10,000. increase
110-4700-410.11-00 Salaries & Wages 10,000. decrease
397 Cooperative Extension (Fund 110-General)
Code 110-0000-344.14-00 4-H Programs Fees 13,130. increase
110-7300-465.32-31 4-H Programs 13,130. increase
400 Sheriff's Department (Fund 110-General) •
Code 110-0000-356.30-00 Insurance Reimbursement 879. increase
110-5100-420.43-21 Repair Auto 879. increase
402 Finance -Revenues (Fund I I0-General)
Code 110-0000-356.50-00 Inmates confined -SSA 3,200. increase
110-0000-399.00-00 Fund Balance Appropriated 3,200. decrease
403 Department on Aging (Fund 110-General)
Code 110-7500-441.32-13 RSVP Special Projects 275. increase
110-7500-441.32-10 Recognition 400. increase
110-0000-353.15-00 Donations/Contributions-RSVP 675. increase
406 Cooperative Extension (Fund 110-General
Code 110-7312-465.12-00 Salaries & Wages
1,633. decrease
110-7312-465.21-01 Group Insurance
296. decrease
110-7312-465.22-00 FICA
125. decrease
110-7312-465.23-00 Retirement
N. decrease
110-7312-465.23-01 Supplemental Retirement
32. decrease
110-7312-465.26-08 Workman's Compensation
24. decrease
110-7312-465.32-81 Mini Family Child Care
310. decrease
110-0000-334.73-04 Family Home Care Licensure
2,500. decrease
• 409 Cooperative Extension (Fund 110-General)
Code 110-7310-465.11-00 Salaries & Wages 8,747. decrease
110-7310-465.21-00 Group Insurance 1,799. decrease
110-7310-465.23-01 Supplemental Retirement 577. decrease
110-0000-344.73-10 Parents as Teachers 11,123. decrease
410 Animal Control (Fund 110-General)
Code 110-5500-420.43-16 Maintenance & Repair -Equipment 100. increase
110-5500-420.11-00 Salaries & Wages 100. decrease
412 Cooperative Extension (Fund 110-General
Code 110-7311-465.12-00 Salaries & Wages 1,633. decrease
110-7311-465.21-00 Group Insurance 296. decrease
110-7311-465.22-00 FICA 125. decrease
110-7311-465.23-00 Retirement 80. decrease
110-7311-465.23-01 Supplemental Retirement 32. decrease
110-7311-465.23-08 Workman's Compensation 24. decrease
110-7311-465.58-14 Travel 500. decrease
110-0000-334.73-11 Outdoor Learning Environment 2,690. decrease
414 Sheriff s Department (Fund 110-General)
• Code 110-0000-354.11-00 Restitution 1,500. increase
110-5100-420.32-27 Drug Fund 1,500. increase
422 Social Services (Fund 110-General
Code 110-7700-441.30-03 Document Fees
1,500. increase
110-7700-441.30-04 Professional Services
11,750. increase
110-7700-441.58-15 Travel Services
18,000. increase
110-7700-441.21-00 Group Insurance Expense
31,250. decrease
110-0000-334.77-04 Work First Transportation
13,918. decrease
110-0000-399.00-00 Fund Balance Appropriated
13,918. increase
423 Social Services (Fund 110-General)
Code 110-7710-441.80-85 CP&L Project Share
5,142. increase
110-7710-441.80-90 Crisis Intervention Program
50,000. increase
110-7710-441.88-25 Families for Kids
40,000. increase
110-7710-441.80-10 Work First
48,000. increase
110-7710-441.80-60 Day Care -Smart Start
225,528. increase
110-0000-330.77-01 Social Services Administration
143,142. increase
110-0000-330.77-05 Day Care -Smart Start
225,528. increase
110-0000-349.30-00 3`d Party CAP-C & At Risk
15,000. increase
110-0000-354.15-00 AFDC Collections & Refunds
2,500. increase
110-0000-330.77-01 Social Services Administration
• 110-0000-353.06-00 Donations -Social Services
17,500. decrease
1,738. increase
110-7710-441.89-20 Central Electric Memb. Corp.
1,650. increase
110-7710-441.89-50 Elderly Assistance Donations
88. increase
110-7710-441.80-72 TEA -Foster Care
36,000. increase
110-0000-331.77-08 Foster Care -TEA
36,000. increase,
435 Land Acquisition (Fund 360-"CROSSR"
Code 360-0000-334.60-00 State Grant
200,000. increase
360-8360-465.45-20 Legal & Administration
15,000. increase
360-8360-465.45-30 Engineering
30,000. increase
360-8360-465.45-74 Capital Outlay
110,000. increase
360-8360-465.45-01 Construction
45,000. increase
TAX REFUNDS 3. Tax refunds and releases (Attachment 1)
EUGENE STEWART 4. Resolution recognizing Eugene Stewart for contributions to aviation and to his
RESOLUTION community (Attachment 2)
COOP. EXT . GRANT 5. Authorization for Cooperative Extension to apply for the following grants:
APPLICATIONS A. A bid in the amount of $200,000 to the Harnett County Partnership For
Children to continue the Parents as Teacher's program for FY 2001-2002.
B. A bid to the Harnett County Partnership for Children to continue the
Family Home Care Licensure Project for FY 2001-2002. •
C. A bid to the Harnett County Partnership for Children to continue the
Outdoor Learning Environments Project for FY 2001-2002.
D. Grant application to the N.C. Division of Child Development in the
amount of $63,616. to assist in the continued operation of the Harnett
County Child Care Resource and Referral Program for FY 2001-2002.
E. Grant application to the N.C. Council on Developmental Disabilities in the
amount of $15,000. to support the 4-H After School Intentionally Inclusive
Program for FY 2001-2002.
EDC INCENTIVE PKG. 6. Resolution scheduling public hearing on proposed economic development
PUB. HEARING SCHEDULED incentive package for Powell Holding — Facility One, L.L.C. (Attachment 3)
7. Adopt use of revised County Management Records Retention and Disposition
RECORDS & RETENTION Schedule — this schedule replaces the 1991 County Administrative, Financial,
Legal and Personnel Office schedule. (Attachment 4) The schedule may be
accessed at the N.C. Division of Archives and History web page.
AIRPORT IMPROVEMENT 8. Airport Transportation Improvement Program — Aviation Element for
PROGRAM FY 2002-2004. (Attachment 5)
RESOLUTION RE: 9. Resolution authorizing the Harnett County Tax Collector to direct execution •
UNPAID TAXES against personal property for unpaid County ad valorem taxes to the Harnett
County Sheriff. (Attachment 6)
10. Revision to Restitution and Community Services Program Agreement
RESTITUTION & C OMMUN . (Attachment 7)
SERVICES PROGRAM
Informal comments were received from Wilton Lee, 132 Rosebud Street, Anderson
INFORMAL COMMENTS Creek, who requested information about the County's Transportation Program.
Neil Emory, County Manager, presented a proposed resolution to adopt an amendment
regarding impact fees, to the Ordinance Regulating the Use of Water and Sewer
RESOLUTION RE: Facilities. Former Governor James E. Holshouser, Jr., attorney for Anderson Creek
AMEND. TO W & S Partners, L.L.PIAnderson Creek Golf Resort, addressed the Board regarding the
REGS . FOR IMPACT FEES proposed amendment. Commissioner McNeill moved for adoption of the resolution.
Commissioner Andrews seconded the motion and it passed unanimously.
(Attachment 8)
APPOINTMENTS Commissioner McNeill nominated Jack Lawrence and Johnnie Sanders to serve on the
South Central Water and Sewer District Advisory Board. Commissioner Titchener
nominated John Shaw to serve as chairman of the Harnett County Airport Committee.
Commissioner Hill moved to approve the proposed appointments. Commissioner
McNeill seconded the motion and it passed unanimously. •
Chairman Byrd recessed the regular meeting and stated that the Board would now
SOUTH CENTRAL W & S consider certain matters sitting in its capacity as governing body of the South Central
WASTEWATER STUDY Water and Sewer District of Harnett County. Holt Felmet, Advisory Board Member,
addressed the Board regarding a request to fund a wastewater study for the District.
The Advisory Board met on April 17, 2001 and decided that a comprehensive
wastewater study be conducted in order to determine the need and feasibility of
wastewater expansion in the Anderson Creek area of the District. Commissioner
McNeill moved to approve the request to fund the feasibility study. Commissioner
Hill seconded the motion and it passed unanimously. The cost will not exceed
$60,000.
•
•
•
Chairman Byrd closed the South Central Water and Sewer District portion of the
meeting and called the regular Board meeting back to order.
BUDGET MESSAGE Neil Emory, County Manager and Budget Officer, presented the Budget Message for
the proposed Harnett County FY 2001-2002 Budget to the Board. Mr. Emory
explained in detail a summary of the proposed budget. The General Statutes require
the proposed budget, after its presentation, to lay open for public inspection in the
office of the Clerk to the Board; after which a public hearing will be held on the
proposed budget. At the next regular meeting after the public hearing, the Budget
ordinance will be presented to the Board for consideration. The public hearing on the
proposed FY 2001-2002 Budget will be held at the regular Board meeting, June 4,
2001 and the proposed Budget will be considered for adoption by the Board at its
regular meeting on June 18, 2001. (Attachment 9)
Departmental reports were filed with the Board from Emergency Medical Services,
Department of Social Services, Veterans Affairs, Fire Marshal & Emergency
Management, Board of Elections, and Animal Control.
There being no further business, Commissioner Andrews moved for adjournment.
Commissioner McNeill seconded the motion and it passed unanimously.heHarnett
County Board Of Commissioners' regular meeting, May 7, 2001 duly adjourned tTett
10:30 a.m.
Attachment 1.
MONTHLY REPORT
23 Apr-01
BILL NUMBER NAME REASON AMOUNT.
Kay S.lanchard, Clerk
ApC>C'�,+ i$p :1K arR»�YSr;Re
�r'se,t:453iL"lz3i�
C6...,..
Date
YEAR MONTH TOWN
2000693558
ANDERSON, SYBIL
SOLD VEHICLE
COUNTYWIDE - 2153 X .73 = 15.72
2000 05101
GRADY
N HARN FIRE - 2153 X .09 = 1.94
221 W STEPHENSON RD
TOTAL - 17.66
HOLLY SPRINGS, NC
27540
200003277
BAXTER-METHANY,
MILITARY EXEMPTION
COUNTYWIDE - 5561 X .73 = 40.60
2000 05101
NANCY L
AND CRK FIRE - 5561 X .11= 6.12
174 SUE ST.
INTEREST - 1.29
SPRING LAKE, NC 28390
TOTAL - 48.01
2000626866
GODWIN, KEVIN
SOLD VEHICLE
COUNTYWIDE - 5,283 X .73 = 38.57
2000 05/01
CAMPBELL
CITY OF DUNN - 5,283 X .46 = 24.31
158 ROLLINGWOOD DR
AVERASBORO SCHOOL - 5,283 X =
DUNN, NC 28334
.02
1.06
TOTAL - 63.94
2000653103
HAMER, ROBERT
SOLD VEHICLE
COUNTYWIDE -1,583 X .73 = 11.56
2000 05101
DAMES
SPOUT SPRINGS FIRE - 1,583 X. 10 =
464 MELODY LANE
1.59
CAMERON, NC 28326
TOTAL - 13.15
2000652265
HICKMAN, RICHARD
VEHICLE TOTALED
COUNTYWIDE - 2724 X .73 = 19.89
2000 05101
LEE
P.O. BOX 14
BENHAVEN FIRE - 2724 X .07 = 1.91
TOTAL - 21.80
OLIVIA, NC 28368-0014
DUNN
21 P
BILL NUMBER NAME
2000631233 HIGHSMITH, JAMES
STEPHEN
38 PATETOWN RD
HOLLY SPRINGS, NC
27540
2000672500 HOLMES, RICHARD
DALTON
810 FAIRGROUND RD
DUNN, NC 28334
REASON
SOLD VEHICLE
SOLD VEHICLE
AMOUNT
COUNTYWIDE - 1098 X .73 = 8.02
N HARN FIRE - 1098 X .09 = .99
TOTAL - 9.01
COUNTYWIDE - 2,322 X .73 = 16.95
CITY OF DUNN - 2,322 X .46 = 10.69
AVERASBORO SCHOOL - 2,322 X .02 =
.47
TOTAL - 29.11
YEAR MONTH TOWN
2000 05/01
2000 05101 DUNN
2000805564
JOHNSON, WILLIAM
SOLD VEHICLE
COUNTYWIDE - 3,530 X .73 = 25.77
2000 05101
GLENN
BUIES CREEK FIRE - 3,530 X. 10 = 3.53
P.O. BOX 69
TOTAL - 29.30
LILLINGTON, NC 27546
2000653805
LABADIE, EDWARD
SOLD VEHICLE
COUNTYWIDE - 1190 X .73 = 8.69
2000 05101
ALBERT
BENHAVEN FIRE - 1190 X .07 = .84
67 SUMMIT CT
TOTAL - 9.53
CAMERON, NC 28326
1997624921
MCIVER, II JOHNIE
MILITARY EXEMPTION
COUNTYWIDE - 5635 X .68 = 38.32
1997 05/01
RUSSELL
BENHAVEN FIRE - 5635 X .07 = 3.95
3676 HILLMON GROVE
BENHAVEN RESCUE - 5635 X .025 =
RD
1.41
CAMERON, NC 28326
TOTAL - 43.68
2000644904
MCIVER, II JOHNIE
MILITARY EXEMPTION
COUNTYWIDE - 3460 X .73 = 25.26
2000 05101
RUSSELL
BENHAVEN FIRE - 3460 X .07 = 2.42
3676 HILLMON GROVE
TOTAL - 27.68
RD
CAMERON, NC 28326
1999594910
MCIVER, II JOHNIE
MILITARY EXEMPTION
COUNTYWIDE - 3910 X .73 = 28.55
1999 05101
RUSSELL
BENHAVEN FIRE - 3910 X .07 = 2.74
3676 InLMON GROVE
TOTAL - 31.29
RD
CAMERON, NC 28326
1998039145
SAWYER, DAVID
ONLY LICENSED FOR 30
COUNTYWIDE - 111,600 X .68 = 758.88
1998 05/01
390 VIC KEITH RD
MH SPACES
SPOUT SPRINGS FIRE-111,600 X .09 =
SANFORD, NC 27330
100.44
72 SOLID WASTE FEES @ 37.50 =
2325.00
TOTAL - 3184.32
2000646905
TOYOTA MOTOR
CUSTOMER LIVES IN
COUNTYWIDE - 25,170 X .73 = 183.74
2000 05101
CREDIT
JOHNSTON COUNTY
BLACK RIVER FIRE - 25,170 X .07 =
P.O. BOX 31826
17.62
RICHMOND, VA 23294
TOTAL - 201.36
2000632704
VANN, WALTER
SOLD VEHICLE
COUNTYWIDE - 270 X .73 = 1.99
2000 05/01
MCLAMB
TOWN OF ERWIN - 270 X .48 = 1.30
604 WARREN RD
ERWIN FIRE - 270 X .05 =. 14
ERWIN, NC 28339
TOTAL - 3.42
2000684848
WOOD, MICHAEL &
SOLD VEHICLE
COUNTYWIDE - 7,520 X .73 = 54.90
2000 05/01
PATRICIA
CITY OF DUNN - 7,520 X .46 = 36.60
312 COLERIDGE DRI
AVERASBORO SCHOOL - 7520 X .02 =
DUNN, NC 28334
1.51
TOTAL - 93.01
2000673597
WREN, JOHN & RENE
1/2 MILITARY
COUNTYWIDE - 9,470 X .73 = 69.14
2000 05/01
150 VALLEY FORGE ST
EXEMPTION
SPOUT SPRINGS FIRE - 9,470 X .10 =
CAMERON, NC 28326
9.47
TOTAL - 78.61
ERWIN
•
•
•
Attachment 2.
•
•
E
RESOLUTION
Mr. Eugene Stewart
Whereas, Mr. Eugene Stewart and his wife Mary are lifelong residents of Harnett County;
and
Whereas, during his lifetime Mr. Stewart has served his nation and his community in a
variety of ways, including his service as a pilot and flight instructor during World War II; and
Whereas, Mr. Stewart has gained the respect and admiration of his fellow citizens as a
business and community leader; and
Whereas, Mr. Stewart recently celebrated his 80a" birthday on April 23, 2001; and
Whereas, to commemorate this special occasion, Mr. Stewart took to the skys of Harnett
County to perform eighty continuous barrel rolls; and
Whereas, his actions brought attention to the importance of aviation in our County and the
contributions those involved in aviation. have made to our Country over the years.
Now, Therefore Be It Resolved that the Harnett County Board of Commissioners does
hereby congratulate Mr. Stewart on this his eightieth birthday and does also hereby commend him
for his contributions to our community and his contributions to aviation.
Adopted this 7t' day of May, 2001.
HARNETT COUNTY BOARD OF COMMISSIONERS
Ted J. Byr , hairman
Attachment 3.
NORTH CAROLINA RESOLUTION TO CONDUCT
PUBLIC HEARING
HARNETT COUNTY
THAT WHEREAS, the County of Harnett (hereinafter "County") has made economic
development in Harnett County a major priority in aneffortto replace displaced industry previously
located in the County, to provide local job opportunities for citizens of the County and to increase
the County tax base; and
WHEREAS, on February 17, 2000, TEU Holdings, Inc. and This End Up Furniture Company
(hereinafter "This End Up") filed Chapter 11 Bankruptcy in the U.S. Bankruptcy Court for the
District of Delaware; that as part of its reorganization efforts, This End Up ceased its manufacturing
operations at the This End Up manufacturing facility located in the Harnett County Governmental
Complex and Industrial Park off Highway 401 in Lillington, Harnett County, N.C.; that since the
cessation of operations at the Lillington plant, This End Up has sought to sell this manufacturing
facility property; and
WHEREAS, Powell Holding - Facility One, L.L.C. (hereinafter "Powell") has negotiated a
proposed purchase of the This End Up manufacturing facility in Lillington, N. C. for the purpose of
locating Powell's own light manufacturing and assemblage operations at the former This End Up
plant; that the County has begun negotiations to induce Powell with the transfer of certain economic
development incentives to locate its manufacturing operations at the former This End Up plant; and
WHEREAS, N.C. General Statutes §158-7.1(c) requires that a public hearing be held prior
to the approval of an agreement to appropriate County funds for the purposes of aiding and
encouraging the location of manufacturing enterprises in the County, and that notice of said public
hearing with the information required by said statute be published at least 10 days prior to said
public hearing; that in order to proceed with the appropriation of this economic development
incentive it is the desire of the Board of Commissioners to conduct said public hearing at its regular
meeting on May 21, 2001.
214,
"NOW, THEREFORE, BE IT RESOLVED by the Harnett County Board of Commissioners
that a public hearing be called for May 21, 2001 at 7:00 p.m. at the Board Meeting Room of the
County Administration Building at 102 East Front Street, in Lillington, N. C. for public comment
on a proposed agreement to transfer economic incentives to Powell Holding - Facility One, L.L.C.
and that notice of said public hearing include the information and be published pursuant to the
requirements ofN. C. General Statutes §158-7.1(c).
'Phis the Th clay of May 2001.
ATTEST:
Kay Manchard, Clerk
HAI
By:
•
•
r�
i o
Attachment 4.
COUNTY MANAGEMENT RECORDS RETENTION AND DISPOSITION SCHEDULE
The records retention and disposition schedule and retention periods governing the records series listed
herein are hereby approved. In accordance with the provisions of Chapters 121 and 132 of the General
• Statutes of North Carolina, it is agreed that the records do not and will not have further use or value for
official business, research, or reference purposes after the respective retention periods specified herein and
are authorized to be destroyed or otherwise disposed of by the agency or official having custody of them
without further reference to or approval of either party to this agreement. It is further agreed that these
records may not be destroyed prior to the time periods stated; however, for sufficient reason they may be
retained for longer periods. This schedule is to remain in effect from the date of approval until it is
reviewed and updated.
Chief Administrative Officer
•
Chairman, Board of County
Commissioners
April 1, 2001
0
APPROVAL RECOMMENDED
APPROVED
Jeffrey J. Crow, Director
Division of Archives and History
Lisbeth C. Evans, Secretary
Department of Cultural Resources
216
6.
Attachment 5.
N.C. Department of Transportation -Division of Aviation
State Aid to Airports Program
AIRPORT NAME: Harnett County.
Contact Person: Tony Wilder Telephone #: 910-893-7555
Fiscal Year 2003 Proposed New Projects
(Projects to Begin 7.1.02 through 6-30-03)
a
TRANSPORTATION IMPROVEMENT PROGRAM -AVIATION ELEMENT
TIP REOUEST FOR ENTIRELY NEW
USE THIS FORM FOR NEW REQUESTS NOT CURRENTLY CONTAINED IN THE TIP**
Brief Work Element
(Please attach a complete narrative description (Round All Amounts to the Nearest Dollar)
including any quantitative justification) Federal Funds Requested Local Funds
DOT AVIATION OFFICE USE ONLY
TIP NUMBER SPN CATEGORY F/S/L %
1. land Acquisition (Fee Simple)
1,130,000.00
0.00*
2. land Acquisition (Easement)
55,000.00
0.00*
3. Site Preparation for Phase 2 Taxiway and Runway Extension
1,252,000.00
. 0.00*
4. Phase 2 Runway Extension Paving and Lighting
525,000.00
0.00*
S. Phase 2 Taxiway Extension Paving & Lighting
375,000.00
0.00*
6. Phase 2 Approach Clearing
95,000.00
0.00*
FY 03
•
Local to -Kind cotnlbu[ton
I CERTIFY THAT THE PROJECTS REQUESTED ON THIS SUBMISSION HAVE BEEN REVIEWED BY THE GOVERNING BOARD OF THE SPONSOR
RESPONSIBLE FOR FUNDING THE LOCAL SHARE OF THE PROJECT AND THAT SAID BOARD HAS FORMALLY APPROVED THE SUBMISSION OF THESE
REQUESTS FOR STATE AID TO THE AIRPORTS ( AND THE STATE BLOCK GRANT PROGRAM WHERE APPLICABLE)
DATE:
(Sponsor's Representative)
Return the following to the NCDOT-Division of Aviation, Attn: Rick Barkes, 1560 Mail Service Center, Raleigh, NC 27699 No Later Than January 30, 2001:
(1) Completed Form (2) Narrative Description (3) Copy of drawing (preferably an ALP)
N.C. Department of Transportation -Division of Aviation
State Aid to Airports Program
AIRPORT NAME: Harnett County
Contact Person: Tony Wilder Telephone #: 910-893-7555
Fiscal Year 2004 Proposed New Projects FY 04
(Projects to Begin 7.1-03 through 6.30-04)
TRANSPORTATION IMPROVEMENT PROGRAM -AVIATION ELEMENT
TIP REOUEST FOR ENTIRELY NEW
USE THIS FORM FOR NEW REQUESTS NOT CURRENTLY CONTAINED IN THE TIP**
Brief Work Element
(Please attach a complete narrative description (Round Al/Amounts to the Nearest Dollar)
including any quantitative justification) Federal Funds Requested Local Funds
DOT AVIATION OFFICE USE ONLY
TIP NUMBER SPN CATEGORY F/S/L %
1. Site Prep and Installation of Localizer, Glide Slope, and Outer Marker
1,450,000.00
0.00*
2. Extend Runway 5 ERSA to 300'
592,550.00
47,450.00
3. Apron Expansion
315,000.00
35.000.00
4.Runway Widening
585.000.00
65,000.00
5.REIIS - Runway 4-22
72,000.00
8,000.00
6. Auto Parking/Access Road (1,100 SY)
12.000.00
15,000.00
7.
•
I CERTIFY THAT THE PROJECTS REQUESTED ON THIS SUBMISSION HAVE BEEN REVIEWED BY THE GOVERNING BOARD OF THE SPONSOR
RESPONSIBLE FOR FUNDING THE LOCAL SHARE OF THE PROJECT AND THAT SAID BOARD HAS FORMALLY APPROVED THE SUBMISSION OF THESE
REQUESTS FOR STATE AID TO THE AIRPORTS ( AND THE STATE BLOCK GRANT PROGRAM WHERE APPLICABLE)
SIGNED: DATE:
(Sponsor's Representative)
Return the following to the NCDOT-Division of Aviation, Attn: Rick Barkes, 1560 Mail Service Center, Raleigh, NC 27699 No Later Than January 30, 2001:
(1) Completed Form (2) Narrative Description (3) Copy of drawing (preferably an ALP)
AV-TIP-2-98/02 (11/97)
Attachment 6.
211
RESOLUTION AUTHORIZING THE HARNETT COUNTY TAX COLLECTOR
TO DIRECT EXECUTIONS AGAINST PERSONAL PROPERTY
FOR UNPAID AD VALOREM TAXES TO THE HARNETT COUNTY SHERIFF
WHEREAS, the Board of Commissioners of the County of Harnett is committed to the
• proper and equitable collection of County ad valorem revenues in order to help fund the County
budget for the services and benefit of its citizens; and
WHEREAS, the County Tax Collector and his department staff have been assigned the
responsibility to assess and collect County ad valorem taxes, and said collector has the statutory
authority to levy and sell tangible personal property for tax collection purposes; and
WHEREAS, pursuant to the provisions of North Carolina General Statutes § 105-367(b) the
Tax Collector, upon the authorization of the County Board of Commissioners, may direct executions
against personal property for unpaid County ad valorem taxes to the County Sheriff, that once the
Sheriff or his officers has received an execution directive from the tax collector or his deputy, then
said office shall proceed to levy on and sell the personal property subject to levy in the manner and
with the powers and authority normally exercised by Sheriff's in levying upon and selling personal
property under execution; that the Board of Commissioners desire through this Resolution to give
such authority to the Tax Collector.
• NOW, THEREFORE, BE IT RESOLVED by the Board of Commissioners of the County
of Harnett that the Harnett County Tax Collector or his duly appointed deputy is hereby authorized
to direct executions against personal property for unpaid County ad valorem taxes to the Harnett
County Sheriff and the Sheriff or his duly appointed officers shall proceed with said executions in
the manner prescribed by law.
Duly adopted this the 7t' day of May, 2001.
BOARD OF COMMISSIONERS OF
HARNETT 1'0
T%
By: LOLL
f ed y R, n
ATTESTED TO:
Kay S9. Blanchard
Clerk to the Board
Attachment 7.
OFFICE OF JUVENILE JUSTICE FOUR COPIES EACH WITH
Program Agreement Revision ORIGINAL SIGNATURES REQUIRED
Name of Program:
Harnett County Juvenile Restitution & Community Service
OJJ Program ID#: 643032
$ onsorin Agency: Harnett County Youth Services
County: Harnett
Contact Person Name & Address
Program T e:Restitution/Comm. Ser
Henry L. Evans, Program Coordinator
PO Box 85, Lillin ton NC 27546
Effective Date: 4-1-2001
Phone 910 893-7536
Fax # 910 814-3967
Funding Period:
7-1-00thru 6-30-01
The Current Program Agreement is being revised in the following manner.l) Add $500 _ expan-
sion- monies to contracted services and allow contracted services in the total sum
of $10,743 by and between Harnett County Juvenile Restitution & Community Service and
Boys & Girls Club of Harnett County. 2) Increase restitution revenue from $6,500 to
$8,000, as restitution amount earned this FY will exceed $6,500.
The reasons for the changes are as follows: 1) Refer to attachment for contracted service
by and between the Harnett County Juvenile Restitution & Community Service Program an
the Boys & Girls Club of Harnett County. 2) Restitution revenues earned will exceed
$6,500; need to increase.to $8,000 for current FY.
Current Pro
ram Revenues
New Pro
ram Revenues
OJJ
$
OJJ
$
86,577.00
87,077.00
Local Match
$
14,756.00
Local Match
$14,756.00
10% 20% 30%
Cash
10% 20% 30%
Cash
$
7,200.00
$ 7,200.00
In -Kind
In -Kind
OWtution
$
6,500.00
Fetitution
$ 8,000.00
Surplus Sale
$
2,650.00
Surplus Sale
$ 2 650.00
'
(Other)
(Other)
TOTAL
$117 , 683.00
TOTAL
$119 , 683.00
DIRECTOR, Office of Juvenile Justice
Chairman, Board of County Commissioners
CHAIR AN, County JCP Council
o ram Mana6er
Date
Date
Date
'-7® ^&,/
Date
The Juvenile Crime Prevention Council approved OJJ funding for the 2001-2002
FY as summarized below.
Program Agreements for OJJ funding for the 2001-2002 FY will be submitted for
approval as follows:
1. Woodrow Scoggins Transitional Living Center ---- ------ ------ $ 14,319.00
2. Specialized Foster Care --- —----- —----- —_— ---- _— -------------- — $ 439850.00
3. M.A.P.S.------------------------- -------- -------- ----------- ------- $ 40,350.00
4. Hillcrest Shelter ------------ —------- —--- --------------- ------ $ 39,000.00
5. Juvenile Restitution & Community Service --- _____ -------- --- $ 83,239.00
6. Court Psychologist Program -------- ------------ $ 7,140.00
•
•
Attachment 8.
219
•
•
RESOLUTION AMENDING ORDINANCE REGULATING USE OF WATER AND
SEWER FACILITIES OPERATED BY THE COUNTY OF HARNETT
FIXING RENTS, RATES, FEES AND OTHER CHARGES AND
PROVIDING FOR COLLECTION OF SAME
WHEREAS, the Board of Commissioners of the County of Harnett has previously adopted
that certain Ordinance entitled, "Ordinance Regulating the Use of Water and Sewer Facilities
Operated by the County of Harnett Fixing Rents, Rates, Fees and Other Charges and Providing for
Collection of Same;" and
WHEREAS, the said Ordinance applies to all water supply and distribution systems owned
and/or operated by the County ofHamett to include specifically all County water and sewer districts;
WHEREAS, the Board of Commissioners desires to amend the aforementioned Ordinance
by amending "Section 28. Classifications, Rates, Fees and Charges part (g) Water and Sewer System
Capacity Use Fees to include a second paragraph dealing with a Capacity Use Fee payment schedule
for large subdivisions (50 or more lots).
NOW, THEREFORE, BE IT ORDAINED by the Board of Commissioners of the County
of Harnett and by the Harnett County Board of Commissioners sitting as the governing body of all
the County water and sewer districts that the Ordinance named herein above shall be amended by
including the attached Exhibit A as the amended second paragraph of Section 28 (g).
AND BE IT RESOLVED:
That the Ordinance named herein above be amended as attached and as set forth
above, and that the Ordinance and amendments shall be and remain in full force and effect from and
after the date of its adoption; and
2. That the Harnett County Department of Public Utilities is hereby authorized and
directed to take such administrative actions as are necessary so as to implement the above Ordinance
as amended.
Duly adopted this 71 of May, 2001, upon motion made by Commissioner Tim McNeill
seconded by Commissioner Dan B. Andrews and adopted by the following vote:
Ayes 5 Noes
ATTEST:
i �
Kay S.oBlanchard, Clerk to the Board
and to the Water and Sewer Districts of
Harnett County
Absent 0
Board of Commissioners of the
County of ett
Tqd y R. Byrd{ h 'z< an
of the Board an of the governing
body of the Water and Sewer Districts
of Harnett County
220
EXHIBIT A
AMENDMENT TO "THE ORDINANCE REGULATING THE USE OF WATER
AND SEWER FACILITIES OPERATED BY THE COUNTY OF HARNETT
FIXING RENTS, RATES, FEES AND OTHER CHARGES AND PROVIDING
FOR COLLECTION OF THE SAME." AMENDMENT TO WATER AND
SEWER SYSTEM CAPACITY USE FEES FOR LARGE SUBDIVISIONS
(This provision is to be added as a second paragraph to Section 28(g))
Large subdivision or phases thereof, either of which are composed of 50 or more lots,
would be required to pay 25% of the total amount due in water and sewer capacity use
fees at the time of conveyance to the County or a County water and sewer district. The
next 25% would be payable in six months from the time of conveyance. The third 25%
increment would be payable at 1 year from conveyance and the final 25% would be
payable at 18 months from the original conveyance date. Any developer which uses this
large subdivision method of capacity use fee payment shall be required to provide a
payment bond to the County for the full amount of capacity use fees for those phases of
the development which are recorded at the Harnett County Register of Deeds office. The
payment bond shall be presented during the submittal phase to the County Public Utilities
Department while it is waiting for the receipt of the developer's authorization to construct
from the North Carolina Department of Environment and Natural Resources.
Attachment 9.
BOARD OF COMMISSIONERS
TEDDY J. BYRD, Chairman
BEATRICE B. HILL, Vice Chairman
DAN B, ANDREws
Tim McNEaL
WALT TrrcHENER
d TTC V
ry�gTH CAPC��NP
COUNTY OF HARNETT
P.O. BOX 759 • LILLINGTON, N.C. 27546
(910) 893-7555 • FAX (910) 814-2662
COUNTY OF HARNETT
2001-2002 BUDGET MESSAGE
TO: THE HARNETT COUNTY BOARD OF COMMISSIONERS
Teddy ]. Byrd, Chairman
Beatrice B. Hill, Vice Chairman
Dan B. Andrews
Tim McNeill
Walt Titchener
COUNTY MANAGER
NEIL EmoRY
Wm. A. (ToNY) WILDER, Assistant
CLERK TO THE BOARD
KAY S. BLANCHARD
The proposed Harnett County Budget for 2001-2002 is hereby submitted for review and
consideration by the Board of Commissioners. This year several factors exist which
directly impacted our ability to develop a balanced budget within existing revenue streams.
While these factors will be discussed in more detail during budget discussions, I believe it is
important to note up -front the impact they have had on this document. The following
notes the most important of these:
A. While we have experienced significant growth in our tax base during the
nineties, this year overall growth has been minimal due to limited growth and
the loss of Swift Textiles.
B. Other revenue sources have also experienced actual decreases or minimal
growth. These include sales tax, inspection fees, and other revenues related to
overall county development.
C. The state budget crisis has threatened county revenue sources and has limited
resources available from the State.
D. Expenditures mandated by the state continue to require significant contributions
by the county. This year alone, the state has recommended that the county
increase its contribution to Medicaid by over 30%; thereby creating one of the
greatest increases in proposed county funding for the coming year.
E. In keeping with previous years, the budget contains a significant increase for the
Harnett County Board of Education.
F. Finally, economic conditions require that the county invest significant funds in
development efforts. In keeping with the LeakeGoforth Report, the proposed
budget contains an appropriation of $5.00 per capita for such efforts.
•
•
221
In light of these factors, we have attempted to limit any significant growth in discretionary
spending; thereby limiting growth in most county departments. We believe this approach
is prudent in view of the limited revenue growth provided for by existing revenue sources.
At the same time, we believe that it is vital that the county maintain its current strong
financial position. Therefore, I am proposing a $.05 increase in the existing general fund
tax rate. We believe this increase is necessary if we are to meet the obligations of the
county noted, while maintaining our overall financial stability.
The following budget overview notes the highlights of the proposed budget in regards to
revenue sources as well as expenditures. In addition, we have prepared charts and graphs
that illustrate significant changes and
• Projected Revenues by Function - trends in the county s overall financial
2001 - 2002 future.
General Fund - $61,089,557
"^" °'^'oa1%
,.°rz As in past years, this document was
°°x
developed following individual
"' ""% meetings with each department head
01h., and after extensive review by staff.
The following overview notes the
u uz
budget highlights as they relate to
revenues and expenditures. Before
�a1•• • °°x beginning this overview, I would like
9; 9 lee In 1•r°ov,.
*x ... 12.77% to thank Vanessa Young, Finance
Officer, and Tony Wilder, Assistant
County Manager, for their assistance
in developing this document. Also, I would like to thank members of the Finance and
Administrative Staff who assisted in this effort.
GENERAL FUND REVENUE
The 2001-2002 budget has been developed based upon revenue projections that reflect low
growth as well as actual declines in revenues generated by some fees. Therefore, we have
developed this document based upon very conservative revenue projections. The following
review highlights the status of the major county revenue sources as well as changes of
particular interest:
Ad Valorem Tax - The budget has been developed based on a tax levy of $27,556,323 and
a collection rate of 92.5%. Utilizing a tax rate of $.78, we have projected tax collections of
• $25,489,599 for the upcoming year. The proposed increase in the rate will increase
revenue and will off -set the lack of growth from this revenue source while also providing
the funding necessary to meet the needs of our schools and state mandated programs such
as Medicaid.
Sales Tax - Growth in this revenue is projected to be extremely low. This is due to an
overall slow -down in our state's economy and reflects a sign fkant loss of revenue growth
that we have enjoyed in past years. However, please keep in mind that a portion of this
revenue is dedicated to school capital needs and is utilized to pay a portion of the debt
service for schools.
Other Revenue - Revenue from fees has experienced an overall decrease. Therefore, we
are recommending fee increases in several departments such as Planning an EMS. The
proposed increase in EMS fees would permit the County to maximize reimbursements from
Medicare.
Fund Balance - Harnett County has a
Projected Expenditures by Function - long tradition of maintaining an
2001 -2002 available fund balance of at least 15%.
General Fund - $61,089.557
This tradition is one that I believe we
D tO Zov"Enrlrnn.
should maintain. County management
%
DnnDn°.n., continues to work toward the goal of
supporting current operations from
current revenues while maintaining a
General Fund balance sufficient to
provide both adequate working capital
and reserves for unanticipated
E. expenditures. However, in light of
^° revenue shortfalls and in an attempt to
Dvv.
minimize the additional burden placed
upon taxpayers, I am recommending that the appropriation from the fund balance be
increased this year. This fact should be kept in mind when considering the current
proposed budget as well as the budget for the following fiscal year.
GENERAL FUND EXPENDITURES
Growth in General Fund Expenditures continues to reflect that the county is one of the
fastest growing in the state. In response to this growth, the county must invest its
resources in an attempt to address the needs of its growing population. At the same time,
we are faced with a reduction in our overall revenues. With these two factors in mind, we
are recommending growth in key expenditures such as education as well as in mandated
programs such as Medicaid. At the same time, we have provided for very limited budget
growth in day -today department operations.
222
Personnel - In view of existing budget circumstances, we are proposing minimal increases
in cost related to personnel. While we have incorporated a 2.5% cost of living increase
into the budget, we are not recommending any salary adjustments or reclassifications
except those required by the state. In regards to new personnel, we are only
recommending the addition of positions funded by state or grant funds as well as
additional staffing for the Sheriff's Department.
Economic Development - The LeakoGoforth Report recommended the appropriation of
$5.00 per capita for economic development efforts. The budget contains funds to meet
this recommendation. is
Human Services Programs - Medicaid funding is the most significant factor influencing
the proposed budget. With an increase of funding of one million dollars, this line item has
played a significant part in requiring the proposed tax increase.
Sheriff's Department - The proposed budget contains funding for additional personnel in
this department. These positions will be utilized to fund positions recommended by the
recent communications study as well as additional law enforcement officers.
Board of Education - This year, the recommended appropriation for the public schools
was developed by utilizing an ADM of 16,500 which is consistent with last year's budget
projections. An 8% increase per ADM has been provided for within the proposed budget.
However, budget projections do incorporate use of a portion of the sales tax dedicated to
the schools for school capital needs. In addition, the budget calls for a contribution of
$600,000 from ADM funds to meet debt service needs for the Highland Elementary
School. It should be noted that this revenue source will not be available next year once
financing for a new high school is entered into.
PUBLIC UTILITIES
Growth in Public Utilities has slowed over the past year. In addition, we are undertaking
several major capital projects that will impact this portion of the budget. Therefore, we
are recommending a rate increase which will permit the county to fund proposed capital
projects while also providing resources for day -today operations. In addition, $600,000
from this fund has been transferred to the General Fund.
CONCLUSION •
We believe the proposed 2001-2002 Budget is a very conservative document that
recognizes the importance of preserving the county's strong financial position.
Neil Emory, Budget Officer