Colchester, Connecticut

MinutesBudgetComm05072020 (1)

Board of Education Meeting 4:00PM

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minutes FY 2019-20 BoardDocs (BOE meetings) 2020-06-09

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COLCHESTER BOARD OF EDUCATION
                                  Colchester, CT



                                   BUDGET COMMITTEE

                                Thursday, May 7, 2020
                         BOE Budget Committee Meeting 9:00AM

                                            MINUTES

COMMITTEE MEMBERS PRESENT: ​Jessica Morozowich, Joanne Rose, Mitch Koziol
ADMINISTRATION PRESENT: ​Superintendent Jeffrey Burt, CFO Maggie Cosgrove,
Director of Pupil Services and Special Education Kathleen Perry, Director of Educational
Operations Mario Hurtado
OTHERS PRESENT: ​BOE Chair Mary Tomasi, Executive Assistant to the Superintendent
Amy Trinnaman

1. CALL TO ORDER
   1.1 Call to Order
  Chair Morozowich called the meeting to order at 9:03AM
2. ADDITIONS/CHANGES TO THE AGENDA
   None.
3. PUBLIC COMMENT
   3.1 Public Comment
  None.
4. *APPROVAL OF MINUTES
   4.1 *Approval of April 2, 2020 Minutes
      Clarification of April 2, 2020 minutes: In Item 7.2 of the April 2, 2020 minutes, it was
      reflected that The Board of Selectmen may have the authority to set a mil rate for the
      budget. At this time, it is clear from an update of the Governor’s Executive Order that
      the Board of Finance, not the Board of Selectmen, may have the authority to set a mil
      rate for the budget.
      Motion by: ​J. Rose
      To approve the minutes of the April 2, 2020 Budget Committee meeting.
      Second by: ​J. Morozowich
      Vote: ​Unanimous
      Roll call: ​J. Rose, M. Koziol, J. Morozowich


5. *PRIORITY DISCUSSION/ACTION ITEMS
  5.1 *M & J Memorandum of Agreement
      Superintendent provided an update of the M&J Bus Company memorandum of
      agreement. There is verbal agreement for the period of March 16 - May 8 to pay
      approximately 60% of the contracted rate. After May 11th, we will pay 90% of the
      contracted rate to the end of the contractual year, as M&J will be re-employing staff. The
      amended contract will be presented to full BOE for approval. The contract ends in 2023.
  5.2 *CARES Act Use of Funds Discussion
      Superintendent Burt recommends that we do not allocate these funds (approximately
      $211,000) at this time, as uncertainty is too great. Specific areas will be identified for
      funding in the future. Funds may or may not be available for this fiscal year; the District
      awaits further guidance from the State. Currently it is our understanding that this is a
      one-time allotment, but the ongoing pandemic could change these circumstances.
  5.3 Facilities Update
      All Custodians are now working full-time during school closures. All custodians are
      preparing for summer closure. With the security grant, security cameras are installed at
      CES and JJIS, ballistic film has been installed in all schools, the access control system
      will be completed in the next 3 weeks, furniture for GREETER station, All security will
      be completed before the end of the fiscal year. Remaining supplies money will be spent
      on updating LED lighting. With capital improvement funds, the bleacher project at
      Bacon Academy is being reviewed. Seats and railings need to be replaced; railings are
      not up to code. It is expected to be more costly than initially anticipated.
      There is an ongoing problem with sewer lines backing up at WJJMS due to an
      installation issue with an inside sanitary line. There has been a delay on the part of the
      subcontractors to remedy the situation. Superintendent Burt will be seeking legal counsel
      regarding expediting the correction.
  5.4 Online Payment Update
      We are working on the implementation of online payments that parents can make for a
      variety of reasons (cafeteria, field trips, sports). Funds can be deposited directly into the
      appropriate accounts. There will still be the possibility of paying by check, but online
      payment options have been requested by parents for some time. There is a convenience
      fee for credit card payments but there is also the option for direct bank account payments
      that have no fee.


6. BUDGET REPORTS
   6.1 Monthly Budget Reports
      CFO Maggie Cosgrove presented the April 2020 budget report, which is starting to show
      impacts of school closures. The daily substitutes line had been projected to be expended,
      but will remain unexpended. The deficit in the certified salary line is a result of
      outstanding hires in the 2019-20 school year. For utilities, invoices paid in April were
      from March, so we expect next month’s budget report to better reflect school closures
      impact. Benefits lines will align with payroll. Unemployment claims lag by about 6
      weeks, so current data does not reflect the impact of the layoff of daily substitutes. Areas
   where funds remain are facilities, maintenance, custodial supplies. As far as fuel
   expenses are concerned, diesel fuel is a joint contract with the Town, any penalty for
   non-use of fuel will be a shared expense with the town. Any funds left ​in the capital
   outlay account​ will automatically roll into capital reserve. M&J contract adjustments
   have not been included in this report. While transportation savings options have been
   considered (ex. sharing special education transportation with neighboring towns), school
   closures have interrupted those discussions.
6.2 Health Insurance Reserve
   CFO Maggie Cosgrove presented the Health Insurance Reserve Report. While both the
   Town and District have incurred large claims, there is not cause for concern for the
   District at this time.
6.3 Cafeteria Fund
   CFO Maggie Cosgrove presented the Cafeteria Fund report through March, reflecting
   the split in food sales from the first half of March when we were still in school, and the
   second half related to the Food Security Program. Currently the summer meals program
   reimbursement is in place for the second half of March. The reimbursement has not
   made up for the loss of sales. Lost revenue is not currently a part of the reimbursement
   program at this time. We anticipate approx $14,000 in reimbursement for the food
   served during that period in April. There is an expected deficit in this program, but
   reimbursement is unclear at this time. The Superintendent shared that the meals program
   was opened up to any person under the age of 18 regardless of town of residence or
   school attended. Cost estimates for the approximately 10 weeks of summer are being
   determined. An update will be provided to the Board of Education.
6.4 Special Education Excess Cost Report
   There have been no changes in this report from May. There will be some savings in
   transportation costs associated with school closures. Savings are being calculated for
   Extended School Year (ESY) transportation but the status of that program for the
   summer is uncertain at this time.
6.5 Budget Transfers Under $5,000 (None at this time)
6.6 Capital Reserve
   CFO Maggie Cosgrove presented the Capital Reserve through March 31st. Other than
   the School Security line there has been little activity. Balances were put aside for Bacon
   Academy bleachers, Bacon Academy track, and school security improvements that are
   non-grant related. Capital reserve funds are already appropriated for these items. The
   Superintendent shared that website accessibility is also a priority. There are unexpended
   balances from prior years' BOE budgets that have not yet been appropriated.
6.7 Use of Schools
   Use of schools fees are to cover the custodial costs to have buildings open after school
   hours. These funds were to be used to address sound system issues to be able to
   live-stream events and use in regular meetings. A grant may reduce the need to use these
      funds. There is a small allocation for the ability to record BOE meetings speaker system.
      Up to $10,000 will supplement that grant to fulfill these items.


7. OLD BUSINESS
   7.1 Current Fiscal Year Update
      Superintendent Burt provided an update on the current fiscal year budget. There is still a
      good deal of uncertainty but we are no longer in a budget freeze. Savings were seen in
      the daily substitute, salary, and utilities lines but there is uncertainty around
      unemployment and cafeteria areas. Further discussion will take place on how these
      savings can be used to offset costs for next year. While there have been savings, there
      have been additional expenses as well. Remaining funds can also go into a reserve fund.
      Priorities include finishing the Bacon Academy track project and prioritizing needed
      building expenses.
  7.2 2020-21 Budget Update
      Superintendent Burt provided an update of the 2020-21 proposed budget, and indicated
      the possibility of reducing the increase to 0% given the current fiscal status. This will be
      the discussion at the BOE on Tuesday, May 12. There are possibly changes in K-2 for
      iPads 1-1 but that is to supplement learning. Continued budget priorities include
      $254,000 for equipment, mostly hardware, to be purchased before June 30. A
      recommendation of the Superintendent remains to move to 1-1 for Grades 3-12 for
      Chromebooks in anticipation of continued virtual learning. The Entrance Security
      Personnel (formerly “Greeter”) is needed at Bacon Academy because of the physical
      layout of the entrance, and another Entrance Security Personnel will be in place at CES
      in the following year.


      A discussion ensued on the impact that the changes to the proposed budget would have
      on students for 2020-21. Superintendent Burt will discuss in detail at the next BOF
      meeting how the District went from its initial proposed budget of 2.99% down to the
      recommended 0%.
8. *NEW BUSINESS
    8.1 *Budget Transfer Over $5,000: Finalsite
        Funds are being requested to move forward with the change in the website platform.
        Motion by: ​M. Koziol
        To move to the full BOE for approval the request for ​funds to move forward with the
        change in the website platform.
        Second by: ​J. Rose
        Vote: ​Unanimous
        Roll call: ​J. Rose, M. Koziol, J. Morozowich

9. PUBLIC COMMENT ON NEW ISSUES RAISED OR SUBJECTS DEVELOPED
    9.1 Public Comment
       None.
10. ADJOURN
    The meeting adjourned at 11:27AM.