HomeMy WebLinkAbout2022-02-07 SB Packet - Released SELECT BOARD MEETING
Monday, F ebruary 7, 2022
Conducted by Remote Participation*
7:00 P M
AGENDA
PUBLIC COMMENTS
Public comments are allowed for up to 10 minutes at the beginning of each meeting. Each speaker is
limited to 2 minutes for comment. Members of the Board will neither comment nor respond, other than to
ask questions of clarification. Speakers are encouraged to notify the Select Board's Office at 78]-698-
4580 if they wish to speak during public comment to assist the Chair in managing meeting times.
SELECT BOARD MEMBER CONCERNS AND LIAISON REPORTS
L Select Board Member Concerns and Liaison Reports
TOWN MANAGER REPORT
CONSENT AGENDA
l. Approve Lexington Little League Opening Day Request
2. Approve Select Board Meeting Minutes
3. Select Board Committee Appointments
4. Battle Creen Use Request- Lexington Minute Men Inc. & Lexington Historical
S ociety
5. Battle Green Use Request- Lions Club of Lexington, Inc.
6. Battle Green Use Request- William Diamond Junior Fife and Drum Corps
ITEMS FOR INDIVIDUAL CONSIDERATION
1. Liquor License- Transfer of License and Change of Location -Lex Liquor Inc., 7:l Opm
186 Bedford Street
2. Liquor License- Change of DBA- 55 Pearl Investment LLC d/b/a Whiskey and 7:20pm
Wine Lexington, 55 Bedford Street
3. Grant of Location for Verizon- 3 Reed Street 7:25pm
4. Update on Police Station Building Project 7:35pm
5. 2022 Annual Town Meeting& Special Town Meetmg 2022-1 8:OSpm
• Presentation-ATM 2022 Article 31:Amend General Bylaws -Reporting,
Disclosing, and Assessing the Energy and Water Use of Large Buildings
. Presentation- STM 2022-1 Article 2:Appropriate for Police Station
Construction
. Presentation-ATM 2022 Article 26:Appropriate for Nexus Studies (Citizen
P etition)
. Discuss Potential Select Board Report
• Select Board Article Presenters, Discussion& Positions
6. Approve the Sale of Bonds and Notes 8:SOpm
7. Approve the FY2023 Recommended Budget and Financing Plan 9:OOpm
8. Approve Extension Request for Commercial Use of Town Property Post-COVID 9:15pm
9. Review and Approve the Creation of the Lexington Cultural District 925pm
10. Conflict of Interest Determuiation: Pasnela Shadley- Lexington Center Committee 9:40pm
11. Discussion on Parking Meters 9:45pm
ADJOURN
1. Anticipated Adjouinment 10:00pm
�AnAct Extending Certain COVID-19 Measures: https://www.mass.gov/service-details/updated-
guidance-on-holding-meetings-pu�suant-to-the-act-extending-certain-covid-l9-measures
Members of the public can view the meeting webinur fiom their computer or tablet by
clicking on the followi�g link at the time of the meeting:
https://us06web.zoom.us/j/81222127205?pwd=U3BGUEcxUmYzVzF OZEdzNF cyTXZEdz09
iPhone one-tap:
+13126266799„81222127205# or+19294362866„81222127205#
Telephone:+1 312 626 6799 or+1 929 436 2866 or+1 301 715 8592 or+1 346 248 7799 or+1 669
900 6833 or+1 253 215 8782
Webinar ID: 812 2212 7205
Passcode:950215
The next regularly scheduled work session of the Select Board will be held on Tuesday, February
15, 2022 at S:OOpm via remote participation.
The next regularly scheduled meeting of the Select Board will be held on Monday, February 28,
2022 at 7:OOpm via remote participation.
Hearing Assistance Devices Available ovr Req�est �` � � °���
All agenda ti�ne and the order of items af�apprnximate and ,�„/ ��,
subject to ehange. Recorded by LezMedia
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Select Board Member Concerns and Liaison Reports
PRESENTER: ITEM
NUMBER:
Select Board Members
LR.1
SUMMARY:
Under this item, Select Board Members can provide verbal updates, as well as comment on any additional
points and concerns. There are currently no written updates for the February 7, 2022 meeting.
SUGGESTED MOTION:
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Approve Le�ngton Little League Opening Day Request
ITEM
PRESENTER NUMBER:
Jill Hai, Select Board Chair
C.1
SUMMARY:
The Lexington Little League has requested approval for the Annual Little League Parade on Saturday,Apri130,
2022 from 9:OOam to approximately ll:OOam as outlined in their attached letter dated January 10, 2022.
The Police Department, Department of Public Works, Fire Department, Recreation Deparhnent and Health
Department have no objections to this request. The Engineering Department has requested that the applicant
check in two weeks and one week prior to the start of the event(for possible adjustments to the parade route)
as the Center Streetscape construction will be in the early phases at that time.
SUGGESTED MOTION:
To approve the Lexington Little League request for the Annual Little League Parade on Saturday,Apri130,
2022 as outlined in their letter dated January 10, 2022 and subject to State and Local COVID-19 requirements
at the time of the event.
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
ATTACHMENTS:
Description Type
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Lexington Little League
January 10,2022
Jill Hai
Chairperson,Select Board
Town of Lexington
Town Office Building
Lexington, MA 02420
Dear Ms. Hai,
The Lexington Recreation Department and Lexington Little League are in the early stages of planning for
the Annual Little League Parade to kick off the 2022 Little League season. The anticipated date is
Saturday,April 30, 2022 forming at 8:30a.m. at Muzzey Field and stepping off at 9:00 a.m.
The route will follow Massachusetts Ave.through the town center,turn left on Muzzey St., ending at the
Fitzgerald Field/Little League Center#4 ball field off Parl<Drive. Immediately following the parade,there
will be a brief Opening Day Ceremony at the field. The entire event should conclude by 11:00 a.m. In
the event of rain,the parade and ceremony will be canceled.
As I am sure you are aware,the Little League Opening Day Parade is one of our most cherished
community events. This is a great opportunity for our young athletes to gather, display their team pride,
and officially kick off our spring Little League season. In 2019 we had to cancel the parade due to
weather. In 2020 we canceled due to the dramatic onset and spread of the COVID-19 virus. In 2021 we
ran a virtual Opening Day ceremony. In 2022,with proper protocols and safety requirements,our hope
is to bring back this valued tradition.
Of course,the health and safety of our participants and the community at large are paramount. We will
abide by any requirements as set forth by Federal,State, and Local bodies including the Lexington Board
of Health. But organizing for such an event will talce time and thus we are submitting our request for
approval early to allow time for proper planning and execution.
We would appreciate approval from the Select Board to hold these activities as described above on
Saturday,April 30, 2022. Furthermore,we would be honored if you and/or any other Board members
would join us in the parade and opening ceremony.
Thank you for your time and consideration. I look forward to hearing from you at your earliest
convenience. If you have any questions or require and further clarification on our plans, please feel free
to contact me via email or phone. My contact information is included below.
Respectfully,
Ara J. Najarian
President, Lexington Little League
CC: Hayato Tsurumal<i, Recreation Supervisor
Peter Coleman,Assistant Director of Recreation
Cathy Severance, Office Manager/Special Events Coordinator—Town Manager's Office
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Approve Select Board Meeting Minutes
ITEM
PRESENTER NUMBER:
Jill Hai, Select Board Chair
C.2
SUMMARY:
The Select Board is being asked to approve the meeting minutes of:
. December 13, 2021
• December 20, 2021
• January 10, 2022
SUGGESTED MOTION:
To approve and release the Select Board meeting minutes of:
• December 13, 2021
• December 20, 2021
• January 10, 2022
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
ATTACHMENTS:
Description Type
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SELECT BOARD MEETING
December 13,2021
A remote participation meeting of the Lexington Select Board was called to order at 7:00 p.m. on
Monday, December 13, 2021 via Zoom remote meeting services. Mr. Pato, Ms. Barry, and Mr. Sandeen
were present, as well as Mr. Malloy,Town Manager;Ms. Axtell,Deputy Town Manager;
Ms. de Alderete, Town Clerk, and Ms.Katzenbacic, Executive Clerk.
Mr. Pato, Acting Chair, stated that the meeting was being conducted via Zoom as posted,with the agenda
on the Town's website. Mr. Pato provided directions to members of the public watching or listening via
the Zoom application,regarding the procedure for making a public comment.
ITEMS FOR INDIVIDUAL CONSIDERATION
1. Vote Amended Town Reprecincting Map
Ms. de Alderete explained that, after the last subinission to the State,it was noted by the Census liaison at
the State that a small traffic cucle near Hancocl�/Hamilton would need to be moved from Precinct 7 to
Precinct 6 to address new district lines. The State facilitated the change and then forwarded a map to
show the updated information. The new—final boundary descriptions were updated on December 8,
2021.
A second change includes non-substantial name changes from the State,which have also been updated.
Upon a motion duly made and seconded,by roLl calL,the Select Board voted 3-0 to accept, as presented
by the Lexington Town Clerk,the revised legal descriptions and block listings for the 2020 Re-
Precincting Plan for the Town of Lexington.
DOCUMENTS: Boundary Maps,LexingtonBR2021 Splits,Lexington SB Vote,Lexington Descriptions
(Revised 12.13.21)
In response to a question from the public regarding when the next two items are being postponed to,Mr.
Malloy explained that these items have not yet been rescheduled.
2. ITEMS POSTPONED TO A DATE TO BE DETERMINED—Joint Meeting—Select Board
and School Committee
• Mental Health Task Force Update
� Mental Health Assessment Report
• Highlights of Youth Risk Behavior Survey(YRBS) and Connections to Adult Data
• William James INTERFACE Referral Services Update and Short-Term Remedies
• Task Force Advisory Group Updates
• Discussion/Questions
3. iTEMS POSTPONED TO A DATE TO BE DETERMiNED—American Rescue Plan Act
(ARPA)Discussion on Community Engagement
ADJOURN
Upon a motion duly made and seconded,by roll call vote,the Select Board voted 3-0 to adj ourn the
meeting at 7:06 p.in.
A true record; Attest
Kristan Patenaude
Recording Secretary
SELECT BOARD MEETING
December 20,2021
A remote participation meeting of the Lexington Select Board was called to order at 7:00 p.m. on
Monday, December 20, 2021 via Zoom remote meeting services. Ms. Hai, Chair; Mr. Lucente; Vice
Chair,Mr. Pato, Ms. Barry and Mr. Sandeen were present, as well as Ms. Axtell, Deputy Town Manager;
and Ms. Katzenback,Executive Clerk.
Ms. Hai stated that the meeting was being conducted via Zoom as posted,with the agenda on the Town's
website.Ms. Hai provided directions to members of the public watching or listening via the Zoom
application,regarding the procedure for making a public comment. Ms. Hai reminded Board members,
staff,and members of the public about Lexington's Standard of Conduct regarding civil discourse during
Town Government meetings.
EXECUTIVE SESSION
1. Exemption 3: Discuss Strategy with Respect to Litigation—National Prescription Opiate
Litigation Settlement
VOTE: Upon a motion duly made and seconded,by roll call,the Select Board voted 5-0 at 7:02 p.m.to
enter into Executive Session under Exemption 3 to discuss shategy with respect to respect to Litigation—
National Prescription Opiate Litigation Settlement.Fut�ther,it was declared that an open meeting
discussion may have a detrimental effect on the bargaining position of the town.
The Board reconvened Open Session at 7:21 p.m.
PUBLIC COMMENTS—None.
SELECT BOARD MEMBER CONCERNS AND LIAISON REPORTS
1. Select Board Member Concerns and Liaison Reports
Ms. Barry noted that Lexington did not qualify to receive free COVID-19 rapid test l�its from the State.
She aslced if the Town would be able to use APRA funds to secure these tests instead. Ms. Axtell stated
that she would follow up on this item.
In response to a question from Ms. Hai regarding if another COV1D-19 drive-through testing event would
be scheduled after Christmas,Ms.Axtell stated that another event has not yet been scheduled.
Mr. Pato explained that he is concerned that there is no option for the Town to hold a virtual Town
Meeting this spring. He believes that the Town should push its legislators to allow this to be an option.
His second concern is regarding ARPA funding, and areas of the community that need rapid action, such
as economic assistance for small businesses,especially restaurants.
Mr. Lucente noted that the Board of Health will be holding a Special Meeting on January 11,2022,to
discuss mask mandates.It will also be holding a meeting on January 18,2022.
Mr. Sandeen aslced that a future agenda include a COVID-19 2022 update.
DOCUMENTS: Select Board Concerns and Liaison Reports-December 20,2021
TOWN MANAGER REPORT
Ms. Axtell stated that there will be a drive-through COVID-19 testing event scheduled on January 8 &9,
2022. One of these days will take place in Belmont and the other in Lexington. The advertising for this
will go out next week.
CONSENT AGENDA
1. Annual License Renewals
To approve and sign the license renewals as identified on the attached lists.
DOCUMENTS: 2022 Annual License Renewals Ready for Approval-Non-Liquor, 2022 Annual License
Renewals Ready for Approval-Liquor
2. Select Board Committee Resignations
To accept the resignations of Meg VanNostrand and Howard Levin from the Lexington Center
Committee effective immediately.
DOCUMENTS: Resignation Letter-M. VanNostrand,Resignation Letter-H. Levin
3. Accept Fund Terms—Nancy and Joel Adler Fund
To accept the terms of the Nancy and Joel Adler Fund that will be managed by the Trustees of Public
Trusts.
The Board thanlced Nancy&Joel Adler for their generosity to the Town.
DOCUMENTS: Nancy and Joel Adler Fund-Fund Terms
4. Acceptance of Easement for 840 Emerson Gardens
To approve the Crrant of Easement between Einerson Gardens LLC, as Crrantor,and the Town of
Lexington,as Grantee, substantially in the form presented at the December 20,2021 meeting of the Select
Board, with final changes to be approved by the Acting Town Manager in her reasonable discretion in
consultation with town counsel; and to authorize the Acting Town Manager to execute and accept said
Grant of Easement on behaLf of the Select Board.
DOCUMENTS: Grant of Easement/Trail Easement-Lexington Meadows,Highlighted Trail Easement-
840 Emerson Gardens
5. Application: Entertainment License—AB Inns LLC dlb/a The Inn at Hastings Park,2027
Massachusetts Avenue
To approve the request of the Inn at Hastings Park for an Entertainment License for a disc jockey on New
Year's Eve until 1:OOam on January 1,2022.
VOTE: Upon a motion duly made and seconded,the Select Board voted 5-0 by roll call to approve
Consent Agenda items.
ITEMS FOR INDiVIDUAL CONSIDERATION
L Lexington Citizens' Academy Graduation
Katharine Labrecque,Management Analyst fi•om the Town Manager's Office,explained that twenty five
residents participated in this year's program and that the program has had almost 300 alumni to date. The
Citizens' Academy is an 11-week program during which residents ineet once a week on Thursday
evenings to learn more about Town government. Each week,participants have the opportunity to hear
from Town staff,while learning about the day-to-day operations,programs, and services provided by
each department. This program is particularly designed to connect residents and Town staff, increase civic
engagement, and participation on various Town boards and committees. The virtual platform this year
allowed for broader engagement. Those interested in signing up for the project next year can contact the
Town Manager's Office or Ms. Labrecque directly.
Mr. Aggarwal stated that he has gained some perspective into how the Town worlcs. The work by Town
staff,countless volunteers,and elected members to make it all happen is impressive. He noted special
interest in the Town �nances and budget process, and also the Sustainability programs.
Ms. Hai read the names of the graduates and on behalf of the Board congratulated them all.
1 Sanjay Aggarwal 14 MarthaLeticia Valencia-Torres
2 Faycal Benayad-Cherif 15 Julie Liu
3 Rian Chen 16 Oula Mahmassani
4 Kwi Young Choi 17 Phil Mattson
5 Janice Chung 18 Pili Moreno
6 Cathy Eberly 19 Shannon Murtagh
7 Larry Freier 20 Kathy Parks
� Yifang Gong 21 Ann Renauer
9 Daniel Joyner 22 Paul Sodano
10 Kathy Keegan 23 Hanna Starobinets
11 John Keller 24 Rebecca Titemore
12 Megan Klein Hattori 25 Jill Ward
13 Nikl�i Leahy
DOCUMENTS: 2021 Lexington Citizens'Academy List of Graduates
2. Request from Lexington Bicycle Advisory Committee for Addition of Student Liaison
In response to a question from Ms. Barry, Ms. Gau, Chair of Lexington Bicycle Advisory Committee,
confirmed that this request is for all high school students who attend school or reside in Lexington. The
intention of this request is to make a formal position on the Committee for feedback and engagement.
This would be a non-voting member.
Mr. Lucente noted that he would like it to be clear who the appointing person for the liaison is. Ms. Gau
stated that the Lexington Bicycle Advisory Committee would be happy to take on the application
solicitation and selection process.
Ms. Hai explained that the addendums to the charge will be the addition of a student liaison,to be of high
school age residing in Lexington,who will be appointed by the Bicycle Advisory Committee Chair. The
Chair can determine the terms of the liaison.
The Board agreed to review this as a Consent Agenda item for the next meeting.
DOCUMENTS: 2021.11.12 Request Letter from Lexington Bicycle Advisory Committee-Addition of
Student Liaison, Lexington Bicycle Advisory Committee Charge
3. Update on Development of Online Donation Portal
Ms. Kosnoff,Assistant Town Manager—Finance,explained that there will be a separate donation portal
webpage created as part of the Town's overarching webpage. A payment portal will also be setup through
UniPay, and these two items will be linked. These items are both currently under developinent. The
intention is far this system to be live by the end of the month and to then begin an infarmation campaign.
The system is currently set up to receive donations for the Fund for Lexington,the Lexington Visitor's
Center, and the Caty Libraiy Foundation. An additional fund,the George L. Gilmore Fund,was requested
to be added by the Trustees as a catch-all for them. There is an option to add additional funds for
temporary periods of time,if desired.
Ms. Kosnoff explained that there is a processing fee associated with this process that will be charged to
the person making the donation.There is also an associated fee schedule if someone malces a donation
using a credit card. These fees are coming from the vendor processing the transaction.It will be
mandatory for donors to enter their names and addresses. The form will also ask for donor's phone
numbers and email addresses for contact purposes. Donors will be able to enter information if the
donation is to be made for a certain item or in a certain person's name.
Mr. Lucente suggested a fund be available for donations to the Town Celebrations Committee. Ms.
Kosnoff noted that this could be set up as a temporary fund.
In response to a question from Mr. Lucente,Ms.Kosnoff stated that the Treasurer's staff has agreed to
download the list of donors once a weel�, and that this information will be sent to the Select Board's
Office.
There was consensus by the Board that thanlc you notifications should be sent to donors, even if making
an electronic donation.
Ms. Kosnoff invited the Board to continue to explore the system as it is being adjusted and getting up and
running.
DOCUMENTS: Donation Portal Update Information
4. Review and Approve Request for Historic Marker Commemorating Lafayette's 1824 Visit to
Lexington
Marsha Balcer,Lexington Historical Society, stated that the wording for the marlcer will read: "Lafayette's
Tour on Septembei•2, 1824. General Lafayette was received on the Common and escorted to the
monument, honoring the Battle of Lexington and its heroes."This will be located at Belfiy Park.
Dawn McKenna, Chair of the Tourism Committee, explained that, as part of the Battle Green Master
Plan,there will be some improvements made to Belfry Hill but,due to its topography,it is very difficult
to make it ADA accessible. There will be accessible viewing area created along Clark Street with an
interpretive rail.Ms.Baker noted that the new marl�er will be visible from the street.
David Kanter, 48 Fifer Lane, suggested that the marker should look similar to the example shown from
the town of Bolton.
VOTE: Upon a motion duly made and seconded,the Select Board voted 5-0 by roll call to approve
the request from the Lexington Historical Society for the installation of a marker at Belfry Park
commemorating the September 2, 1824 visit of General Marquis de Lafayette to Lexington, as defined in
the Monuments and Memorials Committee Report dated December 2,2021.
DOCUMENTS: Presentation-Lafayette Marker Request,Monuments &Memoi7als Report-Lafayette
Marlcer,Letter of Support-Historical Society,Letter of Support-Economic Development
5. Update on Water Tank Replacement
John Livsey,Town Engineer, explained that Lexington has two water tanks that provide pressure for the
distribution system. Both are located on Morgan Hill adjacent to each other and accessed via Morgan
Road. The smaller tank is a steel tank with a volume of one million gallons, and it is 88 years old. The
larger tank has a volume of 2.24 million gallons and is 71 years old. The site is enclosed by a chain link
fence with barbed wire for safety,keeping people away from the water tanks. Both tanks are in need of a
recoating/repaintinD. The anchor bolts that secure the tanks to the foundation also need to be replaced.
Due to the logistical issues sunounding these items,it is being proposed to replace the tanlcs.
Replacing the tanlcs will be difficult due to the topography of the area. lt is likely that one of the tanks will
need to be moved to a separate location, and this land will likely need to come in the form of a donat�ion
or through a purchase. There are a few providers housed on these tanks,including Verizon Wireless,
OMNI Point/T Mobile, Sprint Spectrum,Nextel Communications,AT&T, and Public Safery. These all
include significant amounts of equipment. The leases far each of these expire at various times between
2022 and 2031. The providers will need to remove the equipment from the towers and provider buildings
will need to be removed from the site. The towers are proposed to be replaced one at a time.
Dave Pinsonneault, Director of Public Works, explained that an ARPA funds request was submitted for
this project through the Town Manager's Department. However,this project is still in the planning phase.
Tn response to a question from Mr. Lucente,Mr. Livsey explained that the main purpose of the towers is
to provide water pressure through the Town.The water in them is constantly replaced with water from the
MWRA. There are mixers in the tanks, and they are consistently inspected. Without these towers there is
not a supply of potable water for the community.
In response to a question froin Mr. Sandeen,Mr. Livsey stated that the Town uses approximately 4
million gallons of wa.ter a day.
In response to a question fiom Mr. Sandeen,Mr. Livsey stated that the tanlcs should be replaced as soon
as possible. There are some circumstances limiting the ability to do that,but it is hoped this will be
completed as expeditiously as possible.
In response to a question from Mr. Kanter regarding leaving the providers' equipment in place on the
water towers once they are no longer in use,Mr. Livsey explained that the space the towers currently
occupy needs to be cleared in order to have space to stage and build the new tanks.
Tn response to a question from Ms. Hai,Mr. Livsey stated that all property in Town is being examined for
potential new sites for the water towers.
6. Discuss Select Board Committee Recruitment&Appointment Process for Current
Vacancies
Ms. Hai explained that this creates a quarterly advertising and recruitment process,both for open
positions that have occurred since the last group of appointments, and also proactively for off-cycle
appointments that come up. lt was noted that Ms. Barry is warking on revamping the entire policy during
this interim process.
There was discussion about how to search for certain important skill sets for different committees.
Ms. McKenna, 9 Hancock Street,expressed concern regarding the proposed turnaround time in this
process. She also stated that she would like for potentia] applicants to attend one or two committee
meetings before actually applying.
Mr. Kanter,48 Fifer Lane, stated that committee chairs and tnembers may want to look at their charges to
ensure a skill set range that can be achieved with the varied committee members and how to fill any gaps.
Ms. Hai explained that this will be discussed in further detail during a work session at a future meeting.
DOCUMENTS: Recruitment and Appointment for Committee Vacancies
The next regularly scheduled Board meeting is Monday January 10,2022, at 7pm.
ADOURN
Upon a inotion duly made and seconded,by roll call,the Select Board voted 4-0 to adjourn the meeting at
9:10 p.m.
A true record; Attest:
Kristan Patenaude
Recording Secretary
SELECT BOARD MEETING
January 10, 2022
A remote participation meeting of the Lexington Select Board was called to order at 6:00 p.m. on
Monday, January 10, 2022 via Zoom remote meeting services. Ms. Hai, Chair; Mr. Lucente; Vice Chair,
Mr. Pato, Ms. Barry and Mr. Sandeen were present, as well as Mr. Malloy, Town Manager; Ms. Axtell,
Deputy Town Manager; and Ms. Katzenback, Executive Clerk.
EXECUTIVE SESSION
1. Exemption 3: Discuss Strategy with Respect to Collective Bargaining-Lexington Police
Patrolman's Association(LPPA); Public Safety Dispatcher Union; Custodian Union; Police
Superior Officers Union
Ms. Barry recused herself'f'rofn this E�ecutive Session.
Upon a motion duly made and seconded,by roll call,the Select�Board voted 4-0 to recess the meeting and
enter Executive Session at 6:03 p.m.under Exeinption 3: Discuss Strategy with Respect to Collective
Bargaining-Lexington Police Patrolman's Association(LPPA); Public Safety Dispatcher Union;
Custodian Union; Police Superior Officers Union. Further,it was declared that an open meeting
discussion may have a detrimental effect on the bargaining position of the town.
The Board reconvened its regular meeting at 7:04 p.m.
Ms. Barry retook he�seat.
Ms. Hai stated that the meeting was being conducted via Zoom as posted,with the agenda on the Town's
website.Ms. Hai provided directions to members of the public watching or listening via the Zoom
application,regarding the procedure for making a public comment. Ms. Hai reminded Board members,
staff,and members of the public about Lexington's Standard of Conduct regarding civil discourse during
Town Government meetings.
PUBLIC COMMENTS
None at this time
SELECT BOARD MEMBER CONCERNS AND LIA�SON REPORTS
1. Select Board Member Concerns and Liaison Reports
Ms. Hai noted that the Massachusetts Municipal Association(MMA)is holding an Executive Board
meeting on Wednesday morning regarding a decision for the annual conference. MAGIC will also be
meeting tomorrow morning and a legislative update will be received.
Mr. Lucente welcomed Eloise Laurence,an intern from our sister city,Antony,France.
TOWN MANAGER REPORT
Mr. Malloy explained that 280 new COVID-19 cases were recently reported over a week's period in
Town. There are currently approximately 25 Town einployees out of work due to positive COV1D-19
t�ests. He has been speaking with the Director of Public Health regarding mask mandates and the status of
keeping Town buildings open to the public at this time.
Mr. Malloy stated that the Town's new fire headquarters was featured in Firehouse Magazine as the gold
standard for new fire stations. He also noted that there is also a report issued regarding the Ortiz report
and the Police Department's activiries. He explained that the Town will be pushing the Stormwater Utility
Enterprise Fund from the 2022 to the 2023 Annual Town Meeting. This will be on a Board agenda either
in February or March for discussion.
CONSENT AGENDA
1. Accept Fund Terms—Phyllis E.Richardson Scholarship Fund
To accept the terms of the Phyllis E.Richardson Scholarship Fund,which will be managed by the
Trustees of Public Trusts.
DOCUMENTS: Phyllis E. Richardson Scholarship Fund-Fund Teims,Phyllis E. Richardson
Scholarship Fund-Phyllis E. Richardson Bio
2. Annual License Renewals
To approve and sign the license renewals for Waxy O'Connor's,Lexington Auto Sales and Beijing
Cuisine as identified in the summary.
3. Approve Amended Charge for Lexington Bicycle Advisory Committee
To amend the Lexington Bicycle Advisory Committee charge by adding a student liaison and changing
"Selectmen" to "Select Board„
DOCUMENTS: Amended BAGCharge, Amended BAGCharge-redlined
4. Approve Amended Charge for Commission on Disability
To amend the Commission on Disability charge to increase the membership from 8 to 9 members.
DOCUMENTS: Proposed Ainendment to Commission on Disability Committee Charge
5. Approve Select Board Meeting Minutes
To approve and release the Select Board and Summit meeting minutes of:
• October 14, 2021 FY2023 Budget Summit I
• October 18, 2021
• November 17,2021
• November 18,2021
• November 29,2021
DOCUMENTS: DRAFT 10.14.21 Summit I Minutes,DR.AFT 10.18.21 Select Board minutes, DRAFT
11.17.21 Select Board minutes,DRAFT 11.18.21 Select Board minutes, DRAFT 11.29.21 Select Board
minutes
Upon a motion duly made and seconded,by roll call,the Select Board voted 5-0 to approve the consent
agenda.
ITEMS FOR INDIVIDUAL CONSIDERATION
1. COVID-19 Update
Ms. Joanne Belanger,Health Director, addressed the Board. She noted that there will be information on
the Health Department page regarding how to get a QR code for vaccination cards. She stated that, since
January 1,2022,the Town has reported 448 cases in Town. She explained that there will be discussion
regarding a tiered level of enforcement far the maslc mandate.
Mr.Malloy explained that there is a proposal to start an on-site testing center, once a weelc for the next
seven weeks through February. The request for the Select Board to consider is to fund$175,000 to run
seven sites using the same contract through PhysicianOne. Also,to purchase approximately 500 rapid test
kits for the 325 full-time Town employees to use. If an employee tests positive on a rapid test, s/he could
then set up an appointment at the Fire Department to get a secondaiy PCR test to confirm one way or the
other. The intention is to make sure staff have an option to take an at-home test and not coine into the
office,potentially infecting others.
In response to a question fiom Ms. Hai,Mr. Malloy stated that there is a concern with logistics on how
the Town could obtain rapid tests and pass them onto the general public.lt would be difficult to mail
these, and a handout site would require additional staff.
Mr. Lucente noted that the reported numbers may be low due to difficulry in finding tests.
In response to a question from Mr. Lucente,Mr. Malloy explained that the current Town policy defines
being fully vaccinated as individuals who have received two doses of either Moderna or Ptizer COVTD-
19 vaccines, or a single dose of the Johnson and Johnson vaccine,within 14 days.Proof of a booster
vaccine will also be required, if deeined necessary by the Mass Department of Public Health,to maintain
a fully vaccinated status.
In response to a question from Mr. Lucente,Mr. Malloy stated that some of the larger departments in
Town have approximately 2-3 employees who are not fully vaccinated. There are approximately 1-2
employees in the Town Hall office that are not fully vaccinated.If this policy is impleinented, employees
will need to submit weekly COVID tests,if not fully vaccinated,to continue worl�ing.
Mr.Pato noted that he believes an onsite testing center once a week may not be often enough but is a
good starting point. He stated that he would lilce for the Town to look further into maldng rapid tests
available to the public.
In response to a question from Mr.Pato,Mr. Malloy explained that the Town would need to allocate
approximately$25,000 in order to purchase enough rapid tests to have on hand for employees.
In response to a question from Ms. Barry, Ms. Belanger explained that there has not been a huge surge of
cases in nursing homes as there was at this time last year.
In response to a question from Ms. Barry, Ms. Belanger stated that there hasn't been discussion on
booster vaccine clinics through the Town at this point.Residents can go to the vaccine clinics held
through the school system. There is also still a State program to do at-home booster vaccine visits.
Ms. Barry noted that she agrees with Mr.Pato regarding the Town having some rapid tests on hand for
the public.
In response to a question fiom Mr. Sandeen,Ms. Belanger stated that the Town can put together
information regarding how to choose and purchase an adequate face mask for educating the public.
Mr. Sandeen suggested that the Town could loolc into making quality masks available to the public.
Upon a motion duly made and seconded,by roll call, the Select Board voted 5-0 to approve the use of
$175,000 from the ARPA funds for provision ofweeldy COVID-19 PCR community testing,up to
$25,000 of ARPA funds for the provision of rapid tests per the discussion,and another$25,000 far the
procurement provision of inasks. All subject to availability and the ability of the Director of Public Health
to organize this.
2. 2022 Fee Schedule for Recreation& Community Programs
Ms. Melissa Battite,Director of Recreation&Community Programs, addressed the Board. She explained
that this is an annual request that the Recreation Committee recommends to the Select Board in Januaiy
for the upcoming fiscal year. The cost centers being recommended for funding include aquatics,tennis,
pickleball camps and clinics,youth leagues, adult fitness, and Community Center rentals. This would
equate to an estimate of$61,037 of increased revenue to the Recreation Enterprise Fund. The Community
Center rental rates have been adjusted to reflect an hourly rental with a 10%increase for a majority of the
rooms.
There were no comments or questions from the Board or public at this time.
Upon a motion duly made and seconded,by roll call,the Select Board voted 5-0 to approve the proposed
fee schedule as per the December 28, 2021 memorandum from Melissa Battite as included in the meeting
packet.
DOCUMENTS: Recreation Fee Proposals
The Board Necessed fi^om 8:19 p.m. —8:23 p.m.
3. FY2023 Preliminary Budget&Financing Plan
Mr. Malloy addressed the Board regarding the White Book. The Board will discuss this more in-depth
during Thursday's Finance Summit meeting.
In response to a question from Ms. Barry, Ms. Kosnoff explained that this itein is proposed to be placed
on regular Board agendas for discussion until the final vote on February 7,2022.
in response to a question from Mr. Lucente regarding the already approved Article 7 to spend$]00,000 to
study the structure of the Town,Mr. Malloy explained that the bid for this project has been awarded and
the kickoff ineeting will be happening shortly.
Mr. Sandeen thanlced Town staff for including funding in the budget for the bicycle pedestrian plan. Mr.
Sandeen suggested that with elecnicity rates rising,the Town should be expecting to seeing increased
solar net metering revenue in the upcoming year. Mr. Sandeen noted that he hopes the Town can find a
way to budget for replacing the oil burning water heater at the pool with a more sustainable system. Mr.
Malloy explained that research has found that a sustainable syst�em is not practical in that location.
DOCUMENTS: Presentation on FY2023 Preliminary Budget and Financing Plan,Town Managers
FY2023 Preliminasy Recommended Budget
4. 2022 Annual Town Meeting
� Presentation-ATM 2022 Article: Adjust Retirement COLA Base for Retirees
Ms. Bc�rry recused herself f�om this discussion c�nd noted that she will be recusing herself fi^orra voting on
this article at ATM.
Mr. Bob Cunha,Lexington Retirement Board Chair,made a presentation to the Board. He noted that most
of the Town's retirees do not receive a full CPI increase due to the $14,000 COLA base limit and 3%
maximum annual CPI limit. Many other Massachusetts systems have already increased the COLA base.
The Town's retirees will see increase in their benefits go to higher premiums for Medicare coverage.
Years of maintaining a low base are having long-term impact on retirees. The Retirement Board believes
that raising the COLA base to $15,000 balances both the fiduciary and fiscal responsibilities to the
membership and taxpayers.
Ms. Barry retook her seat.
• Presentation-ATM 2022 Article: Humane Pet Store Bylaw
Ms. Pam Balcer int�oduced her citizen's petition article to the Board. This bylaw would guarantee that
puppy mills,which can be used to sell dogs, cats, and rabbits,will never be able to do business in
Lexington.Animal purchases from reputable breeders and aniinal adoptions from rescue shelters would
still be allowed.
• Presentation-ATM 2022 Article: Accept Massachusetts General Law Chapter 41
Section 110A
Ms. de Alderete, Town Clerk,presented this item to the Board. She explained that this allows any
mandated deadline that falls on a weekend to be handled on a regular weekday date.
• Review 2022 Annual Town Meeting Draft Warrant
Ms. Axtell reviewed the draft warrant with the Board. She noted that Special Town Meeting 2022-1 will
have Town Reports and an appropriation for 1525 Massachusetts Ave.,the Police Station. Annual Town
Meeting will hold the election,the election of the deputy moderator and town reports, and the Cary
Lecture. The election does include the referendum vote on gas-powered leaf blowers. She reviewed the
proposed financial articles,general articles, and zoning articles.
Mr. Lucente noted that the gas-powered leaf blower referendum seems buried in the warrant text. He
suggested that this item be highlighted in some way.
Ms. Hai noted that there is a proposal to include a linlc to the Town Clerk's webpage listing all Town
Meeting members in the warrant,instead of listing all the members out within the warrant itsel£ Ms.
Katzenbacic noted that printing costs have risen substantially and including these additional pages would
increase the cost of printing the warrant.
Ms. Barry stated that she believes the list of inembers should be printed,with a reference to the webpage
for those who would like it.
In response to a question from Mr. Sandeen,Ms. Axtell explained that the warrant cannot legally list that
ATM may end up take place virtually, depending on legislation changes. If ATM is not held at Battin
Hall, staff will need to work to get this message out to the public in as many ways as possible.
Mr. Sandeen agreed with Ms. Barry regarding printing out the list, depending on printing costs. There
could also be a QR code included.
Ms. Hai requested that information be provided to the Board on the cost of including the list of Town
Meeting members at a future meeting.
Mr. Lucente suggested that a Table of Contents may not be needed, and that these pages could thus be
used for the listing of Town Meeting members.
DOCUMENTS: COLA base increase for Retirees, COLA base increase draft motion,Humane Pet Store
presentation,Humane Pet Store draft motion,MGLAcceptance(Saturday hours),MGLAcceptance
(Saturday hours) draft motion, STM 2022-1 and ATM 2022 draft listing of article, 2022-1 and ATM 2022
DRAFT warrant
5. Discussion on Uses of American Rescue Plan Act(ARPA)Funds and Community
Engagement
Mr. Pato stated that he believes the economic stiinulus items should be funded at this time,but many of
the other items proposed do not address housing and food insecurities, or economic stimulus issues due to
the pandemic. He suggested that there should be some assessment as to what probleins need to be solved
using these funds.
Ms. Barry noted that the Retailers Association recently asked that the Board help businesses in Town that
are hurting.
Mr. Sandeen explained that Needham has a process in place to rapidly get grant funding to businesses.
The Town may want to look into other models used by towns.
Mr. Pato stated that he also doesn't want to lose businesses in Town that the residents rely on and provide
vitality to residents and visitors.
Ms. Hai noted that she would like to see the culturaUnonprofit sector listed on the plan.
The Board was in agreement on the general format of the small business grant program but would like to
see the addition of something developed for cultural and nonprofit organizations as wel1. The Board
agreed that$250,000 allocated for small businesses seems appropriate, and that an additional $50,000 be
allocated for cultural groups.
Mr. Lucente noted that LexHAB is requesting funds for design funding for the Vine Street proj ect and to
acquire properties to create additional housing opportunities. He suggested that$ll 5,000 be set aside for
the Vine Streetproject.
The Board agreed to allocate $115,000 for the Vine Street project, and one quarter of the $1.2M request
to purchase homes to create housing opportunities. The Board agreed to include food insecurity items
under the Human Services Depastment portion of the plan. This is proposed to be funded at$50,000/year,
for a total of$150,000/3 years. The Board agreed to allocate$100,000 for any urgent Health Department
needs, such as contact tracers. The Board discussed moving forward with trying to�nd an additional
Mental Health Clinician for the Town. The Board discussed moving forward with funding an Affordable
Housing Trust or an Affordable Housing Development Corporation.
Upon a motion duly made and seconded,by roll call,the Select Board voted 5-0 to approve the use of
ARPA funds as follows: $50,000 for food insecurity, $100,000 for temporary Health Department staffing,
$90,000 for a Mental Health Clinician, $115,000 for LexHAB property acquisition, $115,000 for
LexHAB Vine Street project design, $250,000 for small business assistance, $20,000 for Affordable
Housing Trust support, and$50,000 for cultural grant incentives.
DOCUMENTS: ARPA Spending Plan,ARPA Objectives -Joe Pato,LexHab Request for ARPA Funds,
Small Business Grant Program
6. Lexington Opt-In to Settlement Agreement in Johnson &Johnson and Opioid Distributor
Settlements
Ms. Hai announced that the Board voted at their December 20,2021 Executive Session meeting to
authorize the Town Manager or his designee to execute the settlement agreement in late December on the
National Prescription Opiate Litigation Settlement as per the MA Attorney General's proposal.
DOCUMENTS: Opioid Settlement
7. Schedule Potential Debt Exclusion Vote
Ms. Hai noted the Police Station project warrant article will come before Town Meeting at the Special
Town Meeting to be held on March 28,2022. She explained that if Town Meeting votes the new Police
Station project on March 28, 2022, a debt exclusion(90 days from vote)would need to talce place by June
26,2022. Given the timing relative to end of school in 2022, staff is recommending either June 6,2022,
or June 13, 2022 far the debt exclusion vote.
Ms. Hai stated that, if the Town Meeting vote is positive on March 28,2022, the Board will target to take
a vote at its meeting on March 30,2022 to schedule debt exclusion election date.
8. Discuss Town Manager Review Process
Ms. Hai explained that the 360 Review process is nearly complete.. Each Board member will receive a
copy of the report provided from the review process. This will be used individually as input for the
Board's internal review,but that the 360 review itself will not be discussed by the Board.
DOCUMENTS: Proposed List of Action Steps for Town Manager Performance Evaluation, Blank form
TM Performance Evaluation
ADOURN
Upon a motion duly made and seconded,by roll call,the Select Board voted 5-0 to adjourn the meeting at
10:44 p.m.
A true record; Attest:
Kristan Patenaude
Recording Secretary
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Select Board Committee Appointments
ITEM
PRESENTER NUMBER:
Jill Hai, Select Board Chair
C3
SUMMARY:
The Select Board is being asked to appoint members, as identified on the attached list(Select Board
Committee Appointments -February 7, 2022), to fill vacancies on the following boards and committees:
Design Advisory Committee
Economic Development Advisory Committee
Housing Partnership Board
Lexington Center Committee
Noise Advisory Committee
Sustainable Lexington Committee
Town Celebrations Committee Subcommittee
Zoning Board ofAppeals Associates
SUGGESTED MOTION:
To appoint the board and committee members with terms as indicated in the attached list(Select Board
Committee Appointinents -February 7, 2022).
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE T�ME ON AGENDA:
2/7/2022
ATTACHMENTS:
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APPLICATION FOR APPOINTMENT
FOR BOARD/COMMITTEE MEMBERSHIP
BoardlCommittee of Interest: l.Tourism Committee 2 Design Advisory Committee
3 Numan Services Committee 4
Would you consider another Committee: YeS
For haw lang should we keep your application on file? �s long as I stay in Lexington
Full Name: Elizabeth Xu Nickname: CI�'1e
Preferred Title(please circle)Mr.lMs./Mrs./Other: EISI� IS fIC�IG, or Dr.Xu
Hame Address: 2� gaskin Rd Z�p, 02421
Length of Residence in Lexington: �4 year5'
Occupation: Sof�ware engineering
WorkAddress: �nf��ys �WFH�
Phone: Hame Work Fax
Cell
E-mail: Primary: Secondary:
If you currently serve on a Board or Carnmittee,please identify:
Spec ial Training, Interests, Qua�r��at�on�: co m p ute r re I ated s ki I I s
Have you been asked by a Committee to became a rnernber? n�
How did you hear about the Cammittee? �RA L
Please attach a current resume, if possible. Add any camments below or on a separate page.
Signature: ate: �/202�
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YOLANDA TAYLOR
11 Hohnes Road, Lexington, MA, 02420
Cell: • Home:
SUMMARY
20 years of experience in the investments business as an analyst,portfolio manager, and director of research.
Led a company's effort to reorganiae and rebrand with an emphasis on socially responsible investing and
values-based investing. Extensive experience with public speaking and interactions with all levels of
management.
Entrepreneurial experience and drive following opening of Lexington Power Yoga in 2012. Unparalleled
work-ethic and passion.
PAID WORK EXPERIENCE:
PUTNAM INVESTMENTS
Boston,MA Deceinber,2019 -present(on leave)
$175B Asset Manager
Environment�al, Social,and Governance lntegration Manager
Responsible for sustainability operations for sustainable investment products as well as inteinal corporate
sustainabiliry initiatives
PRIO WEALTH
Boston,MA April,2014—December, 2019
$3B Registered Investment Advisor
Led re brand from Seaward Management to Prio Wealth,leading all aspects of the name change and creation
of all marketing materials including website and public relations. Built and lead socially responsible
investing effort. Member of the investment team.
COPPER ROCK CAPITAL PARTNERS
Boston,MA February,2010-February,2014
$2.SB long-only small/smid cap growth fund. Partner; health care analyst, responsible for all of health care.
2010 outperformance of 1140 BP's vs index; 2011 outperformance of 930 BP's vs index.
LEXINGTON POWER YOGA
Lexington,MA May, 2012-present
Owner and operator of yoga and wellness center in Lexington,MA.
FIDELITY INVESTMENTS
Boston,MA 1996-December, 2007
12 year career—7 years as a rotational analyst and sector fund manager, covering homebuilders and building
products,regional and investment banks, and the overall healthcare sector. As healthcare sector leader,
responsible for over $11B in assets across the global healthcare universe. 5 years as a director of
research, with over 40 direct reports. Led effort to build Fidelity's tirst ever formal training program
for all levels of investment personnel. During career, inanaged two different diversified portfolios,
investing across all sectors of the market.
MANAGEMENT EXPERIENCE:
MANAGING DIRECTOR OF RESEARCH:
• Director of Research for all equity analysts with over forty direct reports. Responsible for all aspects
of performance including mentoring analysts on their investment ideas and select fund management,
and giving each analyst bi-annual performance reviews. Responsible for oversight of the recruiting
team involved with both undergraduate and graduate level recruiting, and gave all the college
recruiting presentations. During tenure, managed the process of analyst rotation and forced attrition
of underperforming analysts.
• Managing Director of Research during perhaps Fidelity's largest ever restructuring, when the analyst
team more than doubled with senior analysts from the outside brought in for the first time ever. Was
part of a six person management team that reevaluated every aspect of the research and investment
process, including performance reviews, staffmg levels, team structure, analyst/PM communication,
and recruiting process.
• Led an effort to build Fidelity's first ever analyst,PM, and trader training prograin. Organized weeldy
lunch and learn sessions, developed modules related to all aspects of training for both new hires and
existing employees. Benchmarked and modeled the program's success against other leading
financial coinpanies.
ANALYST AND SELECT FUND MANAGEMENT EXPERIENCE:
INVESTMENT BANKS (May, 96-Dec, 07): Covered investment banks globally, and managed the $1.SB
Brokerage&Investment management fund.
AEALTACARE SECTOR LEADER (Jan, 00-March, 02): Responsible for overseeing 6 person
healthcare analyst team as senior healthcare analyst. Covered biotechnology, pharmaceuticals, and
healthcare distributors. Managed the Select Biotechnology Fund($6B), Health Care Fund ($4B) and Select
Pharmaceuticals Fund($100M).
REGIONAL BANKS (March, 99-Jan, 00): Covered U.S. regional banks. Managed the $2B select
banking fund.
BUILDING MATERIALS, HOMEBUILDERS, &ENGINEERING and CONSTRUCTION(June, 97-
March, 99): Covered over 100 cyclical companies involved in home construction, and managed the $SOM
Select Building Products Fund.
DIVERSIFIED FUND MANAGEMENT EXPERIENCE:
PORTFOLIO MANAGER(March,2002—May,2005)
Managed the US Portion of the Global Value fund: Outperformed benchmarlc by 50 basis points and
ranlced in the top two-thirds of peers.
Started a pilot Large Cap institutional Value product: Outperformed benchmark by 200 basis points.
ROBINSON-HUMPHREY Atlanta, GA
INSTITUTIONAL EQUITY SALESPERSON 1994-May, 1995
• Responsible for communicating investment ideas to accounts in the Boston and New York area
CANTOR-FITZGERALD New York,NY
EQUITY TRADER 1992-May, 1994
• Trader of over the counter equity securities, foreign exchange, and ADR's.
UNPAID WORK EXPERIENCE:
My time between Fidelity and Copper Rock was spent primarily on raising my young children, while
accomplishing goals related to gaining more experience in operational aspects of business, learning and
developing a passion to�vards non-profit management, serving on several boards, and publishing my memoir.
CONSULTANT and WRITER:
• Completed a business plan and competitive analysis for a healthcare research organization
� Published articles in Boston Magazine,Primal Parenting, Connecticut County Kids, and Kids Life
• Taught memoir writing seminars at Middlesex Community College
• Published my memoir, Take Me Back to Redway: iny story of growing up homeless
• Graduate of Grubb Street classes on writing a non-fiction book proposal and on freelancing
CENTER FOR WOMEN&ENTERPRISE,2009-2012
Board member. Co-chaired 2009 auction and gala, raising $450,000. Member of revenue task-force
committee. Co-chair of 2010 auction and gala.
COMPASS FOR HOMELESS FAMiLIES,2008 -current
Board member. Keynote speaker at 2009 & 2010 New Directions breakfast; Chair of 2010 breakfast.
Member of finance task-force and marketing/fundraiser committee. Co-Chair of 2012 and 2013 Shake It
Far Shelter event,helping to raise $150,000.
LEXINGTON PRE-SCHOOL PTA.LEXFUN,2004-2013
Executive board meinber. Treasurer, 5/09-5/13;previously co-chair of community service.
CRADLES TO CRAYONS,2013-present
Boston board member; Family Leadership Advisory Board member
HOPE AND COMFORT,2017—present
Board member; Marketing committee member; co-leading CEO search
EDUCATION
THE FUQUA SCHOOL OF BUSINESS,DUKE UNIVERSITY Durham,NC
Master of Business Administratio�a, Fina�ace Majov May, 1997
Reynolds Asset Management ($l 00K endowment)—Co-President
Fuqua Fellows representative
THE UNIVERSITY OF PENNSYLVANIA Philadelphia,PA
Dual DegNee-BA in Econona.ics fro�n Penn May, 1992
BS f'rom The Wharton School of'Business in Marketing
10 Varsity Letter awards—Cross-County,Tndoor Track, Outdoar Track-all 4 years.
Selected for Honor's Economics, one of Penn's top 10 Economics students
Graduated magna cum laude with a 4.0 grade point average in Wharton major.
ADDITIONAL INFORMATION
4 children— 17 year old twins, ]5 year old,and 13 year old. Enjoy running, swimming,biking,
hiking, and yoga. Completed l 1 marathons(best in 3:03),4 half-ironmans, and 2 full
Ironmans.
APPLICATION FOR APPOINTMENT
FOR BOARD/COMMITTEE MEMBERSHIP
Board/cornrnittee of Interest: 1.Housing Partnership 2
3. 4.
Would you consider another Committee: NOt at thlS tlf"1"1@
For how long should we keep your application on file? 6 m o n tg s
Full Name: W e n d y M a n Z Nickname:
Preferred Title (please circle) Mr./Ms./Mrs./Other:
3 Captain Parker Arms, #24, Lexington Z� , 02421
Home Address: p.
Length ofResidence in Lexington: �� years
o��upat�on: Retired attorney
work address: N/A
Phone: Home Work N�A Fax N/A
Cell
E-mail: Primary: _ Secondary:
If you currently serve on a Board or Committee, please identify:
SPRD Ad hoc Zoning Committee
spe�lal Trainin�, Interests, Quali�-l�atlons: 25 years Town Meeting Member,
9 years Planning Board member(2 as chair),9 years Capital Expenditues Committee member,5 year Community Preservation Committee memher(3 as chair)
Have you been asked by a Committee to become a member? y�5
How did you hear about the Coimnittee?
Have previous served as liaison to this Committee
Please attach a current resume, if possible. Add any comments below or on a separate page.
Signature: Date: � � ��������
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T. Eric Ballard — Memberships/Qualifications/Interests
Board Membership: Lexington Playcare Center— President of the Board of Directors,
July 2020 — present.
Qualifications: lead volunteer efforts for 250 colleagues at Pfizer from 2012 — 2018;
created successful free mobile library for mobile food pantry patrons throughout New
London County, CT that impacted hundreds of families on a weekly basis.
Interests: amateur astronomy; biking Lexington and surrounding communities with my
family; exploring the many local playgrounds with my two toddlers; reading science
fiction and astrophysics/string theory books.
Thomas Eric Ballard, Jr. Curriculum Vitae
12 Lockwood Rd
Lexington, MA 02420
Demonstrated leader who impacts the ability of a therapeutic area to deliver on its
objectives • highly organized and motivating team player • independent and
effective in dynamic matrix team environments
EDUCATION
Doctor of Philosophy in Chemistry (8/2004—7/2008)
• North Carolina State University, Raleigh, NC
• Dissertation: "Small Molecule Control of Biological Function"
• Advisor: Professor Christian Melander
Bachelor of Science in Chemistry with Departmental Honors, Magna Cum Laude(8/2000
- 5/2004)
• North Carolina State University, Raleigh, NC
• Advisors: Professor Dan Comins and Professor Bruce M. Novak
RESEARCH EXPERIENCE
Associate Scientific Director Research —Takeda (2/2020— Present)
Drug Metabolism and Pharmacokinetics
• Project representative supporting the development of programs post-IND in the gastrointestinal
and neuroscience therapeutic areas
Principal Scientist and Biotransformation Group Leader—Amgen (10/2019— 2/2020)
Interim ADME Group Leader—Amgen (7/2019— 2/2020)
Senior Scientist and Biotransformation Group Leader—Amgen (7/2018— 10/2019)
Pharmacokinetics and Drug Metabolism
• Led Cambridge Biotransformation Group with a focus on Neuroscience and Oncology therapeutic
Areas with three direct reports (2 x Scientist, 1 x Associate Scientist)
• Led Cambridge ADME Group supporting Neuroscience with a focus on rapid one-week
turnaround of data to facilitate accelerated discovery program decisions with four direct reports (1
x Scientist, 2 x Senior Associate Scientists, 1 x Associate Scientist)
• Led and managed the radiolabeling and biotransformation ADME studies for two concurrent
assets both with rapid/compressed preclinical and clinical human ADME timings—one requiring
AMS to meet timing demands
• Collaborated across functional areas to build and standardize metabolite isolation workflow to
enable reliable isolation of clinically relevant metabolites from in vitro incubations to acquire NMR
structure, quantitation and pharmacological/ADME properties
• Leveraged local and cross-site biotransformation and ADME colleagues with harmonized data
acquisitions and work up to provide quality/actionable data to Project Team Representatives and
relevant stakeholders
• Strong laboratory skills enabling in-lab mentorship/training and experimental execution as needed
Principal Scientist— Pfizer Worldwide Research & Development (6/2012— 7/2018)
Pharmacokinetics, Dynamics and Metabolism - Biotransformation
• Performed metlD studies designed to better define clearance mechanisms, reduce metabolic
liability, and provide biotransformation guidance to discovery programs
1
Curriculum Vitae T. Eric Ballard, Jr.
• Executed mechanistic metlD trapping studies to better understand & influence SAR in TDI
positive programs with consistent follow-up to determine effectiveness of changes
• Aided programs through isolation of inetabolites for lead diversification or enzymology
• Planned/executed/managed QWBA, preclinical and clinical radiolabeled ADME studies
• Managed Internal Medicine, Inflammation and Immunology and Rare Diseases RUs
biotransformation portfolios and three concurrent direct reports (Principal, Senior and Scientist
I evel)
Postdoctoral Fellow— Pfizer Worldwide Research & Development (12/2010— 6/2012)
Neuroscience Medicinal Chemistry, Advisors: Dr. Doug Johnson & Dr. David Gray
• Designed and synthesized photoactivatable bioorthogonal/click chemistry enabled chemical
biology probes for mechanism of action studies
• Applied photoaffinity capture, affinity enrichment, SDS-PAGE and detection implementing in-gel
fluorescence and Western Blotting for probe analogue evaluation
• Developed click-chemistry enabled cleavable mass tags for use in protein identification and
probe/protein interaction site elucidation
Postdoctoral Associate— University of Virginia (8/2008— 12/2010)
Department of Chemistry, Advisor: Professor Timothy L. Macdonald
• Synthesized nitazoxanide-based small molecule inhibitors of the PFOR enzyme present in
anaerobic pathogenic bacteria culminating in a compound in Phl clinical development
• Used molecular modeling software (MOE)to conduct PFOR enzyme docking simulations to guide
analogue generation through Structure Based Drug Design
Doctoral Research — North Carolina State University (8/2004— 7/2008)
Department of Chemistry, Advisor: Professor Christian Melander
• Developed a biofilm assay for inhibition and dispersion assessment and synthesized anti-biofilm
compounds based upon the oroidin 2-aminoimidazole scaffold
• Synthesized and assessed the DNA cleavage ability of a small library of diazobenzo[b]fluorenes
that mimic the biological activity of kinamycin D
SKILLS
UV-HPLC/MSMS (Thermo Orbitrap XL, Velos and Elite; familiar with Water's G2) • SEC • metabolite
identification in numerous in vitro matrices +/-cofactors as appropriate to define clearance pathways •
metabolite ID in in vivo samples (time-normalized plasma pooling, excreta), candidate selection
biotransformation packages and reports for inclusion in IND • metabolite identification and stability
investigations with antibody-drug conjugates (ADCs) and respective linker-payload in vitro and in vivo•
use of 3H and14C for in vitro and in vivo metabolite ID profiling, radiophenotyping and TDI investigations •
planning, execution, analysis and report writing for radiolabeled rat QWBA, preclinical and human ADME
studies • metabolite biosynthesis, scale-up and isolation • enzyme kinetics • synthetic organic small
molecule synthesis and associated lab techniques (synthesis, purification, NMR analysis) •cell culture •
SDS-PAGE.
PUBLICATIONS (Peer Reviewed)
34) Ballard, T. E.; Kratochwill, N.; Cox, L. M.; Moen, M. A.; Klammers, F.; Ekiciler, A.; Goetschi, A.;
Walter, I. " Simplifying the Execution of HepatoPac MetID Experiments: Metabolite Profile and
Intrinsic Clearance Comparisons", Drug Metab. Dispos., 2020, 48, 804—810. DOI:
https://doi.org/10.1124/d md.120.000013.
2
Curriculum Vitae T. Eric Ballard, Jr.
33) Ratnayake, A. S; Chang, L-P; Tumey, L. N.; Loganzo, F.; Chemler, J.A.; Wagenaar, M.; Musto,
S.; Li, F.; Janso, J. E.; Ballard,T. E.; Rago, B; Steele, G. L.; Ding, W.; Feng, X.; Hosselet, C.;
Buklan, V.; Lucas, J.; Koehn, F. E.; O'Donnell, C. J.; Graziani, E. I. "Natural Product Bis-
Intercalator Depsipeptides as a New Class of Payloads for Antibody—Drug Conjugates",
Bioconjugate Chem., 2019, 30, 200—209. DOI: 10.1021/acs.bioconjchem.8b00843.
32) Planken, S.; Behenna, D. C.; Nair, S. K.; Johnson, T. O.; Nagata, A.; Almaden, C.; Bailey, S.;
Ballard, T. E.; Bernier, L.; Cheng, H.; Cho-Schultz, S.; Dalvie, D.; Deal, J. G.; Dinh, D. M.;
Edwards, M. P.; Ferre, R. A.; Gajiwala, K. S.; Hemkens, M.; Kania, R. S.; Kath, J. C.; Matthews,
J.; Murray, B. W.; Niessen, S.; Orr, S. T. M.; Pairish, M.; Sach, N. W.; Shen, H.; Shi, M.; Solowiej,
J.; Tran, K.; Tseng, E.; Vicini, P.; Wang, Y.; Weinrich, S. L.; Zhou, R.; Zientek, M.; Liu, L.; Luo, Y.;
Xin, S.; Zhang, C.; Lafontaine, J. "Discovery of N-((3R,4R)-4-Fluoro-1-(6-((3-methoxy-1-methyl-
1 H-pyrazol-4-yl)amino)-9-methyl-9H-purin-2-yl)pyrrolidine-3-yl)acrylamide (PF-06747775)through
Structure-Based Drug Design: A High Affinity Irreversible Inhibitor Targeting Oncogenic EGFR
Mutants with Selectivity over Wild-Type EGFR", J. Med. Chem., 2017, 60, 3002—3019. DOI:
10.1021/acs.j medche m.6b01894.
31) Bessire, A. J.; Ballard, T. E.; Charati, M.; Cohen, J.; Green, M.; Lam, M.-H.; Loganzo, F.; Nolting,
B.; Pierce, B.; Puthenveetil, S.; Roberts, L.; Schildknegt, K.; Subramanyam, C. "Determination of
Antibody—Drug Conjugate Released Payload Species Using Directed in Vitro Assays and Mass
Spectrometric Interrogation", Bioconjugate Chem., 2016, 27, 1645— 1654. DOI:
acs.bioconjchem.6b00192.
30) Crump, C. J.; Murrey, H. E.; Ballard, T. E.; am Ende, C. W.; Wu, X.; Gertsik, N.; Johnson, D. S.;
Li, Y.-M. "Development of Sulfonamide Photoaffinity Inhibitors for Probing Cellular y-Secretase",
ACS Chem. Neurosci., 2016, 7, 1166— 1173. DOI: 10.102/acschemneuro.6b00127.
29) Kennedy, A. J.; Bruce, A. M.; Gineste, C.; Ballard, T. E.; Olekhnovich, I. N.; Macdonald, T. L.;
Hoffman, P. S. "Synthesis and Antimicrobial Evaluation of Amixicile-Based Inhibitors of the
Pyruvate:Ferredoxin Oxidoreductases of Anaerobic Bacteria and Epsilon Proteobacteria",
Antimicrob.Agents Chemother., 2016, 60, 3980—3987. DOI: 10.1128/AAC.00670-16.
28) Ballard, T. E.; Wang, S.; Cox, L. M.; Moen, M. A.; Krzyzewski, S.; Ukairo, O.; Obach, R. S.
"Application of a micropatterned co-cultured (MPCC) hepatocyte system to predict preclinical and
human specific drug metabolism", Drug Metab. Dispos., 2016, 44, 172— 179. DOI:
10.1124/D M D.115.066688.
27) Ballard, T. E.; Dahal, U. P.; Bessire, A. J.; Schneider, R. P.; Geoghegan, K. F.; Vaz, A. D. N. "A
tag-free collisionally-induced fragmentation approach to detect drug-adducted proteins by mass
spectrometry", Rapid Commun. Mass Spectrom., 2015, 29, 2175—2183. DOI: 10.1002/rcm.7375.
26) Murrey, H. E.; Judkin, J. C.; am Ende, C. W.; Ballard, T. E.; Fang, Y.; Riccardi, K.; Di, L.;
Guilmette, E. R.; Schwartz, J. W.; Fox, J. M.; Johnson, D. S. "Systematic Evaluation of
Bioorthogonal Reactions in Live Cells with Clickable HaloTag Ligands: Implications for
Intracellular Imaging", J.Am. Chem. Soc., 2015, 137, 11461 — 11475. DOI:
10.1021/jacs.5b06847.
25) Ballard, T. E.; Orozco, C. C.; Obach, R. S. "Generation of Major Human Excretory and
Circulating Drug Metabolites Using a Hepatocyte Relay Method", Drug Metab. Dispos., 2014, 42,
899—902. DOI: 10.1124/DMD.114.057026.
24) Gertsik, N.; Ballard, T. E.; am Ende, C. W.; Johnson, D. S.; Li, Y.-M. "Development of CBAP-
BPyne, a probe for y-secretase and presenilinase", MedChemComm, 2014, 5, 338—341. DOI:
10.1039/C3MD00281 K.
3
Curriculum Vitae T. Eric Ballard, Jr.
23) Ballard, T. E.; Murrey, H. E.; Geoghegan, K. F.; am Ende, C. W.; Johnson, D. S. "Investigating y-
secretase protein interactions in live cells using active site-directed clickable dual-photoaffinity
probes", MedChemComm, 2013, 5, 321 —327. DOI: 10.1039/C3MD00283G.
Highlighted:Inside cover of the issue
22) Qian, Y.; Martell, J.; Pace, N. J.; Ballard, T. E.; Johnson, D. S.; Weerapana, E. "An Isotopically
Tagged Azobenzene-Based Cleavable Linker for Quantitative Proteomics", ChemBioChem, 2013,
14, 1410— 1414. DOI: 10.1002/cbic.201300396.
21) Pozdnyakov, N.; Murrey, H. E.; Crump, C. J.; Pettersson, M.; Ballard, T. E.; am Ende, C. W.;
Ahn, K.; Li, Y.-M.; Bales, K. R.; Johnson, D. S. "y-Secretase modulator(GSM) photoaffinity
probes reveal distinct allosteric binding sites on presenilin", J. Biol. Chem., 2013, 288, 9710—
9720. DOI: 10.1074/jbc.M112.398602.
20) Crump, C. J.; Castro, S.; Wang, F.; Pozdnyakov, N.; Ballard,T. E.; Sisodia, S.; Bales, K. R.;
Johnson, D. S.; Li, Y.-M. "BMS-708,163 targets Presenilin and lacks Notch sparing activity",
Biochemistry, 2012, 51, 7209—7211. DOI: 10.1021/bi301137h.
19) Warren, C. A.; van Opstal E.; Ballard, T. E.; Kennedy,A.; Wang, X.; Riggins, M.; Olekhnovich, I.;
Warthan, M.; Kolling, G. L.; Guerrant, R. L.; Macdonald, T. L.; Hoffman, P. S. "Amixicile: A Novel
Inhibitor of Pyruvate: Ferredoxin Oxidoreductase Shows Efficacy against Clostridium difficile in a
Mouse Infection Model",Antimicrob. Agents Chemother., 2012, 56, 4103—4111. DOI: 10.1128/
AAC.00360-12.
18) Orr, S. T. M.; Ripp, S. L.; Ballard, T. E.; Henderson, J. L.; Scott, D. O.; Obach, R. S.; Sun, H.;
Kalgutkar, A. S. "Mechanism-Based Inactivation (MBI)of Cytochrome P450 Enzymes: Structure-
Activity Relationships and Discovery Strategies to Mitigate Drug-Drug Interaction Risks". J. Med.
Chem., 2012, 55, 4896-4933. DOI: 10.1021/jm300065h.
Invited Perspective Article.
17) Crump, C. J.; am Ende, C. W.; Ballard, T. E.; Pozdnyakov, N.; Pettersson, M.; Chau, D.-M.;
Bales, K. R.; Li, Y.-M.; Johnson, D. S. "Development of clickable active site-directed photoaffinity
probes for y-secretase", Bioorg. Med. Chem. Lett., 2012, 22, 2977—3000. DOI:
10.1016/j.b mc1.2012.02.027.
16) Niphakis, M. J.; Johnson, D. S.; Ballard, T. E.; Stiff, C.; Cravatt, B. F. "O-Hydroxyacetamide
carbamates as a highly potent and selective class of endocannabinoid hydrolase inhibitors",ACS
Chem. Neurosci., 2012, 3, 418—426. DOI: 10.1021/cn200089j.
15) Ballard, T. E.; Wang, X.; Olekhnovich, I.; Koerner, T.; Seymour, C.; Salamoun, J.; Warthan, M.;
Hoffman, P.S.; Macdonald, T. L. "Synthesis and Antimicrobial Evaluation of Nitazoxanide-Based
Analogues: Identification of Selective and Broad Spectrum Activity", ChemMedChem, 2011, 6,
362—377. DOI: 10.1002/cmdc.201000475.
14) Ballard, T. E.; Wang, X.; Olekhnovich, I.; Koerner, T.; Seymour, C.; Hoffman, P.S.; Macdonald,
T. L. "Biological Activity of Modified and Exchanged 2-Amino-5-Nitrothiazole Amide Analogues of
Nitazoxanide", Bioorg. Med. Chem. Lett., 2010, 20, 3537—3539. DOI:
10.1016/j.b mc1.2010.04.126.
13) Tchouaffi-Nana, F.; Ballard, T. E.; Cary, C. H.; Macdonald, T. L.; Sifri, C. D.; Hoffman, P. S.
"Nitazoxanide Inhibits Biofilm Formation by Staphylococcus epidermidis by Blocking
Accumulation on Surfaces",Antimicrob.Agents Chemother., 2010, 54, 2767—2774. DOI:
10.1128/AAC.00901-09.
4
Curriculum Vitae T. Eric Ballard, Jr.
12) Richards, J. J.; Samuel, O. R.; Stowe, S. D.; Tucker, A. T.; Ballard, T. E.; Mathies, L. D.;
Cavanagh, J.; Melander, C. "Amide Isosteres of Oroidin: Assessment of Antibiofilm Activity and
C. elegans toxicity", J. Med. Chem., 2009, 52, 4582—4585. DOI: 10.1021/jm900378s.
11) Melander, C.; Moeller, P. D. R.; Ballard, T. E.; Richards, J. J.; Huigens, R. W., III; Cavanagh, J.
"Evaluation of dihydrooroidin as an antifouling additive in marine painY', Int. Biodeterior.
Biodegrad., 2009, 63, 529—532. DOI: 10.1016/j.ibiod.2008.08.009.
10) Ballard, T. E.; Richards, J. J.;Aquino, A.; Reed, C. S.; Melander, C. "Anti-biofilm Activity of a
Diverse Oroidin Library Generated through Reductive Acylation", J. Org. Chem., 2009, 74, 1755
— 1758. DOI: 10.1021/jo802260t.
9) Ballard, T. E.t; Richards, J. J.t; Wolfe, A. L.; Melander, C. "Synthesis and Antibiofilm Activity of a
Second-Generation Reverse-Amide Oroidin Library: A Structure-Activity Relationship Study",
Chem. Eur. J., 2008, 14, 10745— 10761. DOI: 10.1002/chem.200801419.
8) Richards, J. J.; Huigens, R. W., III; Ballard, T. E.; Basso, A.; Cavanagh, J.; Melander, C.
"Inhibition and dispersion of proteobacterial biofilms", Chem. Commun., 2008, 14, 1698— 1700.
DOI: 10.1039/b7198802g.
7) Richards, J. J.; Ballard, T. E.; Huigens, R. W., III; Melander, C. "Synthesis and Screening of an
Oroidin Library for Anti-Biofilm Activity", ChemBioChem, 2008, 9, 1267— 1279. DOI:
10.1002/cb ic.200700774.
6) Richards, J. J.t; Ballard, T. E.t; Melander, C. "Inhibition and dispersion of Pseudomonas
aeruginosa biofilms with reverse amide 2-aminoimidazole oroidin analogues", Org. Biomol.
Chem., 2008, 6, 1356— 1363. DOI: 10.1039/b719082d.
Highlighted:Inside cover of the issue and Chemical Biology (RSC), 2008, 3, 826.
5) Ballard, T. E.; Melander, C. "Kinamycin-mediated DNA cleavage under biomimetic
conditions", Tetrahedron Lett., 2008, 49, 3157—3161. DOI: 10.1016/j.tetlet.2008.03.019.
4) Bowman, M-C.; Ballard,T. E.;Ackerson, C.J.; Feldheim, D. L.; Margolis, D. M.; Melander C.
"Inhibition of HIV Fusion with Multivalent Gold Nanoparticles", J.Am. Chem. Soc., 2008, 130, 6896—
6897. DOI: 10.1021/ja710321 g.
Highlighted:C&E News, 2008, 86, 39, Discovery News— The Discovery Channel, 2008 and J.Am.
Chem. Soc. Select#5lssue, 2009.
3) Huigens, R. W., III; Richards, J. J.; Parise, G.; Ballard, T. E.; Zeng, W.; Deora, R.; Melander, C.
"Inhibition of Pseudomonas aeruginosa Biofilm Formation with Bromoageliferin Analogues", J.
Am. Chem. Soc., 2007, 129, 6966—6967. DOI: 10.1021/ja069017t.
2) Zeng. W.; Ballard, T. E.; Tkachenko, A. G.; Burns, V. A.; Feldheim, D. L.; Melander, C.
"Mimicking the biological activity of diazobenzo[b]fluorene natural products with electronically
tuned diazofluorene analogs", Bioorg. Med. Chem. Lett., 2006, 16, 5148—5151. DOI:
10.1016/j.b mc1.2006.07.024.
1) Zeng. W.; Ballard, T. E.; Melander, C. "Tuning the oxidation properties of vanadium(V)through
ligand stoichiometry", Tetrahedron Left., 2006, 47, 5923—5926. DOI:
10.1016/j.tetl et.2006.06.051.
tCo-1S�authorship
5
Curriculum Vitae T. Eric Ballard, Jr.
PATENTS (US and Europe only)
4) Hoffman, P. S.; Guerrant, R. L.; Macdonald, T. L.; Ballard, T. E. "Broad Spectrum
Benzothiophene-Nitrothiazolide and Other Antimicrobials", US Patent Nos. 8,835,644, 9,376,430.
European Patent No. 2,408,770.
3) Hoffman, P. S.; Macdonald, T. L.; Houpt, E. R.; Ballard, T. E. "Compositions and methods for
treating tuberculosis", US Patent No. 9,333,193. European Patent Application No. 2,632,460.
2) Melander, C; Cavanagh, J; Ritchie, D.; Huigens, R. W., III; Ballard, T. E.; Richards, J. J.; Lindsey,
T. W.; Lindsey, J. S. "Inhibition of Biofilms in Plants with Imidazole Derivatives", U.S. Patent Nos.
8,278,340, 8,618,149 and 8,927,029. European Patent Application No. 2,224,809.
1) Melander, C; Cavanagh, J; Huigens, R. W., III; Ballard, T. E.; Richards, J. J. "Inhibition of
Bacterial Biofilms with Imidazole Derivatives", US Patent Nos. 7,906,544, 8,653,124, 8,835,644
and 9,084,423. European Patent No. 2,053,920.
PRESENTATIONS (selected)
5) Ballard, T. E. "Applications of a micropatterned cocultured (MPCC) hepatocyte system to support
small molecule drug discovery" (oral), 22nd North American ISSX Meeting, Montreal, CA, July 15
— 19, 2018. Invited.
4) Ballard, T. E.; Wang, S.; Cox, L. M.; Moen, M. A.; Krzyzewski, S.; Ukairo, O.; Obach, R. S.
"Application of a micropatterned co-cultured (MPCC) hepatocyte system to predict preclinical and
human specific drug metabolism" (webinar), Hepregen on-site, Medford, MA, September 7, 2016.
Invited.
3) Ballard, T. E.; Bessire, A. J.; Johnson, T. R. "Characterization of the ex vivo plasma stability of
[3H]inotuzumab ozogamicin" (poster), 20th North American ISSX Meeting, Orlando, FL, October
18—22, 2015.
2) Ballard. T. E.; Dahal, U. P.; Bessire, A. J.; Schneider, R. P.; Geoghegan, K. F.; Vaz, A. D. N. "A
tag-free collisionally-induced fragmentation approach to detect drug-adducted proteins by mass
spectrometry" (poster), Gordon Research Conference — Drug Metabolism, Holderness School,
Holderness, NH, July 6— 11, 2014.
1) Ballard, T. E.; Murrey, H. E.; Geoghegan, K. F.; Ende, C. W. a.; Johnson, D. S. "Investigating y-
secretase protein interactions in live cells using active site-directed clickable dual-photoaffinity
probes" (oral), New York Academy of Sciences — Bioorthogonal Chemistry in Biology and
Medicine, New York, NY, December 11, 2013. Invited.
PROFESSIONAL MEMBERSHIPS & ACTIVITIES
Applied Pharmaceutical Analysis (2016 — present; Mechanistic ADME chair-elect/chair 2018/2019; APA
presiding chair-elect/chair 2019/2020)
International Society for the Study of Xenobiotics (2015— present)
Connecticut Invention Convention Judge—Storrs, CT(2012—2014)
American Chemical Society (2006—present)
Reviewer for: Chemical Research in Toxicology
Drug Metabolism and Disposition
Journal of Pharmacology and Experimental Therapeutics
6
APPLICATION FOR APPOINTMENT
FOR BOARD/COMMITTEE MEMBERSHIP
Board/Committee of Interest: 1. Noise Advisory Committee 2
3. 4.
would you consider another Committee: Not at this time, but possibly in the future.
For how long should we keep your application on file? U n I i m ited
Full Name: JOSeprl P. Campbell Nickname: JOe
Preferred Title (please circle) Mr./Ms./Mrs./Other: ��.
Home Address: 4g FOIIerI ROaCI Z�p: 02421
Length of Residence in Lexington: 2� yearS
o��upatlon: Electrical Engineer and Group Leader, MIT Lincoln Laboratory
workaaa�ess: 244 Wood Street, Lexington, MA 02421
Phone: Home Work Fax
Cell
E-mail: Primary: Secondary: _
If you currently serve on a Board or Committee, please identify: ��a
42 years experience acoustics,speech,and signal processing.PhD,electrical engineering.
Special Training, Interests, Qualifications:
Instructor Speech Processing,Johns Hopkins U;Member of Acoustical Society of America;and Fellow of Institute of Electrical and Electronics Engineers.
Have you been asked by a Committee to become a member? YeS, b�/ C�lalr �afl KOI"etZ
Chair's presentation at virtual Select Board meeting, 28 June 2021
How did you hear about the Coimnittee?
Please attach a current resume, if possible. Add any comments below or on a separate page.
Campbell.Joseph.P.Jr.50 Digitallysignedby 11/23/2021
Campbell.Joseph.P.J r.50006922
.�1�TT1atUTe: 006922 Date:2021.11.23 23:58:46-05'00' Date:
Joseph P.Cainpbell�M1T Lincoln Laboratory https://www.11.mit.edu/biographies/joseph-p-campbell
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R&D AREA: C�ber Securit�and Information Sciences
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Dr. Joseph P. Campbell is the leader of the Artificial Intelligence Technology and Systems Group. His group
creates algorithms, technologies, and systems for extracting information from multimedia data in adverse
conditions and has a rich heritage of world-leading speech, speaker, and language recognition technologies. Dr.
Campbell is passionate about developing human-netwark AI technologies that extract information automatically
from speech, text, image, and video data combined with network communications and activities to help the
Department of Defense and law enforcement identify threatening or illicit activity on the surface and dark webs. He
specializes in developing and transferring AI technologies for government applications and operationally relevant
evaluation.
Dr. Campbell has written more than 120 refereed publications cited over 7,500 times. His invited tutorial on
speaker recognition,published in the Proceedings of the IEEE has received 2,500 citations. He holds one U.S.
patent and led two U.S. Federal Standards, one Federal Information Processing Standard, and one NATO
Standardization Agreement.
Dr. Campbell is a member of the Advisory Board for the Human Language Technology Center of Excellence at
Johns Hopkins University, a co-chair of the Speal�er and Language Characterization Special Interest Group of the
International Speech Communication Association, and co-chair of the MIT Lincoln Laboratory Professional
Societies Committee.
He is a member of the IEEE Signal Processing and Communications Societies, the International Speech
Communication Association, Sigma Xi, the Boston Audio Society, the Acoustical Sociery of America, and a Senior
Member of the American Institute of Aeronautics and Astronautics. Dr. Ca�npbell was named a Fellow of the IEEE
"for leadership in biometrics, speech systems, and government applications" in 2005.
He joined Lincoln Laboratory in 2001 as a senior staff inember after teaching at Johns Hopkins University and
serving 22 years at the National Security Agency(NSA).
From 1991 to 1998, Dr. Campbell was a senior scientist in the NSA Biometric Technology Research Group and led
voice verification research. From 1994 to 1998, he chaired the Biometric Consortium(known today as FedID, the
AFCEA Federal ID Forum and Expo), the U.S. government's focal point for research, development, test,
evaluation, and application of biometric-based personal identification and verification technology. From 1998 to
2001, he led the Acoustics Section of the NSA's Speech Research Branch, conducting and coordinating research on
and evaluation of spealcer recognition, language identification, gender identification, and speech activity detection
methods. From 1991 to 2001, Dr. Campbell taught speech processing at Johns Hopl�ins University.
1 of 2 1 U23/2021
Joseph P.Cainpbell�M1T Lincoln LaUoratory https://ww��v.11.mit.edu/biographies/joseph-p-campbell
From 1979 to 1990, Dr. Campbell was a member of the NSA's Narrowband Secure Voice Technology Research
Group. He and his teammates developed the first DSP-chip software modem and 2400-bps LPC-10e, which
enhanced the Federal Standard 1015 voice coder and improved U.S. and NATO secure-voice systems, including
300,000 Secure Telephone Units—Third Generation (STU-III). He was the principal investigator and led the U.S.
government's speech coding team in developing the 4800-bps CELP voice coder jointly with AT&T Bell
Laboratories, which became Federal Standard 1016,provided improved voice quality in later STU-IIIs, and is the
foundation of digital cellular voice systems and voice over the Internet Protocol systems.
Dr. Campbell was a member of the IEEE Speech Technical Committee (1989-1992), an associate editor of the
IEEE Transactions on Speech and Audio Processing (1991-1999), an IEEE Signal Processing Society
Distinguished Lecturer(2001-2002), a member of the IEEE Signal Processing Society's Board of Governors
(2002-2004), a co-editor of the Digital Signal P�ocessing journal(1998-2005), a member of the IEEE Information
Farensics Security Technical Committee (2005-2009), and a member of the IEEE Signal Processing Society's
Fellow Reference Committee (2007-2010). Joe was a member of the National Research Council's National
Academy of Sciences' Whither Biometrics? Committee that produced the book Biometric Recognition: Challenges
and Opportunities (2004-2010). He served as the vice president for technical activities of the IEEE Biometrics
Council(2008-2011), vice chair of the Acoustical Society of America's Forensic Acoustics Subcommittee (2011—
2013), chair of the IEEE Biolnetrics Council's Technical Committee (2011-2013), chair of the IEEE Jack S. Kilby
Signal Processing Medal Cominittee (2012-2013), and was a inember of the IEEE Medals Council (2012-2013).
Joe served as vice chair of the IEEE Awards Board's Awa�ds Planning and Policy Committee (2016-2017) and he
chaired the Speaker Recognition Subcommittee of the NIST Organization of Scientific Area Committees (2016—
2017).
Dr. Campbell earned BS, MS, and PhD degrees in electrical engineering from Rensselaer Polytechnic Institute,
Johns Hopkins Universiry, and Oklahoma State University,respectively. He received Oklahoma State University's
Graduate Research Award for best dissertation across all the colleges, "Features and Measures for Speaker
Recognition.
2 of 2 1 U23/2021
' r Joe Campbell
Group Leader, Artificial Intelligence Technology and Systems at MIT
Lincoln Laboratory
e.� 1 ,
Summary
Group Leader of the Massachusetts Institute of Technology's Lincoln
.. Laboratory Artificial Intelligence Technology and System Group. In
` , . i _ / each of the group's R&D areas, emphasis is placed on realistic data
. •• and experimental evaluation of techniques. Dr. Campbell is a leader
• in these areas and he specializes in transferring these technologies
for government applications and their evaluation. He has over 120
- . , . refereed publications with more than 7,500 citations, including an
. • r • • invited tutorial on speaker recognition in the Proceedings of the
-•• - • IEEE with 2,500 citations. In addition, he has one US Patent and
• ' '` •• • led two US Federal Standards, one Federal Information Processing
. . - -.- .-
. • r • ••_ ` Standard, and one NATO Standardization Agreement. The AI group
, ._ _ , r / leads research in human-language technologies and AI technologies
-• - - • •• and systems to be robust to operating conditions and situations
• - " • " - -• • � `-- and adversarial environments in a wide variety of applications with
. .-- . .
� . I. . I a long-standing and extensive publication record and history of
. - - . international honors for staff.
. . .
. . .. -. .
- .....................................
_ . - . _ Experience
. , . . ' .
' " " " ' • • ' � ' MIT Lincoln Laboratory
11 years 8 months
Group Leader, Artificial Intelligence Technology and Systems
February 2019- Present (2 years 10 months)
Group Leader, Human Language Technology
November 2016- Present (5 years 1 month)
Associate Group Leader, Human Language Technology
April 2010 - October 2016 (6 years 7 months)
MIT Lincoln Laboratory
Senior Staff, Information Systems Technology Group
July 2001 - March 2010 (8 years 9 months)
Page 1 of 2
The Johns Hopkins University
Instructor
1991 - 2001 (10 years)
�;a..., e. .. ,�: �, � -�: „.,, �., ,... . , ,., .. .,
,,...
Speech Processing (525.747) advanced graduate course in electrical
engineering. From the JHU Course Catalog: "The course emphasizes
processing of the human speech waveform, primarily using digital techniques.
Theory of speech production as related to signal models in time and frequency
domains is covered, as well as the measurement of model parameters, short-
time Fourier spectrum, and linear prediction coefficients. Speech coding,
recognition, synthesis, and speaker recognition are also included. Some
consideration is given to speech processing hardware. Software projects
are required. Prerequisites: 525.427 Digital Signal Processing and 525.414
Probability and Stochastic Processes for Engineers. Background in linear
algebra and Matlab will be helpful."
.....................................
Education
Oklahoma State University
PhD, Electrical Engineering • (1992)
The Johns Hopkins University
MS, Electrical Engineering • (1986)
Rensselaer Polytechnic Institute
BS, Electrical Engineering • (1979)
Oneonta High School
Page 2 of 2
_a ..
APPLICATION FOR APPOINTMENT ��� � � ����
� �`��"�1 .
FOR BOARD/COMMITTEE MEMBERSHIP
Sustainable Lexington Committee
Board/Committee of Interest: 1. 2.
3. 4.
Would yau consider another Committee: I CY11gIlt.
For how long should we keep your application on file? One year
Full Nam�: L i n J e n se n Nickname:
Preferred Tit1e(please circle)Mr./Ms./Mrs./Other: M rS.
Home Aadr�Ss: 133 Reed Street Zlp. 02421
Length of Residence in Lexington: � 6 year5
Volunteer for www.LexingtonGreenTeams.org and www.CleanHeatLexington.org;TMM;Lunchtime monitor at�HS,
Occupation:
workAddress: Lexington High School
Phone: Home Work Fax
Cell
E-mail: Prirnary: Secandary:
If yau currently serve on a Board or Cornmittee,please identify:
Special Training, Interests,Qual���Cat�ons: � have valunteered in Lexington since 2005,
at PTAs/PTOs, Green Teams, Clean Heat Alliance, and Town Meeting.
Have you been asked by a Committee to became a member?
How did you hear about the Committee? I've participated in SLC's meetings many times.
Please attach a current resume, if possible. Add any comments below or on a separate page.
Signature: �� �' Date: � O�29IZO2�
LIN JENSEN
133 Reed Street • Lexington • MA 02421 • Mobile
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
SUMMARY
Experienced sustainability advocate who has established successful programs and policy and bylaw changes
Elected Town Meeting Member
Finance Manager in a globa] conglomerate
Bilingual (English and Mandarin Chinese); Worked in three continents
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
VOLUNTEER EXPERIENCE
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
Volunteer at Clean Heat Lexington 2020-Present
• Collaborated on the �-�a�m�ltul� fc�r�le�n fl�at Article for the 2021 Annual Town Meeting
• Webmaster of�1��nF=I��tL��in�t�n,�r>
Elected Town Meeting Member(Precinct 8) 2018-Present
Co-founder of LPS Green Teams 2012-Present
• Helped establish and organize the compost programs at LPS and the wider community
• Co-authored the�����r�ductrc�� s�ha�l�c�lic� and�lasti�r�c��a�trc�n b�la�u
• Webmaster of L,��in�tc��.CireenT�arris.or�;
• Advocacy resulted in the elimination of styrofoam lunch trays and the building of the tirst dishwashing
facility in LPS in decades
Volunteer and Co-President(2013-15) of Hastings School PTA 2005-2018
• Developed the website and direct donation program, coordinated events and yearbooks
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
WORK EXPERIENCE
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
LEXINGTON HIGH SCHOOL Lexington, MA 2021-present
Lunchtime Monitor
HONEYWELL DEUTSCHLAND GMBH Franlcfurt, Germany 2002-2005
Manager, Financial Analysis and Control -Global Credit & Treasury Services
HONEYWELL INTERNATiONAL(AlliedSignal Inc.) Morristown,NJ 1996-2002
Senior Financial Analyst- Corporate Treasurer's Department and Commercial Roofing Systems
SENSES INTERNATIONAL& SENSES DATA COMMUNICATIONS INC. Beijing, China
China Office Representative 1991-1994
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
EDUCATION
.............................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
Master of Business Administration (MBA)- Finance (1996)
COLUMBIA BUSINESS SCHOOL,New York,NY
Bachelor of Science(BS)- Psychology(1989)
PEKING LJNIVERSITY, Beijing, China
APPLICATION FOR APPOINTMENT
: FOR BOARD/COMMITTEE MEMBERSHIP
Board/Committee of Interest: 1.C'e�e b rat10 n 2
3. 4.
, Would you consider another Committee` YeS
For how long should we keep your application on file? � � m�n t h S
Full Name: ' n�n� ^�e Nickname:
Preferred Title:(please circle) Mr./Ms./Mrs./Other: 'V'r.
Home Address: .10 Farmcrest Ave. Lexington MA Z;p: 0242�
Length of Residence in Lexington: 2� year$
: o��upat�on: :B a n ke r
work Address: '4'OO B rOaCIWa�/, Lyn n MA 01904
Phone: Home Work Fax
Cell:
E-mai1: Primary: Secondary:
If you currently serve on a Board or Committee,please identify:
Special Training„Interests, Qualifications: L I Ce n Sed m�l�g ag e ��I CG r
Have you`been asked by a Committee to become a member? Yes� 2��2� CD m m�tte e
How did you hear about the Committee? PatClOt's Day parade, Helen Yang of CALex
Please attach a,current resume, if possible. Add any comments below or on a separate page.
, ;
�-.w.,
Signature: Date: � 2�� 2�202�
.,
(
� �
R'��� � m:� �.���
AP'PLICATION FOR APPOINTMENT
'�,�, _
FOR BOARD/COMMITTEE MEMBERSHIP
�P.,.
Board/Committee of Interest: 1. � � 2.
3. 4.
Would you consider another Committee: �
�
For how long should we keep your application on file?
Full Name: �1 ��G1 � � �'U� � �� r�') o'�'C Nickname:
Preferred Title(please circle)Mr./Ms./Mrs./Other:
Horne Address: � �U� k Zip:
Length of Residence in Lexington: �� .,,�
Occupation: � �
Work Address: �"�Q,,,.�1,�t..�
Phane: Hame Work Fax
Cell
E-maii: Primary: econdary:
If you currently serve on a Board or Carnmittee,please identify:
Special Training, Interests, Qualificatians: �� � ,�
...
�.-�G� ' �,
Have you been asked by a Carnmittee to become a member?
How did you hear about the Committee?
Please attach a current resume, if possible. Add any comments below ar on a separate page.
...._.
tin�e� � � �
Signa . �'� Date: '' G.�.
�
.�-
APPLICATIQN FUK APP4INTMENT ��,�'� �e �����
FUR BCJAARDiCOMMITTEE NIEMBERSHIP � �
BoardlCommittee of Interest: 1.�.a���. ph „�C,_, 2,,�4.�s,cr�Cd�,M��
3. ���� 4.
Would you consider another Committee: ,7�.r s����
For how long sho�ild we keep your agplication on file? �
Fu11 Name: Nickname:
Freferral Title(please circle)Mr.IIVIs.1Mrs./t7thex. +��s.
Home Address: �2,��'�.�.�Y'� �- i �� Zip: C32 ��
r
Lengtth of Reside�ce in Le�cington: ���
Occupation: ��_
Work Addrress;
Phone; Home Work Fa�c
Cell
E-mail: Primacy:
If yau currently serve on a o or mmi ,p ease identify:
Special Training,Interests,Qua,Iifications: 4��- t ,�y
��r
Have yau been a�ked by a Committee to become a memb�r7 ,�a
How did yan he�r��hvut the Committee? "f�►,+�t ��-�c,.��
Please attach a�:w��nt resume,if possible. Add any comments below or an a separate page.
Signatu�re: / . �!L ..�.._._....,_._._. ,�.,, Date: ,�� � ....__.
Kathryn Roy
Experience
Precision Thinking Lexington, MA 2000—2003
President and CEO Helps some of the most successful and fastest growing B2B companies 2005—
including IBM, Constant Contact, McKesson, Lotus, AT&T improve the effecti�eness of Present
sales and marketing.
Phase Forward (now part of Oracle) Waltham, MA 2003—2005
Phase Forward is the leading provider of clinical trial softwaYe for biopharma companies
T�ice President ofltilar�etina Responsible for product management,product maYketing, marketing
communications, and business development.
United States Peace Corps Papua New Guinea 1997—1999
Tlolunteer, Kural Comrnunity Developynent Taught math, business skills, money management,
sewing, and sewing machine repaiY in a mountain village.
BBN Planet Cambridge, MA 1995—1997
BBN Planet, subsequently Genuity,was a global vendor of Internet connectivity
Tlzce presiderat, Internet Service Line Manager Managed P&L for a $100 mi.l.lion nationwide
Internet service. Managed 5 direct reports.
Lotus Development, Inc Cambridge, MA 1991-1995
Directo�of Strategic Marketing Managed $4M budget and staff of 12 providing market research,
analvsis, and insight for devising marketing strategies and planning marketing tactics.
Interleaf, Inc. Waltham, MA 1988—1991
Interleaf was a leading vendor of workstation publishing and HGML editing software
Progra�n Manager Managed team of 15 in winning, negotiating, and delivering a multi-tnillion
dollar service contract from Boeing.
Education
Harvard University Boston, MA 1983—1985
Graduate School of Business Administration
111a.rter in Busines.r Adnzini.rtration
University of California Berkeley, CA 1980—1981
111a.rter of Sczence Degree in Operatio�i.r Ke.rearch
Colgate University Hamilton,NY 1975—1979
Bachelor ofArt.r deg�ee,magna cum laude,with honors in mathematics. Phi Beta Kappa.
Non profit Experience
Charlesbank Homes Foundation (funding housing for low-income families) 2010 -
Board�nember and meynT�er of the inve.rtrnent coyn7nittee Present
HBS Community Action Partners (pro�Tiding pro Uono consulting ser�rices to nonprofits) 2001 - 2010
Bocz�d��eynber(2004—2010) and team leader
KathYyn Roy Page 2
October 201�
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Battle Green Use Request - Le�ngton Minute Men Inc. & Le�ngton Historical Society
ITEM
PRESENTER: NUMSER:
Jill Hai, Select Board Chair
C.4
S UMMARY:
Lexington Minute Men Inc. and the Lexington Historical S ociety are requesting the use of the Battle Green on
Sunday,Apri117, 2022 at 10:00pm through Monday,April 18, 2022 at 1:OOam for the reenactment of Paul
Revere's ride and the arrival of Paul Revere and William Dawes at the Hancock-Clarlce House as part of the
2022 Patriots' Day events. The ride will begin at the Battle Green and proceed to the Hancock Clarke House at
approximately 11:45pm. There will be one volley of muslcet fire near the end of the reenactment at the
Hancock Clarke House.
The Police Department, Department of Public Works, Fire Department and Health Department have no
objections to this request.
SUGGESTED MOTION:
To approve the request of Lexington Minute Men Inc. and the Lexington Historical Society to use the Battle
Green on Sunday, April 17, 2022 at 10:00pm through Monday,April 18, 2022 at 1:OOam for the reenactment of
Paul Revere's ride and the arrival of Paul Revere and William Dawes at the Hancock-Clarke House as outlined
in the attached letters dated January ]7, 2022 and January 24, 2022 and subject to State and Local COViD-19
requirements at the time of the event.
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
ATTACHMENTS:
Description Type
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n�,i�'V.��f.
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s
�'�r�� ��� POST OFFiCE BOX 1775 LEXINGTON,MASSACHUSETTS 02420
_..
; � g �,;" CAPTAIN COMMANDING DAVID KEMPER
.t, � ��.
kPNX1.PT", /��
��4�"�"�.��l.„..,�("y,T.��,:
Kevin Collins, Adjutant
Lexington Minute Men
PO Box 1775
Lexington, MA 02420
The Select Board 17Jan2022
Town of Lexington
1625 Massachusetts Avenue
Lexington, MA. 02420
Re: Request to hold the traditional reenactment events on Patriots Dav Weelcend A�ril, 2022.
The Honorable Board of Selectmen of the Town of Lexington;
The Lexington Minute Men respectfully request the use of the Lexington Battle Gr-een, and the lawn in fi ont of
the Buckman Tavern and the Visitor's Center to hold a dress rehearsal for the annual reenactment of the Battle
of Lexington on Sunday, Apri13, 2022 from 11:OOAM to 4:00 PM. There will be no musket firing on the Green
during this rehearsal, but a single shot will be�red from Buckman Tavern(as in the past)to initiate the action.
We would also like to request an alternative rain date of Saturday, Apri19, 2022 from 1:00 to 4:00 PM.
The Lexington Minute Men respectfully request the use of the Lexington Battle Green to hold the annual
reenactment of regrouping of the Lexington Minute Men and march to Concord for Parker's Revenge on
Saturday morning, April 16, 2022 from 9:00 to 10:30 AM. The event will last approximately 30 minutes on the
Common, followed by a march on Mass. Ave. toward Concard. A police escort is also requested along Mass.
Ave.
The Lexington Minute Men respectfully request the use of the Lexington Battle Green to hold the annual
reenactment of Pau1 Revere's Ride on Sunday night, April 17, 2022 from 10:00 PM to 1:00 AM. The event will
proceed from the Battle Green to the Hancock/Clarke House at approximately 11:45 PM and will continue on
there far roughly thirty minutes. As in years past there will be one volley of musket fire near the end of the
reenactment.
The Lexington Minute Men respectfully request the use of the Lexington Battle Green to hold the annual
reenactment of the Battle of Lexington on Monday,April 18, 2022 from 1:00 AM to 1:00 PM. This will include
musket firing on the Common during the reenactment, and a single shot will be fired from Buckman Tavern to
initiate the action. We request a rain date of Saturday,Apri123, 2022 far the same.
We will be in contact with the Lexington Police, Fire Department, Department of Public Works, the Town
Celebrations Committee and the Lexington Visitor's Center Manager as well, to coordinat�e the reenactment and
events with them.
"Stand yourground—�on't fire unCess fired upon; But if tFiey mean to Fiave a war Get it 6egin
here."
ApriC19, 1775— Captain�1'arker
We are grateful for the support of the Selectmen in the past, and hope that this request will be granted.
Respectfully submitted,
Kevin Collins, Adjutant
Lexington Minute Men Inc.
For the Captain Commanding, David Kemper
"Stand yourground— 1�on't fire unCess fired upon; But if tFiey mean to Fcave a warGet it 6egin
here."
AprzC19, 1775— Captain�1'arker
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�listvey +Educcstion d C;or-a�rrxacvaity --�"
January 24, 2022
Baard of Selectmen
Town of Lexingtan
Town Hall
Lexingtan, MA 02420
On behalf of the Lexington Historical Society and the Lexington Minute Men,
request is respec#fully made that apprapriate steps be taken in order ta close off portions
of Bedfard Street and Hancock Street for aur special program on April 17-18, 2022.
As we have done for many years,the Saciety and the lyfinute Men are preparing
to produce a reenactment of the arrival of Paul Revere and William Dawes at the
Hancock-Clarke House. The actual program is intended to begin at approximately 11:30
p.rn. with interpreters and minutemen at the House awaiting news of the activity of the
Regulars in Baston. Paul Revere and then William Dawes will ride down Hancack Street
from the Buckman Tavern area and arrive at the Hancock-Clarke House where they will
converse with the accupants and then return to theix staging area near Buckman.
In order to accomplish all of this and to ensure public safety, we request that
Bedford Street frarn Massachusetts Avenue ta Hancock Street and Hancock Stxeet to
Adarns Street be closed to all but resident emergency traffic frotn 10:30 p.m. on Sunday,
April 17th to no later than 12:30 a.m. on Manday,April 18th. We thank the palice and
DPW personnel for adhering to the 10:30 closing time to accammadate our early arrival
audience members and keep them safe.
For further information from either or anization ou ma cantact Sue Rockwell
We have been very disappainted that we have been unable to praduce this
program the last two years due ta the Pandemic,but remain hopeful for this year as our
respective organizatians are very pleased by the averwhelmingly positive response to our
annual praduction. We are delighted to pravide this gift to the town and are very proud
of the fact that it has become a welcome permanent addition to our normal Patriats' Day
weekend in Lexingtan, We appreciate your caoperatian in that endeavor.
Very iruly yours,
LEXINGTON HISTORiCAL SOCIETY THE LEXiNGTON MINUTE MEN
By �p�� .s� B `�,� � / � �.�...
Y .� �..
Barry Cunha, President David Kernper, Captain Commanding
PO. Bax �14 ° L,exington, MA 02420 ° 781.$6z.i703
of�`rce�7a lex�ngtor�history.org • lexingtanhrstary.arg
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Battle Green Use Request - Lions Club of Le�ngton, Inc.
ITEM
PRESENTER NUMBER:
Jill Hai, Select Board Chair
C.5
SUMMARY:
The Lions Club of Lexington, Inc. requests permission to hold the 108th Annual Patriots' Day 5-Mile Road
Race on Monday,April 18, 2022 with an awards ceremony on the Battle Green at the conclusion of the Road
Race from approximately i l:]Sam to ll:30am.
The Police Deparlment, Department of Public Worlcs and F ire Department have no objections to this request.
SUGGESTED MOTION:
To approve the request of the Lions Club of Lexington, Inc. to hold the 108th Annual Pa�triots' Day 5-Mile
Road Race on Monday Apri118, 2022 with an awards cereinony on the Battle Green at the conclusion of the
Road Race as outlined in the attached letter dated January 31, 2022 and subject to State and Local COV1D-19
requirements at the time of the event.
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
ATTACHMENTS:
Description Type
l�l?7�'���rua�t*, p�ay]���a,rnt/ll��i�tll� Syras°ux LJ,>� V�c�un��st Il+�r��s C�'�u.�as�f"
❑ Q:34��Ik�u�^Ml�nba�ui°4at
ll�,xiuup�ra,su,ll�a:.
�
�� ;,�;���� THE LIONS CLUB OF LEXINGTON, INC.
P.O. Box 71, Lexington, Massachusetts, 02420
������������ "Birthplace of American Liberty"
M�4
www,/exington/ions,org
January 31, 2022
Town of Lexington
Select Board
1625 Massachusetts Ave.
Lexington, MA 02420
Dear Board Members;
The Lexington Lions Club will be sponsoring the 108th Annual Patriots Day 5-
Mile Road Race on Monday, April 18, 2022. We are requesting the use of the Battle
Green for the awards ceremony at the conclusion of the Road Race. The awards
ceremony begins at approximately 11:15AM aud will last approXimately 15 minutes.
Thanlcs for your consideration of this request. If you have any questions,please
contactme at 17 Vine Brook Rd, Lexington, MA 02421;
Very truly yours,
,--�
�� �� _...
��� - .
Douglas M. Lucente
Treasurer and Road Race Co-Chair
See attached:
Road Race Route &Details
cc: Town Manager
Lexington Lions Club— 108th Annual Patriots Day 5-Mile Road Race
�����
Battlegresr� .., � -START
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Mile 3
Road Race Details:
Date,Time&Location:
• Monday,April 18,2022
• Race Starts at 10:00am(By Lexirigton Minuternen firing muskets)
• Adjacent to the Battlegreen,Lexington,MA
• (1900 Mass Ave,Lexington,MA—for mapping purposes)
Registration:
Please Visit the"HOW TO ENTER"Registration Pa�e at www.lexingtonlions.org
Race Packets:
Runners who have pre-registered may pick-ttp their race packets on race day at registration beginning at 8:OOam
Team Registration:
Teams must have a minimum of 4 Runners.
Timing Chip:
Your timing chip is included in your race packet and must be placed on the top of your shoe and securely weaved/tied
through your shoelaces.In order to receive an official time for the race you must be wearing the chip as you cross both
the Start and Finish lines.
Age Group Awards& Other Trophies:
• Currier Cup*-lst Place Overall Finisher
• Team Competition- l st Place Team
• Sgt Normau Carlson Award-1 st Lexingtonian
• Age 12&Under-1 st&2nd Place Male, 1 st&2nd Place Female
• Age 13—19-1 st&2nd Place Male, 1 st&2nd Place Female
• Age 20—29-1 st&2nd Place Male, 1 st&2nd Place Female
• Age 30—39- 1 st&2nd Place Male, I st&2nd Place Female
• Age 40—49-1 st&2nd Place Male, 1 st&2nd Place Female
• Age 50—59-lst&2nd Place Male, lst&2nd Place Female
• Age 60&Up-lst&2nd Place Male, lst&2nd Place Female
*Currie�Cup Tra�hk
The Currier Cup is a Special Silver Cup that is presented to the first place fuusher of the race by the family of the first
P1ace fiuisher of the First Patriots Day Road Race in 1914 Ralph"Curlie"Currier.
Fees:
Mail-in and On-Line Pre-rebistration is$25.
Day of Race registration is$28.
Water Stops:
There are 4 water stops along the race route.Close to each mile marker.
Refreshments:
Refreshments and fruit are served at the end of the race.
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Battle Green Use Request - William Diamond Junior Fife and Drum Corps
ITEM
PRESENTER NUMBER:
Jill Hai, Select Board Chair
C.6
SUMMARY:
The William Diamond Junior Fife and Drum Corps is requesting permission to hold the annual Lexington Fife
and Drum Tattoo on the Battle Green on Friday, May 6, 2022, from 7:OOpm to 8:OOpm, starting with a small
parade of Corps, including the 3rd U.S. Infantry Regiment(The Old Guard), from St. Brigid Parish to the
Battle Green at approximately 6:SOpm. The event itself will begin at 7:OOpm on the Battle Green as part of the
Lexington Muster weekend.
The Police Department, Department of Public Works and Fire Department have no objections to this request.
SUGGESTED MOTION:
To approve the request of the William Diamond Junior Fife and Drum Corps to use the Battle Green on
Friday, May 6, 2022 from approximately 7:OOpm to 8:OOpin for the annual Lexington Fife and Drum Tattoo as
part of the Lexington Muster weekend.
Move to approve the consent.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Liquor License - Transfer of License and Change of Location- Lex Liquor Inc., 186 Bedford
Street
ITEM
PRESENTER: NUMBER:
Jill Hai, Select Board Chair
I.1
SUMMARY:
The Select Board Office has received all the necessary paperwork requesting the transfer of liquor license and
change of location at, from LLAWM-LEXINGTON, LLC d/b/a Wine& Market located at 186 Bedfard
Street Unit 3 to Lex Liquor, Inc d/b/a Lexington Wine& Spirits to be located at 186 Bedford Street Unit 2.
Mr. Arthur Pearlman, Esq., applicant counsel, will be at the meetmg to answer any questions you may have.
The Building, Zoning, Health Departments have reviewed the liquor license transfer application and have no
objections to the liquor license transfer. The applicant will need to work with the appropriate Town
Departments for the necessary permitting for 186 Bedfard Street unit 2 that is currently being built.
For information purposes for the Board as they review the attached application:the 186 Bedford Street, Unit 3
license being used for this transfer request, hours of operation condition assigned by the Select Board was as
follows: Monday through Thursday 8:30am- 10:00pm; Friday and Saturday 8:30am- ll:00pm and Sunday
12:OOpm- 7:OOpm.
SUGGESTED MOTION:
Move to the Lex Liquor, Inc d/b/a Lexington Wine& Spirits application for the
transfer of liquor license and change of location of the All Package Store Liquor License at 186 Bedford Street
Unit 2.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 7:l Opm
ATTACHMENTS:
Description Type
ll��Nua�r�����Yn�c� �u'�n��(i•r�u�u�N�Ar�tug����➢rtr�;a��'u�itap�p��i�ay�Il��n n�G
L� � l�a¢,Il,ui�x M(a�nvii��ia�M
`i4ua�^u 4Jiui��
L� 4`Q�p�y�shr�a7�uu�ecH➢:.��r�ll�c8p�ll�a���ai(`uarl�aapa���; ]E�a:lk��plVl[aaua°.Il��iz�1
AFtTHUR. IVI. PEARLl��.1`�i
Attorney at Law
Telephane(SO&) 8']5-1 S00 PA. Box 2507 Telefax(508)8'75-7$43
Framingham,Massachusetts 01703-2507
Decernber 11,2021
Tawn af L,exington
4ffice of Select Board
1625 Massachusetts Avenue via FedEx 8149 8457 8$8�
Lexington, MA 02420
Attention: Ms. Stacey A. Prizio
Re: LLAWM-LEXINGTON, LLC
to Lex Liquor, Inc.
186 Bedfard Street
Unit#3,to Unit#2
Lexington, MA 0242a
Dear Ms. Prizia:
Enclosed piease find the following items in connection with the above-referenced
appiication for a Transfer and Change of Location of Liquor License.
1. Certifieate af Good Standing frarrt MA Department of Revenue;
2. E-mail fram Mass. Revenue Enfarcement Re: Certificate of Compliance from MA
Department af Unemploymertt Assistance;
3. Applicatian for Transfer of License and Change of Location with Manager Application;
4. Additianai Inforrnatiota page;
5. Monetary Transrnittal Form with confirmation of payment;
6. $100.00 Fee made payable ta the Town af Lexington;
7. Articles of Qrganizatian;
$. Lease (Letter af Intent);
9. Asset Furchase and Sale Agreement;
10. Praposed Note to Seller(to be signed at closing);
Town af Lexingtan
Q�ce of Setect Baard
f 625 Massachz�setts t!venue
Lexrngton,MR 0242Q
Page 2 of 2
11. Bank Statements (nat required),
12. Vote of Gorporate Baard;
13. ABCC CORI Request Forms(2);
14. Lexingtvn COR.I Request Forms (2};
15. Driver's Licenses (2)
16. Passports(2};
17. TIPs Certifications (2);
1 S. Applican�'s Statement;
19. Workman's Compensation Farm and Policy (ta be completed and filed upon hiring
employees);
20. Floor T'lan; and
21. Farm 43 (listed as item 2.b. of items ta be provided on Tawn af Lexingtan website).
Kindly advise if anything else is required. Also, when placing this matter an far hearing I
respectfully request Manday January lU, 2022, if hearing is via Zoom ar another internet
platform, ar January 24, 2022, if hearing is in person. Please cantact my affice when yau are
placing the legal notice in the newspaper and inform us as to the name af the newspaper {if nat
the Minuternan)and the date an which the ad witl appear. Thank you.
Very rul� ours,
A . e rlm
AMP:SMB
Enclosure(s)
Cb4PncrsV.�c�wV'ScsR�m}stClienrrt'earinran�2Vyuuci H Lcxin��dn
Comrnonwealth pf Massachusetts Letter ID:LO$46799552
� I7epa�tment of Revenue Notice Date;December 2,2U21
c+°+ �� / � Geoffrey E.Snyder,Cnrnrniss�aner Case tD:0-00]-329-261
�
�q�� mass.gov�dor
CERTIFICATE CfF GUCID STANDING AND/OR TAX C4MP�,IANCE
i�lllii�u��l�ll���iill���i��ll�iln�i��II�i�IIu�INnili��lrlll�
LLAWM-LEXINGTON LLC
2036 OCEAPJ ST STE 1
MARSHFIELD MA Q2050-3146
Why did I recei�e this notice?
The Carnmissioner of ftevenue certifies that, as afth�date ofthis certificate, LLAWM-C,EXIIVGTCIN
LLC is in coznpliance with its tax obligatians under Chapter 62C of the Massachusetts General Laws.
This certi�cate doesn't certify that the taxpayer is compliant in taxes such as unetnployment insurance
administered by agencies ather than the Department of Revenue, ar taxes under any ather pravisions of
taw.
This is not a waiver of lien issued under Chapter b2C,sectian S2 of the Massachusetts General
Laws.
What if I have questions?
If you have questions, call us at (61'7) $87-64U0 or toli-free in Massachusetts at(800} 392-60$9, Monday
thraugh Friday, 9:U0 a.m._ta 4.04 p.m..
T�isit us online!
Visit mass.gov/dor to learn rnare abaut Massachusetts tax laws and T30R.policies and procedures,
including yaur Taxpayer Bill af Rights, and MassTaxConnect for easy access ta yaur account:
� Review or update your account
• Cantact us using e-message
• Sign up far e-billing ta save paper
• Make payrnents ar set up autopay
,�.ce-�..--,�C �'' �9 �''�
Edward W. Coyle, .�r., Chief
Callectians Bureau
�j���� Arthur Pearlman <ampesq8 '(,,'7a gmail.cam�
„M,,���,�, .,�.., .��..�_.�.� �,.,,�.m,,,u, �.. ��...:�,.
DUA Certificate L�AWM-Lexington, LLC
1 message
� � �� .�Wd.�.. ..mMarr, Dec 6, 202��, ...�.��,,, .rt„�,�m
Dan Newcomb <dnewcomb Ilausa.com> 1 at 7:51 PM
Tp:Arthur Pearlman{ampesq8�a gmail.com>
D�11 ��WC4rri�
Fourtder& CEO
a;"�' �tHrr�' �. ��c�:78't.319.9800 ext. 301 �cell: 617.30Ei.1551
� dn�wcomb�,r.�7,llausa,com
' � �iquorLicenseAdvisor.com
1� Suite 1, 2036�cean St, Marshfield, MA 02f?5fi�
ill + • ' �
�w
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�•.7'� `����� . M " M I .
�.. " �ead No�u!
. � .
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� �..�q1142' „"� �
'�� �..i['.p�161q"a
ts�Vl,�(1R" � ! 1 ! ' � 1 4 �
7he inlormafron contained!n this e-mail message is intended aMy Par 1he uss af fh8 ind'rviduef or enlrfy named above.,!1 fhe reader of this messaye is not the intended reoipienl,
dr the emplayee ar agept respanslbte/ar del�very to the intended re�rpient,you ar&R��eby nati�ed tha!any dissemPnatian,dislributron ar copying allhe contenls of thrs
transmissiour is stnctty pmhitrited.1f}rou have recgived this e-mait lransrnlssian in error,p(ease cai!78i--3i9�9800 ar raply 10 thls e-mall.
BEWARE OF WfR'E FRAlJL1!A��gp�ing wke and disbursement instrvctians by emai!Is danyerays!Please ue�rty 4y caWtng Liquo�Lice»se Advrsor a!78J•319-99Q0 priar to
seading funds.Wire instruetiarrs w(!1 artty came lrom pur a„Jfrca.!t you receiva lnstruotrons from eny oiher party,ptesse cell us immediatety,M edditlon,ptease rrote that our
a�ce does not acoept wrring instructlons or changes!o wiring rnstructions vra omai!
Fram: "Enforcement, Revenue(OWD)"<revenue.enforcement@skate.rna.us>
Da#e: December 6, 2021 at 4:49:p9 PM EST
Ta: Rab O'Donnell <rob@Ica-cpa.cam�
Cc: Jennifer Medico�jmedico a�,,?Ilausa.cam>, Dan Newcamb {dnewcomb@ilausa.carn>
Subject: RE: COGS Request-L.�AWM-Lexingtan, LLC 86-2591134
CWarning: Externa! Email]
DUA has veri�ed that�LAWM- Lexingtan, L�C has never had any unemplayment insurance
tax obligations and is nat required to register wi�th DUA. Please allpw this emaii to serve as a DUA
c�rtificate of compliance. DUA has no objection ta this liquor Eicense transaction.
Thank yau,
Greg Fara
F�am: Rob C7'�pnnell �rob a�lco-cpa.com�
Sent: Manday, December 6, 2C121 3;53 PM
To: Revenue Enforcement(EQ�) �Revenue.Enforcement�„7a DETMA.ORG>
The Com»xonwealth af Mussachusetts
� Alcoholic Beverages Control Cammission
95 Fourth Street, Suite 3, Ch elsea, MA (J21 S(I-23S8
www mass.gov/abcc
APPLlCATIt�N FClR A TRANSFER tJF I.ICENSE
Municipality Lexingtqn �
1.TRANSACTIC.�N INFORMATION � pledge of Inventory [] Change ofClass
�Transfer of License � piedge of License � Change af Category
❑ Alteration of Premises � p�Q�,�e af Stock � Change af License Type
�cJ Change of Locatian (§12 pNLY,e. ."club"to"restaurant"}
� Management/Operating Agreement ❑ qther
Please provide a narrative overview af the transactian(s}being applied fpr.On-premises applicants should alsa pravide a destription of
the intended iheme ar cancept af the business aperation.Attach additional pa es,if necessary.
Lex Liquor,Inc.is seeking ka purchase the business of LLAWM-LEXINGTON,LLC and move i#from Unit 3{2,44d sq.h.+/-)ta unit#2(4,258 sq.ft.+1-)at
186 Bedford Street,Lexington,MA
2. I.ICENSE CLAS5IFICATItJN INFQRMATIt�N
ON OFFPItEMISES TYPE CATEGORY ��qgg
ff-Prern'rses-1S • §15 Package Stare __- I•1 II Alcoholic Bevera9es � Annual T
LJ
3. BUSINESS ENTITY INFORMATtC1N
The entity that will be issued the license and have c,peratianal cantrol of the premises.
Current or Seller's�icense Nurnber 90082-PK-4612 �___� �E��y g7-�7�pg71 �
Entity Name Lex�iquar,Inc.
pBA Lexington Wine&Spirits �� �� Manager of Record Hitendra R.Patel
Street Address 186 Bedford Street,Unit#2,�exington,MA 02420
Phone N/A � Email N/A
� . Website NIA
Add I Phane N/A_.....
4. DESCRtPT10N QF P'REMISES
Please pravide a compleke descriptian of the premises to be licensed,including the number af flpors,nurnber of rooms an each flaar,any
outdoor areas ta be included in the iicensed area,and total square faotage.If this application alters the current premises,provide the
specific ct�anges from#he last appraved description. Yau rnust alsa submit a floor plan.
pproxirmately Q,2S8 sq.ft.with an entrancelexit on Bedfard Street and a rear exit/defivery door at the rear
Total Sq,Faotage 4,258 Seating Capacity N/A .� Occupancy Number N/A�'�
Nurn�ier uf Entrances (7l____� I Number of Exits �____`,_� Number oP Floors L.��
L _�,_I
1
APPLICATIQN FOR A 7RANSFER OF CICENSE
5. CURRENT OFFICERS. STt7CK t�R OWNERSHIP INTEREST
By what rneans is the
Transferar Entity Name �LAWM-�EXINGTCIN,l.l.0 ficense being Purchase —�
transferred?
List the individuals and entities of the current awnership. Attach additional pages if necessary utilizing the farmat belaw.
Name of Princi al TitlelPasition Percenta e af Qwnershi
pantel FJewcomb LLC Manager,sole Member __� 100% �
Name of Principal TitlelPositian Percentage of Clwnership
._. �
hlame of Principa) Title/Position Percentage af Ownership
Narne af Princi al Title/Pasitian Percenta e of Ownershi
Name of Princi al Title/Position PercenCa e of t7wners�
6. PROPOSED Q�FICERS, STC)CK C!R OWNERSHIP INTE�tEST
List ail individuals or entities that will have a direct ar indirect,bene�cial or financial interest in this license(E,g.Stackhalders,Officers,
Directars,lL+C Managers,E.LC Members,LLP Partners,Trustees etc.�.Attach additianal page(s}provided,if nece55ary,utilizing Addendum
A.
• The individuals and titles listed in this section must be identical to thase filed with the Massachusetts 5ecretary af 5tate.
* The individuals identified in this sect�i�on,as well as the propased Manager of Recard,must carnplete a CC7RI Release Form.
• Please note the foflowing statutary requirernents for pirectors and CLC Managers:
Ctn Premises(E.g,aestaurant/Club/Hotell Directars or LLC Managers -At least 50%must hse US ci�tizens;
Off Premises{Llquar Store}ptrectars ar LLC Manegers -All must be US citizens and a maJarity must be
Massachusetts residents.
• If you are a Multi-Tiered Organization,please attach a flow chart identifying each corporate interest and the individual owners af
each entity as weH as the Articles of Organization for each corparate entity. Every individual must be identified in Adderrdum A.
Name af Princi a�l � Residential Address 55N ppg
...............................�, ..._.
kta H.Patel i 3 Wescott Drive,Hapkinton,MA 01748 _ , .—........�- �
Title and or Positian Percenta e of Ownershi Director/LLC Manager �5 Citizen MA Resident
President,Treasurer,Secretary,sole Direttor 10U% (: Yes (`Na (:Yes (` No� (�'Yes (`No
Name af Princi al Residential Address SSN DqB
�_____—.� L�__� ................ ................
Title and ar Pasi ion �ercenta e af Ownershi pirector/LLC Manager �!5 Citizen � MA Resident ^
��� C` Yes (" Na C Yes C"No C'Yes {"'Na
Name af Principal _ Residential Address SS�1 pC�g
�� � � � �� _.__�
Title„and or Positian Percenka e af Ownershi Directar/LLC Manager US Citizen MA Resident
�... ._ ... __� �� C`Yes (`Na C'Yes C' No C' Yes ("" No
Name of Principal Residentia)Address S5N �pg
�..-...... ��______��_�
Tit�d or Pasitian Percenta e of Ownershi pirector/I.l.0 Manager U5 Citizen MA Resident
......_ ._.__� C Yes C'�No {"'"Yes C`Na C"Yes C'"Na
APPLI�CATION FOR A 7RAN5FER OF LlCENSE
6, PROP'tJSED t�FFICERS, STOCK UR CIWNERSHIP tNTEREST (Cor�tinued �
Name af Principal Residentia)Addres5 S�� ppg
� L��� ��-�
Tik�ar Pasition �Percenta e of Ownershi Direc#or/LLC Manager US Citizen MA Resident
� ('Yes C'Na {"'Yes f"`No C Yes (`t�o
Name of Principal Residential Address SSN bC76
... � ��� ���
Titie�osition Percenta e af Ownershi Directar/LLC Manager US Citizen MA Resident
C"Yes C`Na C Yes (^No C` Yes C'No
Na�rinciqal Residential Address g�,� � ppg
. �
Tit) an ar Position PercenYa e of Ownershi Director/LLC Manager U$�itizen MA Resident
� C"Yes C'Na (^Yes (`No�� C` Yes C"'Na
Additional pages attached? (;Y��, C No
CRIMINAL HISTORY
Has any individual listed in guestian 6,and appiicable attachments,ever been canvicted af a ("`Yes C:No
Skate,Fede�ra!ar Milikary Crime?!f yes,attach an�ffidavit praviding the details of any and all convictions.
6A,INTEREST IN AN At,Cf3H01.IC BEVERACsES LICENSE
aaes any individual or entity identified in questinn 6,and applicable atkachments, have any direct or indirect,beneficial or�nancial
interest in any aiher license ta sell alcohalic beverages? y�,� � �� � If yes,list in table belaw.Attach additional pages,if
necessary,utilizing the table format below.
�lame License Type I.icense Name Municipality
Ekta M.Patel Beer&Wine Neha Cprp d/b/a(2uick Stop Shap Norton
Ekta F!.Patel Beer&Wine Rishiv Inc.d/b/a Mabil Mart Taunton
66. PREViOUSI.Y HELD fNTEREST IN AN ALCONQUC BEVERAGES CICENSE
Has any intiividual or entity identified in questian 6,and applicable attaehments,ever Freld a direct or indirect,beneficial or�nancial
interest in a Eicense to sell alcoholic beverages,which is not presently held? Yes � I�o �
!f yes,list in table belaw,Attach additional pages,if necessary,utilizing the table farmat below.
Name license 7ype License Name
Ekta H,Patel Beer&WIn� Attlebora Convenience,Inc.
3
APP�.ICATIqN FOR A TRANSFER CfF LlCENSE
6C.DISCLOStJRE OF lf��,�ISE DISCIP�INARY ACTlON
Have any af the disclased licenses listed in question 6Aor 66 ever been suspended,revaked or cancelied?
y,�� �yQ If yes,list in table belaw.Attach addikional pages,if necessary,util�lsing the kable farmat belaw.
Date of Actian Name of Licenxe City Reasor�far suspension,revocation or canceilatian
7. CQRPQRATE STRUCTURE
Entity�ega!Structure Corparation • Date of Incprporation November 23,2021 �
State pf Incorporatian Massachusetts -
Is the Carparation publicly traded? ("Yes (":' Na
8. UCCUPANCY OF PREMISES
Please complete all fields in this section, Please pravide proof af legal occupancy of the premises,
« If the applicant entity owns the premises,a deed is required.
� If leasing or renting the premtses,a signed copy of the lease is required.
• if the lease is cantingent on the approval af this license,and a signed lease is not available,a copy af the unsigned lease and a letter
of intent to lease,signed by ihe applica�nk and the landford,is required.
+ If the real estate and business are awned by the same individuals fisked 'm questian 6, either individually ar thraugh separate
business entities,a signed capy of a lease between the two entities is required.
Please indicate by what means the applicant wil)accupy the premises
Lease ���
Landlcrrd Name 186 Bedford Stree�,LLC
Landlord Phone � Landlcrrd Ernail �-� �_�
Landlard Address 186 Bedfard 5treet,�exington,MA 02424
Lease Beginning Date 08-01-2021 � Rent per Manth $17,741.67 � �
Lease Ending�ate 2026 Rent per Year $212,90q.00 �
Will the Landlord receive revenue based on percentage af alcohol sales? ("'Yes (: No �
9. APPLICATION CfJNTACT
The application contact is the person wha the licensing authorities should contact regarding this appiication,
Name: Arthur M.Pearlman Phane: 508-875-1 SOp ��
Titie: Attorney Email: ampesq8@gmaiLcorn
4
APPLICATIC}N FOR A TRANSFER OF IIGENSE
�o. FINANCIAL DISCI.CISURE
A.Purcha�se Price for Real Estate N/A �
B.Purchase Price for Business Axsets $177,42Q.00 �
C.Other*iP�ease specify) �iq � *Other:(i.e.Costs associatecf with License i`ransaction including
but not limited ta:Praperty price, Business Assets,Rencrvatians
D.Tota!Cost $177,420.q0 costs,Constructian casts,Initial Start-up costs, Inventory casts,ar
-_� specify other costs�:"
SOURCE C►F CASH C(7NTRIBUTION
Please provide documentation of avaiEable funds,{E.g.Bank ar ather Financiaf institution Statements,Bank Letter,etc.)
Name of Contributor Amaunt of Conkributian
Ekta H.Patel $2p.Ud0.00 paid as a the deposit
Total $20,000.00
SOURCE C3F FINANCIN6
Please provide signed finandng dacumentation.
Is the lender a I�censee pursuant
Name of I.ender Amount Type of Financing to M.G.L.Ch,13$,
pan3el Newcornb $1 S7,420.Op Seller Financing ("-Yes �; No
C'Yes f No
{"`Yes (` No
C`Yes C" No
�kANCIAL IN�tJRMATION
Provide a detailed explanation af the form(s}and saurcets)crf funding for the cost identified abave,
The Seller is providing fianancing of$157,420.04 c�f Seller financing�nd Buyer paid$20,000.00 as the depasit.
11, PLEDGE ItVFC�RMATIQN
Please provide signed pledge documentation.
Are you seeking approval for a pledge?�y��, �;�Q
Please indicate what yau are seeking ta pledge��t,eck ai�tnac ap¢�y} � License (� St€�ck Cf Inventary
Ta whom is the pledge being made? N/A
S
12. MANAGER APPLICATIC�►I�
. ANA R iNF RMAI"
The individual that has been appointed to manage and contral the licensed busir�ess and premises.
--- -�---�---�---�-
, --' is y�.�
Prapased Manager iVame Hitendra R,Patel � Date af 6irth � ��M
Residential Address 13 Wescott prive,Hapkintan,MA 01748
. _..........._.
Email pha��
Please indicate how many hours per week you intend to be an the licensed prernises �+1-
B.CITIZENSHIPIBACKGROUND INFQRMATIt7N
Are you a U.S.Citizen?" (:Yes (`No *Manager must be a U.S.Citizen
lf yes,attach one of the fallawing as proof of citizenship US Passpart,Vater's Certificate,Birth Certificate or Naturafization Papers.
Have you ever been canvicted of a state,federal,ar military crime? ("Yes (:No
If yes,frll out the table belaw and attach ar►a�davit praviding the details af any and all canvictions.A#tach additional pages,if necessary,
utilizing the format belaw.
Date MunicipaHty Charge Dispasition
C.EMPLOYMENT INFqRMATi01�
Please provide your employment histary.Attach additianal pages,if necessary,utilizing the farmat below.
Skart f7ate End Date Pasition �mplayer Supervisor Name
See Additional lnfa page
D PRIOR DISCIPLINARY AC'f"IC1,�!
Nave you held a beneficial ar financial interest in,or been the manager of,a license ta sell alcahalic beverages that was subje�t to
disciplinary attion? C�,�5 ��y� If yes,please FiIC aut the table.Attach additional pages,if necessary,utilizing the forrnat belaw.
Date af Action Narne of�ic�nse State City Reason for susperrsion,revacation ar cancellatian
t hereby 5wear under the pains and,nenalti�s af perjury that ihe injormptiorr 1 have pravided irr this applrcation is true and accardte:
Manager's Signature .�C""�p � w _W�. � Date 12-!1 -2021 �
����� ���
6
13. MANAGEMENT AGR�EMENT
Are yrru requesting approval to utilize a management campany thraugh a managernent agreement? (`Yes (:`No
If yes,please filt aut section 13.
Please pravide a narrative overview of the Management Agreement,Attach additianal pages,if necessary.
IMPORTAN7'NOTE:A managernent agreement is where a licensee autharizes a third party to cantrol the daily aperations of
the{icense premises,while retaining ultirnate control aver the license,through a written contract, This daes nat pertarn ia a
liquor license manager thvt is emplayed directly by the ent�ity.
13A. MANAGENIENY ENTfTtif
List aA praposed individuals ar�ntities that will have a direct ar indirect,beneficial or financial interest in the managernent Entity(E.g.
Stackholders,Officers,pirectars,LLC Managers,LLP Partners,Trustees ett.).
Entity Narme Address Phane
� ���
Narne of Princi al Residential Address SSN DOB
_.._.. � �-_.......__ �
Title and or Position �� Percenta e of qwnership t7irectar US Citizen MA Resident
.. � .......4� �"'Yes (`hla ("'Yes ('No (`Yes ('Na
Name of Principal Residential Address SSN DOB
� �__� ��_� ��
Title and or Position _ Percentac e of C?wnership Clirector US Citizen MA Resident
� � .
C'Yes .C'No ('Yes C'No (`Yes C` Na
Marne of Principal Residential Address 55N aC}B
� �..._._________� �_� �_____�
Title and ar Position Percenta e of C}wnership Director US Citizen MA Resident
�� t""Yes {"' Na C'Yes {"'No C�`Yes C'IWo
Narne af Prindpal Residential Add�ess SSN DOB
�� •---�._._._,�� � �_�
Title and or Position ................................� Percentage of Ctwnership Clirettor US Citiz�n MA�esident
............. �
.........................._..
- �_ ............... ...............................�.
{"'Yes f' No ("'Yes.�(''Na ('" Yes (`No]
CRIMINAL HISTORY C�______�
Has any individual identified abave ever been convicked of a State,Federal or Military Crime? (` Yes ('Na
Ifyes,attach an affidavit providing the details af any and all canvictians.
138. EXISTING MANAGEMENT AGREEIVIENTS AND INTEREST IN A�1 ALCOHC}lIC BEVERAGES
LICE SE
paes any individuaf ar entity identified in question 13A,and applicable attachments, have any direct or indirect,beneficial or financial
interest in any other license ta sell alcahofic beverages;and ar have an active management agreement with any ather iicensees?
y�� (� �Q � If yes,list in table below.Attach additianai pages,if necessary,utilizing the table format below.
Name License Type �icense�Wame Municipality
7
13C. PREVIOUSLY HEI.D 1NTEREST IN AN AI.CCIHOUC BEVERAGES LICENSE
Has any individual or entity identified in question 13A,and applicable attachmenks,ever held a direct or indirect,benefitial ar
financial interest in a license to sell alcoholic beverages,which is not presently held?
Yes [� No CJ �f yes,list in table below,Attach additional pages,if necessary,utilizing the table farmat below.
Name License Type License hlame Municipafity
13D. F�REVIC►USI.Y HELD MANAGEIVIENT AGREEMENT
Has any individual or entity icfentified in questian 13A,and applkable attachments,ever held a management agreement with any
ather Massachusetks licensee?
Yes � No � �f yes,list in table belovv.Attach additianal pages,if necessary,utilizing the table farmat below.
Licensee Name license Type Municipality €7atets)of Agreement
13E. DISCLOSURE OF LICENSE C1ISCIPUNARY ACTION
Have any af the disclosed licenses listed in question section 136,13C,13D ever been suspended,revoked ar cancelled?
Yes ❑ Na � lf yes,list in table belo+uv.Attach additional pages,if necessary,utilizing the table farmat below.
pate of Action Name of License City Reasan for suspensian,revotation or cancellation
i3F, TERMS OF AGREEMEIVT
a,Does the agreementpravide#or terrnination by the licensee? Yes � No �
b.Will the licensee retain cantrol of the business finances? Yes � Na Cj
t,Does the management entity handEe the payrall far#he business? Yes CJ Na �
d,Management Term Begin Date � e.Management T"erm End Date � �
f.Haw will the management campany be compensated by the licensee?(check aN that apply} ��
❑ $per month/year(indicate amount) �'�" �
❑ 9b af akohal sales{indicate percerr#age� �`� �
❑ °fo of averall sales{indicate percentagej �"""�"'�
❑ other{please explain)
A�CC Licensee Officer/LE.0 Manager Management Agreement Entity Officer/L�C Manager
�,
����.w�,
5'�ignature: Signature, ��
�A,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,�, ��, ��m,mm�n��,�m� �
Title: � ���.��� �
�,���
��,m�, �� �W�W� �� Title: ....____�n��mm W���m.
mm�_
Datem fJate:
8
ADDITIONAI. IN FC)RMATIC3N
Please utilize this space to provide any additior►al information that will support yaur applicatian or to clarifjr any answers
provided above.
12. Manager Application-C.Employment Information-page 8
Start End Campany Position Supervisar
2009 2019 Tanvi Corp,Fitzwilliam,NH Owner Se1f �sald the 6us(ness-lune 2019)
2009 Present Shanti Converrience,Swansea,MA pwner Self {transferred iiquar Ucenxe-January 202p�
2009 2014 hJeha Carp,Nortan,MA Cierk Ekta Patel
2012 2419 Manhattan Canv.,Int.tJashua,NH Clerk/C►wner Self
20Q9 Present Kenny Liquars,Framingharn,MA Ctwner Self (transferred liquor license-January 2020)
2014 2019 Ishuivu Corp.,Keene,NH f3wner Self (sold the business m July 2019)
2015 Present Armaan Carp.,Freedam,NH Owner Self
2009 Present Ajay Variety,Easkon,MA ClerklOwner SeCf
2016 Present Vinqd,lnc.,C3ssipee,NH Owner SeCf
Zpt9 Present B.K.P„Inc„5authboro,MA Owner Self
2019 Present Iraj Corparatian,Hudson,tVH Owner Self
The Commonwealth ofMassachusetts
Alcohodic Beverages Contrvl Conemission
� 9S Fourth Street,Suite 3, Chetsea,MA 02154-2358
www.mass,gav/abcc
RETAlL ALCOHOLIC BEVERAGES I.ICEfVSE APPUCATIQI1i
MQNETARY TRAIVSIIAITTAG FORM
APPIICATION FCiR A TRANSFER t7F LICENSE
APP'LICATIpN SHOULD BE COMPLETED QN-UNE, PRENTED,S1G(V�D,AND SUBMITT�D TC!T1iE LOCAL
LICENSING AUTHORIT1f.
ECRT CODE: RETA
Please make$2p0,00 payment here: ABCC PAYi"VIEIVT INEB$ITE
PAYMENT MUST DENQTE THE NAME OF THE LICENSEE CORPORATION,LLC,PARTNERSNIP,OR INDIVIDUAL AND lNCIU[iE THE
PAYMENT RECEIPT
ABCC UG�NSE NUMBER(IF AN EXI5TING UCENSEE,CAN BE OB7AINED FRQM THE CiTY) g(]0$2.pK-0612 ^�
ENTITY/IICENSEE NAME Lex Liquar, Inc.d/b/a Lexington Wine&Spirits
AODRESS 186 Bedford Street,Unit#2
��n�7�w� Lexington STATE Mq ZIP COOE
............................._� 02420���
Far the fallowing transactions (Check all that apply):
� New�icense � Change of Lotation Chan E bf CId15(i.r.AnnuaU Seasonal}
� y � Change Corparate Structure r.c.carpn�cl
� Transferofticense � Alterationof�icensedPremisex � Ghangeofl'itenseTypet�.e,club/rextauremi ❑ PledgeofCollateral(;.e.uern5ers�ocw
� Change af Manager � Change Corporate Name � �hange of Cetegory(�.e.AIIAkohaltw�ne,Malq ❑ ��nagement/Operating Agreement
� Change pf Officers/ Change of Ownership Interest � Issuance/Transfer of StocWNew 5tocichalder � Change of Nours
DirectorstLLC Managers � {CLC MembersJ L�P Partners,
Trustees} �Other�� .� � Change ot DBA
THE Lt�CAL LICENSING AUTHORITY MUST MAIL THl5
TRANSMITTAL FORM AL(7NG WITH
CQMPLETED APPUCATION, AND 5UPPORTING DtJCUNlENTS TO:
Alcoholic Beverages Control Cammissian
95 Fourth Street, Suite 3
Chelsea, MA 02150-235$
APPLICANT'S STATEMENT
� �kta N.Patel the: �sole proprietor; � partner; �corporate principal; � LLC/k.LP manager
authorized Signatory
Qf lex Liquor,Inc.
Name pf the Entity/Corporation
hereby submit this application (hereinafter the"App(ication"),to the local ficensing authority(the"�LA"}ancf the Alcoholic
Beverages Cantrol Commission (the"ABCC"and together with the Lt_A callectively the "Licensin�Authorities"j for approvaf.
I do hereby declare under the pains and penalties of perjury that I have persanal knowledge af the infarmation subrnitted in the
Application, and as such affirm that all statements and representations therein are true ta the best af my knowledge and belief.
I further submit the following ta be true and accurate:
(1) I understand that each representation in this Application is material ta the Lic�nsing Authorities'decision an the
Application and that the�icensing Autharities wil{rely an each and every answer in the Application and accampanying
dacuments in reachin�its decision;
{2} I state that the focatian and description of the proposed licensed premises are in campliance with state
and local laws and regulatians;
(3} I understand that while the Applicatian is pending, I rnust natify the Licensing Authorities of any change in the
information submitted therein. I understand that failure ta give such notice ta the Licensing Authorities may result in
disapproval af the Application;
{4) I understand that upan approval of the Application, I must notify the�icensing Authorities of any ehange in the
ownership as appraved by the�icensing Authorities. 1 understand that failure ta give such notice ta the
Licensing Authprities may result in sanctions including revocatian of any license fpr which this Applicatian is submitted;
(Sj I understand that the licensee will be bound by the statements and representatiorrs made in the Application, including,
but not limi#ed ta the identity af persons with an ownership or financial interest in the ticense;
(6) I understand that ali statements and representations made become canditians of the license;
(7) I understand that any physical alterations to ar changes to the size of the area used for the sale,delivery,storage,c�r
co�sumption of alcahalic beverages, rnust be reported to the I.ieensing Authorities and may require the priur appraval
af the Licensing Autharities;
{8} I understand that the licensee's fa'rlure tv aperate the licensed premises in accordance with the staternents and
representations made in the Application may result in sanctions,including the revocatian of any license for which the
Application was submitted; and
(9) I understand that any false statement or misrepresentation will constitute ceuse for disapproval af the Applicatiars or
sanctians including revocatian of any license for which this Applicat'ron is submitted.
{10) I confirm that the applicant corporatian and each individual listed in the ownership section of the application is in
gaod standing with the Massachusetts Departrnent af Revenue and has camplied with all laws af the Commonweaith
relating ta taxes, reparting af employees and cantractars,and withhofding and remitting of child support.
Signature: ` � C}ate: 12-f t -20�1 ��
Title: President,Treasurer,Secretary and sale Director
MA SQC Filing Number: 202185674380 Date: 11/23/2Q21 1:51:00 PM
� ;;
� �,� _��� ,, Th�e Cammonwealth o# Massachusetts mi�imum Fee:szso oa ;;
�,�"�� �"`�,, William Francis Galwin ;;
�. r �'
w� '�� � Secretary of the Commonwealth,Corporations Divisian �-
: � ,� (�ne Ashburton Place, 17th floar ��
ti
"��� � �.r� Boston,MA 02108-151 Z t�
w�r .�,P�t� Telephone: (617) 727-9640 �
�;
� . � ��� .. �. �
r . • * �,
;
� Identificatian Number. 00 1 545 8 5 1 �
ARTICI.E I ��
�
The exact nam�of th�aarporation is: ';�
�
L�X LIQUOft, INC. o�
�
ARTICLE II `�
��
Unless the articles of organization atherwise pravide�all carporaflons formed pursuant ta G.L.C156C1 have the purpose �
of engaging in any lawful bus�ness. Ptease specufy if you wan#a more limited purpose: ���°f
�
' TO CARRY ON A GEN�RAL MERCANTILE BUSINESS IN ANY STATE(�R TERRITQRY C3F THE U �
NITED STATES A1VD ANY FOREIGN CtaUNTRY.TO BUY LEASE OR t)THERWISE ACOUIRE,,A `�
ND TO HOLD,SELL, ASSIGN,TRANSFER,MORTCiAGE PLEDG� OR UTHEFtWISE 17ISP45E OF
A�TVD DEAL IN,PERSIJNAL PROPERTY OF ALL KINDS WHEREVER LOCATED TO BUY LEASE ;'
C.1R dTHERWISE ACQUIRE HOLb IMAROVE MAiNTAiN SUPERVISE C3I'�RATE EXCHANGE �'
SELL.,LEASE,PLEDGE,MORTGAGE, OR pTHERWISE DISPOSE OF REAL ESTATE OR INTEREST I
S THEREIN,IN ANY STATE f�R TERRITORY C?F THE UNITED STATES AND ANY FOREIGN COU
NTRY,$UT ONLY AS MAY BE NE�ESSARY QR INCIDENTAL T(7 CARRYtNG ON ANY FART{a
, R.PARTS OF THE BUSINESS OF THE CORPtJRATIOTJ.TO SUBSCRIBE FOR BUY ACQUIRE HO
; LD SELL ASSIGN TRANSPER=M{JRTGAGE,PLEDGE OR OTHERWISE DISPOSE OF AIVD TO D
EAL 1N, STQCKS,BONDS,NOTES,OBLIGATIC}NS AND SECURiTIES 4� ANY CfJFtPORA"t'idN
S JOINT STpCK CfJMPANIES,TRUSTSLASSOCIATIO]`1S FII�MS OR PERSUNS AND THE$QN '
DS AND SEC�RITIES OF THE UNITED� STATES Al`�JD OF ANY STATE THEkEOF ANI7 OF ANY S ����
TATE THEREOF,AND UF ANY COUNTRY, DISTRICT OR MUNtCIP'ALITY ANb C}F ANY AGEN `'
CY OF Al'�Y t7F THE FOREGOING AND OF ANY FOREIGN GOVERNMENT C}R AGENCY ANL7
AS OWNER THEREOF T4 EXER.CISE ALL RIGHTS POWERS AND PRIVILEGES OF QWNERSI-IIP
1NCLUDING WITHQUT LIMITA�TION,THE RIGHT TO VClTE.T(7 ACQUIRE THE GOODWILL AN i�
�t PROP�RTY OF ANY CORPCJRATION J(7INT ST(JCK Cpl'vIPANIES TRUSTS ASSdCIATIONS 'i
FIRMS OIt PERSON,AND TQ UNDERTAKE,GUARANTEE, ENDURSE OR ASSUME THE WHC}LE �,
OR ANY PART OF THE 4BLIGATIONS OR LIABILTTIES THEREf3F INGLUDING WITHOUT LiMi
TATION LEASES AND CONTRACTS, TO B(3RR4W MCJNEY AND TO MAKE AIrID ISSUE BOND `�
O SECt7RE THE SAME BY TH�MORTC,AGE P EDGE OR 4TH R TRANS�R OF ALL�C7R ANY P �
ART OF ITS PR4PERTIES. Tq LEND MONEY OR CREDIT TQ TO GUARANTEE'FHE PERFORMA �
NGE OF ANY CONTR.ACT OR OBLIGATIOPI AND T�AID 1N ANY QTHER MANNER CORPOR
ATIONS 30INT STC}CK CQMPANIES TRUSTS ASSQCIATIONS FIR1vIS AND bBLIGATION OF �
WHICH UR A1�1Y INTEREST I1V WHICH IS HBZD BY THE CC7RP'C?RATIOIV OR IN THE AFFAIRS
C1R PROSPERITY OF WH1CH THIS CORP'QRATI(7N HAS AN INTEREST ANb TO SECURE Ai*IY S '
UCH LI1dDERTAKING MADE BY IT BY THE MORTGAGE PLEDCrE OR C?THER TRANSFER OF AL
L OR ANY P'ART OF ITS PROPERTiES. TQ AC UIRE HC7LD USE SELL� ASSIGN G12ANT LICEN '����
I �ES IN RESt'ECT tJF.Iv10RTGAGE.OR�THERWISE DISPOSE OF.ANY AND ALL INVENTIQNS. ''�
IMPRUVEMENTS,LETTE1tS PATENT C}R COPYRIGHTS OF THE UNITED STATES OR OF ANY O �
THER CQUI�ITRY.TO PURCHASE�R(7THERWISE ACQUIRE AI�iD T+0 HOLD S�LL ASSIGN TR r
ANSFER M4RTGAGE PLEI7GE OR OTHERWISE DISPQSE OF ANI7 DEAL IN STOCK OF THE C
� (7R�'ORATIOlV.TC7 DO t�NY OR ALL Q�THE THINGS�ET FORTH Tt3 THE SAME�XTENT A�1r1 �
" ATURAL PBRSONS MIGHT OR COULD D�Il"J ANY PART(?F THE WpRLD AS PRINCiPALS AG
ENTS 4R 4THERWISE,AND EITHER ALONE OR WITH OTHERSt AND TO BE EVERY ACT AND
' THING NECESSARY,C(71�1VENIENT(JR PftC}PER FQR THE ACC4tV1PLISHMENT OF ANY QF TH r
E QB,IECTS HEREIN ENUM�RATED, C►R INCIDENTAL TC7 ANY QF THE PC7WFRS I-IEREIN STAT
: EI7,PROWId�D THE SAME BE NQT INCOh1StSTEh1T WITH THE LAWS(JF THE CCJMMONWEAL
TH OF MASSACHUSETTS APPLICATTC7N FQR BUSINESS CORPORATIUNS. THE FOREGOING C �
� LAUSES SHALL gE CC}NSTRUED B4TH AS C7BJECT AND POWERS AND IT TS EX�`RESSLY INT F
ENDED THAT NCI SP�CIPIC ENUMERATIC}N SHALL RESTRICT TN ANY WAY ANY GENERAL L
� ANGUAGE THAT NONE C}F THE PURPpSES SET FORTH IN ANY pF TNE ABOVE CC,AUSES SH
ALL BE LTMITED OR RESTRICTEi7 IN ANY WAY THE TERMS QF ANY OTHER CLAUSE THAT E '
ACH PURPOSE MAY BE PURSIJED INL)EPENDENTLY UF ANY QTHER PURPOSE �ROM TiME T
G
C1 TIME AND WHEREVER DE�MED I7ESIRABLE,,qtJU THt�T THE CORPC3RATION SHALL HAVE �
AND PQSSESS ALL THE RIGHTS_PRI`TILEGES AND Pt�W�RS NOW qR HEREAFTER Ct�NFERR i
ED BY THE L.AWS OF TNE COM1vIONWEA�,TH bF 1ViASSACHUSETTS UFON BUSINESS CQRPO j
' R.ATIONS ORC',ANIZED UNL7ER SUCH LAWS. TO CARItY ON ANY BUSiNESS PERMITTEb BY T �
HE LAWS OF THE CC}MMONWEALTH OF MASSACHU$ETTS TfJ A CC)RI'OR.ATIC}N QRGANIZE
D UI'VVDER CHAPTER !S6D.NOTHItVG 5HALL PR.OHIBIT THE ISSUANCE 4F SECTION 1244 ST(7
CK OR THE ELECTION Td BE AN S CORf't�RATION.
AR7ICLE Itl
State the#otal number of shares arrd par value,if any, of each class of stock that the carparation is authorized ta
issue.All carporations must autharize stack, If only one class ar series is authorized, it is not necessary to specify
any particular desig�ation.
Par Value Per Share Tatal Authorized by Articles 7otal Issued
CEass of Stqck Enter 0 if na Par of prganization ar Amendments and dutstanding
N:rnr afShares Toral Par Yalue Nurn afSirares i
cn�P so.0000a �.�oo �o.oa �aa �
G.L, C156D eliminates the concept of par value, however a corparation may specify par value in Article III. See G.L.
C156p 5ection 6.21 aryd ihe comments thereto.
ARTICLE IV
If more than ane class af stock is authorized,sf�te a distinguishing designation far each class. Prior to the issuance of `
any shares of a class, if shares of arsother c#ass are outstanding,the Business Entity must pravide a description of the �
preferences, voting powers, qualifications,and special or relative rights or privileges of#hat class and of each ather
class of which shares are outstanding and af each series then established within any class.
i
ARTlGLE V '
The restrictians, if any, impased by the Articles af Organiza#ian upan the transfer of shares af stock pf any class are:
ANY ST4CKHC}LDER INCLUI7ING THE HEIRS ASStGNS EXECUTORS OR ADMINISTR,ATQRS
dF A DECEASEI7 STC?CK.HC7LI7ER DESIRING TC}SELL OR TRANSFER SUCH STC7CK OWNED B
Y HIIvI OR THEM SHALL FTRST OFFER IT T�THE CORPOIi�ATION THR4LJGH THE BOARD(JF
DIRECTORS, IN THE SAME MAPd1VER FOLLOWtNG: HE SHALL NOTIFY THE DIRECTORS OF Hi
S DESIRE TO S�LL OR TRANSFER BY NOTICE IN WRITING WHICH NOTICE SHALL CONTAIN
THE PRICE AT WHICH HE IS WILLING TO SELL 4R TRANSFER AND TH�NAME OF ONE AR�I
TRATOR. THE DIRECT4RS SHALL WITHIN THIRTY DAYS THETZ.EQF EITHER ACCEPT THE(�FF ';sl
' ER,OR�Y NOTiCE TO HIM IN WRITING,NAME A SECOND ARBITR.ATC?R AND THESE Tq NA ''
'�� ME A THIItD. IT SHALL TH�N BE THE bUTY OF THE ARBITR,ATfJRS TQ ASCERTAIN THE VA�,U ���
� E bF THE STOCK,AND IF ANY ARBITRATOR SHALL NEGLECT OI�hEFUSE TO APPEAR AT A �
;�;
�` NY M�ETINC APP'OiNTED BY THE ARBITRATOI�S A MAJORITY MAY ACT IN TH�p►gS�NCE �,a
; CJF SUCH ARBITRATOR. AFTER THE ACCEPTANCE C!F THE OFFER OR THE REP4RT OF THE A ;'
,,
` RBITRATQRS AS TO THE VALUE OF THE STOCK,THE DIREGTORS SHALL HAVE THCRTY LIAY °'
� S WiTHIN WHTCH TO PURCHASE THE SAME AT SUCH VALUATIqN BUT iF AT THE EXPIRt�TT ���
(�N OF THIRTY DAYS,THE CORPORATIQN SHALL NOT HAVE EXERCISED TNE RtGHT TO SO `r
;�,
= PURCHASE,THE pWNER OF THE STt7CK SHALL BE AT LIBERTY TO DISPC7SE OF THE 5AME I �;
N ANY MANNER H�MAY SEE FIT.NO SHARES OF ST�CK SHALL BE SOLD OR TRANSFERRE
; D ON THE�OOKS OF THE CQRPt7RATtOPJ UNTTL THESE PRt�VISif3NS HAVE BEEN C(7MPLiE t=
D WITH, BUT THE BCIARD pF DIRECT4RS MAY I1V ANY PARTICULAR ITISTANCE WAIVE THE
' REQUIREMENT.
pRric�.�vi
Other lawful provisions,and if Chere are no provisians,this articie may be left biank.
THE BCIARD CIF DIRECTORS WHOSE NUMB�R IS FIXED AT Oh1E 1 INDIVIDUAL MAY MAK
' E AI'vIEND OR R�PEAL THE BY-LAWS OF THE C4RPC}RATION IN WHOLE OR 1N PART EXCE ,
PT WITH RESPECT TQ ANY PROVISION THERECIF WHICH BY LAW THE ARTICLES OF 4RGA
NIZATION,OR THE$Y•LAWS,REQUIRES ACTIDN EXCLUSIV�LY BY THE STOCKHOLDERS E '
[-
NTITLED TO VC}TE THEREON; BUT ANY BY-LAW ADOPTED BY THF,BOARD QF DIRECT{JRS
MAY BE AMEIVDED OR REPEALED, ALL MEETINCxS OF 5TOCKHC}I,DERS OF THE CC�RP4RATI
ON MAY BE HELD WITHTN THE COIvIMONWEALTH QF MASSACHUSETTS OR ELSEWHERE W �
ITHIN THE UNITED STATES.THE PLACE OF SUCH MEETINGS SHALi.BE FIXEL}ZN UR.DETER �'
MIhIED itV THE MANNER PROVIDED IN THE BY-LAWS. �ACH DIRECTCIR OR QFFICER PRESE �
NT dR FORMER,OF THE CORPCC�RATION CIR OF ANY OTH�R CORPdRATIC}Nx A MAJCIRITY C? �
F THE STlJCK OF WHICH IS UWNED BY CORl't?RATIQN SHALL BE INDEMNIFIED BY THE CO ;�
RPf3RATIQN AGAINST ALL COSTS AND EXPENSES, INCLUDING ATT(7RNEY FEES �,EASONA ���
BLY INCURRED BY OR IMPf7SED UPON HIM IN CONIVECTIfJN WITH OR ARISINCr t7UT l7F AN �,
Y ACTIC}N SUIT QR PROCEEDING TO HAVE BEEN DERELICT Il''�1 THE PERFORMANCE 4F HIS `'
DUTY AS SUCH DIRECTOR OR OFFICER,OR IN RE�PECT OF ANY MATTER 4N WHICH ANY S �
ETTLEMENT UR CC1PvIPR4MiSE IS EFFEGTED,IF THE TOTAL EXPENSEt INCLUDING THE CtJS �
T tJF SUCH SETTLEIv1ENT, SHALL SUBSTANTIALLY EXCEED THE EXPE�ISE WHICH MIGHT RE ;
AS(JNABLY BE INCURRED BY SllCH DIRECT4R OR(7FFICER R'�t CQNDUCTING SUCH LITIGA
TION T(7 A FII�IAL CCJNCLUSION. THE FOREG(7ING RIGHT OF INDEMNIFICATIOI�+1 SHALL NO
T $E EXCLU5IVE UF OTHER RIGHTS TU WHICH ANY SUCH DIRECTOR UR C?FFICER MAY BE
' ENTITLED AS A Iw1ATTEtt OF LAW. iN I7ETERMINING THE REASQNABLENESS OF ANY SET"TL
�;
' EMENT,THE JUDGNvIENT OF THE BOAEtD t�F DIRECTQI�S SHALL BE FI1r1AL N�CONTRACT O ;
R OTHER TRANSACTI�N BETWEEN THIS C4RPC}RATION AND ANY OTH�R FIRM OR CORPO i'
� RATI(7N SHALL BE AFRECTED(3R tNVALIDATE�'7$Y REASON C?F"FHE FACT THI�T ANY ONE ��
dR MQRE QF THE DIRECTt�RS STQCKHOLDERS OR tJFFTCERS OF THIS CfJRP'(�RA.TION IS O ;�
R ARE INT�RESTED IN, QR IS A MEMBER STQCK,HOLDER DiRECT�R Q�.C;�FFICER 4F 5UCH �
4THER FiRM 4R CORPORATICIN;AND ANY DiFLECT(7R STQCKHOLDERS OR OFFICER C?It O `�
FFICERS INDIVIbUALLY fJR JOINTL'Y NiAY BE A PARTY OR PARTIES TO OR�MAY BE II�ITER '
' ESTED IN ANY CQNTRACT OR TRANSACTION OF THIS CORPQRATION WITH ANY PER.SON
C}R PERSONS, FIFtM,ASSOCiATiON OR C(�ItPORATIQN SHALL$E AFFECTED QR INVALIDAT
ED BY REASON(7F THE FACT THAT ANY DIRECTOIZ 4R DIRECTOItS STCICKH{�LDER OR ST
t�CKHOLDETtS OR C}FFICER OR OFFICERS C?F THIS CORPORATIqN IS A PARTY OR A1tE PART ;I
tE5 TO OR iNTERESTED I1�1 SUCH CONTRACT ACT t�R TRANSACTION OR IN ANY WAY CO �
i NNECTED WITH SUCH PERSCIN 4R PERS(�NS FIRM ASSOCIATICIN C)R CORF'C}I�ATION AND ;
EACH AND EVERY PERSQN WHC7 MAY BECOME A DIR�CTOR STCJCKHOLi)ER OR.OPFICER ���
QF THIS_CORPQRAT[QN IS HEREBY RELIEVEI7 FRCIIvI ANY LTABILITY THAT MIGNT OTHEItWI �
SE EXIST FRfJM THUS CONTRACTING WITH THIS CORPC}RATI4N FOR THE BENEFITS OF HI �
MSELF t7R ANY FIRM,ASStJCIATE, QR CORPORATION IN WHICH HE MAY BE CJTHEItWISE I �
�
NTERESTED. PURSUANT Tq M.Cs.L.A.CHApTER I S6D & 8.03,THE BUARD C7F LIIRECTfJFLS SNA u.
LL BE F�XED AT QNE(1}INDIVIDUAL. �;
is
�
Nate:The precedtng six(6}articles are considered ta be permanent and rnay be changed only by filing
appropriate articles af arnendment.
ARTICLE VII
The effective date of organization and time the articles were received for filing if the articles are not rejected within the
tirne prescribect by taw� If a Jafer effeckiWe date is desired, specify such date,which may nat be later than the 90th day
after ihe articles are received for filing.
Later Effective Date: 1 U24/2421 Time: 08:00 AM
i
ARTIC�E VIII ��
;
i
The in#ormation contained in Article Vllf is not a permanent part of the Articles of Organization.
a,b.The street address of the initial registered office of the corporation in the cornrnonwealth and the name If
of the initial reglstered agent at the registered office:
Narne; EKTA H. PATEL
Na. and Streefi 1$6 BEDFORD STREET
City ar Tawn� L$XINGTQN Skake:MA Zip: 02420 Country: USA ;
�
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c.The names and street addresses af the individuals who will serve as the initial directors,president, �
treasurer and searetary of the carporatidn (an address need not be specified if the business address af the
officer or direciar is the same as the principa) ofFfce location):
Title Individual Name Address �oo ao aox} �
First,Middlle,last,Suffix Address,City ar Town,Siate,Zip Cade i�
PRE3IDENT EKTA H PATEL tg yyESCQTT pRIVE
HC}PKINTON,MA 01748 USA
TFtEASURER EKTA N PATEL 13 WESC4TT pFtIVE
HOFKINTON,MA 01748 USA
$ECFtETAF2Y EKTA H PATEI 13 yyESGOTT pRIVE
liOPKINTON,MA 017A$USA
DIREGTQR EKTA H PATE� y3 W@gCOTT DRIVE '
r
HOPKINTON,MA 01748 USA
i
i
d. 'The fisca!year end (i.e., tax year)af the carporatian:
December �
�
�
e.A brief description af the type af busfness in which the carporation int�nds to engage: ,
PACKA+GE STdRE
i.The street address (post afflce boxes are nof acceptable)cf the principa!offiae of the carparation:
Nc�, and Street; 1$6 BEDFQRD STREET
Ciky or Tawn: LEXLNCrTtJN State: MA Zip: 02420 Country: USA
g. Street address where the recards af the carporafian required to be kept in the Commanwealth are
located (post offlce boxes are nat acceptable):
�� No,and Street; l86$EDFORD STREET ��
,
City or Town. LEXINCr�'ON State: MA Zip: 02420 Country: USA �'
which is J;
X its principal offce _ an affice af its transfer ag�nt �;
� an affice of iis secretarylassistant secretary _ its regiFstered o�ce �'�
i�
Signed this 23 Day of Navember, 2021 at 1:53.28 PM by the incarporaCar(s).{If an existi�zg corparation �
is actirrg as incarparator, type in the exact name of the business entdty, the state or atlzer jurisdiction `��
where it was incarporated, the narrre of the person signing on behatJ�of said husiness entity and the title '�
he�"she hodds vr other authariry by which such action is laken.)
EKTA H. PATEL PRESIT?ENT
�200i-2t721 Caamm+r��nweal�k��pf Mas�a��u����krtt�
All Righls Reserv�d
.��,��,��,�.,.,,_.�;-�. � � �
MA SOC Filing Number: 2021856743$0 Date, 11123/2021 1:51:00 PM
THE CQ�v1MONWE.ALTH 4F MASSACHUSETTS
I hereby certify that, upan examination af this docurnent,duly submitted ta me, it appears
that the provisions of the General Laws relative ta carporations have been complied with,
and I hereby approve said articles; and the fifing fee having been paid, said articles are
deerned ta have been �led with me on:
November 23, 2021 01:51 PM
��� r t
WILLIAM FRANCIS CALVIN
Secretary af the Commonwealth
DacuSign Envelope!p:4A6D9E3S-4FDC-4A81-9335-CF8p8C5804A3
NON BINDING LETTER OF 1NTENT TO LEASE
I86 BEDFURD STREET Unit 2
LEXINGTON,MA 02420
Navember 22,2021
1. LEASED PREMISES:
Approximately 4,258 sf first floar retail plus basement storage space.
2. LBASE TERMS:
Lease Term: 5 years
4ptions: {3)5 year option periads
3. RENT SCHEDtJLE:
Annual Renk Monthiv
Year 1-5 $212,900 $1'7,141.67
taption 1 Xears 6-10 $223,545 $1$,628.75
Option 2 Years 11-IS Fair Market Value
Optian 3 Years 16-20 Fair Market Value
ADDITI�NAL RET�FT:
Triple Net Lease-Share a�'Real Estate Tax,tnsurance and CAM. Capped at a 3%annual
increase.
A. LESSEE'S LIQUQR LICENSE TRANSFER APPLICATION:
The Lease shail be cantingent upon the Lessee receiving full and final approval of a
Retail Alt Alcoholic Beverages License Transfer by the Town pf Lexington, An
Applicatian shall be submitted within 1Q da,�s af a fully executed Letter of Intent.
5. LEASE COMMENCEMEIVT:
The Lease shall cornrnence upan the later of the fukl and final appraval by the Tawn of
Le�cington and the Atcohotic Beverages Contrat Commission{ABCC)and b.Certi�cate
of 47ccupancy.
5. RENT CONIMENCEMENT:
ltent will cornrnence upan the 1"day af ttre rnontkr immediately following apening for
business.
7. RIGHT l7F FIFtST REFUSA[,dN NEW RETAIL SPACE:
Omitted
a. �..�ssa�.°s woa�c.;
Tbe Lessor shalt provide a new construction"vanitla box"wirth bathroom,mop si.nk,204 amp
(3 phase}electrical service,adequate HVAC and Hot Water. Access za basement directly
from the leased unit. Landlord to deliver space with Certificate af Occupancy.
9. LESSEE'S WORK:
Lessee shall finish the space to operate a first ctass boutique wine and spirits shoppe.
10. GUARANTY:
The lease shall be personally guaranteed by a principai af she company.
DocuSign Envelope IC1:4A6D9E36-4FaC-4A8i•9335-C�808C58Q4A3
11. DEPOSITS-fluo upon Tor�m Appraval of licanse applicatian.
First rnontY�rent and Security deposit,
12. �,�ssox:
186 Bedfard St.,LC,C.
13. LESSEE:
Ekta Patel
14. C(7NTINGENCIES:
Ful1y Executed Lease
Full and Fina!Liquor License appraval by the Le�cington Select Board and the ABCC.
Certificate of Occupancy
Accepted by:
�$:.al�$5$EDFdRD ST,LLC
������`��� Date11/22/2021,
By; ._
LESSEE: EKTA PATEI. ..._.o«�sb�.e�:
'�a I�� u/z�/zo��.
�����«.�:... p�te
By:
�
ASSET PUR�HASE AND SALE AGREEMENT
1. Parties. This Purchase and Sale Agreernent is made between LLAWM-
LEXINGT4N, LLC, a Massa�husetts lirnited liability carnpany with a principal
office located at 2Q36 Ocean 5treet, Suite 1, Marshfield, Massachusetts 02050
("Setier"},and Lex Liguar,Inc,,a Massachusetts corporatian with a usual place of
business at 186 Bedfard Street, Gexingtaa,Massachusetts p2420(,"Buyer")
2. Safe of License. Subject ta the terms and candition set forth herein,the Seller agrees
to sell and the Buyer agrees ta purchase the AIl Alcohalic Beverages Liquor License
("License")and inventory at the closing,as hereina#�er defined in Section 7 of this
Agreernent. No other assets of the Business are being transferred to$uyer.
3. ,1V'o Assumntian of Liabilities Buyer is not asswning any liabilitics of the Seller
(concerning cla�ms, with a basis, prior ta sale}, unless this Agreement contains
specific provisions whereby Buyer assumes Selier's liabilities.
�1. Purchase Price. Buyer a�rees to pay$eller the sunn ofOne Hundred Seventy-Seven
Thousand Four Hundred and Twenty ($17�,420.00) Dotlars for the License as
follows:
a. $S,OU0.00 initiaf deposit held in escraw by Seller's broker, Liquar License
Advisors("Y..LA")with the accept�ance af the affer;
b. $15,OOp.00 additianal deposit to be held in escraw by LLA at the signing af
this Agreement, Bath deposits are to be held in escrow, pursuu�nnt to this
Agreemeni;
c. $l 5'7,420.00 to be paid at ciosing by means of a Pramissory Note payable to
Seller with interest at the rate of Four(4%)Percent per annurn payable in 24
equal,cansecutive,manthly payments of$6,$21,53 cammencing thirty(34}
days af�er$uyer opens for business and then on the sam�day�ach month for
24 months.
5. Inventarv. N/A
G. Clasin�Adiustments, NlA
7. Closin�• The closing shall take place at the affice of Buyer's lender's attomey,as
���
I
soon as possible follawing the completian af the conditians precedent. The target
date to close is 90 days from full execution of this A�reement with one automatic 60
day extensian if required to complete the conditians precedent.
8. Instruments af Transfer. At closin�,Buyer and Seller shali execute the necessary
closing dacuments,so long as same are customary and sirnilar ta industry standards.
Selter agrees to cooperate and execute any and all documents reasonably necessary ta
effectuate the tra►nsfer of Iicense.
9. Conduct of Busiuess. Seller warrants that, pending the closing, Seller shall
not enter into contract(s) or incur commitrnent(s} far the liquor store business
extending beyond the ctasing date without Buyer's consent.
I0. Covenant Not a Comnete. At closing,Scller sha�l execute a Non•Camp,etition
Agreement in a form prepared by Buyer and reasor►ably acceptable to Seller, for a
periad of five {5} years and a radius of five {S) rniles of 18G Bedford Street,
Lexington, Massachusetts 02420,
11. Indernnificatian, Selier agrees to provide E3uyer with an appropriate
inciemnificatian. Se�ler agrees to pay all liquor disnributors prior tra closing. In the
event that Seller has not paid all liquar distributors,then Seller shall,at clasing,set
aside sufficient fc►nds with its attarney (if none then with Buyer's attorney) far
payments to be made as soon af�er clasing as is reasonable and to indemnify $uyer
fram and against all claims of iiquor distributors. Seller shall execute an
Indemnification in a form prepared by Buyer and reasanably acceptable tp Seller,
indemnifying Buyer frorn all liyuor distributors as well as£rorn all other claims that
may arise as a resu3t of Seller's operation, utilizing the license,prior to the date of
closing.
12, Bitl of Sale. Buyer shalt prepare and Seller a�,rees to execute a bill of sale,
� trat►sferring and assigning to Buyer all af Seller's right ta the license and stating that
such a transfer and assignment did in faet transfer to Buyer all af Sellers right to use
� the lieense free and clear of any claim,lien,or encumbrance,
l3. Warranties and Renresentattons af�eller.
�� a. ��QI�.,,,S,STANDING. Seller is a Massachusetts limited liability company
and is in good standing under Ch� laws of the Comrnonwealth of
� Massachusetts and the parties executing doeuments cantemplated hereunder
� have alt the requisite pawer and autharity ta own,ap�rat�and carry out the
liquar store business as it is now being conciucted, with the fuli right to sell
the assets as set forth in this Agreement.Seller or its caunsel shall provide at
the clasing a Tax Lien Waiver frarn the Massachusetts Department of
f R,evenue and a Good Standing Certificate from the Massachusetts Secretary
of the Commonwealth.
� In additian,within ten(lU)days af futi execution of this Agreem�nt,Se11er
�
-2-
shall provide Buyer with a Good Standing Certificate from the I3epartment of
Revenue("GSC")and a Certificate of Compliance from the Department af
Unemployrnent Assistance(°`C af C"),as these docurnents are required to be
filed with Buyers applicatian for a transfer af the liquar license. Buyer shall
file the application for transfer of the liquar license with the Town of
Lexingtan within ten(10) days of its receipt of bath the GSC and C of C.
b. TITLE TQ ASSETS. Seller has good and marketable title ta all of the assets
beiag sold pursuant to this Agreement, and that these assets shall not be
sabject ta any security interest, martgage, pledge, lien, conditianal sale
agreement or encurnbrance whatsoever at the time of their transfer to Buyer.
However, Seller shal!have the right to use the purchase rnoney at clasing co
satisfy any of its abiigations hereunder or to cleaz title ta any ar all af the
Business assets, provided that Buysr is provided at the clasing with atl
dacum�nts or evidence of paym�nts ta be m.ade and all monies are held in
escrow by Attorney Arthur M. Peazlman who shall make aEl such payments
so as to clear title following the closing in a reasonable and normally
accepted business manner. Seller is fu[Iy responsible for any debts pr�or to
the date af saEe.
c. LITIGATI4N.Seller wanants and represents that there are no claims,
threatened or pending in any court against the Business or the Assets being
sold pursuant to this Agreement.
d. TAXES. As af the date af clasing, ali federal, state and lacai income tax
returns and all tax reports then r�quired to be filed by the Seller have been
filed with the appropriate governmental agencies in ali jurisdictians in which
such returns and reports are required to be filed or are being f:led and paid in
canjunction with the ciosing as set farth in 13. a.and 13. b. abave.
e. LICENSES. Seller holds the License issued by the Licensing Boatd far the
Tawn of Lexington and there are na proceedings naw�ending or threatened
against Seller in relation to the License. Seller is in cumpliance with all
requirements of the License and will renew the License in the event that
annual renewal is required prior to closing. Seller represents that it has paid,
or will pay priar to closing,ail alcoholic beverage wholesalers.
f. PAYMENT OF CJBI,IGATIQNS. Subject to provisions af section 13.b.
abave at the tirne af closing,Seller shall have removed andlor discharged any
and all outstanding attachments,liens,judgments,encumbrances,liabilities,
obliga#ians,debts,ar clairns related to or affecting the License,including but
not timited to a11 amounts owed ta a�[coholic beverage wholesaiers, whether
or nat Seqer has been placed on the ABCC's delinquency list or the same
has resulted in a recorded lien. Seller shall obtain a compteie release and
elearance of any and all attachments, liens, judgments, ec�curnhrances,
liabilities,obligatians,debts,or claims associated with the License,including
but not limited ta,any autstanding payments due fram Seller to DUA and/ar
DOR, and any and a11 payments due to alcoholic beverage whalesalers,
Provisians of the certificate referenced in Section l 3.a. shall be sufficierit
� -3-
evidence of Selier's compliance with this requirernent. Failing such release
and clearance,it is expressly agreed and understood that,at Buyer's optic�n,
the Buyer may proceed with the transactian and withhold any required funds
from the arnount due at closing ta satisfy any such liens ar encurnbrances. In
the event that Buyer exercises this election,additional funds shall be withheld
from the purchase price due to the Seller for the payments of any and all
casts and fees assaciated with the payment and/or discharge af such
attachments,liens,judgrnents,encumbrances,liabilities,obligatians,debts,or
claims, including but not limited ta Buyer's reasonable attorneys' fees.
14. Broker. Buyer and Seller warrant and represent that they have not warked or
been involved with any $roker concerr�ing this sale, other than [.LA,and each
shall indetnnify the other regarding a breach af this warranty.
15. efat�,l,t,; If Buyer fails to comply with$uyer's obligatian to purchase the Business,
Seller shalf retain Buyer's deposit as liquidated damages, and this shall be Seller's
soIe and exclusive remedy.
16. Notices. A71 notices under this Purchase and Sale Agreement shalt be given by
certified maii ar e-mail,ta Buyer's Attorney ar Seller's represeniative:
To Buyer: Arthur M. Pearlman,Esquire
P. 4. $ax 2507
Fcamiagharn, MA O1743-25Q7
Tel No. : 508/$75-1500
E-mail: ampesq$@gmail.com
Ta Seller: Daniel Newaomb
� 2Q36 Ocean Street, Suite 1
1� Marshfield,MA 02450
� Tel No.: 617/306-1551
� E-mail: dnewcarn#�@ltausa�.corn
�(
' 17. Canditians Precede�t. The obligatians of Buyer and Seller hereunder are subject
� ta the transfer ar a reissue, in thc name of Lex Liquor, Inc.,as weli as moving the
locatian ofthe License fram unit #3 ;o unit #2 at 186 Bedfard Street, Gexington,
�
Massachusetts
� 1$. Caaualtv Prior to Ctosin�. in the event that prior to closing, the assets being
parchased hereunder are last,destroyed pr damaged by fire or other casualty, then
Buyer shall have tite ri�ht,at its election,to terminate this Agreernent.
�
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19. Canfidentialitv, Except ta the extent reasonably necessary ta camply with the
terms and conditians of this agreernent the panies agree to keep the terms and
conditions af the Agrecment confidential and not to disclose any ofthe same to thixd
parties.
-4-
20. TraininglAssistance. N/A
21. Entire A reennent. This instrurnent,tobettier with the attach�ttents hereto,contains
the entire a�;reement between the parlies and is intended as a final ex�ression of their
agreement and a complete statement o#'the terms thereofand rnay not be modified
except irt a writing si�ned by the parties hereia.
7�Z. Benefits. "1'his Agreement shall 6e binding upan and i�ture to the benefit of the
parties hereta, and their successors and assi�;ns.
23. Survival. Paragraphs 3 and i3 shall survi�•e the closin�,.
SELI.ER BUYER
LLAVJM-L�,XII'JGTON, LLG Lex Liyuor, Inc.
By; ,,,./ �,y: � y�G��
Daniel wcomb, Mana��r Ekta A. F'atci, President
Dated: Decemher L. 2021
l�I:rn��µWµryilY��rh.«iw.u.Y�Ywnil l.rNo.p.w
���,�
Promissory Note
U.S. $1S'],420.00 Lexingtan, Massachusetts
l. In return for a laan received, Lex Liquor, Inc. daing business as Lexington Wine &
Spirits at 1$6 $edford Street, Lexington, MA 02420 (the "Borrower"} prornises to
pay U.S. $151,42p.00 (this arnount is called "Principal"), plus interest, ta the order af
the Lender. The Lender is Daniel Newcomb. The Lender may transfer this Note. The
Lender ar anyane who takes this Note by transfer and who is entitled to received
payments under this Nate is called the"Note Holder".
2. Interest will be charged on unpaid principal at a yearly rate af 4°�"o untit the fuIl
amount of principal has been paid.
3. Barrower will pay principal and interest by making payrnents of $6,821.53 every
manth, begin.ning ane nnanth fram this date and an the sarne date af each successive
month until all of the principal and interest and any other Note charges have been
paid. Monthly payments will be applied ta interest before principal. If, twenty-four
(24) rnonths from the date of this Note Eiorrower still awes amaunts under this Nate,
Borrawer wili pay thase amaunts in full an that date, which is called the "maturity
date",
4. Borrawer will make monthly payments at 2036 Ocean Street, Suite 1, Marshfield,
MA p2050 or at a different piace if required by the Note Holder.
5. Borrower may make a full prepayment or partial prepayments of principal witbaut
paying any prepayment charge.
6. If the Note Holder has not received the full amount of any nnonthly payment by the
end af�fteen calendar days after the date it is due, Barrower will pay a late charge to
the Note Halder of 3°�'0 of the averdue payrnent af principal and interest.
7. If Borrower is in default and remains in default for 15 days after notice thereof, the
Note Holder rnay thereafter, by giving notice to Borrower, require payment af the
full amaunt of principal which has not been paid and afl the interest awed on that
amount. If Note Hoider shall give Borrower such natice demanding imrnediate
payment in fu11, Borrower shaU then have l 5 days ta make such full payment.
If the Note holder requires imrnediate payment in full as described abave, the Note
Holder shall have the right to be paid for all af its casts and expenses in enforcing this
Note, inciudirtg reasonable attorneys' fees.
8. Any notice that must be given to Borrower under this Note shall be given by
delivering it or by mailing it by first class mail to Barrower at the address speci�ed
above or at a different address if Borrower gives the Note Hoider a n�tice of a
different address.
9. If more than ane Barrower signs this Note, each Borrawer is fully and persanally
abli�ated ta keep atl of the promises made in this Nate, including the pramise to pay
the full amount owed. Any guarantor, surety or endorser of this Note is also obligated
to keep all of the promises rnade in this Nate. The Note Holder may enforce its rights
under this note against eaeh signer individua�ly or against all signers together.
10. Borrower and any other persan wha has obligatians under this Note waive the rights
af presentment and natice of dishonor. "Presentment" means the ri�ht to require the
Nate Holder ta demand payrnent af amaunts due. "Natice of Dishonor" rneans the
right to require the Note Holder to give notice ta other persons that amaunts due have
nat been paid.
Barrower: Etarrower:
Lex Liquor, Inc.
-�~, '�3.� 5�c�� F�-� � (..�s t+�cr
By:
Ekta H. Patel, President W Ekta H. Patel, Individually
Date: , 2022
C�WscraWuUk.vWaq�C;lisna�Nra�limmlU'µwl E,I.r.eimgtun
Cf,�RPCIRATE VOTE
�ex Liquor,Inc.
The Baard of pirectors ar I.IC Managers of
Entity Name
duly vated ta apply ta the l.icensing Autharity af �ex�n�ton ��and the
cicy/rown '
Cammonrrveafth of Massachusetts Alcahalic Beverages Control Commission on iz' iK �z°z� ��
pate of Meeting
Far the follawing transactians(Check a!I that apply};
� New License � Change of Locatia� ��hange of Class t�.4.n���ai i s�bso�+ab � Change torporate Structure;;.e,ca,Piuc)
� Transfer of I.icense � Alteratian af Licensed Prernises � �hange of License Typep.e.civar�escauranq ❑ P�edgB Of ColfOtersl{�.r,lkenselSta<k)
� ChangeofManager � ChangeCarporakeName � ��,�����{�ategoryf�.e.nnalconouw�no.�e�e� ❑ �anagernent/OperatingAgreement
� Change of O�cers/ Ghange af pwnershlp Interest � Issuance/Transfer of StackfhJew Stqckholder � �hange af Haurs
OlrectarslLl.0 Managers � (llC Members/I.l.p Partners,
Trusteesl Q Other�'� � ��� Q�hange ai OBA
W�, i
"VOTED:To autharize Ekta N.Pakel
..���. ,,,,,,. �,,,,,,,,,,,,,, .,,,,,,.,..
Narne af Person
to sign the appl�cation subrnitted and to execute an the Entity's behalf, any necessary papers and
do all things required to have the applicatipn granted."
"VQTEp:To appoit�t Hitendra R.Patel
Name of Liquar License Manager
as its manager of record,and hereby grant him or her with fuil authority and contrpC of the
premises described in the IEcense and authority and cantrol of the conduct of aH business
therein as the licensee itself could in any way haue and exercise if it were a natural person
residing in the Commc�n+nrealth of Massachusetts."
For Corparations ONLY
A true copy attest, A true copy attes#,
.�
� �
� A
,,M f /�}
„��� �.
�(.-r
orparate Officer jILC Manager Signature orporation Clerk's Si�nature
�k �r� �r. Pa�rc�` � (�k-"� E4.i�-�tt`�
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N
LEGAL NOTICE
Town of Lexington
Select Board
In accordance with the requirements of the General Laws, Chapter 138, as amended, pertaining to
the issuance of licenses for the sale and service of alcoholic beverages, notice is hereby given that
an application has beeli received from Lex Liquor,Inc. d/b/a Lexington Wine & Spirits for a
Transfer of Retail Package Store Liquor License and Change of Location to sell All Kinds of
Alcoholic Beverages not to be drunk on the premises at 186 Bedford Street, Unit#2. A Public
Hearing on the petition will be held remotely via zoom.us, Webinar ID: 87099963292,Passcode:
717503 on January 24, 2022 at approximately 7:00 p.m.
Jill I. Hai Chair
Select Board
Please insert in the January 13, 2022 Lexington Minuteman. Send tear sheet and bill to the
Select Board Office, 1625 Massachusetts Avenue.
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Liquor License - Change of DBA - 55 Pearl Investment LLC d/b/a Whislcey and Wine
Le�ngton, 55 Bedford Street
ITEM
PRESENTER: NUMBER:
Jill Hai, Select Board Chair
L2
SUMMARY:
55 Pearl lnvestment LLC, located at 55 Bedford St�eet, has submitted all the necessas-y paperwork needed to
reguest a change of their D/B/A name from Busa Wine & Spirits to Whiskey and Wine Lexington on their All
Alcohol Package Store Liquor License.
SUGGESTED MOTION:
Motion to approve the 55 Pearl Inveshnent LLC application for a change of D/B/A to amend their AllAlcohol
Package Store Liquor License to 55 Pearl Investment LLC d/b/a Whiskey& Wine Lexington, 55 Bedford
S treet.
FOLLOW UP:
Select Board Office
DATE AND APPROXIMATE TIME ON ACENDA:
2/7/2022 7:20pm
ATTACHMENTS:
Description Type
��a��z�rn���s;cm4,e A.rr�r�u��Vu���mrtf�,�>�slr��an�rm u�ri�Q,�6tama a�,�ru���1L���rr�1L,i�uz�,u'
❑ Ilirx2;Vi�u�;fV�anna;niEn(
n_;da:.t;irusa;
�� The Commanweatth afMassaeJ�usetts
Alcaholic Beverages Controt Comrnissivn
9S Fourth Street,Suite 3, Chelsea,� aarsaa.�s$
www.massgav/abcc
APPlICATION FC►R AMEIVDMENT-Chan�e af Business Entity Infarmation
p Change of Corporate Name p Chan,�e af Carpara#e Structure
p Change of DBA + Payment Receipt
* Payment Receipt(Req.for Chg of Corp Name oniy) * Manetary Transmittal Forrn
• Manetary Transmittal Forrn • DOR Certi�cate of Goad Standing
• DOR Certificate of Good Standing(Req.fpr Chg af Carp Name ' aUA Certificate of Compliance
onlyj • Change of Cprparate Structure Application
• pUA Certificate af Campliance (Req.for Chg of Corp Name only) • Vote of the Entity
• Change of Corporate NarneJDBA Application • Business Structure Documents
• Vote of the Entity � If Sale Praprietor,Business Certificate
• Business Structure pacuments • If partnership,Partnershlp pgreement
• tf Sole Proprietor,Buslness Certificate * If corporation or ILC,Articles of Organixatfan
• If partnership,Partnership Agreement from the 5ecretary of the Commanwealth
• If corporation ar LLC,Articles of Organizatian
1. BU S ENTITY INFC?RMATION
Entit Name Municipafity ABCC Litense Number
SS Pear)Investment LLC Lexingtan 90072-PK-0612 __�
.....................
P ease provide a r►arrative averview of the transadion{s)being applied for.
Change of DBA fram Busa Wine&Spirits ta Whiskey 8,Wine Lexington
APP'LICATI4N CONTACT
The application contact is the person v+rha shoufd be contacted with any questians re�ardPng this application.
fVame Title Emaf) Phone
Nikuf Patel �___—� �Manageraf Record � niku!@jamsan.us �� 617-633-1463
2 CHAfVGES TO BUSINESS ENITIY INFG►RMATItJN
L�st-Approved Carporate Name: � ^ � �
2�.Change af torporate Name
Requested New Carporate Name: �
Last-Approved bBA; Busa Wine&Spirits
......� _�
2b.Chanqe of OBA ...........................
Requested New OBA: Whiskey&Wine LexMgtan_ _�
��,�.�l9��`�ar��t� ��re, Last-Approved Corpqrate Structure �' w_�
LLC,Corporation,5ole Proprietor,etc ,__, `_„_„^�
Req�ested New Corporate Structure
Signature: ,^, ^ Date: 01/11/2d22 �_�—^�
Title; Manager
APPLICANT'S STATEMENT
�� Hicesh Patel � the: �sole praprietor, � partner; �corparate principal; � LLC/L�P manager
Authorized Signatary
of 55 Pearl Investment LLC
Name pf the EntityJCorporatian
hereby subrnit this applicatian Shereinafter the"Application"),to the local licensing autharity(the"�LA")and the Afcoholic
Beverages Control Cammission (the"ABCC'and together with the LLA collectively the"licensing Autharities")for approval.
I do hereby declare under the pains and penalties of perjury that f have persanal knawiedge af the inforrnatian submitted in the
Application, and as such affirrn that all statements and representations therein are true tp the best of my knowled�e and belief.
I further submit the following to be true and accurate:
(1) I understand that each representatipn in this Application is material to the Licensing Au#harities'decision on the
Application and that the Licensin�Authorities will rely an each and every answer in the Application and accornpanyin�
docurnents in reaching i#s decision;
(2} I state that the location and description of the praposed licensed premises a�re in carnpliance with state
and tacal laws and regulatians;
{3) 1 understand that wh�le the Application is pending,I must no#ify the Licensing Authorities af any change in the
information subrnitted therein. I understand that failure to give such notice to the Licensing Authorities may result in
disappraval of the Application;
(4) I understand that upon approval af the Applicatipn,I must notify the Licensing Authorities of any char►ge in the
ownership as appraved by the Licensing Autharities. I understand that failure to give such notice to the
Licensing Authorities may result in sanctipns including revocation of any license for which this Application is submitted;
(S} I understand that the licensee will be bound by the statements and representations made in the Application, including,
but nat limited to the identity of persons with an awnership or financial interest in the license;
(6) I understand that all statements and representations made become conditions af the license;
(7) I understand that any physical alteratians tn or changes ta the size af the area used for the saie,delivery,starage,or
cunsumptian af alcahalic bevera�es, must be reparked ta the Licensing Authorities and may require the prior approval
of the E.icensing Authorities;
($} I understand that the licensee's failure ta aperate the licensed premises in accardance with the sta#ements and
representations made in the Applicatian may result in sanctions,including the revocation of any license far which the
Application was submitted;and
(9) I understand that any false statement ar misrepresentation will constitute cause for disapprdval of the Application or
sanctions including revocation af any license for which this Application is submitted.
(10) I confirm that the applicant carporatian and each individual listed in the ownership section of the application is in
�oad standing with the Massachusetts Department of Revenue and has compfied with all laws af the Commanwealth
relating to taxes,reparting af errtployees and contrartors,and withhalding and remitting of child support.
Signature: . . Date: 01/11/20Z2 ��
Title: Manager
ENTITY VOTE
The Baard of Directars or LI.0 Managers of 5�peart Investment LLc
Entity Name
duly voted#a apply ta the Licensin,�Authori#y of �exington ���and the
Ciry/Town
Comrnonweal#h of Massachusetts Alcoholic Beverages Control Commission on o����i�az� �
Dat�af Meeting
Forthe foilowing transactians{Check all that apply):
�Change Carparate Name
�ChangeCorporate5truduret+.c.co�,ruc1
Q Change of a8A
� Other
"VC}TED:Tp authorize Hit�sh Patel
Name of Person
to sign the applicatian submitted and ta execute on the Entity's behaff,any necessary papers and
do all things required to have the applicatian granted.'"
For Corparations 4NLY
A true copy attest, A true copy attest,
Corpara e t7fficer/I.I.0 Mana�er Signature Corporatian Clerk's Signature
��� �'��� ������� �
{print Name) (Print Narne)
The Common�vealth of Massachusetts P'�`t�°'�"
Alcoholic Beverages Contral Commissiao
239 Causeway Street
Bastan,MA 02114
WWW�,�I+'���;a��--�^'�'��VI_ ��'�
RETAIL ALCQHOLIC BEVERAGES LICENSE A.PPLICATIdN
MONETARY TRAI�SMITTAL FORM
f'&,!�'�OI'�RD.,eWM....J�k'•ll•,LL'U„J�1''tl �9'1411�'W„k'W �..r0.,# �;RI�,",.V,�'{'I��.II�{�Ip.�µ�.°���.q''WJ'Yw^"U!,elll�°�U.`��p m 4"UWP'w ILL NII:'�aIX,�ll'y u�'b�6'M..M�!"CIU.'.,II4,A�g J"Po,�"M10.,��;�PVK�W.IIiII�F'�y16 lll d'R",OL1�' rck�af 'k k"Uqt'°�,�
�����.�nl� � III�',.I�C��uVCV��.�� ���..III"@"NI�_�II���°�h".
REVENUE CUbE: RETA
CHECK PAYA$LE TO ABCC 4R CONIM4NWEALTH OF CviA: NO FE�
A.B.C.C. LICENSE NLIMBER pF AIV EXISI7NG LICE�lSEE,CAN BE OBTAiNED FR0141 THE�ITY 072-pK0612
> 90_____ ..............�
LICENSEE I"�IAME: SS Pearl Investrnent LLC
ADbItESS: SS Bedfard Street
CITYJTOWN: Lexington .............._� S'['ATE� ZIP C4DE 02420_ ..........—�
�1' I� A�TIOIV TYPF�p� �ap.�hp,.�wO rala.,o..f frsnenetinnal•
� Change of Haurs � Change af DBR
It ��G.�.A AM,J W�,..�W�,+y���.d �...A��,:a Y.,.�✓��tl�'�����.Ili ���.M...Y y��W YA �N Ww,M 6'�� W..,r'�v� A��l W���.N'e•�v N'�d A4 Y R..d n�M1 Ip'».�M 4✓ D�ry��'N�,��A V���V�M�� II N.A�M..d
1f"�.����.�f� �� ,����_� ���°� �...� � �.��-�, ��1�--�'���'w�"U�� ��`�a...��"��I��'�..,��:°, � �,,�.,� ����lE��_,��."'�'�� � ����1"�� ���.�`"��.,�
���...D����'�:.��II!�°�,���� ���b���:����������s���"�"� �."�:�n
ALCtJHC►LIC BE�ERAGES CUNTROL Ct�M1VIISSION
P. tJ. BOX 3396
BC)STON, MA �2241-3396
MA SOC Filing Number:202132681890 Date: 2/19/2021 2:58:Q0 PM
�,�� 4 ,��, The Commanwealth of Massachu�etts r��u�F�:ssoa.ao 4
�.��R '�' Will�am Francis Galvin
�. � � '�i� ��
��
�� � � Secretary of the Commonwealth,Corparatians Diaision ;',
� ��� � One Ashburton Place, l7fh floor (,
'�'�r�,,, �;w�'� Baston,MA 42108-1512
,;
��° �r�.��"' Telephane:{617)727-9b40
« • « j
);
� , i t
�W�� Identiflcation Number: 0014$915� �,
c
1.The exaat name af the pmlted Ilability company Is: 55 PEARL INVESTMENT LLC
;
� 2a.Locatian ai its principal aHice: �
� No.and Stre�t; SS BEI)FORD ST1tEET `'
i� �I
�o� City ar Town: LEXINGTON State:MA Z�p: Q2420 Counriy:USA �;�
2b.Stree!addna�s of the offiee M the Carnmonweatth at wMch the records wil!be maintained:
f��
t j;
; No.and Street: 55 BEDFOILD STI�ET t;
City or 7own: LEXiNGT4N State:MA Zip: 02420 Caunkry: USA ;!,
;�
3.The general charaeter of buslness,and if#he Iimited Ilabillfiy company is organlzed ta render professionat r
servlae,the service to be rendered:
TO()WN AND OPERATE A RETAIL LIQUC7R STQRE AND SNALL BE P�RMITTED TO PEFORM A
. NY ACT PERMITTED UNDER THE LAWS C!F THE Gt7MMOl�fWEALTH QF MASSACHUSETTS
;`,
�r
��
4.The latest date af dissolution, if specifled:
S.Name and address of tha Resident Agent;
Name: RAVI PATEL :J'';
Na.and Street: 55 BEDFG►RE}STREET
�ity or Tawn: LEXINGTQN State:MA Zip: 02420 Country:i.7Sp
1, ftAVl PATEL resident agent of the above lir»ited ifabllity campany, consant ta my appaintment as the ;;li
rssident agent of the a�bove limited ifabflity company pursuant to G. L.Chap;er 156C Section 1Z.
6.The name and business address of eaeh manager, if any:
Title Individua!Mame Addl"888(no PO Bax)
First,Middle,Last,Suffix Addreas„Giiy or Town,State,Zip Cade �'
MANA�t3ER FtAVI PAT�� t�
S5 BEOFCIRD STREET
�EXINGTON,MA 02428 USA
7.The narne and business address of the persan{s)in addition to the manager{s},autharized to execute
dbcuments to be filed rvith ths Corparatlons Division,and at ieast one person shall be named if there are no '
managers. ��
Tltle (ndividuel!Name Address(no Po aox)
First,Middle,Last,Suffix Address,City or Town,Stete,Zip Code
30C SIGNATCIRY RAVI PATEI. 65 BEDFORO$TREET "
� LEXINOTON,hqA 02420 USA I@�
' 8.The�ame and business address of the person(s)authorizad to exe+cate,acknowledge,deliver and reGord �
� any recordable lnstrument purpo�ting to affect an interest in�eal property: �„�
���
Title Individual Name Address{no Po Box) y
Fl�rst,M��idl�,last,Suftix Address,City Qr Town,State,2ip Code �'
�
REAV.PROPERTY RAVV pATEL Sg BEpFORD$TREET �'
f
LEXINCaT4N,MA 02420 U8A
,,
,
�l
- 9.Addltional ma�tters: It�
i �;
p�
�' SIGNED UNDER THE PENALTIES OF PERJURY,this 19 Day of February,Z421, "�
���� ATIKUL PATEL ����
n (The certifacate must be si,gned by the person forming the LLC.) �
I z,
�;,
i � k�
u! �!
� r;
�2001 •2021 Cammonweadth ot Masseohusetts
� /Wp Rights Reaerved �r?.
y ;,;
.. .��; .,,,,.�,.�,,, �„� �:��, �� � .�„ �
��,, , �,n:,,7 .,ti.o.,,m„m�:.: _..� �.
. �� ....,.ww..,_ , , �. � M,i,a,,, . � ,,�li,�� �, , oa,..�.,.,.�-�<� �,...,.. ,�,.,,. ,,�.,�„ ,,,,,,
MA SOC Filing Number: 2Q2132681$9Q Date: 2119/2021 2:58:00 PNA
THE COMMCENWEALTH (�F MASSACHUSETTS
I hereby certify that,upan examinatiaa of this document, duly submitted ta rne, it appears
that the provisians af the General Laws relative to carporatians have beea complied with,
and I hereby approve said articles; and the �ling fee having been paid, said articles are
deerned to have been filed with me an:
February 19, 2021 02:58 PM
• • /
WILLIAM FRANCIS GALVIN
Secretary af the Commorxwealth
MA SOC Filing Number: 202133925560 Date: 2/24/2021 3:08:p0 PM
�,�. ,;r The Cornmanwealth of Massachusetts MlnimumFee:sloo.on �
� �,�"�� �'� '�°,� WiHiam Francis Galvin :,
� � �' �;
� � � � S�cretary af the CarnmonwealCh,Corporations Division �;
�, ,
�� � ,� One Ashburton Place, 17th floor ;
; �a�� �,�`� Boston,MA 02108-1512 '`
��"�° ���.:��'►*����� Tetephone: (bl7)727-9640 '
�'�
. � E:
� ��'
° Identification Number: Op148915?
�;;
�f,
�� The date of filing of the original aertifiaate af organixatlon. 2�19�2021 '
rI
�
1.a.Exact name crf the limlted fiab!lity aampany: SS PEARL INVE5TMENT LLC a'
��
f;
i�
j� � 1,b,The exaat name of the Ilmited Iiabiltty campany as emenderl, Is. 55 PEARL Il�i'VESTMEN'�'LLC �pi
�r' ,�
, 2a.l.ocatian of Its principaf affice:
� No.and Street; 55 BEDF'(JRI)ST'REET �''���
City ar Town: LEXINGTON State: MA zip: 0242Q Country:USA ��;�
�
r
3.As am�rnded,;he general aharacter of bu�in+�ss,and if the limited ifability aarppa�ny Is arganized to rend�er �'
� professlanal servlce,the service to be rendered: 1
l
;;
4.The latest dats of dis$alution,if�pe¢ified:
i?
5. Name and address af the Resldent Agent:
hlame: RAVI PATEL
,'
No.and Street: 55 BEDFORI7 STREET
City or Town: LEXINGTON State:MA, Zip: Q2420 Country:USA
6.7he name and busin�rss address+�f ea�ch manager, ifi any: ��
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Title Individu&I Name Address(no Po eox� �'
Fir3t,Mlddle,Lsst,Suffix Addre�s,City or Town,State,2ip Code
MANAC'aER HITE8H PATEL `f
56 gEDFCIRD STRE�T
LEXINGTdN,MA 02424 USA
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�� T.The name and business a�ddress of the person{s)In addltion to tbe manager(s),authorized to execute ���'
documents to be flled with the Corporationa Dlvision,and at least one persan shall be named if there are na r
managers.
Title Individual Name Addt'ess(no Po Box?
Firai,Middle,Last,Suftix Address,City or Town,SYate,Zlp Code j:�
50C 5IGMATORY HITESW PATEL 55 BEDF012D 3TREET 1'
LEXINGTON,MA p2A2Q USA ''r
8.The name and businea�s address qf the person(s}authorized to execute,aaknowledge,deliver and record
any recordable instrument purparting to affect an Intere�t in real property:
Tltle Indlvidual N81me Addres��rra po Box) �
Firat,Middie,Last,SuNix Address„Gity or Town,State,Zip Coder ��
REAL PFC<7P'BRTY HITE3H PATEI. SS BEDFOFCD S7REET �;
I.EXINGTpN,MR 0242p USA d
r� J;
I� 9.AddiNona!matters: '1
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� 10.3tate the amendments to the certifiCate: z�
; REMOVED RAVI PATEL�'ROM SBCTIONS 6 '7 8 AND REPLACED WITH HITESH PATEL �
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� '11.Th�amendme�t certificate shall be effeative wh$n filed unless a later effeaHva date i�specified: ;;
II� Ji
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' SIGNED UNDER THE PENALTIES Q�PERJURY,this 24 Day of February,2021, �;
� HITESH PATEL,Signature of Aatborized Signatory.
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MA SOC Fifing Number: 20213392556� Date: 2/2412Q21 3:0$:OQ PM
THE CfJMMONVVEALTH 4F MASS�CHUSETTS
I hereby certify that,upan examination of this document, duly submitted to me, it appears
that the provisions of the General Laws relative to corporations have been complied with,
and I hereby apprave said articles;and the filing fee having been paid, said articles are
deemed ta have been filed with me an:
�ebruary 24, 2021 03:08 PM
- r
.�%�.�:�. ✓� -�--�
WILLIAivi FRANCIS GALVIN
Secretary af the Cammonwealth
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Grant of Location for Verizon- 3 Reed Street
ITEM
PRESENTER: NUMSER:
Bill Wallace, Verizon Representative
I.3
S UM MARY:
Hearing for the request from VERIZON NEW ENGLAND, INC. and NSTAR ELECTRIC COMPANY
D/B/A EVERSOURCE ENERGY request pern7ission to locate poles, wires, cables and f�tures including the
necessary anchors, guys and other such sustaining and protecting f�tures to be owned and used in common
by your petitioners, along and across the following public way or ways:
. Reed Street
o Install one (1) JO pole, P.82/SA on the southerly side of Reed Street at a point
approximately 75' northwesterly from e�sting pole, P.82/5, located on the southerly side
of Reed Street.
This work is part of the project to provide underground electric service to 186 Bedford S treet.
The Engineering Department reviewed the request and have no objection to the petition and mdicated that
Verizon would need to get the necessary Engineering permits since Reed Street is under a moratoriuin.
Abutters notices were mailed as required.
SUGGESTED MOTION:
Move to a Grant of Location VERIZON NEW ENGLAND, INC. and NSTAR
ELECTRIC COMPANY D/B/A EVERSOURCE ENERGY to locate poles, wires, cables and f�tures
including the necessary anchors, guys and other such sustaining and protecting fixtures to be owned and used
in common by your petitioners, along and across the following public way or ways in the Town of Lexington
as follows:
o Install one (1) JO pole, P.82/SA on the southerly side of Reed Street at a point
approximately 75' northwesterly from existing pole, P.82/5, located on the southerly side
of Reed Street.
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 7:25pm
ATTACHMENTS:
Description Type
L� Ua:��irQ,iui ti�„c��i az1Y ILckcaatnt�cc�'etatnas�c'o �t�lk.ui�r Ml���iri�l
❑ �a,�py�r�`ie�ai�c°a:ft yuls��atcd4>�d�i�tud;c V'�ra;Vc�u�r Mldtba�uitiat
Karen Levesque ������j �
Right of Way Manager �
85 High Street,3�d Floor
Pawtucket, RI 02860
Office 774-409-3170
Mobile 774-504-1279
Karen.levesque@one.verizon.com
January 6, 2022
Lexington Select Board
Town Office Building, 2"d Floor
1625 Massachusetts Avenue
Lexington, MA 02420
RE: Petition for Verizon job # lA5CE6S
Reed Street, Lexington,MA
Dear Honorable Select Board:
Enclosed find the following items in support of the above-referenced project:
1. Petition;
2. Petition Plan;
3. Order;
4. Abutters.
A Public Hearing and notice to abutters is required. A Verizon representative will
attend the Public Hearing. Should any questions or comments arise concerning this
matter prior to the hearing,please contact me at 774-409-3170. Your assistance is greatly
appreciated.
Sincerely,
/�G�,�1.� ,L�.4=c�c�2
Karen Levesque
Right of Way Manager
Enc
PETITION FOR JOINT OR IDENTICAL POLE LOCATIONS
January 6, 2022
To the Select Board
In LEXINGTON, Massachusetts
VERIZON NEW ENGLAND, INC. and NSTAR ELECTRIC COMPANY D/B/A EVERSOURCE
ENERGY request permission to locate poles, wires, cables and fixtures including the necessary anchors,
guys and other such sustaining and protecting fixtures to be owned and used in common by your petitioners,
along and across the following public way or ways:
Reed Street:
Install one(1)JO pole,P.82/5A on the southerly side of Reed Street at a point approximately
75' northwesterly frum existing pole,P.82/S,located on the southerly side of Reed Street.
This petition is necessary to provide new services on Reed Street.
Wherefore they pray that after due notice and hearing as provided by 1aw, they be granted joint or
identical locations for and permission to erect and maintain poles, wires and cables, together with anchors,
guys and other such sustaining and protecting fixtures as they may find necessary, said poles to be erected
substantially in accordance with the plan filed herewith marked-VZ N.E. Inc. Plan No. lA5CE6S Dated
December 17, 2021.
Also for permission to lay and maintain underground laterals, cables and wires in the above or
intersecting public ways for the purpose of making connections with such poles and buildings as each of said
petitioners may desire far distributing purposes.
Your petitioners agree that space shall be reserved and maintained for the limited purpose of
attaching one-way low voltage fire and police signaling wires owned by the municipality or governmental
entity far public safety purposes only.
VERIZON NEW ENGLAND INC.
By
Karen Levesque - ager-Rights of Way
Dated this Fth day of�lani iar�i�2022
NSTAR ELECTRIC COMPANY DB/A EVERSOURCE ENERGY
BY�^�"� �
Right of Way Re rescntative
Dated this 6th day of ��n����,2022
Page 1 of 1
q�,���!����� PETITION PLAN
"� 11
LEXI NGTON 1A5CE65
MUNICIPALITY VZ. N.E. INC. NO.
VERIZON NEW ENGLAND,INC AND
NSTAR ELECTRIC COMPANY D/B/A EVERSOURCE ENERGY DATE : DECEMBER 17,2021
SHOWING PROPOSED PLACEMENT OF ONE NEW JO POLE ON REED STREET
�
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to be placed �� i'
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�� � MBLU:64//63//
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�/ ��; ExistingJO \
� � � Pole P.82/5 •�
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LEGEND NOT TO SCALE
PROPERTY LINE � EXISTING JOINTLYOWNED POLETO REMAIN
EDGE OF PAVEMENT � pROPOSED NEW JOINTLY OWNED POLE TO BE INSTALLED
EDGE OF ROADWAY
NOTICE TO
ABUTTERS
January 28, 2022
You are hereby notified that a public hearing* will be held at approximately 7:00 p.m. on Monday,
February 7, 2022 at the Select Board's Meeting, being held remotely via a Zoom Webinar:
zoom.us, Webinar ID: 812 2212 7205, Passcode: 950215 , upon the petition of Verizon New
England for the following:
Reed Street:
Install one (1) JO pole,P.82/SA on the southerly side of Reed Street at a point approximately 75'
northwesterly from existing pole, P.82/5, located on the southerly side of Reed Street.
requesting a Grant of Location for poles, wires, cables and fixtures including the necessary anchors,
guys and other such sustaining and protecting fixtures to be owned and used in common by
petitioners, along and across the following public way or ways of said Town:
Kim Katzenback
Executive Clerk
Select Board Office
*Public comments fo�the Select Board Meeting can be emailed to selectboara'(a�lexin�tonma.gov
by 2:00 p.m. Monday, February 7, 2022; or Members of the public viewing the remote meeting
webina�on Febr~ua�y 7, 2022 at approximately 7:00 p.m.frorn their computer or listening by
phone can comment ditring the public comment portion of the hearing.
Notice seyzt to:
RICHARD JOBLING &ELIZABETH THE XIE WANG TRUST
HARTMANN KUN XIE&J1NG WANG, TRUSTEES
1 Candlewick Close 23 Reed Street
Lexington,MA 02421 Lexington,MA 02421
PAUL KOMAR&BEVERLY B. BYERS 186 BEDFORD STREET LLC
24 Reed Street 189 Bedford Street
Lexington,MA 02421 Lexington,MA 02420
LEX]NGTON GOLF CLUB REBECCA A. &THEODORE R. WETLER
PO Box 177 19 Reed Street
Lexington,MA 02420 Lexington,MA 02421
q�,���!����� PETITION PLAN
"� 11
LEXI NGTON 1A5CE65
MUNICIPALITY VZ. N.E. INC. NO.
VERIZON NEW ENGLAND,INC AND
NSTAR ELECTRIC COMPANY D/B/A EVERSOURCE ENERGY DATE : DECEMBER 17,2021
SHOWING PROPOSED PLACEMENT OF ONE NEW JO POLE ON REED STREET
�
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MBLU:65//179// i�
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MBLU:58//27A// i �
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/ \ �
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to be placed �� i'
24ReedSt �� ���
MBLU:65//11// �•�� � 19 Reed St
�� � MBLU:64//63//
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�/ ��; ExistingJO \
� � � Pole P.82/5 •�
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LEGEND NOT TO SCALE
PROPERTY LINE � EXISTING JOINTLYOWNED POLETO REMAIN
EDGE OF PAVEMENT � pROPOSED NEW JOINTLY OWNED POLE TO BE INSTALLED
EDGE OF ROADWAY
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Update on Police Station Building Project
PRESENTER: ITEM
NUMBER:
Jeff McElra�y,AIA, Principal, Tecton
Architects L4
SUMMARY:
Tecton Architects will provide a presentation to the Select Board with the following updates regarding the
Lexington Police Headquarters Project:
. Temporary Police Bid Results
. Police Station Design Development 100% Phase Review
• Update on Solar Canopies
SUGGESTED MOTION:
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 7:35pm
ATTACHMENTS:
Description Type
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AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
2022 Annual Town Meeting & Special Town Meeting 2022-1
PRESENTER: ITEM
Todd Rhodes; Mike Cronin, Director NUMSER:
of Public Facilities; Matt Daggett;
Board Discussion LS
S UM MARY:
Todd Rhodes, Member of the Sustainable Lexington Committee, will be in attendance at the meeting to present
an article for 2022 Annual Town Meeting on behalf of the Sustainable Lexington Committee: Amend General
Bylaws - Reporting, Disclosing, and Assessing the Energy and Water Use of Large Buildings.
Mike Cronin, Director of Public Facilities, will be in attendance at the meeting to present an article for 2022-1
Special Town Meeting:Appropriate far Police Station Construction.
Matt Daggett will be in attendance at the meeting to present his citizen article for 2022 Annual Town Meeting:
Appropriate for Nexus Studies.
The Select Board will discuss the potential for a Select Board Report at Annual Town Meeting and assign
sections of the report to Select Board Members for writing purposes.
The Select Board will assign its members as article presenters for Annual Town Meeting discuss articles and
start to take positions.
SUGGESTED MOTION:
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 8:OSpm
ATTACHMENTS:
Description Type
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Town of Lexington
Motion
2022 Annual Town Meeting
ARTICLE 31 AMEND GENERAL BYLAW - REPORTING, DISCLOSING, AND
ASSESSING THE ENERGY AND WATER USE OF LARGE BUILDINGS
NTOTION:
That the Code of the Town of Lexington be amended by adding a new Chapter 20, "Buildings,
Energy Use"as follows;
Further,that$70,000 be appropriated to administer the reporting and disclosure detined in such
code and that such amo�unt be raised in the tax levy:
Section 1. Definitions
For the purposes of this section,the following words shall have the following meanings unless
the context clearly requires otherwise:
"Commercial building", a building or multiple buildings on a pai�cel of which not less than 50 per
cent of the gross floor area,including hallways or other common space,but excluding paiking,is
used for commercial,retail, offfce,professional, educational or other nonresidential purposes, or
some combination thereof,or any grouping of commercial buildings designated by the Town as
an appropriate Reporting Unit for the purposes of this section;provided,however,that
"Commercial building" shall not include a building owned or leased by a municipal, state, or
federal agency.
"Energy", electricity,natural gas, steain,hot or chilled water,heating or fuel oil,propane,on-site
renewable energy, or other products used for heating, cooling,lighting, or water heating,or for
powering or fueling other end uses.
"Energy use benchmarl�ing tool",the ENERGY STAR Portfolio Manager, an online energy use
benchmarking tool used by the United States Environmental Protection Agency for reporting and
managing the energy performance, water eff'iciency and Greenhouse Gas Emissions of buildings,
ar some other tool capable of; (i)perfarming all the functions relevant to compliance with this
section; (ii)allowing for reporting by third parties, including but not limited to, gas distribution
and electric distribution companies; and(iii)exchanging information and data with the ENERGY
STAR Portfolio Manager.
"Greenhouse gas," as defined in M.G.L. c. 21N.
"Gross floor area", as defined in Town of Lexington Zoning Bylaw Chapter 135-10.1
Town of Lexington
Motion
2022 Annual Town Meeting
"Reporting Unit,"a building or buildings that meet(s)any of the following criteria: (1)buildings
owned or leased by the Town, (2)as of May 15,2022 a parcel with one or more buildings of not
less than 25,000 sq. ft.with residential or commercial uses or a combination of residential and
commercial uses, or(3)A parcel with one or more buildings having 25 or more total individual
dwelling or commercial units, or some combination thereof.In the case of criteria(2) and(3)
above,where there is more than one building on a parcel,the Town may designate the entire
complex of buildings as the"Reporting Unit,"or may designate one or more buildings as separate
"Reporting Units."
"Owner,"the owner of record of a Reporting Unit, or a designated agent thereof, including,but
not limited to,the association or organization of unit owners responsible for management in the
case of a condominium,the board of directors in the case of a cooperative apartment corporation,
the t��ustees or governing body in the case of a not-for-profit entity and the net lessee in the case
of a building subject to a net lease with a term of not less than 49 years, inclusive of all renewal
options.
"Residential building", a Reporting Unit on a paccel of which not less than 50% of the gross floor
area, including hallways and other common space serving residents,but excluding parking, is
used for dwelling purposes, or any grouping of residential buildings designated by the Town or a
municipality as an appropriate Reporting Unit for the purposes of this chapter.
"Tenant",any tenant,tenant-stockholder of a cooperative apartment corporation, or condominium
unit owner.
Section 2: Reporting and Disclosure Requirements
(a)The Town shall undertake energy use benchmarking to determine whether each Reporting
Unit utilizes more or less energy, and emits more or]ess greenhouse gases, than Reporting Units
of comparable size, occupancies and uses, and to inform a town-wide analysis of energy use
trends and opportunities to increase energy efficiency and reduce Greenhouse Gas Emissions.To
conduct the benchinarking,the Town shall designate an energy use benchmarking tool.
(b) (1)To administer this section,the Town shall use building types and occupancies defined by
780 CMR The Town inay designate subcategories within each building type and occupancy, and
may establish different reporting requirements for each subcategory. In establishing reporting
requirements, the Town may consider whether tenant-occupied units or spaces are separately
metered.
2
Town of Lexington
Motion
2022 Annual Town Meeting
(2)Not later than May 15 of each year,beginning in 2023,the Owner of each Reporting Unit
shall use the energy use benchinarking tool to accurately report to the Town, or cause to be
accurately reported to the Town,the Reporting Unit's energy use, any electricity suppliers'
energy labels(i.e., electricity source), any retired Class I Renewable Energy Certi�icates (RECs)
for the previous calendar year, and any building characteristics determined by the Town to be
necessary to establish the absolute and relative energy use of the Reporting Unit. The Owner of a
Reporting Unit subject to this section may authorize a gas or electric distribution company or
other third party to report building-specific data to the Town,provided,however,that such
authorization shall not relieve an Owner fiom compliance with this section.
(3) An Owner of a large Reporting Unit with separately-metered and tenant-occupied units shall
request the electric and gas dish-ibution companies to provide the aggregate energy consumption of
all meters in the Reporting Unit, including tenant-occupied units and separately-metered units. If
the electric and gas distribution companies do not provide the requested information, the Owner
shall annually request from each tenant of the Reporting Unit all information necessary to comply
with the requuements of paragraph (2). (4) An Owner may request that the Town extend the
Owner's deadline to provide a required report for good cause shown.
(5)If an occupied Reporting Unit subject to the requirements of this section is transferred,the
buyer shall make reasonable efforts to report energy use information for the Reporting Unit for
the entire calendar year, if practicable.
(c)Not later than October 1 of each year, the Town shall make available on its website energy use
infonnation and data for the preceding calendar year for each Reporting Unit. For each Reporting
Unit,the infarmation made available shall include,but not be limited to:
(i) the address of the Reporting Unit and building ID(s) for all buildings within the
Reporting Unit;
(ii) the Owner of the Reporting Unit;
(iii) total square footage;
(iv) building type and principal use(s);
(v) the Reporting Unit's total energy use in kBTU and energy use intensity in kBTU per
square foot;
3
Town of Lexington
Motion
2022 Annual Town Meeting
(vi) the breakdown of the Reporting Unit's energy use and energy use intensity by
electricity, gas,renewable energy, and other sources;
(vii) water usage; and
(viii) the Reporting Unit's total Greenhouse Gas Emissions intensity in kg COze per square
foot.
The Town shall utilize such practices as are necessary to prevent the public disclosure of personal
information regarding owners and tenants, and maintain a quality assurance process to improve
the accuracy and completeness of the available information. The Town shall provide owners with
the opporiunity to submit contextual information related to energy use in their Reporting Units
and shall disclose such information on its website upon request by the owner.
(d) The Town shall prepare an annual comprehensive report on the energy performance of
Reporting Units utilizing the information and data collected pursuant to this section. The report
shall include,but not be limited to,an analysis of energy perfonnance, Greenhouse Gas
Emissions, and energy sources by building size,occupancy, and use. The report shall also
include,when available, energy performance and Greenhouse Gas Emissions over time. The
report shall be posted on the Town's website.
(e) On the basis of the comprehensive reports prepared by the Town,the Town shall conduct an
annual review of trends in the energy performance of Reporting Units and recommend changes to
laws,regulations,policies, and programs to achieve Greenhouse Gas Emission reductions.
Section 3: Enforcement
Owners of Reporting Units failing to comply with the energy use reporting and benchmarking
requirements of this section or knowingly providing false or incomplete information to the Town
shall be subject to a fine in an amount not to exceed$300 pursuant to M.G.L. c. 40, § 21D and
� 1-6 of the Town's Code of Bylaws,provided that no Owner shall be fined far a failure to report
data it has not been able to obtain froin a Tenant ar electric and gas distribution company,where
the Owner has demonstrated it has inade a good faith effort to obtain that data.Each day of
noncompliance shall constitute a separate violation per day of noncompliance for Reporting
Units.
(02/02/2022)
4
ARTICLE 2 APPROPRIATE FOR POLICE STATION CONSTRUCTION
To see if the Town will vote to raise and appropriate a sum of money for the design and
construction of a new Police Headquarters,located at 1575 Massachusetts Avenue,including the
payment of costs of demolition, architectural and engineering services, original equipment,
furnishings, landscaping, paving and other site and traffic improvements, temporary relocation,
and any additional costs incidental or related thereto; and to determine whether the money shall
be provided by the tax levy, by transfer from available funds, by borrowing or by any
combination of these methods; or act in any other manner in relation thereto.
(Insertecl by the Select Boa�d)
FLTNDS REQUESTED: Unknown at press time
DESCRIPTION: The funds requested by this Article will be used for the design and
construction, furnishing and equipping of a new Police Station located at 1575
Massachusetts Avenue, including any related site work and temporary relocation costs. A
townwide vote to exeinpt debt service on this project from the limits of Proposition 2 1/2
will be held after Special Town Meeting 2022-1 closes.
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Town of Lexington
Motion
2022 Annual Town Meeting
ARTICLE 26 APPROPRIATE FOR NEXUS STUDIES
MOTION: That the Town appropriate $75,000 for the funding of two nexus studies to guide the
implementation of a residential development linkage fee, as defined by special legislation
resulting from Special Town Meeting 2020-2 Article 6, and a commercial development
linkage fee, as defined by special legislation resultuig from Annual Town Meeting 2021
Article 36; and that to meet this appropriation $75,000 be appropriated from the General
Fund unreserved fund balance.
(O 1/26/2022)
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2022 Annual Town Meeting
Consent Agenda Articles
Board of Selectmen
Article 6: Senior Services Tax work off Program
Article 10 FY 23 CPC Budget/Projects
Reserve funds for various uses by appropriating into "buckets"
a. Archives and Records Management- $20,000
c. West Farm Meadow Preservation- $28,175
d. Playground Improvements- Poured-in-Place Surfaces -$1,459,591
£ Playground Improvements -Hard Court Surfaces - $2,500,000
g. Park and Playground Improvements -Kinneens Park-$200,000
h. Park Improvements - Athletic Fields - Fislce Field- $250,000
i. Lincoln Parlc Master Plan- $100,000
j. LexHAB -Preservation and Rehabilitation-$234,000
]. LeXington Housing Authority-Vynebroolce Village-Preservation -$160,790
m. CPA Debt Service- $1,935,6350
n. Administrative Budget- $150,000
Article 11- Recreation Capital
Article 12d: Transportation Mitigation
Article 12e: Replace Pumper Truck
Article 12f: Townwide Culvert Replacement
Article 12g: Equipment Replacement
Article 12h: Sidewalk Improvements
Article 12i: Town wide Signalization Improvements
Article 12j Storm Drainage Improvement/NPDES Compliance
Article 12k: Comprehensive Watershed Stormwater Management
Article 12L• Street Improvements
Article 12m: Hydrant Replacement Program
02/03/2022 1
Article 12r: Application Implementation
Article 12s: Networlc Redundancy and Improvement Plan
Article 12t: Scanning- Electronic Document Manageinent
Article 13: Water System Improvements
Article 14: Wastewater Improvements
Article 15: Appropriate for School Capital Projects and Equipment
Article 16a: Public Facilities Bid Documents
Article 16b: Facility and Site Improvements-Building Flooring program and School Paving
Program
Article 16c: Public Facilities Mechanical/Electrical System Replacements
Article 16d: Municipal Building Envelopes and Associated Systems
Article 16e Townwide Roofing Program
Article 16f: School Building Envelopes and Associated Systems
Article 16g: High School Emergency Funds
Article 18: Rescind Prior Borrowing Authorizations
Article 17: Appropriate to Post Employment Insurance Liability Fund
Article 18: Rescind Prior Borrowing Authorizations
Article 20: Unpaid bills (if IP'd)
Article 22: Appropriate for Authorized Capital Improvements (if IP'd)
Article 23 Appropriate from Debt Service Stabilization Fund
Article 29: Accept MGL Chapter 41 Section 1 l0A
Article 30: Amend Special Act-Planning Board and Town Meeting
Article 32: Select Board to Accept Easements
02/03/2022 2
SELECT BOARD
TOWN OF LEXINGTON
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REPORT TO THE
2021 ANNUAL TOWN MEETING
Select Board:
Douglas M. Lucente, Chair,Jill I. Hai, Vice-Chair,
Joseph N. Pato, Suzanne E. Barry, Mark D. Sandeen
Kim Katzenback, Executive Clerk
Table of Contents
Message from the Select Board Page 1
Year of Unprecedented Challenges Page 2
Budgetary Concerns and Stresses Page 2
Social Racial Equity Initiatives Page 3
Center Streetscape Update Page 4
Municipal &School Building Projects Page 5
Article 42 ATM 2018-Special Permit Residential Development (SPRD)
Referral to the Select Board Page 7
Update on recent Home Rule Petitions Page 8
2025: The 250th Anniversary of the Battle of Lexington Page 9
March 2021
Message from the Select Soard
The Select Board has prepared this written report to Annual Town Meeting 2021 under Article 2.
This report contains an update to Town Meeting on the status of several topics the Board felt
would be of interest to Town Meeting Members. These topics include: A COVID-19 update, an
overview of Fiscal issues raised this past year, how the Board is moving forward with Social
Racial Equity Initiatives, the current status of the Center Streetscape Project, an update on
Municipal and School Building Projects, an update on Article 42-Special Permit Residential
Development zoning that was referred back to the Board at Annual Town Meeting 2018,status of
recent actions at Town Meeting regarding Home Rule Petitions and the progress on the
Semiquincentennial Celebration of the Battle of Lexington coming in 2025.
Should you have any questions or comments regarding this report, the Board encourages you to
get in touch with any member of the Board via email (below) or by calling the Select Board Office
(781-698-4580) to schedule a phone meeting. Due to the restrictions surrounding COIVD-19 all
five members of the Board have suspended there in person regularly scheduled office hours in
the Select Board Office at Town Office Building.
• Doug Lucente, Chair: dlucente@lexingtonma.�
• Jill Hai, Vice-Chair: ihai@lexin to� nma•gov
• Joe Pato: ipato@lexin to� nma• o�v
• Suzie Barry: sbarry@lexin tog nma• o�v
• Mark Sandeen: msandeen@lexin tog nma•gov
Respectfully submitted,
Lexington Select Board
Douglas M. Lucente, Chair
Jill I. Hai, Vice-Chair
joseph N. Pato
Suzanne E. Barry
Mark D. Sandeen
1
Year of Unprecedented Challenges
Between a global pandemic, economic crisis, and emphatic calls to address systemic racism, this
past year was a year of unprecedented challenges for the Town of Lexington and the Select Board.
In March 2020, business as usual changed quickly. The Board's focus quickly shifted to
responding to the pandemic. The State of Emergency in the Commonwealth due to the outbreak
of COVID-19 forced changes to all municipal business practices. In an effort to help struggling
residents, the Board voted to extend second quarter property tax due dates. The Select Board, in
conjunction with the Town Moderator, pushed back the date for the March 2020 Annual Town
Meeting while alternatives were contemplated on how to proceed. All public meetings were
transitioned to a virtual format accessible by the public using the application Zoom so the Town
could continue to operate our municipality while adhering to social distancing guidelines. Since
March of 2020,all in person Town events have been canceled and many events rnoved to an online
virtual platform. In June of 2020 we were able to successfully hold the first virtual Annual Town
Meeting in the Commonwealth due to the efforts of the Town Moderator Deborah Brown, Town
Counsel Mina Makarious,Select Board Chair poug Lucente,Select Board Member Joe Pato,Town
Manager Jim Malloy, Deputy Town Manager Kelly Axtell, Management Fellow Kat Labrecque,
Lexingtori s State Representative Michelle Ciccolo, Town Clerk Nadie Rice and many members
of the municipal staff. Following on that success we held two virtual Special Town Meetings in
October/November 2020 enabling Town government to continue functioning on a close to pre-
pandemic timeline. This past year has been quite different in terms of look and feel and the
challenges have been great and we are grateful to the entire municipal staff for continuing to
adjust to deliver quality and creative services across the board to our residents. We would be
remiss if we didri t rnake special mention of the tireless work of the front line staff involved in
COVID-19 related efforts and also acknowledge the over 1000 residents that have been diagnosed
with COVID-19 including the fifty six deaths (88% associated with long-term care facilities); rnay
their memory being a blessing to those they left behind and may we as a community continue to
work together to address the challenges of the pandemic.
Sudgetary Concerns and Stresses
Ongoing budgetar�u concerns:
The Select Board is committed to avoiding an operating budget tax override. However,managing
operating expenses to align with revenue growth is becoming increasingly challenging and may
require realigning the municipal, school, and shared expense budgets in future years.
For the past decade, the School Department budget - largely driven by enrollment growth and
regulatory requirements-has grown at a faster rate than have Town revenues.The FY2022 School
Department operating budget needs are proposed to be met using non-recurring revenues drawn
from the Free Cash account and a $500,000 transfer from the Special Education (SPED)
Stabilization Fund. Use of these funds for FY2022 will make closing budget shortfalls in future
years that much more difficult.
2
ExtraordinarU concerns due to the Covid-19 pandemic
Many residents have asked about the effects of the Covid-19 pandemic on the town budget.
Despite the constantly changing landscape the Town ended fiscal 2020 in a strong financial
position and has remained stable throughout fisca12021.
Lexington has continued to see healthy real-estate tax collections. As in previous economic
downturns collection rates were minimally affected and, in the past, they bounced back quickly.
Property tax collections would most likely be compromised in a protracted commercial downturn
where vacancy rates in commercial districts increase significantly and corresponding abatements
are granted. At this point we have not seen such changes nor have we seen a reduction in new
growth. This may be a factor a year or two frorn now should commercial or residential growth
shrink. A sib ificant commercial downturn would hit us harder than some communities with
small to non-existent commercial sectors (e.g., Lexington (11.73% of value/ 20.5% of revenue),
Lincoln (3.56% of value / 3.56% of revenue) and not as hard as communities with larger
commercial sectors (e.g.,Woburn(27.6% of value/ 48.3% of revenue),Cambridge (43.3% of value
/ 60.8% of revenue)).
Unlike some other communities the percentage of state aid for the budget(e.g.,Lawrence (70.2%),
Springfield(59.9%),etc.)for Lexington(6.47%)is small.We rely primarily on local revenues rather
than state aid. Of local receipts the vast majority are property taxes. We have, however, seen a
decline in other local receipts (e.g., hotel/motel and meal taxes, jet fuel fees (Hanscom). These
local receipts fell by $234K or 1.4% in FY20 before much impact from the pandemic but are
projected to fall about $4.7M or another 28% in FY21. For FY22 we are projecting a return to
growth of about 6% or $720K but will still leave us about $4.2M below the FY19 revenue. While
this has some impact, this is still a small percentage of the Towri s available revenues for FY22.
This loss of local receipts for next year is somewhat offset by the fact the town cut spending on
projects near the end of FY20 leaving unspent funds that flowed to our Free Cash account. This
can be and is planned to be used to offset some of the shortfalls this coming year and should the
pandemic ease and tourism related spending return in a few years leave us close to where we
would have expected to be.
Our projected state aid for next year (FY22) is essentially flat - which is better than we were
expecting during early budgetary planning when we were anticipating cuts.
The less rosy side of the ledger is that it is more expensive for us to operate in pandemic mode.
School expense projections are based on a substantial return to in-school programs, but it is
unclear that we will be able to fully return next year. Should we need to continue fully remote
learning or hybrid education our costs for next year are likely to increase and will absorb any
wiggle room in the budget.
Social Racial Equity Initiatives
Diversifying the municipal staff remains a High Priority Goal for the Select Board. In addition,
the Board is committed to ensuring that Lexington is a safe,equitable and just community for all.
In FY2021 we have taken the following steps toward furthering that goal:
3
� Beginning with the FY22 budget add a municipal position of Chief Equity Officer
Reporting to the Town Manager.
• Engaged Town Counsel services led by former US Attorney and current partner in Town
Counsel's firm, Carmen Ortiz to review our police department policies, and practices and
procedures for bias or discriminatory impacts. The review included broad interviews with
community stakeholders. Recommendations on opportunities and challenges is expected
this spring. Further work will include a similar review of additional town departments.
• Engaged All Aces, Inc. to serve as our Diversity, Inclusion, and Equity Transformation
(DIET) partner. All Aces, Inc. is working with the Town to conduct a comprehensive
assessment, design strategic workshops for community members and professional staff
training and create an action plan for long term change.
• Created a centralized resource page on the town website for our equity related work and
links. https://www.lexingtonma.gov/town-manager/pages/toward-equitable-and-just-
communitv
� Joined both the Government Alliance on Race and Equity(GARE)and the National League
of Cities (NLC) in order to take advantage of their collective Racial Equity resources.
• Applied for the Metropolitan Area Planning Council (MAPC) Racial Equity Municipal
Action Plan (REMAP) Program grant.
• Special Town Meeting 2020-2 adopted Article 8, a resolution to consider racial and other
equity impacts in all decisions and planning processes.
• Added a standing Racial and Social Equity update item to every regular meeting agenda.
• Held a panel discussion on policing, moderated by a Diversity, Equity and Inclusion
consultant from Equity and Expectations in September 2020. The virtual event was
attended by over 200 residents and was broadcast live on LexMedia. There were over 80
questions received and answered on the topic. The questions a�1d a�lswers are published
on the Town website. The Police Department has also prepared a series of videos on the
current police services offered to residents. The series of videos are also published on the
Police Department page of the Town website.
Center Streetscape Update
The Center Streetscape project design is complete, the Invitation for Bid (IFB) has been released,
and vendor selection is expected to be completed in March 2021. It is anticipated that project
construction will commence sometime after Patriots Day 2021 and that the project will take
approximately two construction seasons to complete. The Town has hired Environmental
Partners to provide full time oversight throughout the duration of the project. The Town has
planned for proactive outreach and communication throughout the project to keep residents and
direct abutters informed of the construction status. This communication plan includes but is not
limited to; maili�lgs, emails, constant contact, and weekly website updates. The Battle Green
Streetscape project will be brought to 100% design over the next two years with construction
targeted to begin once the Center Streetscape Project is complete. The goal is to have all of the
Streetscape completed by fa112024 in anticipation of the 2025 Town Celebration.
4
Municipal & School Suildings
Lexington Fire Department Headquarters
Construction Start Date: November 2018
Project Completion Date: October 2020
Project Budget: $19,943,700
Funding: STM 1 2017-Article 2/STM 4 2017-Article 4/ATM 2018-Article 13
The Fire Department Headquarters building construction has been completed and the
department moved in to their new facility in mid-October of 2020.
Visitors Center
Start Date: May 2019
Project Completion Date:July 2020
Project Sudget: $5,100,000
Funding: ATM 2017-Article 18/STM 2017 3-Article 8/ATM 2018-Article 22
The new Visitors Center construction began in June of 2019 and opened to the public in July 2020.
Westview Cemetery Administration Building
Start Date: Design Development is complete, Construction documents have started
Estimated Project Completion Date: Spring 2022
Project Budget: $3,290,000 for construction
Funding: ATM 2017-Article 120 (design)/ATM 2020-Article 16k
Construction funding for the new Westview Cemetery Administration Building was approved
at ATM 2020 under Article 16k. The Westview project is currently in the construction document
phase and the design team expects construction to begin in Apri12021. The project is expected
to be completed by early 2022.
Lexington Police Station
Start Date: Schematic Design is complete. Construction Design paused.
Estimated Project Completion Date: TBD
Project Budget: Currently $1,862,622 has been appropriated thru Construction Documents
Funding: ATM 2018-Article 14
The Select Board reaffirmed their decision that the new Lexington Police Station be located at 1575
Massachusetts Avenue in March of 2020. All members of the Select Board believe that the police
station building needs to be replaced. However, in October 2020 and March 2021, a majority of
the Select Board supported pausing further funding and additional design work on the police
station project until a point in time that the community could complete the planned
comprehensive conversations about the future of policing. The Select Board remains committed
to seeking ways to fully engage the larger Lexington community in these comprehensive
conversations and expects those conversations to continue over the course of the next several
months.
The Select Board wants to ensure that transparent information is provided to the community
about the current type and level of police services that the Town provides, the expected type and
5
level of police services in the future,the staffing for those services, and the training requirements
for our public safety staff.Further,the Select Board is committed to allowing ample opportunities
for residents to ask questions about policing and for the Town to provide comprehensive
responses.
Based on these decisions, the police station project will not be coming to Town Meeting for
funding at ATM 2021.
Hosrner House
Appropriation: $50,000
Funding: STM12018-Article 5 / ATM 2020-Article 10m(2) Not approved
Article 5 of the 2018 Special Town Meeting appropriated$50,000 for a study regarding relocation
or renovation of the Hammond A. Hosmer house, located at 1557 Massachusetts Ave. A
committee was formed with representatives of the Select Board, Permanent Building Committee,
Historical Commission, Historic Districts Commission, Public Facilities Department and the
Architectural firm LDa. After reviewing the recommendations of that committee, the Board felt
strongly that the Hosmer House should be returned to its intended use as a home and were in
support of moving the Hosmer House to enable construction of the Police Station project.
Article 10m(2) of the 2020 Annual Town Meeting asked for an appropriation of $25,000 for
LexHAB to complete a feasibility study to reuse the house as affordable housing at Vine Street.
That motion was not approved by Town Meeting.
The Town Manager issued a request for proposals (RFP) in July 2020 for the house to be moved
and/or acquired, and received one qualifying bid. After extensive review and evaluation, a
majority of the Select Board determined at their February 8, 2021 meeting that the bid did not
meet the objectives of the RFP. The Select Poard has authorized the Town Manager in March 2021
to issue another RFP, this time including a list of specific properties where the facility could be
moved and encouraging potential public/private partnerships.
Stone Building
The Select Board formed the Ad-hoc Stone Building Feasibility Re-use committee in August of
2020 to preserve the Stone Building and explore the feasibility of alternate uses for the Stone
Building, consistent with the deeded restrictions and the Secretary of the Interior's Standards
for the Treatment of Historic Properties. The Select Board recruited a wide range of candidates,
ultimately considering 19 applicants for the 9 member committee. The committee had their first
rneeting in Novernber 2020 and is expected to deliver their recommendations to the Select Board
by September 2021.
Pine Meadows Club House
This project has been delayed to a future year within the current 5 year Recreation Department.
This delay was to better align with overall Town capital plan and funding in those years.
Old Reservoir Bath House Renovation
Appropriation: $620,000
Funding: ATM 2019-Article 10g
6
All bids received by the Town exceeded the appropriation approved by Town Meeting. The
Department of Public Facilities and Recreation Department staff are evaluating next steps and
considering alternatives as the pandemic has drastically impacted projects costs.
Lexington High School
Funding: ATM 2021-Article 24 Appropriate for LHS Feasibility Study ($1,825,000)
The Superintendent,with support of the School Committee and Board of Selectmen, submitted a
Statement of Interest to the Massachusetts School Building Authority (MSBA) on March 17, 2019,
requesting state support for a high school building project.
The response from the MSBA in December of 2019 was that while Lexingtori s case for a new high
school was compelling, they unfortunately did not invite Lexington to participate. Recognizing
the needs and challenges Lexington is facing,the MSBA strongly encouraged the Town to reapply
in 2020. The Superintendent resubmitted the Statement of Interest in April 2020. MSBA has
notified the Town that the funding decisions that were expected for December 2020, have been
delayed until spring of 2021.
If Lexington were to be invited into the school building pipeline, a one-year feasibility period
would begin,during which time issues of scope,siting,and cost would be explored in partnership
with the MSBA. If Lexington is not invited into the pipeline, we will likely reapply in 2021 and
every year thereafter until our application is accepted. In the meantime, the School Department
is completing a School Master Plan which will include a phased plan to accommodate students
at Lexington High School (LHS) until a new or renovated building is available.
If the MSBA notifies the Town that the Stateme�lt of Interest has been accepted before ATM 2021
concludes,Town Meeting will consider approval of 2021 ATM Warrant Article 24 to appropriate
for a Lexington High School Feasibility Study. If MSBA does not accept the Statement of Interest
before ATM 2021, the Select Soard recommends that Warrant Article 24 be indefinitely
postponed.
Article 42 ATM 2018-Special Permit Residential Development (SPRD) Referral
to the Select Board
ATM 2018 referred Article 42, a citizeri s article to revise the Special Permit Residential
Development (SPRD) Bylaw,back to the Select Board for further evaluation and work. The Board
allocated funds in its FY19 budget to cover the costs of a facilitator for the SPRD committee and
a consultant to draft any bylaw or regulation revisions. These funds were originally granted
through the TIF agreement with Shire,which provided contributions over 10 years, to be used at
the Board's direction.
The committee is charged with gathering stakeholder input,reviewing housing data and drafting
a statement of values, to inform the drafting of a zoning bylaw amendment and warrant article
to either revise or replace the current Special Permit Residential Development Zoning Bylaw. The
full charge approved by the Select Board, as well as meeting minutes and presentations are
available at: https://www.lexingtonma.gov/special-permit-residential-development-zoning-
bylaw- amendment-committee-ad-hoc
7
The appointed members of the Ad-Hoc SPRD Committee are: Jill Hai, Charles Hornig, Scott
Cooper,Matt Daggett,Heather Hartshorn,Joyce Murphy,Richard Perry,Taylor Singh and Betsey
Weiss. The committee meetings were filmed by LexMedia and available for viewing OnDemand.
Following community outreach and committee research, the committee presented a statement of
values in a report to Fall Special Town Meeting in November 2019. The Town then engaged a
consultant to work with the committee to develop a bylaw amendment to further those values.
The committee was to begin meeting with the consultant at the end of March 2020, to outline the
next phase of the work. Although that timeline was delayed by the pandemic, the Committee is
currently reviewing alternative zoning proposals and these presentations,as well as various draft
amendments are available on the committee's webpage. It is expected that outreach to the
planning board and community will begin in the spring of 2021,with a goal of bringing Articles
to the Fa112021 Special Town Meeting.
The Committee's proposed revisions will seek to create the necessary incentives to increase
production of the housing stock Lexington desires,based on the value statement created in phase
one of its work. The statement reflects an increased focus on sustainability and accessibility and
reiterates the desire for increased diversity of housing stock.
The value statement reads as follows:
Lexington seeks to encourage greater diversity of housing opportunities to meet the needs of a
diverse population with respect to income, ability, accessibility needs, number of persons in a
household and stage of life. Lexington seeks to fulfill this goal while preserving its culturc�l and
historical values and promoting growtl2 that is sustainable and sensitive to the natural
environment.
Lexington is mindful of supporting development that preserves liistorically or architecturally
significant buildings and landscape. The Town recognizes that not all of these values can be
applied to all sites but is committed to evc�luating each site as an opportunity to contribute to
serving and promoting these values Town wide.
Update on recent Home Ru1e Petitions
There were three home rule petition requests approved at the 2020 Annual Town Meeting or
Special Town Meetings. Two of these requests have been approved by the legislature and signed
by the Governor:
ATM 2020:Article 7: Petition General Court to Amend Legislation Regarding Tax Deferrals
• An Act Relative to Real Property Tax Deferrals in The Town of Lexington
Approved,January 13, 2021. Chapter 351 of the Acts of 2020
ATM 2020:Article 26: Amend Historic Districts Commission Enabling Legislation
• An Act Relative to The Historic Districts Commission in The Town of Lexington
Approved, January 8, 2021. Chapter 301 of the Acts of 2020
The third petition was submitted too late for consideration before the end of the legislative session
in 2020. This item has been submitted for consideration in the legislative session and has received
a docket number for processing:
8
STM 2020-2:Article 6 Authorize Special Legislation Development Surcharge for Community
Housing (Citizen Petition)
• HD 1715 -An Act authorizing a development surcharge for community housing in the
town of Lexington
Filed, February 10, 2021.
2025: The 250th Anniversary of the Sattle of Lexington
In anticipation of the 250�� Anniversary of the Battle of Lexington in year 2025, the Select Board
established the Semiquincentennial Commission (Lex250) in January 2020 as the official Town
entity dedicated to helping the Town of Lexington plan events. Recruitment for membership on
the Commission was delayed in calendar year 2020 due to the disruptions of COVID-19 and is
currently underway with the anticipation of naming the members in the Spring of 2021. A
member of the Lexington Select Board has also joined with representatives from the Towns of
Concord, Lincoln, Bedford, Arlington and representatives from Minuteman National Historical
Park and Hanscom Field to begin information sharing regarding events that may be planned in
the Battle Road Communities in 2025. There will be ample opportunities for interested residents
and groups to volunteer as part of Lex250 events, be sure to watch the Town Website, Town E-
Newsletter"Link to Lexington" and local papers for updates.
9
2021 ATM SELECT BOARD REPORT SECTIONS SCRIBE
Messa e of the Board Chair
Year of Un recedented Challen es Suzie
Bud etar Concerns and Stresses Joe
Social Racial Equity Initiatives Jill
Center Streetscape Update Mark
Munici al & School Buildin Pro'ects Mark
Update on Article 42 ATM 2018-Special Permit Residential Development Jill
�SPRD Referral to the Select Board
Update on recent Home Rule Petitions Joe
2025: The 250`h Anniversar of the Battle of Lexin ton Suzie
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Approve the Sale of Bonds and Notes
PRESENTER: ITEM
NUMBER:
Carolyn Kosnoff,Assistant Town
Manager for F inanc e L 6
SUMMARY:
A vote is Nequested for this agenda item.
On Tuesday, January 25, 2022, the sold a 15 year municipal bond to fmance $16.655M of ongoing capital
projects including the Center Streetscape, Pump Station Upgrades, Water System Improvements, Sidewalk
Improvements and DPW Equipment. Moody's Tnvestor Services conducted a review of the sale and rated the
Bonds Aaa which is the highest ratings that can be obtained by a municipality. A copy of the press release is
attached.
Six competitive bids were submitted for the bonds. The bids,based on a calculation of t�ue interest cost
(TIC), ranged from a high of 1.741% to a low of 1.536%. The winning bidder, Robert W. Baird & Co. Inc.,
offered a premium of$2.328M, which net of underwriting and issue costs, resulted in a re-sized Par Value of
$14.495M and TIC of 1.56%.
Closing documents for the bond sale are attached for the Select Board's review and signature.
SUGGESTED MOTION:
I Move: that the sale of the $14,495,000 General Obligation Municipal Purpose Loan of 2022 Bonds
of the Town dated Februaiy 10, 2022 (the"Bonds")to Robert W. Baird& Co., Inc. at the price of
$16,756,424.13 and accrued interest is hereby approved and confirmed. The Bonds shall be payable
on February 1 of the years and in the principal amounts and bear interest at the respective rates, as
follows:
Interest Interest
Year Amount Rate Year Amount Rate
2023 $1,145,000 5.00°/a 2030 $1,080,000 5.00°/a
2024 1,145,000 5.00 2031 1,080,000 5.00
2025 1,140,000 5.00 2032 1,080,000 5.00
2026 1,140,000 5.00 2034 1,395,000 3.00
2027 1,085,000 5.00 2036 1,390,000 2.00
2028 1,080,000 5.00 2037 655,000 2.00
2029 1,080,000 5.00
and further: that the Bonds maturing on February 1, 2034 and Februar}� 1, 2036(each a"Tenn Bond")
shall be subject to mandatory redemption or mature as follows:
Term Bond due Februar,�. 2034
Year Amount
2033 $700,000
2034* $695,000
*F inal Maturity
Term Bond due Februar� 1, 2036
Year Amo unt
2035 $695,000
2036* $695,000
*F inal Maturity
and Further: that in connection with the marketing and sale of the Bonds, the preparation and
distribution of a Notice of Sale and Preliininary Official Statement dated January ]9, 2022 and a fmal
Official Statement dated January 25, 2022, each in such form as may be approved by the Town
Treasurer,be and hereby are ratified, con�irmed, approved and adopted.
and Further: that any certificates or documents relating to the Bonds (collectively, the"Documents"),
may be executed in several counterparts, eacb of which shall be regarded as an original and all of which
shall constitute one and the same document; delivery of an executed counterpart of a signature page to
a Document by electronic mail in a".pdf'file or by other electronic transmission shall be as effective as
delivery of a manually executed counterpart signature page to such Document; and electronic signatures
on any of the Documents shall be deemed original signatures for the purposes of the Documents and all
matters relating thereto, having the same legal effect as original signatures.
and Further: that the Town Treasurer and the Select Board be, and hereby are, authorized to execute
and deliver a continuing disclosure undertalcing in compliance with SEC Rule 15c2-12 in such form as
may be approved by bond counsel to the Town, which undertaking shall be incoiporated by reference
in the Bonds, for the benefit of the holders of the Bonds from time to time.
and Further: that we authorize and direct the Town Treasurer to establish post issuance federal tax
compliance procedures and continuing disclosure procedures in such forms as the Town Treasurer and
bond counsel deem sufficient, or if such procedures are currently in place, to review and update said
procedures, in order to monitor and maintain the tax-exempt status ofi the Bonds and to comply with
relevant securities laws.
and Further: that each member of the Select Board, the Town Clerk and the Town Treasurer be and hereby
are, authorized to take any and all such actions, and execute and deliver such certificates, receipts or other
documents as may be determined by them, or any of them, to be necessary or convenient to carry into effect
the provisions of the foregoing votes.
FOLLOW UP:
Bond closing documents to be signed by Select Board.
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 8:SOpm
ATTACHMENTS:
Description Type
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MOODY'S
INVESTORS SERVICE
Rating Action: �o y�� ���i � �� t� L�xi �to , �� LT' � d�; �utlo�
�t� I�
�'� �D�u�� ����
New York, January 21, 2022--Moody's Investors Service has assigned a Aaa rating to the Town of Lexington,
MA's$16.7 million General Obligation Municipal Purpose Loan of 2022 Bonds. Moody's maintains the Aaa
rating on the town's outstanding general obligation unlimited tax(GOULT)and general obligation limited tax
(GOLT)bonds. The outlook is stable. Post sale the town will have$212 million in general obligation debt
outstanding.
RATINGS RATIONALE
The Aaa rating reflects a very strong tax base with high wealth and income indices, a stable financial position
with healthy reserves and liquidity, above-average debt burden and manageable unfunded pension and OPEB
liabilities. The rating also incorporates the town's strong fiscal management practices, including conservative
budgeting and planning as well as its commitment towards funding its long-term liabilities.
The lack of distinction between the GOULT and GOLT ratings reflects the town's ability to override the property
tax levy limit and the town's pledge of its full faith and credit.
RATING OUTLOOK
The stable outlook reflects the very strong tax base that is expected to continue to experience at least modest
growth over the outlook period given a strong housing market and biotech industry presence. The outlook also
considers the town's strong fiscal management that is committed to maintaining healthy reserves while
continuing to fund pension and OPEB liabilities.
FACTORS THAT COULD LEAD TO AN UPGRADE OF THE RATING
-Not applicable
FACTORS THAT COULD LEAD TO A DOWNGRADE OF THE RATING
-Material decline in reserves and liquidity
-Significant increase in the debt burden
-Material decline in the tax base and economy
LEGAL SECURITY
The bonds are backed by the town's full faith and credit general obligation limited tax pledge. Moody's
considers the pledge as limited tax because not all of the debt service has been voted by the town as excluded
from the tax levy limit of Proposition 2 1/2.
USE OF PROCEEDS
Bond proceeds will be used to redeem approximately$3.4 million in outstanding bond anticipation notes and
provide new money for various capital projects including water and wastewater system improvements, Bridge
elementary school roof replacement, Center Streetscape improvements and easements, sidewalk
improvements and pump station upgrades.
PROFILE
Located in Middlesex County the Town of Lexington is a wealthy suburb 11 miles northwest of the City of
Boston (Aaa stable). The town had a population of 33,340 as of the 2019 American Community Survey.
METHODOLOGY
The principal methodology used in this rating was US Local Government General Obligation Debt published in
January 2021 and available at http�:/( �v.rncacad}ts.ccam/rese�rchdcrcumerrtcorrtentpag�.aspx?
dacid=F'�fVl_1260094.Alternatively, please see the Rating Methodologies page on www.moodys.com for a
copy of this methodology.
REGULATORY DISCLOSURES
For further specification of Moody's key rating assumptions and sensitivity analysis, see the sections
Methodology Assumptions and Sensitivity to Assumptions in the disclosure form. Moody's Rating Symbols and
Definitions can be found at: https:// w.rncaody�.earn/rese�rchdocurrrentccantentpag�.�spx?
docid=F'E�C� 79004.
For ratings issued on a program, series, category/class of debt or security this announcement provides certain
regulatory disclosures in relation to each rating of a subsequently issued bond or note of the same series,
category/class of debt, security or pursuant to a program for which the ratings are derived exclusively from
existing ratings in accordance with Moody's rating practices. For ratings issued on a support provider, this
announcement provides certain regulatory disclosures in relation to the credit rating action on the support
provider and in relation to each particular credit rating action for securities that derive their credit ratings from
the support provider's credit rating. For provisional ratings, this announcement provides certain regulatory
disclosures in relation to the provisional rating assigned, and in relation to a definitive rating that may be
assigned subsequent to the final issuance of the debt, in each case where the transaction structure and terms
have not changed prior to the assignment of the definitive rating in a manner that would have affected the
rating. For further information please see the ratings tab on the issuer/entity page for the respective issuer on
www.moodys.com.
Regulatory disclosures contained in this press release apply to the credit rating and, if applicable, the related
rating outlook or rating review.
Moody's general principles for assessing environmental, social and governance (ESG)risks in our credit
analysis can be found at htfp://w .moodys.cc�m/r�searchdocurn�ntccant�ntp�g�.aspx?docid-F'E3�_1���235.
Please see www.moodys.com for any updates on changes to the lead rating analyst and to the Moody's legal
entity that has issued the rating.
Please see the ratings tab on the issuer/entity page on www.moodys.com for additional regulatory disclosures
for each credit rating.
Nicholas Lehman
Lead Analyst
REGIONAL_NE
Moody's Investors Service, Inc.
101 Arch Street
Boston 02110
JOURNALISTS: 1 212 553 0376
Client Service: 1 212 553 1653
Genevieve Nolan
Additional Contact
REGIONAL_SOUTHWEST
JOURNALISTS: 1 212 553 0376
Client Service: 1 212 553 1653
Releasing Office:
Moody's Investors Service, Inc.
250 Greenwich Street
New York, NY 10007
U.S.A
JOURNALISTS: 1 212 553 0376
Client Service: 1 212 553 1653
MOODY'S
INVESTORS SERVICE
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1/25/22, 11:30 AM PARITY Result Screen
�' �, Wire Inbox Parity Calendar
���� ��
11:30:40 a.m. EDST Upcoming Calendar Overview Compare Summary
Bid Results
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
The following bids were submitted using PARITY"and displayed ranked by lowest TIC.
Click on the name of each bidder to see the respective bids.
Bid Award" Bidder Name TIC
�, � Robert W. Baird &Co., Inc. 1.535843
Q� UBS Financial Services Inc. 1.596461
�� Fidelity Capital Markets 1.608151
� KeyBanc Capital Markets 1.611514
Q� J.P. Morgan Securities LLC 1.614965
� BofA Securities 1.740680
*Awarding the Bonds to a specific bidder will provide you with the Reoffering Prices and Yields.
o �� �-. . - -� .•-
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityResult&customer=TM3&issue_key_no=319855&sec_type=BD 1/1
1/25/22, 11:32 AM PARITY Bid Form
Upcoming Calendar O Res
verview ult Excel
Robert W. Baird 8� Co., Inc. - Red Bank , NJ's Bid _H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $19,167,079.31, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4500 104.421
02/01/2024 1,570M 5.0000 0.6700 108.481
02/01/2025 1,560M 5.0000 0.8000 112.322
02/01/2026 1,545M 5.0000 0.9200 115.888
02/01/2027 1,390M 5.0000 1.0000 119.365
02/01/2028 1,100M 5.0000 1.1000 122.493
02/01/2029 1,100M 5.0000 1.2000 125.352
02/01/2030 1,100M 5.0000 1.2500 128.379
02/01/2031 1,100M 5.0000 1.3000 131.247
02/01/2032 1,100M 5.0000 1.3500 130.754
02/01/2033
02/01/2034 1,420M 3.0000 1.5900 111.749
02/01/2035
02/01/2036 1,420M 2.0000 2.0000 100.000
02/01/2037 675M 2.0000 2.1000 98.720
Total Interest Cost: $4,383,512.50
Premium: $2,512,079.31
Net Interest Cost: $1,871,433.19
T I C: 1.535843
Time Last Bid Received On:01/25/2022 11:14:30 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: Robert W. Baird & Co., Inc., Red Bank , NJ
Contact: charles massaro
Title: director
Telephone:732-576-4410
Fax: 732-576-4420
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=6&sec_type=BD&bi... 1/2
1/25/22, 11:32 AM PARITY Bid Form
Upcoming Calendar O Res
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UBS Financial Services Inc. - New York , NY's Bid :H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $19,151,564.59, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4700 104.401
02/01/2024 1,570M 5.0000 0.7300 108.357
02/01/2025 1,560M 5.0000 0.8700 112.102
02/01/2026 1,545M 5.0000 0.9800 115.634
02/01/2027 1,390M 5.0000 1.0700 118.990
02/01/2028 1,100M 5.0000 1.1600 122.104
02/01/2029 1,100M 5.0000 1.2500 124.973
02/01/2030 1,100M 5.0000 1.3100 127.855
02/01/2031 1,100M 5.0000 1.3500 130.754
02/01/2032 1,100M 4.0000 1.4900 121.012
02/01/2033 710M 4.0000 1.5400 120.546
02/01/2034 710M 3.0000 1.7200 110.602
02/01/2035 710M 3.0000 1.7600 110.252
02/01/2036 710M 2.0000 2.1000 98.794
02/01/2037 675M 2.0000 2.1500 98.087
Total Interest Cost: $4,443,832.50
Premium: $2,496,564.59
Net Interest Cost: $1,947,267.91
TIC: 1.596461
Time Last Bid Received On:01/25/2022 11:25:27 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: UBS Financial Services Inc., New York , NY
Contact: Michael Ciliento
Title: Executive Director
Telephone:212-713-3000
Fax:
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=2&sec_type=BD&bi... 1/2
1/25/22, 11:33 AM PARITY Bid Form
Upcoming Calendar O Res
verview ult Excel
Fidelity Capital Markets - Boston , MA's Bid _H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $19,055,485.36, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4300 104.441
02/01/2024 1,570M 5.0000 0.6700 108.481
02/01/2025 1,560M 5.0000 0.8100 112.291
02/01/2026 1,545M 5.0000 0.9200 115.888
02/01/2027 1,390M 5.0000 1.0300 119.204
02/01/2028 1,100M 5.0000 1.1200 122.363
02/01/2029 1,100M 5.0000 1.2200 125.200
02/01/2030 1,100M 5.0000 1.3100 127.855
02/01/2031 1,100M 5.0000 1.3800 130.459
02/01/2032 1,100M 4.0000 1.4900 121.012
02/01/2033 710M 4.0000 1.5200 120.732
02/01/2034 710M 3.0000 1.7000 110.778
02/01/2035 710M 2.0000 2.0500 99.432
02/01/2036 710M 2.0000 2.1000 98.794
02/01/2037 675M 2.0000 2.1500 98.087
Total Interest Cost: $4,351,710.00
Premium: $2,400,485.36
Net Interest Cost: $1,951,224.64
TIC: 1.608151
Time Last Bid Received On:01/25/2022 11:29:29 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: Fidelity Capital Markets, Boston , MA
Contact: Dan Noonan
Title: Vice-President
Telephone:781-820-8150
Fax: 617-692-5949
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=4&sec_type=BD&bi... 1/2
1/25/22, 11:34 AM PARITY Bid Form
Upcoming Calendar O Res
verview ult Excel
KeyBanc Capital Markets - Cleveland , OH's Bid _H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $18,854,591.50, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4500 104.421
02/01/2024 1,570M 5.0000 0.6700 108.481
02/01/2025 1,560M 5.0000 0.8300 112.228
02/01/2026 1,545M 5.0000 0.9200 115.888
02/01/2027 1,390M 5.0000 1.0700 118.990
02/01/2028 1,100M 5.0000 1.1600 122.104
02/01/2029 1,100M 5.0000 1.2000 125.352
02/01/2030 1,100M 5.0000 1.3100 127.855
02/01/2031 1,100M 5.0000 1.4000 130.262
02/01/2032 1,100M 4.0000 1.4900 121.012
02/01/2033 710M 2.0000 2.0000 100.000
02/01/2034 710M 2.0000 2.0500 99.471
02/01/2035 710M 2.0000 2.1000 98.869
02/01/2036 710M 2.1250 2.1500 99.699
02/01/2037 675M 2.1250 2.2000 99.047
Total Interest Cost: $4,135,880.47
Premium: $2,199,591.51
Net Interest Cost: $1,936,288.96
TIC: 1.611514
Time Last Bid Received On:01/25/2022 11:18:06 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: KeyBanc Capital Markets, Cleveland , OH
Contact: Robert Bond
Title: Managing Director
Te I e p h o n e:720-904-4571
Fax:
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=8&sec_type=BD&bi... 1/2
1/25/22, 11:34 AM PARITY Bid Form
Upcoming Calendar O Res
verview ult Excel
J.P. Morgan Securities LLC - New York , NY's Bid _H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $19,207,653.25, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4800 104.391
02/01/2024 1,570M 5.0000 0.7200 108.378
02/01/2025 1,560M 5.0000 0.8600 112.134
02/01/2026 1,545M 5.0000 0.9800 115.634
02/01/2027 1,390M 5.0000 1.0700 118.990
02/01/2028 1,100M 5.0000 1.1600 122.104
02/01/2029 1,100M 5.0000 1.2500 124.973
02/01/2030 1,100M 5.0000 1.3100 127.855
02/01/2031 1,100M 5.0000 1.3800 130.459
02/01/2032 1,100M 4.0000 1.4900 121.012
02/01/2033 710M 4.0000 1.5700 120.268
02/01/2034 710M 4.0000 1.6400 119.620
02/01/2035 710M 3.0000 1.9100 108.950
02/01/2036 710M 2.0000 2.1500 98.197
02/01/2037 675M 2.0000 2.2200 97.209
Total Interest Cost: $4,528,855.00
Premium: $2,552,653.26
Net Interest Cost: $1,976,201.74
TIC: 1.614965
Time Last Bid Received On:01/25/2022 11:29:57 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: J.P. Morgan Securities LLC, New York, NY
Contact: Brian McGann
Title: Associate
Telephone:212-834-7155
Fax:
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=3&sec_type=BD&bi... 1/2
1/25/22, 11:34 AM PARITY Bid Form
Upcoming Calendar O Res
verview ult Excel
BofA Securities - New York , NY's Bid :H,�����m '�•.-
.:� �. .� �•-
Lexington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00, we will pay you $19,165,697.10, plus accrued interest from the date of
issue to the date of delivery. The Bonds are to bear interest at the followin rate s :
Maturity Date Amount$ Coupon % Yield % Dollar Price
02/01/2023 1,575M 5.0000 0.4400 104.431
02/01/2024 1,570M 5.0000 0.7000 108.419
02/01/2025 1,560M 5.0000 0.8500 112.165
02/01/2026 1,545M 5.0000 1.0000 115.549
02/01/2027 1,390M 5.0000 1.1200 118.723
02/01/2028 1,100M 5.0000 1.1600 122.104
02/01/2029 1,100M 5.0000 1.3100 124.519
02/01/2030 1,100M 5.0000 1.3600 127.421
02/01/2031 1,100M 5.0000 1.4000 130.262
02/01/2032 1,100M 4.0000 1.4900 121.012
02/01/2033 710M 4.0000 1.5000 120.919
02/01/2034 710M 3.0000 1.9500 108.606
02/01/2035 710M 3.0000 2.0000 108.177
02/01/2036 710M 3.0000 2.0400 107.836
02/01/2037 675M 3.0000 2.1000 107.326
Total Interest Cost: $4,644,136.25
Premium: $2,510,697.10
Net Interest Cost: $2,133,439.15
TIC: 1.740680
Time Last Bid Received On:01/25/2022 11:28:48 EST
This proposal is made subject to all of the terms and conditions of the Official Bid Form, the Official Notice of Sale, and the
Preliminary Official Statement, all of which are made a part hereof.
Bidder: BofA Securities, New York , NY
Contact: Robert Holmes
Title:
Te I e p h o n e:212-449-5081
Fax:
Issuer Name: Town of Lexington Company Name:
Accepted By: Accepted By:
Date: Date:
https://www.newissuehome.i-deal.com/Parity/asp/main.asp?page=parityBidform&customer=TM3&issue_key_no=319855&bid_no=7&sec_type=BD&bi... 1/2
TABLE OF CONTENTS
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Report Page
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Sources and Uses of Funds . . . . . . . . . . . . . . . . . . . . . . . . . . 1
Bond Summary Statistics . . . . . . . . . . . . . . . . . . . . . . . . . . . 4
Bond Debt Ser�ice . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6
Bond Maturity Table . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7
Proof of Arbitrage Yield . . . . . . . . . . . . . . . . . . . . . . . . . . . 9
Form 8038 Statistics . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11
Comprehensive Watershed Stormwater Management Study and Implementation
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 12
Townwide Culvert Replacement
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13
Center Streetscape Improvements and Easements I
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15
Center Streetscape improvements and Easements II
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 17
Hill Street New Sidewalk Project-Construction
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 19
Route 4/225 Transportation Improvement Project
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 20
Sidewalk linprovement
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22
Equipment Replacement 1
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 23
Equipment Replacement Ti
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24
Bridge Elementary School Roof
Bond Debt Se�vice . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 26
Pump Station Upgrades
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 27
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 28
Wastewater System Lmprovements
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29
Pump Station Upgrades 2
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 30
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 31
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem)
TABLE OF CONTENTS
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Report Page
Sewer Mains
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 32
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33
Water System Improvements
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35
Equipment Replacement-Compost
Bond Debt Service . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 36
Bond Pricing . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 37
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem)
SOURCES AND USES OF FUNDS
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Sources: General Water Sewer Compost Total
Bond Proceeds:
ParAmoimt 11,797,000.00 1,595,OOOAO 878,500.00 224,500.00 14,495,000.00
Net Preinium/OID 1,937,950.07 235,053.85 131,962.24 22,810.55 2,327,776.71
13,734,950.07 1,830,053.85 1,010,462.24 247,310.55 16,822,776.71
Uses: General Water Sewer Compost Total
Project Fund Deposits:
New Money 10,910,152.00 1,576,200.00 800,000.00 - 13,286,352.00
Retire Maturing Notes 2,689,848.00 235,000.00 200,000.00 244,300.00 3,369,148.00
13,600,000.00 1,8ll,200.00 1,000,000.00 244,300.00 16,655,500.00
Delivery Date Expenses:
Cost of Issuance 80,326.62 10,860.47 5,981.77 1,528.64 98,697.50
Underwriter's Discount 54,002.17 7,301.30 4,021.44 1,027.67 66,352.58
134,328.79 18,161.77 10,003.21 2,556.31 165,050.08
Other Uses of Funds:
Rounding Amount 621.28 692.08 459.03 454.24 2,226.63
13,734,950.07 1,830,053.85 1,010,462.24 247,310.55 16,822,776.71
Jan 25,2022 12:36 pm Prepared by HilltopSecurities-Public Finance(mem) Page 1
BOND SUMMARY STATISTICS
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Dated Date 02/10/2022
Deliveiy Date 02/10/2022
Last Maturity 02/O l/2037
Arbitrage Yield 1.424284%
True Interest Cost(TIC) 1.562928%
Net Interest Cost(NIC) 1.704275%
All-Tn TTC 1.656848%
Average Coupon 3.872308%
Average Life(years) 7.196
Weighted Average Maturiry(years) 7.171
Duration of Issue(years) 6.348
Par Amount 14,495,000.00
Bond Proceeds 16,822,776.71
Tota]Interest 4,039,112.51
Net Interest 1,777,688.38
Total Debt Service 18,534,112.51
Ma2cimum Annual Debt Service 1,764,612.51
Average Annual Debt Se�vice 1,237,670.28
Underwriter's Fees(per$1000)
Average Takedown -
Other Fee 4.577618
Total Underwriter's Discount 4.577618
Bid Price 115.601408
Par Average Average
Bond Coinponent Value Price Coupon Life
SERIES 11,055,000.00 1]9.650 5.000% 5.406
TERM1 1,395,000.00 111.749 3.000% 11.473
TERM2 1,390,000.00 100.000 2.000% 13.475
SERIES2 655,000.00 98.720 2.000% 14.975
14,495,OOOAO 7.196
All-In Arbitrage
TIC TTC Yield
Par Value 14,495,000.00 14,495,000.00 14,495,000.00
+Accrued Interest - - -
+Premium(Discount) 2,327,776.71 2,327,776.71 2,327,776.70
-Underwriter's Discount (66,352.58) (66,352.58)
-Cost of Issuance Expense (98,697.50)
-Other Amounts - - -
Target Value 16,756,424.13 ]6,657,726.63 16,822,776.70
Target Date 02/10/2022 02/10/2022 02/10/2022
Yield 1.562928% 1.656848% 1.424284%
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 4
BOND DEBT SERVICE
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 301,862.51 301,862.51 -
02/O1/2023 1,145,000 5.000% 317,750.00 1,462,750.00 -
06/30/2023 - - - - 1,764,612.51
08/O1/2023 - - 289,125.00 289,125.00 -
02/0 I/2024 1,I 45,000 5.000% 289,125.00 1,434,I 25.00 -
06/30/2024 - - - - 1,723,250.00
08/O1/2024 - - 260,500.00 260,500.00 -
02/O1/2025 1,140,000 5.000% 260,500.00 1,400,500.00 -
06/30/2025 - - - - 1,661,000.00
08/O1/2025 - - 232,000.00 232,000.00 -
02/OU2026 1,140,000 5.000% 232,000.00 1,372,000.00 -
06/30/2026 - - - - 1,604,000.00
08/OU2026 - - 203,500.00 203,500.00 -
02/O1/2027 ],085,000 5.000% 203,500.00 1,288,500.00 -
06/30/2027 - - - - 1,492,000.00
OS/O1/2027 - - 176,375.00 176,375.00 -
02/O1/2028 1,080,000 5.000% 176,375.00 1,256,375.00 -
06/30/2028 - - - - 1,432,750.00
08/O1/2028 - - 149,375.00 ]49,375.00 -
02/O1/2029 1,080,000 5.000% 149,375.00 1,229,375.00 -
06/30/2029 - - - - 1,378,750.00
08/O1/2029 - - 122,375.00 122,375.00 -
02/01/2030 1,080,000 5.000% 122,375.00 1,202,375.00 -
06/30/2030 - - - - 1,324,750.00
08/O1/2030 - - 95,375.00 95,375.00 -
02/O1/2031 1,080,000 5.000% 95,375.00 1,175,375.00 -
06/30/2031 - - - - 1,270,750.00
08/O1/2031 - - 68,375.00 68,375.00 -
02/OU2032 1,080,000 5.000% 68,375.00 1,148,375.00 -
06/30/2032 - - - - 1,216,750.00
08/OU2032 - - 41,375.00 41,375.00 -
02/O1/2033 700,000 3.000°/a 47,375.00 741,375.00 -
06/30/2033 - - - - 782,750.00
OS/O1/2033 - - 30,875.00 30,875.00 -
02/O1/2034 695,000 3.000% 30,875.00 725,875.00 -
06/30/2034 - - - - 756,750.00
08/O1/2034 - - 20,450.00 20,450.00 -
02/O1/2035 695,000 2.000% 20,450.00 715,450.00 -
06/30/2035 - - - - 735,900.00
08/O1/2035 - - 13,500.00 13,500.00 -
02/01/2036 695,000 2.000% 13,500.00 708,500.00 -
06/30/2036 - - - - 722,000.00
08/O1/2036 - - 6,550.00 6,550.00 -
02/O1/2037 655,000 2.000% 6,550.00 661,550.00 -
06/30/2037 - - - - 668,100.00
14,495,000 4,039,ll2.51 18,534,112.51 18,5�4,112.51
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 5
BOND PRICING
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 1,145,000 5.000% 0.450°/a 104.421
02/O1/2024 1,145,000 5.000% 0.670°/a 108.481
02/O1/2025 1,140,000 5.000% 0.800°/a 112322
02/Ol/2026 1,140,000 5.000% 0.920% 115.888
02/O1/2027 1,085,000 5.000% 1.000% 119.365
02/O1/2028 1,080,000 5.000% 1100°/a 122.493
02/O1/2029 1,080,000 5.000% 1.200% 125352
02/O1/2030 1,080,000 5.000% 1.250°/a 128379
02/O1/2031 1,080,000 5.000% 1.300°/a 131.247
02/O1/2032 1,080,000 5.000% 1.350°/a 130.754 C
11,055,000
TERM 1:
02/O1/2034 1,395,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/O1/2036 1,390,000 2.000% 2.000°/a 100.000
SERIES2:
02/O1/2037 655,000 2.000% 2.100°/a 98.720
14,495,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 14,495,000.00
Premium 2,327,776.71
Production 16,822,776.71 116.059170°/a
Underwriter's Discount (66,352.58) (0.457762%)
Purchase Price 16,756,424.13 1 15.601408%
Accrued interest -
Net Proceeds 16,756,424.13
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 6
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PROOF OF ARBITRAGE YIELD
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Present Value
to 02/10/2022
Date Debt Service Total @ 1.4242843465%
08/O1/2022 301,R62.51 301,862.51 299,834.39
02/Ol/2023 1,462,750.00 1,462,750.00 1,442,648.51
08/O1/2023 289,125.00 289,125.00 283,135.44
02/Ol/2024 I,434,125.00 1,434,125.00 1,394,484.73
08/O1/2024 260,500.00 260,500.00 251,SU8.49
02/O1/2025 1,400,500.00 1,400,500.00 1,342,598.64
08/O1/2025 232,000.00 232,000.00 220,835.68
02/Ol/2026 1,3 72,000.00 1,372,000.00 1,296,741.87
08/01/2026 203,500.00 203,500.00 190,977.41
02/01/2027 1,288,500.00 1,288,500.00 1,200,660.38
08/01/2027 176,375.00 176,375.00 163,189.03
02/Ol/2028 1,256,375.00 1,256,375.00 1,154,227.39
08/O]/2028 149,375.00 ]49,375.00 136,259.93
02/01/2029 1,229,375.00 1,229,375.00 1,113,506.61
08/O1/2029 122,375.00 122,375.00 110,057.41
02/O 1/2030 1,202,375.00 1,202,375.00 1,073,704.30
08/O1/2030 95,375.00 95,375.00 84,566.33
02/O1/203] 3,650,375.00 3,650,375.00 3,213,797.94
08/O1/2031 20,450.00 20,450.00 17,876.91
02/Ol/2032 20,450.00 20,450.00 17,750.51
08/O1/2032 20,450.00 20,450.00 17,624.99
02/Ol/2033 20,450.00 20,450.00 17,500.36
08/O1/2033 20,450.00 20,450.00 17,376.62
02/O1/2034 20,450.00 20,450.00 17,253.75
08/O1/2034 20,450.00 20,450.00 17,131.74
02/Ol/2035 715,450.00 715,450.00 595,121.59
08/01/2035 13,500.00 13,500.00 11,150.09
02/01/2036 708,500.00 708,500.00 581,035.42
08/01/2036 6,550.00 6,550.00 5,333.62
02/O1/2037 661,550.00 661,550.00 534,886.65
18,375,562.51 18,375,562.51 16,822,776.71
Proceeds Summary
Delivery date 02/10/2022
Par Value 14,495,000.00
Premium(Discount) 2,327,776.70
Target for yield calculation 16,822,776.70
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 9
PROOF OF ARBITRAGE YIELD
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Assumed Ca1UComputation Dates for Premium Bonds
Bond Maturity Call Call Yield To
Component Date Rate Yield Date Price CalUMaturity
SERIES 02/O1/2032 5.000% 1350% 02/O1/2031 100.000 13500850%
TERM 1 02/O1/2033 3.000°/a I.590% 02/O l/203 I 100.000 1.5901311%
TERMl 02/Ol/2034 3.000°/a 1.590% 02/O1/2031 100.000 L5901311%
Reiected Call/Computation Dates for Premium Bonds
Bond Maturity Call Call Yield To lncrease
Component Date Rate Yield Date Price Call/Maturity to Yield
SERIES 02/O1/2032 5.000% 1.350% - - 1.6445255% 0.2944405%
TERMl 02/O1/2033 3.000% 1.590% - - 1.8145442% 0.2244131%
TERM1 02/O1/2034 3.000% 1.590°/a - - 1.8985234% 0.3083922%
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 10
FORM 8038 STATISTICS
Town of Lexington,Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds dated January 27,2022
Dated Date 02/10/2022
Delivery Date 02/10/2022
Redeinption
Bond Component Date Principal Coupon Price Issue Price at Maturity
SERiES:
02/O1/2023 1,145,000.00 5.000% 104.421 1,195,620.45 1,145,000.00
02/O1/2024 1,145,000.00 5.000% 108.481 1,242,107.45 1,145,000.00
02/O1/2025 1,140,000.00 5.000% 112322 1,280,470.80 1,140,000.00
02/Ol/2026 1,140,000.00 5.000% 115.888 1,321,123.20 1,140,000.00
02/O1/2027 1,085,000.00 5.000% 119.365 1,295,110.25 1,085,000.00
02/O1/2028 1,080,000.00 5.000% 122.493 1,322,924.40 1,080,000.00
02/O1/2029 1,080,000.00 5.000% 125352 1,353,801.60 1,080,000.00
02/O1/2030 1,080,000.00 5.000% 128379 1,386,493.20 1,080,000.00
02/O]/2031 1,080,000.00 5.000% 13].247 1,417,467.60 1,080,000.00
02/O1/2032 1,080,000.00 5.000% 130.754 1,412,143.20 1,080,000.00
TERM 1:
02/Ol/2033 700,000.00 3.000% 111.749 782,243.00 700,000.00
02/O1/2034 695,000.00 3.000% 111.749 776,655.55 695,000.00
TERM2:
02/O1/2035 695,000.00 2.000% 100.000 695,000.00 695,000.00
02/Ol/2036 695,000.00 2.000% 100.000 695,000.00 695,000.00
SERIES2:
02/O1/2037 655,000.00 2.000% 98.720 646,616.00 655,000.00
14,495,000.00 16,822,776.70 14,495,000.00
Stated Weighted
Maturiry Interest Tssue Redemption Average
Date Rate Price at Maturiry Maturity Yield
Final Maturity 02/O1/2037 2.000% 646,616.00 655,000.00 - -
Entire issue - - 16,822,776.70 14,495,000.00 7.1709 1.4243%
Froceeds used for accrued interest 0.00
Proceeds used for bond issuance costs(including underwriters'discount) 165,050.08
Proceeds used for credit enhancement 0.00
Proceeds allocated to reasonably required reseive or replacement fund 0.00
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 11
BOND PRICING
Town of Lexington,Massachusetts
Comprehensive Watershed Storinwater Management Study and implementation
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
02/O1/2027 - 5.000% 1.000% 119.365
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount -
Originallssue Discount -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued Interest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 12
BOND PRICING
Town of Lexington,Massachusetts
Townwide Culvert Replacement
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
02/O1/2027 - 5.000% 1.000% 119.365
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount -
Originallssue Discount -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued Interest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 13
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Center Streetscape improvements and Easements I
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 10,212.50 10,212.50 -
02/O1/2023 40,000 5.000% 10,750.00 50,750.00 -
06/30/2023 - - - - 60,962.50
08/O1/2023 - - 9,750.00 9,750.00 -
02/01/2024 40,000 5.000% 9,750.00 49,750.00 -
06/30/2024 - - - - 59,SOOAO
08/O1/2024 - - 8,750.00 8,750.00 -
02/O1/2025 35,000 5.000% 8,750.00 43,750.00 -
06/30/2025 - - - - 52,500.00
08/O1/2025 - - 7,875.00 7,875.00 -
02/OU2026 35,000 5.000% 7,875.00 42,875.00 -
06/30/2026 - - - - 50,750.00
08/OU2026 - - 7,000.00 7,000.00 -
02/O1/2027 35,000 5.000% 7,000.00 42,000.00 -
06/30/2027 - - - - 49,000.00
OS/O1/2027 - - 6,125.00 6,125.00 -
02/O1/2028 35,000 5.000% 6,125.00 41,125.00 -
06/30/2028 - - - - 47,250.00
08/O1/2028 - - 5,250.00 5,250.00 -
02/O1/2029 35,000 5.000% 5,250.00 40,250.00 -
06/30/2029 - - - - 45,500.00
08/O1/2029 - - 4,375.00 4,375.00 -
02/01/2030 35,000 5.000% 4,375.00 39,375.00 -
06/30/2030 - - - - 43,750.00
08/O1/2030 - - 3,500.00 3,500.00 -
02/O1/2031 35,000 5.000% 3,500.00 38,500.00 -
06/30/2031 - - - - 42,000.00
08/O1/2031 - - 2,625.00 2,625.00 -
02/OU2032 35,000 5.000% 2,625.00 37,625.00 -
06/30/2032 - - - - 40,250.00
08/OU2032 - - 1,750.00 1,750.00 -
02/O1/2033 35,000 3.000% ],750.00 36,750.00 -
06/30/2033 - - - - 38,500.00
OS/O1/2033 - - 1,225.00 1,225.00 -
02/O1/2034 35,000 3.000% 1,225.00 36,225.00 -
06/30/2034 - - - - 37,450.00
08/O1/2034 - - 700.00 700.00 -
02/O1/2035 35,000 2.000% 700.00 35,700.00 -
06/30/2035 - - - - 36,400.00
08/O1/2035 - - 350.00 350.00 -
02/01/2036 35,000 2.000% 350.00 35,350.00 -
06/30/2036 - - - - 35,700.00
500,000 139,512.50 639,512.50 639,512.50
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 14
BOND PRICING
Town of Lexington,Massachusetts
Center Streetscape improvements and Easements I
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 40,000 5.000% 0.450°/a 104.421
02/O1/2024 40,000 5.000% 0.670°/a 108.481
02/O1/2025 35,000 5.000% 0.800°/a 112322
02/Ol/2026 35,000 5.000% 0.920°/a 115.888
02/O1/2027 35,000 5.000% 1.000% 119.365
02/O1/2028 35,000 5.000% 1100°/a 122.493
02/O1/2029 35,000 5.000% 1.200% 125352
02/Ol/2030 35,000 5.000% 1.250°/a 128379
02/O1/2031 35,000 5.000% 1.300°/a 131.247
02/O1/2032 35,000 5.000% 1.350°/a 130.754 C
360,000
TERM 1:
02/O1/2034 70,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/Ol/2036 70,000 2.000% 2.000% 100.000
500,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/O1/2022
Par Amount 500,000.00
Premium 78,415.10
Production 578,415.10 115.683020%
Underwriter's Discount (2,288.81) (0.457762%)
Pwchase Price 576,126.29 115.225258°/o
Accrued lnterest -
Net Proceeds 576,126.29
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 15
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Center Streetscape Improvements and Easements II
Annual
Period Debt Debt
Ending Principal Coupon Tnterest Se�vice Se�vice
08/O1/2022 - - 147,250 147,250 -
02/O1/2023 500,000 5.000% 155,000 655,000 -
06/30/2023 - - - - 802,250
08/O1/2023 - - 142,500 142,500 -
02/O1/2024 500,000 5.000% 142,500 642,500 -
06/30/2024 - - - - 785,000
08/O1/2024 - - 130,000 130,000 -
02/Ol/2025 500,000 5.000% 130,000 630,000 -
06/30/2025 - - - - 760,000
08/01/2025 - - ll7,500 ll7,500 -
02/01/2026 500,000 5.000% 117,500 617,500 -
06/30/2026 - - - - 735,000
08/O1/2026 - - ]05,000 105,000 -
02/O1/2027 500,000 5.000% 105,000 605,000 -
06/30/2027 - - - - 710,000
08/O1/2027 - - 92,500 92,500 -
02/Ol/2028 500,000 5.000% 92,500 592,500 -
O6/30/2028 - - - - 685,000
08/O1/2028 - - 80,000 80,000 -
02/O1/2029 500,000 5.000% 80,000 58Q000 -
06/30/2029 - - - - 660,000
08/O1/2029 - - 67,500 67,500 -
02/O1/2030 500,000 5.000% 67,500 567,500 -
O6/30/2030 - - - - 635,000
08/O1/2030 - - 55,000 55,000 -
02/Ol/2031 500,000 5.000% 55,000 555,000 -
06/30/2031 - - - - 610,000
08/01/2031 - - 42,500 42,500 -
02/01/2032 500,000 5.000% 42,500 542,500 -
06/30/2032 - - - - 585,000
08/O1/2032 - - 30,000 30,000 -
02/01/2033 500,000 3.000% 30,000 530,000 -
06/30/2033 - - - - 560,000
08/O1/2033 - - 22,500 22,500 -
02/O1/2034 500,000 3.000% 22,500 522,500 -
O6/30/2034 - - - - 545,000
08/O1/2034 - - 15,000 15,000 -
02/O1/2035 500,000 2.000% 15,000 515,000 -
06/30/2035 - - - - 530,000
08/O1/2035 - - 10,000 10,000 -
02/O1/203G 500,000 2.000% 10,000 510,000 -
OG/30/2036 - - - - 520,000
08/O1/2036 - - 5,000 5,000 -
02/O1/2037 500,000 2.000% 5,000 505,000 -
06/30/2037 - - - - 510,000
7,500,000 2,132,250 9,632,250 9,632,250
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 16
BOND PRICING
Town of Lexington,Massachusetts
Center Streetscape Improvements and Easements II
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 500,000 5.000% 0.450°/a 104.421
02/O1/2024 500,000 5.000% 0.670°/a 108.481
02/O1/2025 500,000 5.000% 0.800°/a ll2322
02/Ol/2026 500,000 5.000% 0.920% 115.888
02/O1/2027 SOU,000 5.000% 1.000% ll9.365
02/O1/2028 500,000 5.000% 1100°/a 122.493
02/O1/2029 500,000 5.000% 1.200% 125352
02/O1/2030 500,000 5.000% 1.250°/a 128379
02/O1/2031 500,000 5.000% 1.300°/a 131.247
02/O1/2032 500,000 5.000% 1350% 130.754 C
5,000,000
TERM 1:
02/O1/2034 1,000,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/O1/2036 1,000,000 2.000% 2.000% 100.000
SERIES2:
02/O1/2037 500,000 2.000% 2.100°/a 98.720
7,500,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 7,500,000.00
Premium 1,104,600.00
Production 8,604,600.00 114.728000%
Underwriter's Discount (34,332.14) (0.457762%)
Purchase Price 8,570,267.86 1 14.270238%
Accrued interest -
Net Proceeds 8,570,267.86
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 17
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Hill Street New Side��alk R-oject-Construction
Annual
Period Debt Debt
Ending Principal Coupon Tnterest Se�vice Se�vice
08/O1/2022 - - 23,750 23,750 -
02/O1/2023 100,000 5.000% 25,000 125,000 -
06/30/2023 - - - - 148,750
08/O1/2023 - - 22,500 22,500 -
02/O1/2024 100,000 5.000% 22,500 122,500 -
06/30/2024 - - - - 145,000
08/O1/2024 - - 20,000 20,000 -
02/Ol/2025 100,000 5.000% 20,000 120,000 -
06/30/2025 - - - - 140,000
08/01/2025 - - 17,500 17,500 -
02/01/2026 100,000 5.000% 17,500 117,500 -
06/30/2026 - - - - 135,000
08/O1/2026 - - ]5,000 15,000 -
02/01/2027 100,000 5.000% 15,000 ll5,000 -
06/30/2027 - - - - 130,000
08/O1/2027 - - 12,500 12,500 -
02/Ol/2028 100,000 5.000% 12,500 112,500 -
O6/30/2028 - - - - 125,000
08/O1/2028 - - 10,000 10,000 -
02/O1/2029 100,000 5.000% 10,000 110,000 -
06/30/2029 - - - - 120,000
08/O1/2029 - - 7,500 7,500 -
02/O1/2030 100,000 5.000% 7,500 107,500 -
06/30/2030 - - - - ll5,000
08/O1/2030 - - 5,000 5,000 -
02/Ol/2031 100,000 5.000% 5,000 105,000 -
06/30/2031 - - - - 110,000
08/01/2031 - - 2,500 2,500 -
02/01/2032 100,000 5.000% 2,500 102,500 -
06/30/2032 - - - - 105,000
1,000,000 273,750 1,273,750 1,273,750
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 18
BOND PRICING
Town of Lexington,Massachusetts
Hill Street New Side��alk R-oject-Construction
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 100,000 5.000% 0.450°/a 104.421
02/O1/2024 100,000 5.000% 0.670°/a 108.481
02/O1/2025 100,000 5.000% 0.800°/a ll2322
02/Ol/2026 100,000 5.000% 0.920% 115.888
02/O1/2027 10U,000 5.000% 1.000% ll9.365
02/O1/2028 100,000 5.000% 1100°/a 122.493
02/O1/2029 100,000 5.000% 1.200% 125352
02/O1/2030 100,000 5.000% 1.250°/a 128379
02/O1/2031 100,000 5.000% 1.300°/a 131.247
02/O1/2032 100,000 5.000% 1350% 130.754 C
1,000,000
Dated Date 02/10/2022
Deliveiy Date 02/10/2022
First Coupon 08/O1/2022
Par Amount 1,000,000.00
Premium 198,702.00
Production 1,198,702.00 1 I 9.870200%
Underwriter's Discount (4,577.62) (0.457762%)
Purchase Price 1,194,12438 119.412438%
Accrued Interest -
Net Proceeds 1,194,12438
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 19
BOND PRICING
Town of Lexington,Massachusetts
Route 4/225 Transportation improvement Project
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
02/O1/2027 - 5.000% 1.000% 119.365
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount -
Originallssue Discount -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued Interest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 20
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Sidewall:improvement
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 18,928.75 18,928.75 -
02/O1/2023 77,000 5.000% 19,925.00 96,925.00 -
06/30/2023 - - - - ll5,853.75
08/O1/2023 - - 18,000.00 18,000.00 -
02/01/2024 80,000 5.000% 18,000.00 98,000.00 -
06/30/2024 - - - - 116,000.00
08/O1/2024 - - 16,000.00 16,000.00 -
02/O1/2025 80,000 5.000% 16,000.00 96,000.00 -
06/30/2025 - - - - 112,000.00
08/O1/2025 - - 14,000.00 14,000.00 -
02/OU2026 80,000 5.000% 14,000.00 94,000.00 -
06/30/2026 - - - - 108,000.00
08/OU2026 - - 12,000.00 12,000.00 -
02/O1/2027 80,000 5.000% 12,000.00 92,000.00 -
06/30/2027 - - - - 104,000.00
OS/O1/2027 - - 10,000.00 10,000.00 -
02/O1/2028 80,000 5.000% 10,000.00 90,000.00 -
06/30/2028 - - - - 100,000.00
08/O1/2028 - - 8,000.00 8,000.00 -
02/O1/2029 80,000 5.000% 8,000.00 88,000.00 -
06/30/2029 - - - - 96,000.00
08/O1/2029 - - 6,000.00 6,000.00 -
02/01/2030 80,000 5.000% 6,000.00 86,000.00 -
06/30/2030 - - - - 92,000.00
08/O1/2030 - - 4,000.00 4,000.00 -
02/O1/2031 80,000 5.000% 4,000.00 84,000.00 -
06/30/2031 - - - - 88,000.00
08/O1/2031 - - 2,000.00 2,000.00 -
02/OU2032 80,000 5.000% 2,000.00 82,000.00 -
06/30/2032 - - - - 84,000.00
797,000 218,853.75 1,015,853.75 1,015,853.75
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 21
BOND PRICING
Town of Lexington,Massachusetts
Sidewall:improvement
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 77,000 5.000% 0.450°/a 104.421
02/O1/2024 80,000 5.000% 0.670°/a 108.481
02/O1/2025 80,000 5.000% 0.800°/a 112322
02/Ol/2026 80,000 5.000% 0.920% 115.888
02/O1/2027 8U,000 5.000% 1.000% 119.365
02/O1/2028 80,000 5.000% 1100°/a 122.493
02/O1/2029 80,000 5.000% L200% 125352
02/Ol/2030 80,000 5.000% 1.250°/a 128379
02/O1/2031 80,000 5.000% 1.300°/a 131.247
02/O1/2032 80,000 5.000% 1.350°/a 130.754 C
797,000
Dated Date 02/10/2022
Deliveiy Date 02/10/2022
First Coupon 08/O1/2022
Par Amount 797,000.00
Premium 158,82897
Production 955,828.97 119.928353%
Underwriter's Discount (3,648.36) (0.457762%)
Purchase Price 952,180.61 119.470591%
Accrued Interest -
Net Proceeds 952,180.61
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 22
BOND PRICING
Town of Lexington,Massachusetts
Equipment Rep1acement i
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount -
Original Issue Discount -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued lnterest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 23
BOND PRICING
Town of Lexington,Massachusetts
Equipment Rep1acement IT
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
02/O1/2027 - 5.000% 1.000% 119.365
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount -
Originallssue Discount -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued Interest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 24
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Bridge Elementary School Roof
Annual
Period Debt Debt
Ending Principal Coupon Tnterest Se�vice Se�vice
08/O1/2022 - - 47,500 47,500 -
02/O1/2023 200,000 5.000% 50,000 250,000 -
06/30/2023 - - - - 297,500
08/O1/2023 - - 45,000 45,000 -
02/O1/2024 200,000 5.000% 45,000 245,000 -
06/30/2024 - - - - 290,000
08/O1/2024 - - 40,000 40,000 -
02/Ol/2025 200,000 5.000% 40,000 240,000 -
06/30/2025 - - - - 280,000
08/01/2025 - - 35,000 35,000 -
02/01/2026 200,000 5.000% 35,000 235,000 -
06/30/2026 - - - - 270,000
08/O1/2026 - - 30,000 30,000 -
02/O1/2027 200,000 5.000% 30,000 230,000 -
06/30/2027 - - - - 260,000
08/O1/2027 - - 25,000 25,000 -
02/Ol/2028 200,000 5.000% 25,000 225,000 -
O6/30/2028 - - - - 250,000
08/O1/2028 - - 20,000 20,000 -
02/O1/2029 200,000 5.000% 20,000 220,000 -
06/30/2029 - - - - 240,000
08/O1/2029 - - 15,000 I5,000 -
02/O1/2030 200,000 5.000% 15,000 215,000 -
06/30/2030 - - - - 230,000
08/O1/2030 - - 10,000 10,000 -
02/Ol/2031 200,000 5.000% 10,000 210,000 -
06/30/2031 - - - - 220,000
08/01/2031 - - 5,000 5,000 -
02/01/2032 200,000 5.000% 5,000 205,000 -
06/30/2032 - - - - 210,000
2,000,000 547,500 2,547,500 2,547,500
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 25
BOND PRICING
Town of Lexington,Massachusetts
Bridge Elementary School Roof
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 200,000 5.000% 0.450°/a 104.421
02/O1/2024 200,000 5.000% 0.670°/a 108.481
02/O1/2025 200,000 5.000% 0.800°/a ll2322
02/Ol/2026 200,000 5.000% 0.920% 115.888
02/O1/2027 20U,000 5.000% 1.000% ll9.365
02/O1/2028 200,000 5.000% 1100°/a 122.493
02/O1/2029 200,000 5.000% 1.200% 125352
02/O1/2030 200,000 5.000% 1.250°/a 128379
02/O1/2031 200,000 5.000% 1.300°/a 131.247
02/O1/2032 200,000 5.000% 1350% 130.754 C
2,000,000
Dated Date 02/10/2022
Deliveiy Date 02/10/2022
First Coupon 08/O1/2022
Par Amount 2,000,000.00
Premium 397,404.00
Production 2,397,404.00 1 I 9.870200%
Underwriter's Discount (9,155.24) (0.457762%)
Purchase Price 2,388,248.76 119.412438%
Accrued Interest -
Net Proceeds 2,388,248.76
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 26
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Pump Station Upgrades
Annual
Period Debt Debt
Ending Principal Coupon Tnterest Se�vice Se�vice
08/O1/2022 - - 11,780 11,780 -
02/O1/2023 40,000 5.000% 12,400 52,400 -
06/30/2023 - - - - 64,180
08/O1/2023 - - 11,400 11,400 -
02/Ol/2024 40,000 5.000% 11,400 51,400 -
06/30/2024 - - - - 62,800
08/O1/2024 - - 10,400 10,400 -
02/Ol/2025 40,000 5.000% 10,400 50,400 -
06/30/2025 - - - - 60,800
08/01/2025 - - 9,400 9,400 -
02/01/2026 40,000 5.000% 9,400 49,400 -
06/30/2026 - - - - 58,800
08/O1/2026 - - 8,400 8,400 -
02/O1/2027 40,000 5.000% 8,400 48,400 -
06/30/2027 - - - - 56,800
08/O1/2027 - - 7,400 7,400 -
02/Ol/2028 40,000 5.000% 7,400 47,400 -
O6/30/2028 - - - - 54,800
08/O1/2028 - - 6,400 6,400 -
02/O1/2029 40,000 5.000% 6,400 46,400 -
06/30/2029 - - - - 52,800
08/O1/2029 - - 5,400 5,400 -
02/O1/2030 40,000 5.000% 5,400 45,400 -
O6/30/2030 - - - - 50,800
08/O1/2030 - - 4,400 4,400 -
02/Ol/2031 40,000 5.000% 4,400 44,400 -
06/30/2031 - - - - 48,800
08/01/2031 - - 3,400 3,400 -
02/01/2032 40,000 5.000% 3,400 43,400 -
06/30/2032 - - - - 46,800
08/O1/2032 - - 2,400 2,400 -
02/01/2033 40,000 3.000% 2,400 42,400 -
06/30/2033 - - - - 44,800
08/O1/2033 - - 1,800 1,800 -
02/O1/2034 40,000 3.000% 1,800 41,800 -
O6/30/2034 - - - - 43,600
08/O1/2034 - - 1,200 1,200 -
02/O1/2035 40,000 2.000% 1,200 41,200 -
06/30/2035 - - - - 42,400
08/O1/2035 - - 800 800 -
02/O1/203G 40,000 2.000% 800 40,800 -
OG/30/2036 - - - - 41,600
08/O1/2036 - - 400 400 -
02/O1/2037 40,000 2.000% 400 40,400 -
06/30/2037 - - - - 40,800
600,000 170,580 770,580 770,580
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 27
BOND PRICING
Town of Lexington,Massachusetts
Pump Station Upgrades
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 40,000 5.000% 0.450°/a 104.421
02/O1/2024 40,000 5.000% 0.670°/a 108.481
02/O1/2025 40,000 5.000% 0.800°/a 112322
02/Ol/2026 40,000 5.000% 0.920% 115.888
02/O1/2027 4U,000 5.000% 1.000% 119.365
02/O1/2028 40,000 5.000% 1100°/a 122.493
02/O1/2029 40,000 5.000% L200% 125352
02/Ol/2030 40,000 5.000% 1.250°/a 128379
02/O1/2031 40,000 5.000% 1.300°/a 131.247
02/O1/2032 40,000 5.000% 1.350°/a 130.754 C
400,000
TERM 1:
02/O1/2034 80,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/Ol/2036 80,000 2.000% 2.000% 100.000
SERIES2:
02/O1/2037 40,000 2.000% 2100°/a 98.720
600,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 600,000.00
Premium 88,368.00
Production 688,368.00 114.728000°/a
Underwriter's Discount (2,746.57) (0.457762%)
Purchase Price 685,621.43 114.270238%
Accrued interest -
Net Proceeds 685,621.43
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 28
BOND PRICING
Town of Lexington,Massachusetts
Wastewater System Improvements
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 - 5.000% 0.450°/a 104.421
02/O1/2024 - 5.000% 0.670°/a 108.481
02/O1/2025 - 5.000% 0.800°/a 112322
02/Ol/2026 - 5.000% 0.920°/a 115.888
02/O1/2027 - 5.000% 1.000% 119.365
02/O1/2028 - 5.000% 1100°/a 122.493
02/O1/2029 - 5.000% 1.200% 125352
02/O1/2030 - 5.000% 1.250°/a 128379
02/O1/2031 - 5.000% 1.300°/a 131.247
02/O1/2032 - 5.000% 1350% 130.754 C
0
Dated Date 02/10/2022
Delivery Date 02/10/2022
Fi rst Coupon 08/O1/2022
Par Amount -
Original lssue Discoimt -
Production - -
Underwriter's Discount - -
Purchase Price - -
Accrued interest -
Net Proceeds -
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 29
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Pump Station Upgrades 2
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 13,846.25 13,846.25 -
02/O1/2023 50,000 5.000% 14,575.00 64,575.00 -
06/30/2023 - - - - 78,421.25
08/O1/2023 - - 13,325.00 13,325.00 -
02/01/2024 50,000 5.000% 13,325.00 63,325.00 -
06/30/2024 - - - - 76,650A0
08/O1/2024 - - 12,075.00 12,075.00 -
02/O1/2025 50,000 5.000% 12,075.00 62,075.00 -
06/30/2025 - - - - 74,150.00
08/O1/2025 - - 10,825.00 10,825.00 -
02/OU2026 50,000 5.000% 10,825.00 60,825.00 -
06/30/2026 - - - - 71,650.00
08/OU2026 - - 9,575.00 9,575.00 -
02/O1/2027 50,000 5.000% 9,575.00 59,575.00 -
06/30/2027 - - - - 69,150.00
OS/O1/2027 - - 8,325.00 8,325.00 -
02/O1/2028 45,000 5.000% 8,325.00 53,325.00 -
06/30/2028 - - - - 61,650.00
08/O1/2028 - - 7,200.00 7,200.00 -
02/O1/2029 45,000 5.000% 7,200.00 52,200.00 -
06/30/2029 - - - - 59,400.00
08/O1/2029 - - 6,075.00 6,075.00 -
02/01/2030 45,000 5.000% 6,075.00 51,075.00 -
06/30/2030 - - - - 57,150.00
08/O1/2030 - - 4,950.00 4,950.00 -
02/O1/20i1 45,000 5.000% 4,950.00 49,950.00 -
06/30/2031 - - - - 54,900.00
08/O1/2031 - - 3,825.00 3,825.00 -
02/OU2032 45,000 5.000% 3,825.00 48,825.00 -
06/30/2032 - - - - 52,650.00
08/OU2032 - - 2,700.00 2,700.00 -
02/O1/2033 45,000 3.000% 2,700.00 47,700.00 -
06/30/2033 - - - - 50,400.00
OS/O1/2033 - - 2,025.00 2,025.00 -
02/O1/2034 45,000 3.000% 2,025.00 47,025.00 -
06/30/2034 - - - - 49,050.00
08/O1/2034 - - 1,350.00 1,350.00 -
02/O1/2035 45,000 2.000% 1,350.00 46,350.00 -
06/30/2035 - - - - 47,700.00
08/O1/2035 - - 900.00 900.00 -
02/01/2036 45,000 2.000% 900.00 45,900.00 -
06/30/2036 - - - - 46,800.00
08/O1/2036 - - 450.00 450.00 -
02/O1/2037 45,000 2.000% 450.00 45,450.00 -
06/30/2037 - - - - 45,900.00
700,000 195,621.25 895,621.25 895,621.25
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 30
BOND PRICING
Town of Lexington,Massachusetts
Pump Station Upgrades 2
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 50,000 5.000% 0.450°/a 104.421
02/O1/2024 50,000 5.000% 0.670°/a 108.481
02/O1/2025 50,000 5.000% 0.800°/a 112322
02/Ol/2026 50,000 5.000% 0.920% 115.888
02/O1/2027 SU,000 5.000% 1.000% 119.365
02/O1/2028 45,000 5.000% 1100°/a 122.493
02/O1/2029 45,000 5.000% L200% 125352
02/Ol/2030 45,000 5.000% 1.250°/a 128379
02/O1/2031 45,000 5.000% 1.300°/a 131.247
02/O1/2032 45,000 5.000% 1.350°/a 130.754 C
475,000
TERM 1:
02/O1/2034 90,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/Ol/2036 90,000 2.000% 2.000% 100.000
SERIES2:
02/O1/2037 45,000 2.000% 2100°/a 98.720
700,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 700,000.00
Premium 102,437.85
Production 802,437.85 114.633979°/a
Underwriter's Discount (3,204.33) (0.457761%)
Purchase Price 799,233.52 114.176217%
Accrued interest -
Net Proceeds 799,233.52
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 31
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Sewer Mains
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 5,842.50 5,842.50 -
02/O1/2023 20,000 5.000% 6,150.00 26,150.00 -
06/30/2023 - - - - 31,992.50
08/O1/2023 - - 5,650.00 5,650.00 -
02/01/2024 20,000 5.000% 5,650.00 25,650.00 -
06/30/2024 - - - - 31,300A0
08/O1/2024 - - 5,150.00 5,150.00 -
02/O1/2025 20,000 5.000% 5,150.00 25,150.00 -
06/30/2025 - - - - 30,300.00
08/O1/2025 - - 4,650.00 4,650.00 -
02/OU2026 20,000 5.000% 4,650.00 24,650.00 -
06/30/2026 - - - - 29,300.00
08/OU2026 - - 4,150.00 4,150.00 -
02/O 1/2027 20,000 5.000% 4,]50.00 24,150.00 -
06/30/2027 - - - - 28,300.00
OS/O1/2027 - - 3,650.00 3,650.00 -
02/O1/2028 20,000 5.000% 3,650.00 23,650.00 -
06/30/2028 - - - - 27,300.00
08/O1/2028 - - 3,150.00 3,150.00 -
02/O1/2029 20,000 5.000% 3,150.00 23,150.00 -
06/30/2029 - - - - 26,300.00
08/O1/2029 - - 2,650.00 2,650.00 -
02/01/2030 20,000 5.000% 2,650.00 22,650.00 -
06/30/2030 - - - - 25,300.00
08/O1/2030 - - 2,150.00 2,150.00 -
02/O1/2031 20,000 5.000% 2,150.00 22,150.00 -
06/30/2031 - - - - 24,300.00
08/O1/2031 - - 1,650.00 1,650.00 -
02/OU2032 20,000 5.000% 1,650.00 21,650.00 -
06/30/2032 - - - - 23,300.00
08/OU2032 - - 1,150.00 1,150.00 -
02/O 1/2033 20,000 3.000% ],]50.00 21,150.00 -
06/30/2033 - - - - 22,300.00
OS/O1/2033 - - 850.00 850.00 -
02/O1/2034 20,000 3.000% 850.00 20,850.00 -
06/30/2034 - - - - 21,700.00
08/O1/2034 - - 550.00 550.00 -
02/O1/2035 20,000 2.000% 550.00 20,550.00 -
06/30/2035 - - - - 21,100.00
08/O1/2035 - - 350.00 350.00 -
02/01/2036 20,000 2.000% 350.00 20,350.00 -
06/30/2036 - - - - 20,700.00
08/O1/2036 - - 150.00 150.00 -
02/O1/2037 15,000 2.000% 150.00 15,150.00 -
06/30/2037 - - - - 15,300.00
295,000 83,792.50 378,792.50 378,792.50
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 32
BOND PRICING
Town of Lexington,Massachusetts
Sewer Mains
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 20,000 5.000% 0.450°/a 104.421
02/O1/2024 20,000 5.000% 0.670°/a 108.481
02/O1/2025 20,000 5.000% 0.800°/a 112322
02/Ol/2026 20,000 5.000% 0.920% 115.888
02/O1/2027 2U,000 5.000% 1.000% 119.365
02/O1/2028 20,000 5.000% 1100°/a 122.493
02/O1/2029 20,000 5.000% L200% 125352
02/Ol/2030 20,000 5.000% 1.250°/a 128379
02/O1/2031 20,000 5.000% 1.300°/a 131.247
02/O1/2032 20,000 5.000% 1.350°/a 130.754 C
200,000
TERM 1:
02/O1/2034 40,000 3.000% 1.590°/a 1ll.749 C
TERM2:
02/Ol/2036 40,000 2.000% 2.000°/a 100.000
SERIES2:
02/O1/2037 15,000 2.000% 2100°/a 98.720
295,000
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 295,000.00
Premium 44,248.00
Production 339,248.00 114.999322°/a
Underwriter's Discount (1,350.40) (0.457763%)
Purchase Price 337,897.60 114.54i 559%
Accrued interest -
Net Proceeds 337,897.60
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 33
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Water System Improvements
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 17,420.63 17,420.63 -
02/O1/2023 58,500 5.000% 18,337.50 76,837.50 -
06/30/2023 - - - - 94,258.13
08/O1/2023 - - 16,875.00 16,875.00 -
02/01/2024 60,000 5.000% 16,875.00 76,875.00 -
06/30/2024 - - - - 93,750A0
08/O1/2024 - - 15,375.00 15,375.00 -
02/O1/2025 60,000 5.000% 15,375.00 75,375.00 -
06/30/2025 - - - - 90,750.00
08/O1/2025 - - 13,875.00 13,875.00 -
02/OU2026 60,000 5.000% 13,875.00 73,875.00 -
06/30/2026 - - - - 87,750.00
08/OU2026 - - 12,375.00 12,375.00 -
02/O1/2027 60,000 5.000% 12,375.00 72,375.00 -
06/30/2027 - - - - 84,750.00
OS/O1/2027 - - 10,875.00 10,875.00 -
02/O1/2028 60,000 5.000% 10,875.00 70,875.00 -
06/30/2028 - - - - 81,750.00
08/O1/2028 - - 9,375.00 9,375.00 -
02/O1/2029 60,000 5.000% 9,375.00 69,375.00 -
06/30/2029 - - - - 78,750.00
08/O1/2029 - - 7,875.00 7,875.00 -
02/01/2030 60,000 5.000% 7,875.00 67,875.00 -
06/30/2030 - - - - 75,750.00
08/O1/2030 - - 6,375.00 6,375.00 -
02/O1/2031 60,000 5.000% 6,375.00 66,375.00 -
06/30/2031 - - - - 72,750.00
08/O1/2031 - - 4,875.00 4,875.00 -
02/OU2032 60,000 5.000% 4,875.00 64,875.00 -
06/30/2032 - - - - 69,750.00
08/OU2032 - - 3,375.00 3,375.00 -
02/O1/2033 60,000 3.000% 3,375.00 63,375.00 -
06/30/2033 - - - - 66,750.00
OS/O1/2033 - - 2,475.00 2,475.00 -
02/O1/2034 55,000 3.000% 2,475.00 57,475.00 -
06/30/2034 - - - - 59,950.00
08/O1/2034 - - 1,650.00 1,650.00 -
02/O1/2035 55,000 2.000% 1,650.00 56,650.00 -
06/30/2035 - - - - 58,300.00
08/O1/2035 - - 1,100.00 1,100.00 -
02/01/2036 55,000 2.000% 1,100.00 56,I 00.00 -
06/30/2036 - - - - 57,200.00
08/O1/2036 - - 550.00 550.00 -
02/O1/2037 55,000 2.000% 550.00 55,550.00 -
06/30/2037 - - - - 56,100.00
878,500 249,80813 1,128,308.13 1,128,30813
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 34
BOND PRICING
Town of Lexington,Massachusetts
Water System Improvements
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 58,500 5.000% 0.450°/a 104.421
02/O1/2024 60,000 5.000% 0.670°/a 108.481
02/O1/2025 60,000 5.000% 0.800°/a 112322
02/Ol/2026 60,000 5.000% 0.920% 115.888
02/O1/2027 6U,000 5.000% 1.000% 119.365
02/O1/2028 60,000 5.000% 1100°/a 122.493
02/O1/2029 60,000 5.000% L200% 125352
02/Ol/2030 60,000 5.000% 1.250°/a 128379
02/O1/2031 60,000 5.000% 1.300°/a 131.247
02/O1/2032 60,000 5.000% 1.350°/a 130.754 C
598,500
TERM 1:
02/O1/2034 115,000 3.000% 1.590°/a ll1.749 C
TERM2:
02/O1/2036 110,000 2.000% 2.000°/a 100.000
SERIES2:
02/O1/2037 55,000 2.000% 2100°/a 98.720
878,500
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amount 878,500.00
Premium 131,962.24
Production 1,010,462.24 115.021314%
Underwriter's Discount (4,021.44) (0.457762%)
Purchase Price 1,006,440.80 1 14.563552%
Accrued interest -
Net Proceeds 1,006,440.80
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 35
BOND DEBT SERVICE
Town of Lexington,Massachusetts
Equipment Replacement-Compost
Period Annual
Ending Principal Coupon lnterest Debt Service Debt Service
08/O1/2022 - - 5,331.88 5,331.88 -
02/O1/2023 59,500 5.000% 5,612.50 65,112.50 -
06/30/2023 - - - - 70,444.38
08/O1/2023 - - 4,125.00 4,125.00 -
02/01/2024 55,000 5.000% 4,125.00 59,125.00 -
06/30/2024 - - - - 63,250A0
08/O1/2024 - - 2,750.00 2,750.00 -
02/O1/2025 55,000 5.000% 2,750.00 57,750.00 -
06/30/2025 - - - - 60,500.00
08/O1/2025 - - 1,375.00 1,375.00 -
02/OU2026 55,000 5.000% 1,375.00 56,375.00 -
06/30/2026 - - - - 57,750.00
224,500 27,444.38 251,94438 251,94438
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 36
BOND PRICING
Town of Lexington,Massachusetts
Equipment Replacement-Compost
Maturity
Bond Component Date Amount Rate Yield Price
SERiES:
02/O1/2023 59,500 5.000% 0.450°/a 104.421
02/O1/2024 55,000 5.000% 0.670°/a 108.481
02/O1/2025 55,000 5.000% 0.800°/a 112322
02/Ol/2026 55,000 5.000% 0.920% 115.888
224,500
Dated Date 02/10/2022
Delivery Date 02/10/2022
First Coupon 08/Ol/2022
Par Amoimt 224,500.00
Premium 22,810.55
Production 247,310.55 110.160601%
Underwriter's Discount (1,027.67) (0.457759%)
Purchase Price 246,282.88 109.702842°/a
Accrued Interest -
Net Proceeds 246,282.88
Jan 25,2022 12:37 pm Prepared by HilltopSecurities-Public Finance(mem) Page 37
R-«a» $«b»
United States of America
The Commonwealth of Massachusetts
TOWN OF LEXINGTON
GENERAL OBLIGATION
MUNICIPAL PURPOSE LOAN OF 2022 BOND
Interest Maturity Original
Rate Date CUS1P Issue Date
«c»% February 1, «d» 529284«e» February 10, 2022
PRINCIPAL AMOUNT: «f» THOUSAND DOLLARS
REGISTERED OWNER: CEDE & CO.
REGISTRATION DATE: FEBRUARY 10, 2022
REGISTRAR AND
PAYING AGENT: U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION
The Towu of Lexington, Massachusetts (the "Town"), for value received,promises to
pay to the Registered Owner of this bond or registered assigns the Principal Amount specified
above, in lawful money of the United States of America, on the Maturity Date unless this bond is
called for earlier redemption, upon presentation and surrender hereof, with interest (calculated on
the basis of a 360-day year of twelve 30-day months) at the interest Rate per annum, payable on
August 1, 2022 and semiannually thereafter on February 1 and August 1 of each year(each, an
"Interest Payinent Date") until the Principal Amount is paid or has been duly provided for. This
bond will bear interest from the most recent Interest Payment Date to which interest has been
paid or, if no interest has been paid, from the Original Issue Date. The record date for the
payment of interest on this Bond (the "Record Date") shall be the fifteenth day of the month
preceding an interest payment date. If such date is not a business day, the Recard Date shall be
the next succeeding business day.
This bond is one of an issue of$14,495,000 aggregate principal ainount issued by the
Town pursuant to Chapter 44 of the General Laws as amended for wastewater and drainage,
water,road and sidewallc improvements, departmental equipment,planning, and school
purposes.
The bonds are general obligations of the Town and the full faith and credit of the Town is
pledged for the payment of principal of and interest on the bonds as the same shall become due
and payable.
The bonds are being issued by means of a book entry system, with bond certificates
immobilized at The Depository Trust Company, New York, New York("DTC") evidencing
ownership of the bonds in principal amounts of five thousand dollars ($5,000) or integral
multiples thereof, and with transfers of beneficial ownership effected on the records of DTC and
its participants pursuant to rules and procedures established by DTC. Bond certificates are not
available for distribution to the public. The principal or redemption price, if any, of and interest
on this bond are payable by U.S. Bank Trust Company, National Association, or its successor as
paying agent (the "Paying Agent") for the Town, to the Registered Owner of this bond, as
nominee of DTC. Transfer of principal, redemption price, if any, and interest payments to
participants of DTC is the responsibility of DTC; transfer of principal, redemption price, if any,
and interest payments to beneficial owners by participants of DTC will be the responsibility of
such participants aiid other nominees of beneficial owners. The Town is not responsible or liable
for maintaining, supervising or reviewing the records maintained by DTC, its participants or
persons acting through such participants.
In the event that (a) DTC determines not to continue to act as securities depository for the
bonds or (b)the Town Treasurer determines that continuation of the book entry system of
evidence and transfer of ownership would adversely affect the interests of the beneficial owners
of the bonds, the Town will discontinue the book entry system with DTC. If the Town fails to
identify another qualified securities depository to replace DTC, the Paying Agent will
authenticate and deliver replacement bonds in the foi-m of fully registered certificates.
This bond is transferable only upon the boolcs of the Town which shall be kept for such
purpose by the Paying Agent. This bond may not be transferred or exchanged in a manner which
would involve the delivery of bond certi�cates to the beneficial owners of bonds unless the book
entry system has been discontinued by the Town in accordance with the preceding paragraph, in
which case replacement bonds may be issued in accordance with law and such procedures as the
Town Treasurer shall deem appropriate.
The bonds of this issue (except the bonds maturing on or before February 1, 2031, which
are not subject to redemption prior to maturity) are redeemable prior to maturity on or after
February 1, 2031, at the option of the Town, as a whole or in part at any time, at a price equal to
the principal amount to be redeemed(without premium) plus accrued interest to the redemption
date.
The bonds of this issue maturing on February 1, 2034 and February 1, 2036 (the "Term
Bonds"), unless called for earlier redemption as provided above, shall be retired in part prior to
maturity by mandatory serial redemptions in the principal amounts specified below, at a price
equal to the principal amount to be redeemed(without premium)plus accrued interest to the
redemption date:
Bond due February 1, 2034
Pi-incipal
Date Amount
February 1, 2033 $700,000
February 1, 2034 (maturity) 695,000
February 1, 2026
Principal
Date Amount
February 1, 2035 $695,000
February 1, 2036 (maturity) 695,000
The Town may purchase all or any portion of the Term Bonds from any available funds
at a price not exceeding par and accrued interest. Any principal amount of a Term Bond
purchased and surrendered to the Paying Agent prior to December 1 in the year preceding] a year
in which mandatory redemption is required for the Term Bond (unless previously applied as a
credit against a mandatory redemption requirement) shall be credited against the principal
amount required to be called and prepaid or paid on the following February 1.
In the event any bonds are called for redemption, notice will be sent by mail, or in such
other manner acceptable to DTC,not more than sixty(60) days nor less than thirty(30) days
prior to the redemption date to the registered owner of such bonds, as nominee of DTC. It will
be the responsibility of DTC and its participants to give notice of the redemption to beneficial
owners of the bonds to be redeemed. With respect to the redemption of any such bond, failure to
mail notice to the registered owner of any other bond, any defect in the notice to the registered
owner of any other bond, or failure by DTC and its participants to provide notice of redemption
to the beneficial owners of such bond will not affect the redemption of such bond. Notice of
redemption having been duly given, the bonds to be redeemed, or the portions called for
redemption, will become due and payable on the redemption date at the applicable redemption
price and, moneys for the redemption having been deposited with the Paying Agent, from and
after the date fixed for redemption interest on such bonds, or such portions, will no longer
accrue.
With respect to any bond subject to redemption, portions of the principal amount of such
bond in the amount of five thousand dollars ($5,000) or any multiple thereof may be redeemed.
In the event of such a partial redemption, the identity of the beneficial owners whose beneficial
interests in any such bond are to be redeemed and the amount of any such redemption shall be
determined by DTC and its participants by lot in such manner as DTC and its participants shall
deem appropriate. If less than all of the principal ainount of any bond is to be redeemed, upon
surrender of such bond to the Paying Agent there will be issued to the registered owner, without
charge, a new bond for the unredeemed principal sum.
The Town hereby covenants that it will talce all lawful action necessary to comply with
all requirements of the Internal Revenue Code of 1986, as amended, that must be satisfied
subsequent to the issuance of the bonds in order that interest on the bonds be and continue to be
excluded from gross income for federal income tax purposes and it will refrain from taking any
action that would cause interest on the bonds to become included in gross income for federal
income tax purposes.
In connection with the offering ofthe bonds the Town has executed a Continuing
Disclosure Certif'icate (as it may be amended from time to time, the "Certificate"). The Town
hereby covenants to comply with the provisions of the Certificate, and reference is made to the
Certificate for a description of the nature and extent of the obligations of the Town and the rights
of the owners of the bonds under the Certificate. The Certificate is described in the Official
Statement relating to the bonds.] A copy of the Certificate is available from the Town upon
request.
TOWN OF LEXINGTON, MASSACHUSETTS
By:
Treasurer
Select Board
(Town Seal)
LEGAL OPINION
The following opinion is based on facts and the law eXisting on the date of original
delivery of the bonds described therein.
LOCKE LORD LLP
1 ll Huntington Avenue
Boston, Massachusetts
Arnold Lovering, Treasurer
Town of Lexington
Lexington, Massachusetts
$14,495,000
Town of Lexington, Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds
Dated February 10, 2022
We have acted as bond counse] to the Town of Lexington, Massachusetts (the "Town") in
connection with the issuance by the Town of the above-referenced bonds (the `Bonds"). In such
capacity, we have examined the law and such certified proceedings and other papers as we have
deemed necessary to render this opinion.
As to questions of fact material to our opinion we have relied upon representations and
covenants of the Town contained in the certified proceedings and other certifications of public
officials furnished to us,without undertalcing to verify the same by independent investigation.
Based on our examination, we are of the opinion, under existing law, as follows:
1. The Bonds are valid and binding general obligations of the Town and, except to
the extent they are paid from other sources, the principal of and interest on the Bonds are payable
from taxes which may be levied upon all taxable property in the Town, subject to the limit
imposed by Chapter 59, Section 21C of the General Laws.
2. Interest on the Bonds is excluded from the gross income of the owners of the
Bonds for federal income tax purposes. In addition, interest on the Bonds is not a specific
preference item for purposes of the federal individual alternative minimum tax. In rendering the
opinions set forth in this paragraph, we have assumed compliance by the Town with all
requirements of the Internal Revenue Code of 1986, as amended, that must be satisfied
subsequent to the issuance of the Bonds in order that interest thereon be, and continue to be,
excluded from gross income for federal income tax purposes. The Town has covenanted to
comply with all such requirements. Failure by the Town to comply with certain of such
requirements may cause interest on the Bonds to become included in gross income for federal
income tax purposes retroactive to the date of issuance of the Bonds. We express no opinion
regarding any other federal tax consequences arising with respect to the Bonds.
3. Interest on the Bonds is exempt from Massachusetts personal income taxes and
the Bonds are exempt from Massachusetts personal property taxes. We express no opinion
regarding any other Massachusetts tax consequences arising with respect to the Bonds or any tax
consequences arising with respect to the Bonds under the laws of any state other than
Massachusetts.
This opinion is expressed as of the date hereof, and we neither assume nor undertake any
obligation to update, revise, supplement or restate this opinion to reflect any action taken or
omitted, or any facts or circumstances or changes in law or in the interpretation thereof, that may
hereafter arise or occur, or for any other reason.
The rights of the holders of the Bonds and the enforceability of the Bonds may be subject to
bankruptcy, insolvency, reorganization, moratorium and other similar laws affecting creditors'
rights heretofore or hereafter enacted to the extent constitutionally applicable, and their
enforcement may also be subject to the exercise of judicial discretion in appropriate cases.
/s/Loc�Lo�LLP
io3oa�s�s�.i
(Please Note: The following statements are an essential part of the permanent bond
record. Read them carefully before signing this certificate. Advise Locke Lord LLP of any
inaccuracy.)
TAX CERTIFICATE
This Tax Certificate is executed and delivered by the Town of Lexington, Massachusetts
("Issuer"), in connection with the issuance of$14,495,000 stated principal amount of its General
Obligation Municipal Purpose Loan of 2022 Bonds dated the Issue Date ("Issue"). The Issue is
issued pursuant to Votes duly adopted by the Issuer and the Massachusetts General Laws.
Pursuant to Reg §§ 1.141-2(d)(1) and 1.148-2(b)(2)(i), the Issuer certifies, covenants, warrants
and represents as follows in connection with the issuance of the Issue:
ARTICLE I. IN GENERAL
11 Delivery of the Bonds of the Issue. On the Issue Date, in exchange for receipt of
good funds, the Issuer is delivering the bonds of the Issue to the Successful Bidder, for resale to
the Public.
1.2 Purpose of Tax Certi�cate. The Issuer is delivering this Tax Certificate to Bond
Counsel, with the understanding that Bond Counsel will rely in part upon this Tax Certif'icate in
rendering its opinion that interest on the Issue is excluded from gross income for federal income
tax purposes under Section 103.
1.3 Definitions and References. All capitalized terms used in this Tax Certificate
include either the singular or the plural. All terms used in this Tax Certificate, including terms
specifically defined, shall be interpreted in a manner consistent with Sections 103 and 141-150
and the applicable Regulations thereunder except as otherwise specified. Capitalized terms used
and not otherwise defined herein and in the exhibits hereto and in the schedules and attachments
to those exhibits shall have the respective meanings set forth in Apbendix A and Appendix B
hereto. Reference to a Section means a section of the Code. Reference by number only (for
example, "2.10") means that numbered paragraph of this Tax Certificate.
l.4 Purpose of Financing. The Issue is being issued to provide funds (i) to finance
on a "new money" basis the capital costs of certain municipal projects as more fully described in
the Signature Certificate relating to the Issue, including the payment of Capitalized Interest, if
any ("1�Tew Money Projects"), and Funded Interest, if any, (ii) to refund on a current basis the
Refunded Notes, which were originally issued to finance and/or refmance the capital costs of
certain municipal projects as more fully described in the Signature Certificate relating to the
Issue, including the payment of Capitalized Interest, if any ("Refmanced Projects" and together
with the New Money Projects, "Projects"), and Funded Interest, if any, and (iii) to pay Issuance
Costs and other common costs of the Issue.
1.5 Single Issue. The bonds of the Issue were sold to the Successful Bidder on the
Sale Date. No other governmental obligations of the Issuer which are expected to be paid out of
substantially the same source of funds as the Issue have been or will be sold less than 15 days
apart from the Sale Date pursuant to the same plan of financing as the Issue.
1.6 Reliance. With respect to certain matters contained iu this Tax Certificate, the
Issuer specifically relies upon the certifications of the Successful Bidder set forth in Exhibit A,
the certifications of the Municipal Advisor set forth in Exhibit B, and upon the certifications set
farth in the other exhibits attached hereto or as otherwise described herein. The Issuer is not
aware of any facts or circumstances that would cause it to question the accuracy or
reasonableness of any representation made in this Tax Certificate including the exhibits hereto.
ARTICLE II. GENERAL TAX LINIITATIONS
21 Application of Sale Proceeds and Certain Other Moneys. On the Issue Date,
the Sale Proceeds, $16,822,776.71, less an underwriter's discount of $66,352.58, will be
deposited to the General Fund and applied as follows:
New MoneyProjects $13,286,352.00
Payment of Refunded Notes 3,369,148.00
Issuance Costs 98,697.50
Payment of a portion of the interest
on the Issue due August 1, 2022 2,226.63
TOTAL: $16,756,424.13
Investment Proceeds earned on the amounts in the General Fund wi]] be commingled
with substantial tax and other revenues of the Issuer, and are expected to be expended for
operating or other expenses of the Issuer within six months after deposit of the Investment
Proceeds therein. Pursuant to Reg § 1.148-6(d)(6), all such Investment Proceeds will be treated
as expended when so commingled.
2.2 Expenditure of Gross Proceeds. For purposes of this Tax Certificate, Sale
Proceeds and, to the extent not deemed expended as described in 2.1, Investment Proceeds
allocable to the Nonrefunding Portion will be treated as spent when they are used to pay or
reimburse disbursements by the Issuer that are (i) capital expenditures, including any Capitalized
Interest, if any and to the extent allowable, (ii) Issuance Costs with respect to the Nonrefunding
Portion, (iii) Funded Interest, (iv) initial operating expenses directly associated with the New
Money Projects (in aggregate amount not exceeding 5% of the Sale Proceeds), or (v) other
miscellaneous expenditures described in Reg � L 148-6(d)(3)(ii).
The Issuer hereby certifies that no disbursement to be paid or reimbursed from Gross
Proceeds allocable to the Nonrefunding Portion shall have been previously paid or reimbursed
from the proceeds of any other obligation, whether issued by the Issuer or any other party.
To the extent that Sale Proceeds allocable to the Nonrefunding Portion will be applied to
reimburse expenditures made by the Issuer prior to the Issue Date, the Issuer hereby certifies that
2
such expenditures either (i) constitute capital eXpenditures incurred not earlier than 60 days prior
to the applicable Vote, which Votes constitute the Issuer's declarations of official intent to issue
debt to finance the costs of the New Money Projects, or (ii) constitute Preliminary Expenditures
to the extent permitted by Massachusetts law.
The Issuer further certif'ies that any such reimbursement described in clause (i) of the
preceding sentence shall be made no later than the later of 18 months after the date of the
expenditure or the date on which the New Money Project component to which such expenditure
relates is placed in service, but in no event later than 3 years after the date of such expenditure.
2.3 Governmental Bond Status. Absent an Opinion of Bond Counsel, the Issuer
will not loan more than 5% of the Proceeds to one or more Nongovernmental Persons. Absent
an Opinion of Bond Counsel, the Issuer has not allowed and will not allow more than 10% of the
Proceeds, any of the Priar Issues, or the Projects to be used duectly or indirectly by any
Nongovernmental Person in any trade or business, other than as a member of the general public,
and has not allowed and wi11 not allow more than 5% of the Proceeds, any of the Prior Issues, or
the Projects to be so used to the extent such use is unrelated or disproportionate to the
governmental uses thereof. Absent an Opinion of Bond Counsel, for purposes of this 2.3, a
Nongovernmental Person will be treated as "using" Proceeds, proceeds of the Priar Issues or the
Projects to the extent the Nongovernmental Person:
(i) borrows Proceeds of the Issue or any Prior issues;
(ii) uses any portion of the Projects as owner, lessee, service provider, operator, or
manager;
(iii) acquires the output of the Projects; or
(iv) enters into any other arrangement that provides a special legal entitlement or
special economic benefit to a Nongovernmental Person.
As of the Issue Date, the Issuer certifies that there are no contracts or other arrangements
for any such use of any component of the Projects by any party other than a Governmental Unit.
Absent an Opinion of Bond Counsel, the Issuer will not enter into any contract or other
arrangement after the Issue Date for any such use of any component of the Projects by any party
other than a Governmental Unit.
2.4 Qualified Equity. The Issuer reasonably expects that a portion of the cost of the
Projects being financed andlor refinanced in part with the Sale Proceeds may be paid from
Qualified Equity. The Issuer intends that the undivided portion or portions of any of the Projects
paid with Qualif'ied Equity may be used for Private Business Use without restriction. Qualified
Equity will be allocated to any Private Business Use of the Projects before any Proceeds are
allocated to any such Private Business Use. To the extent that Private Business Use of the
Projects ever exceeds the applicable limitation under the "private business tests" imposed
3
pursuant to Section 141(b), the Issuer hereby allocates Qualified Equity to the Projects. In
addition, the lssuer reserves the right to allocate this Qualif'ied Equity to the Projects if and as
needed in the future.
2.5 Change in Use. The Issuer reasonably expects to use all Proceeds and all
facilities that are financed and refmanced therewith as set forth in 2.3 for the entire stated term to
maturity of the Issue. Absent an Opinion of Bond Counsel, the Issuer in fact will use all
Proceeds and each facility financed and refinanced therewith as set forth in 2.3.
2.6 Registered Form. The bonds of the Tssue are being issued in registered form.
2.7 Federal Guarantee. The Tssuer will not directly or indirectly use or permit the
use of any Proceeds or any other funds of the Issuer or any Related Party or take or omit to take
any action that would cause the bonds of the Issue to be obligations that are "federally
guaranteed." In furtherance of this covenant, the Issuer will not allow the payment of principal
or interest with respect to the Issue to be guaranteed (directly or indirectly) in whole or in part by
the United States or any agency or instrumentality thereof. Except as provided in the next
sentence, the Issuer will not use 5% or more of the Proceeds to malce or finance loans the
payment of principal or interest with respect to which is guaranteed in whole or in part by the
United States or any agency or instrumentality thereof, nor will it invest 5% or more of the
Proceeds in federally insured deposits or accounts. The preceding sentence shall not apply to (i)
investments in the portions of the General Fund described in 3.5, 3.6 and 3.7 during the
temporary period described therein, (ii) investments in the Bona Fide Debt Service Fund, and
(iii) investments in obligations issued by the United States Department of Treasury.
2.8 Information Reporting. The Issuer will cause a properly completed and
executed IRS Form 8038-G to be filed with respect to the Issue no later than the 15th day of the
second month of the calendar quarter immediately following the calendar quarter of the Issue
Date.
2.9 Partial Current Refunding. The Issuer will use Sale Proceeds allocable to the
Refunding Portion in the amount of$3,369,148.00 to pay the Refunded Notes on February 11,
2022. Proceeds will not be used directly or indirectly to make principal, interest or redemption
premium payments with respect to any governmental obligation other than the Refunded Notes
and, to the extent described in 2.1, the Issue.
2.10 Unexpended Proceeds. No Proceeds of the Refunded Notes remain unspent as
of the Issue Date of the Issue other than the amount of$245,471.00, which is currently being
held by the Issuer in the General Fund pending its expenditure on costs of the Refinanced
Projects. The Issuer acknowledges that upon the retirement of the Refunded Notes, such amount
will cease to be treated as Proceeds of the Refunded Notes and will instead be treated (together
with the allocable earnings from the investment and reinvestment thereo�, to the extent provided
in Reg § 1.148-9(b), as Transferred Proceeds. The Issuer reasonably e�ects that such
4
Transferred Proceeds, together with all Investment Proceeds thereon, will be fully expended on
the date which is within 3 years of the date of issuance of the applicable Original lssues.
211 No Pooling. The lssuer will not use any Proceeds directly or indirectly to make
or finance loans to two or more ultimate borrowers.
212 No Hedge Bonds. As of the respective issue dates of each issue comprising the
Original Issues, the Issuer reasonably expected to expend more than 85% of the Net Sale
Proceeds of each such issue within three years of original issuance for the governmental
purposes of such Original Issues. Not more than 50% of the Proceeds of each such issue was
invested at a substantially guaranteed yield for four years or more. The Issuer reasonably
expects that more than 85% of Net Sale Proceeds of the Nonrefunding Portion of the Issue will
be expended for the governmental purposes thereof within three years after the Issue Date. Not
more than 50% of the Nonrefunding Portion of the Proceeds will be invested at a substantially
guaranteed yield for four years or more.
2.13 Useful Life. The weighted average maturity of the Issue is 7.1709 years, which
does not exceed 120% of the remaining average reasonably expected economic life of the assets
comprising the Projects.
ARTICLE III. ARBITRAGE GENERAL
31 Reasonable Expectations. This Article III states the Issuer's reasonable
expectations with respect to the amounts and uses of Proceeds and certain other moneys.
3.2 Issue Price of the Issue. On the Issue Date, the Issuer is delivering the bonds of
the Issue to the Successful Bidder in exchange for an aggregate payment of $16,756,424.13
(which represents the total amount of Sale Proceeds, $16,822,776.71, less an underwriter's
discount of$66,352.58). As reflected in Exhibit B, the Municipal Advisor has certified that the
competitive sale requirements (as defined in the Notice of Sale) were met with respect to the
bonds of the Issue. Accordingly, based on the advice of the Successful Bidder as set forth
in Exhibit A, the Issue Price of the Issue is $16,822,776.71, which is the reasonably expected
initial offering prices to the Public for the bonds of the issue.
3.3 Funds and Accounts. The Issuer will use certain portions of its General Fund(or
accounts or subaccounts within the General Fund) to hold certain of the Proceeds, as more
particularly described in this Article III. The Issuer does not expect that either it or any other
Person benefiting from the issuance of the Issue will use any moneys in any fund or account
other than the Bona Fide Debt Service Fund to pay debt sei-vice on the Issue; nor is any other
fund or account so pledged as security for the Issue that there is a reasonable assurance that
amounts held in such other fund or account will be available if needed to pay debt service on the
Issue.
5
3.4 Bona Fide Debt Service Fund.
3.4.1 Payment of the Issue. The bonds of the Issue are general obligations of
the lssuer payable from revenues available therefor pursuant to the Massachusetts General Laws
and, when and as applicable, Sale Proceeds, Investment Proceeds, and the Proceeds of Refunding
Obligations.
3.4.2 Revenues. Except for the debt service to be paid from a portion of the
Sale Proceeds, Investment Proceeds, and the Proceeds of Refunding Obligations, each when and
as applicable, payments of debt service on the Issue are expected to be derived from current
revenues of the Issuer and current revenues are expected to equal or exceed such amount of debt
service on the Issue during the payment period.
3.4.3 Match Between Revenues and Debt Service. The portions of the
Issuer's General Fund that are reasonably expected to be used to pay debt service on the Issue
(such portions of the Issuer's General Fund being referred to herein as the "Debt Service Fund")
will be allocated to the payment of debt service on the Issue on a"first in, first out" (FiFo) basis.
Accordingly, the Debt Service Fund will be used primarily to achieve a proper matching of
revenues and debt service within the Bond Year. Amounts in the Debt Service Fund will be
invested without regard to yield.
3.5 Three-Year Temporary Period. A portion of the Sale Proceeds allocable to the
Nonrefiinding Portion in the amount of$3,369,148.00, will be deposited in the General Fund for
the purpose of paying costs of the New Money Projects. The Tssuer's expenditure expectations
with respect to the Proceeds allocable to the New Money Projects are reflected in Exhibit C. The
Issuer reasonably expects that at least 85% of the Net Sale Proceeds will be spent to pay costs of
the New Money Projects within three years from the Issue Date. The Issuer heretofore has
incurred or within six months hereafter will incur a binding obligation to one or more unrelated
parties involving an expenditure of not less than 5% of Net Sale Proceeds. Completion of the
New Money Projects and allocations of Net Sale Proceeds and Investment Proceeds to costs of
the New Money Projects will proceed with due diligence. Net Sale Proceeds allocable to paying
costs of the New Money Projects held in the General Fund, and Investment Proceeds earned
thereon, will be invested without regard to yield during the period ending on the third
anniversary of the Issue Date.
3.6 90-Day Temporar-y Period. As reflected in 2.1 and 2.9, (i) a portion of Sale
Proceeds allocable to the Refunding Portion in the amount of$3,369,148.00 will be deposited in
the General Fund and used to retire the Refunded Notes on February 11, 2022 and (ii) a portion
of Sale Proceeds in the amount of$98,697.50 will be deposited to the General Fund pending its
expenditure far Issuance Costs. Such portions of the Sale Proceeds may be invested without
regard to yield during the period that ends 90 days after the Issue Date of the Issue.
3.7 Transferred Proceeds. As reflected in part in 2.10 and Exhibit C (with respect
to the Proceeds of the Original Issues used to pay costs of the Refinanced Projects), as of the
6
respective issue date of each issue comprising the Original Issues, the Issuer reasonably expected
that at least 85% of the Proceeds of the Original Issues would be expended within three years of
such date. Within six months after such date, the Issuer had incurred a binding obligation to one
or more unrelated parties involving expenditures aggregating not less than 5% of the Proceeds of
the Original Issues. Completion of the Refmanced Projects and allocations of Proceeds of the
Original Issues and Transferred Proceeds to costs of the Refinanced Projects has proceeded and
will proceed with due diligence. Transferred Proceeds will be invested in the General Fund
without regard to yield through the third anniversary of the date on which the applicable Original
Issues were issued. To the extent any Transferred Proceeds remain unspent after the third
anniversary of the respective dates of issuance of the applicable Original Issues, the Issuer will
invest such unspent amounts in accordance with 4.3 or will make Yield Reduction Payments or
cause such payments to be made to the extent necessary pursuant to Reg � 1.148-5(c) in order to
ensure that the Transferred Proceeds in fact are treated as invested at a yield not exceeding the
yield on the Issue.
3.8 No Overissuance. Taking into account anticipated Investment Proceeds, the Sale
Proceeds do not exceed the amount necessary to pay(i) costs of the New Money Projects, (ii) the
Refunded Notes, (iii) Funded Interest, if applicable, and (iv) Issuance Costs and other common
costs of the Issue.
3.9 No Other Replacement Proceeds. Neither the Issuer nor any Related Party will
use any Gross Proceeds directly or indirectly to replace funds of the Issuer or any Related Party,
which funds are or will be used directly or indirectly to acquire Investment Property reasonably
expected to produce a yield that is materially higher than the Yield on the Issue.
3.10 No Expeeted Sale. It is not expected that the Projects or any part thereof
financed and/or refinanced in whole or in part by the Issue will be sold or otherwise disposed of
before February 1, 2037, the scheduled final maturity date of the Issue, except for minor portions
due to normal wear or obsolescence.
ARTICLE IV. ARBITRAGE -YIELD AND YIELD RESTRICTION
41 Yield. The Yield on the Issue, adjusted as may be required for substantial
original issue premium or discount, has been calculated by the Municipal Advisor to be
1.4242843465%, as reflected in Exhibit B.
4.2 No Qualified Hedges. No Qualified Hedge has been, and (absent an Opinion of
Bond Counsel) no Qualified Hedge will be, entered into such that failure to take the Qualified
Hedge into account would distort the Yield on the Issue or otherwise would fail clearly to reflect
the economic substance of the transaction.
4.3 Yield Restriction. Absent an Opinion of Bond Counsel, if the sum of(A) any
Proceeds allocable to the payment of the Projects held in the General Fund after the third
anniversary of the Issue Date, or, if applicable, the Issue Date of any Original Issue, plus (B) any
7
amounts held in the Bona Fide Debt Service Fund and remaining unexpended after 13 months
from the date of accumulation in such fund (excluding any amounts held for Capitalized Interest
and Funded Interest), plus, if applicable, (C) any Proceeds allocable to the retirement of any
Refunded Bonds and Refunded Notes held in the General Fund after 90 days from the Issue
Date, plus, if applicable, (D) any Transferred Proceeds held in the General Fund after the third
anniversary of any Original Issue, plus (E) any Proceeds held in the Issuer's General Fund to pay
Issuance Costs after 90 days from the Issue Date, at any time in the aggregate exceeds $100,000,
the excess will be invested as follows: (i) in Investment Property with a yield not exceeding the
Yield on the Issue, or such other issue of Tax-Exempt Bonds to which such amounts are then
allocated as proceeds, (ii) in assets that are not treated as Investment Property (�, Tax-Exempt
Bonds), or(iii) in assets that satisfy the requirements for Yield Reduction Payments.
ARTICLE V. REBATE
51 Undertakings. The Issuer hereby covenants to comply with requirements of the
Code pertaining to the Rebate Requirement. The lssuer acknowledges that the United States
Department of the Treasury has issued Regulations with respect to certain of these undertakings,
including the proper method for computing whether any rebate amount is due the federal
goveinment under Section 148(�. (Reg §§ L148-1 through 1.148-11A, L150-1, and L150-2.)
The Issuer further aclrnowledges that the United States Department of the Treasury may yet issue
additional Regulations with respect to certain of these undertakings. The Issuer covenants that it
will undertake to determine what is required with respect to the rebate provisions contained in
Section 148(� and said Regulations from time to time and will comply with any requirements
that may apply to the Issue.
5.2 Recordkeeping. The Issuer shall maintain or cause to be maintained detailed
records with respect to each Nonpurpose Investment allocable to Gross Proceeds, including. (a)
purchase date; (b) purchase price; (c) information establishing fair market value on the date such
investment became a Nonpurpose Investment; (d) any accrued interest paid; (e) face amount; (�
coupon rate; (g) periodicity of interest payments; (h) disposition price; (i) any accrued interest
received; and (j) disposition date. Such detailed recordkeeping is required to facilitate the
calculation of the Rebate Requirement.
5.3 Exceptions to the Rebate Requirement.
5.3.1 Bona Fide Debt Service Fund Exception. Based on the representations
set farth in 3.4.3 and this 53.1, no rebate calculations need be made in respect of amounts in the
Bona Fide Debt Service Fund(i) if(a) the weighted average maturity ofthe Issue is longer than 5
years and(b) the lssue is a FiYed Yield Issue or (ii) if clause (i) does not apply, to the extent the
earnings thereon in the Bond Year are less than $100,000.
5.3.2 S�-Month E�penditure Exception. If applicable, no rebate calculations
will be required to be made with respect to the Adjusted Gross Proceeds allocable to the
8
Refunding Portion if all such Adjusted Gross Proceeds are expended within six months of the
Issue Date.
5.3.3 Eighteen Month Spending Exception. In general, when applicable, no
rebate calculations will be required with respect to Adjusted Gross Proceeds of the Nonrefunding
Portion if the Eighteen Month Spending Exception is met. The Issuer's spending expectations
with respect to the Adjusted Gross Proceeds are included in Exhibit C.
5.3.4 Two Year Spending Exception. The Issuer reasonably expects that at
least 75% of Available Construction Proceeds will be expended for Construction EXpenditures
with respect to the Projects. The Issuer's spending expectations with respect to the Proceeds
allocable to the New Money Projects or the Projects, as applicable, are reflected in Exhibit C. In
general, when applicable, no rebate calculations will be required with respect to Available
Construction Proceeds if Available Construction Proceeds are spent in accordance with the Two
Year Spending Exception. Additionally, Proceeds of the Issue that are used to pay Issuance
Costs will be treated, together with all Investment Proceeds thereon, as satisfying the Rebate
Requirement if the Two Year Spending Exception is satisfied and all such Issuance Costs are
paid within twenty-four months after the Issue Date.
5.4 Rebate Requirement with Respect to the Prior Issues. The Issuer covenants
to, and will, pay any Rebate Requirement or Yield Reduction Payments due with respect to the
Prior Issues within 60 days from the maturity date of the respective obligations or, if later, within
60 days of missing one of the relevant spending milestones set forth in 5.3, as required by
Section 148(�(3).
5.5 Rebate Requirement or Yield Reduction Payments with Respect to the Issue.
The Issuer covenants to, and will, pay any Rebate Requirement or Yield Reduction Payments
due with respect to the Issue within 60 days from the maturity date of the Issue or, if later, within
60 days of missing one of the spending milestones set forth in 5.3, as required by Section
148(fl(3).
ARTICLE VI. OTHER MATTERS
6.1 Expectations. The undersigned are authorized representatives of the Issuer
acting for and on behalf of the Issuer in executing this Tax Certificate. To the best of the
lcnowledge and belief of the undersigned, there are no other facts, estimates or circumstances that
would materially change the expectations as set forth herein, and said expectations are
reasonable.
6.2 Covenant to Comply. The Issuer hereby covenants that it will not take or permit
to be taken on its behalf any action or actions that would adversely affect the exclusion from
federal income taxation of interest on the Issue and will take or require to be taken such acts as
may reasonably be within its ability and as may from time to time be required under applicable
law to maintain the exclusion from federal income taxation of interest on the Issue.
9
6.3 Post Issuance Compliance Procedures. The Issuer has written procedures to
monitor compliance with the arbitrage Yield restriction and rebate requirements of Section 148
after the Issue Date. The Issuer also has written procedures to ensure that all Nonqualified
Bonds are remediated in accordance with Reg § 1.141-12. Such procedures are substantially in
the form attached hereto as Appendix C. The Issuer will monitor the expenditure of Gross
Proceeds and the use of facilities financed and/or refinanced by the Issue, and will undertalce, if
necessary, any available measures under Reg § 1.141-12 to ensure compliance after the Issue
Date with the applicable covenants contained herein.
6.4 Record Retention. In order to ensure that interest on the Issue continues to be
excluded from gross income for federal tax law purposes, the Issuer acknowledges that records
should be maintained to support the representations, certifications, and expectations set forth in
this Tax Certificate (including the exhibits hereto) at least until the date three (3) years after the
later of (a) the date on which the lssue is retired, or (b) the date on which the last of the
Refunding Obligations is retired. In addition to the items described in 5.2, records to be retained
include, but are not limited to:
(i) basic records and documents relating to the Issue, and, when applicable, the Prior
Issues and any Qualified Ec�uity relating to the Projects;
(ii) documentation evidencing the expenditure of the Proceeds and, when applicable,
Proceeds of the Prior Issues;
(iii) documentation evidencing the use of the Projects or any component thereof by
public and private sources (i.e., copies of management contracts, research agreements, leases,
etc.);
(iv) documentation evidencing all sources of payment or security for the Issue and,
when applicable, the Prior Issues;
(v) documentation evidenciug compliance with the timing and allocation of
expenditures of the Proceeds, and, when applicable, Proceeds of the Prior Issues and any
Qualified Equity relating to the Projects; and
(vi) records of all amounts paid to the United States in satisfaction of the Rebate
Requirement for the Issue and IRS Forms 8038-T (or successor forms thereto) related to such
payments or to Yield Reduction Payments.
10
6.5 Amendments. Notwithstanding any other provision of this Tax Certificate, the
Issuer may amend this Tax Certificate and thereby alter any actions allowed or required by this
Tax Certificate if such amendment is signed by an authorized officer and is supported by an
Opinion of Bond Counsel.
[Remainder of page intentionczlly left blank; signatu�•e page follows.J
11
6.6 Survival of Payment or Defeasance. Notwithstanding any provision in this Tax
Certificate or in any other agreement or instrument relating to the Issue to the contrary, the
obligation to remit the Rebate Requirement, if any, to the United States Department of the
Treasury and to comply with all other requirements contained in this Tax Certificate shall
survive payment or defeasance of the Issue.
6.7 Execution of Counterparts and Delivery by Electronic Means. This
Certificate, as well as any other certificates or documents relating to the Issue (collectively, the
"Documents"), may be executed ui several counterparts, each of which shall be regarded as an
original and all of which shall constitute one and the same document. Delivery of an executed
counterpart of a signature page to a Document by electronic mail in a ".pdf' file or by other
electronic transmission shall be as effective as delivery of a manually executed counterpart
signature page to such Document. Electronic signatures on any of the Documents shall be
deemed original signatures for the purposes of the Documents and all matters relating thereto,
having the same legal effect as original signatures.
Dated: February 10, 2022
TOWN OF LEXINGTON, MASSACHUSETTS
By:
Treasurer
By:
Select Board
S-1
APPENDIX A
GENERAL DEFINITIONS
For purposes of the Tax Certificate to which this Appendix A is attached, and the exhibits
to the Tax Certificate and any schedules or attachments to those exhibits, the following
capitalized terms have the following meanings:
501(c)(3) Organization means any entity described in Section 501(c)(3).
Adjusted Gross Proceeds generally means Gross Proceeds, less amounts held in the Bona
Fide Debt Service Fund.
Available Construction Proceeds has the meaning set forth in Reg § 1.148-7(i) and
generally means all Sale Proceeds reduced by Issuance Costs or, if applicable, all Sale Proceeds
allocable to the Nonrefunding Portion, reduced by Issuance Costs allocable to the Nonrefunding
Portion financed with Sale Proceeds, plus all Investment Proceeds earned thereon before the
earlier of two years after the Issue Date or substantial completion of the New Money Projects or
Projects, as applicable. In determining the amount of Available Construction Proceeds as of any
date, there shall be included the amount of investment earnuigs reasonably expected after such
date,together with investment earnings actually received or accrued as of such date.
Bona Fide Debt Service Fund has the meaning set forth in Reg § 1.148-1(b) and
generally means the Debt Service Fund identified in 3.4.3.
Bond Counsel means Locke Lord LLP or, if applicable, another law firm with a
nationally recognized public finance practice.
Bond Notice of Sale means, when applicable, the separate Notice of Sale for the bonds of
the Issue.
Bond Purchaser means, when applicable, an entity that purchases the bonds of the Issue,
or, when applicable, a Prior Issue, for its own account without a present intent to resell.
Capitalized Interest means interest on the Issue, or, when applicable, a Prior Issue, from
the Issue Date to the placed in service date of the Projects, that is properly capitalized in the cost
of the Projects under general federal income tax principles.
Code means the Internal Revenue Code of 1986, as amended.
Construction Expenditures has the meaning set forth in Reg § 1.148-7(g)(1) and
generally means capital expendituies that are allocable to the cost of real property or constructed
personal property and includes costs of reconstruction and rehabilitation, but does not include
costs of acquiring any interest in land or other existing real or personal property.
Controlled Group has the meaning set forth in Reg § 1.150-1(c) and generally means a
group of entities controlled directly or indirectly by the same entity or group of entities.
Appendix A-1
Debt Service Fund means the Debt Service Fund described in Article III.
Deliberate Action has the meaning set forth in Reg § 1.141-2(d)(3) and generally means
any action taken by the lssuer that is within its control, but excludes (i) an involuntary or
compulsory conversion under Section 1033 or (ii) an action taken in response to a regulatory
directive made by the federal government.
Eighteen Month Spending Exception has the meaning set forth in Reg § 1.148-7(d) and
generally means Adjusted Gross Proceeds are spent at least as quickly as follows:
15°/o within siY months after the Issue Date
60°/o within twelve months after the Issue Date
100°/o within eighteen months after the Issue Date
The requirement that 100% of Adjusted Gross Proceeds be spent within eighteen months after
the Issue Date will be met if at least 95% of Adjusted Gross Proceeds is spent within eighteen
months and the remainder is held as a Reasonable Retainage, as permitted by contracts with the
Issuer's contractors, and such remainder is spent within thirty months after the Issue Date.
Fixed Yield Bond has the meaning set forth in Reg § 1.148-1(b) and generally means any
bond whose yield is fixed and determinable on its Issue Date.
Fixed Yield Issue has the meaning set forth in Reg � 1.148-1(b) and generally means any
issue of which each bond of the issue is a Fixed Yield Bond.
Funded Interest means interest on the Issue, or, when applicable, a Prior Issue, other
than Capitalized Interest, through the later of three years after the Issue Date or one year after the
first component of the Projects is placed in service as set forth in Reg § 1.148-6(d)(3)(ii)(A)(3).
General Rule Maturities means, when applicable, those Maturities listed as the general
rule maturities in Schedule A to the attached Issue Price Certificate for the Bonds of the Issue or
the Notes of the Issue, as applicable.
Governmental Person has the meaning set forth in Reg § 1.141-1(b) and generally means
a Governmental Unit.
Governmental Unit means a State or Local Governmental Unit.
Gross Proceeds has the meaning set forth in Reg § 1.148-1(b) and generally means all
proceeds derived from or relating to the Issue, or, when applicable, a Prior Issue, including
Proceeds and Replacement Proceeds.
Guidelines means Reg §1.141-3(b)(4) and Revenue Procedure 2017-13 ar any applicable
predecessor or successor thereto.
Appendix A-2
Hold-the-Offering-Price Maturities means, when applicable, those Maturities listed as
the hold-the-offering-price maturities in Schedule A to the attached lssue Price Certificate for the
Bonds of the Issue or the Notes of the Issue, as applicable.
Holding Periocl means, with respect to a Hold-the-Offering-Price Maturity, the period
starting on the Sale Date and ending on the earlier of(i) the close of the fifth business day after
the Sale Date, or(ii) the date on which the Successful Bidder/Successful Bond Bidder/Successful
Note Bidder sold at least 10% of such Hold-the-Offering-Price Maturity to the Public at prices
that are no higher than the initial offering price for such Hold-the-Offering-Price Maturity.
Investment Proceeds has the meaning set forth in Reg § 1.148-1(b) and generally means
earnings received from investing and reinvesting Proceeds and fiom investing and reinvesting
such earnings.
Investment Property has the meaning set forth in Section 148(b)(2) and generally means
any security or obligation, any annuity contract, or any other investment-type property, but does
not include any Tax-Exempt Bond.
Issuance Costs has the meaning set forth in Reg § 1.150-1(b) and generally means costs,
to the extent incurred in connection with, and allocable to, the issuance of the Issue within the
meaning of Section 147(g), and includes: underwriters' spread; counsel fees; financial advisory
fees; credit rating fees; trustee fees; paying agent fees; bond registrar, certification, and
authentication fees; accounting fees; printing costs; public approval process costs; engineering
and feasibility study costs; and similar costs.
Issue Date has the meaning set forth in Reg § 1.150-1(b) and generally means the date
the Issue, or, when applicable, a Prior Issue, was delivered to the Underwriter or Purchaser
thereof and payment was received therefor.
Issue Price has the meaning set forth in Reg § 1.148-1(� and generally means (i) the
Expected Offering Price of a Successful Bidder/Successful Bond Bidder/Successful Note Bidder,
(ii) the amount paid by the Purchaser for the Issue, the notes of the Issue, and/or the bonds of the
Tssue, and/or (iii) the price at which at least 10% of each maturity of the General Rule Maturities
were sold by the Successful Bidder/Successful Bond Bidder/Successful Note Bidder, all as set
forth in Exhibit A, or, when applicable, the sum of the applicable clauses above.
Maturity means bonds and/or notes of the Issue with the same credit and payment terms.
Bonds and/or notes of the Issue with different maturity dates, or with the same maturity date but
different stated interest rates, are treated as separate maturities.
MinoN Portion has the meaning set forth in Section 148(e) and generally means any
amount of Gross Proceeds that does not exceed the lesser of (i) 5% of the Proceeds or (ii)
$100,000.
Net Sale PNoceeds has the meaning set forth in Reg § 1.148-1(b) and generally means the
Sale Proceeds allocable to the Nonrefunding Portion, less the portion of those Sale Proceeds
Appendix A-3
invested in a reasonably required reserve or replacement fund pursuant to Section 148(d) or as
part of the Minor Portion.
Nongovernmental Person means any Person other than a Governmental Person.
Nongovernmental Person includes the United States and any agency or instrumentality of the
United States.
Nonpurpose Investment means any Investment Property in which Gross Proceeds are
invested that is not a Purpose Investment.
Nonqualified Bonds has the meaning set forth in Reg § 1.141-12(j) and generally means
the portion of outstanding bonds of an issue that, as of the date of a Deliberate Action, would not
meet the private business use test in Section 141(b) or the private loan financing test in Section
141(c).
Nonrefunding Poation means, when applicable, the portion of the Issue or the Prior
Issue, as applicable, that is not allocable to the Refunding Portion.
Note Notice of Sale means, when applicable, the separate Notice of Sale for the notes of
the Issue.
Note Purchaser means, when applicable, an entity that purchases the notes of the Issue,
or, when applicable, a Prior issue, for its own account without a present intent to resell.
Notice of Sale means the Notice of Sale, or, when applicable, collectively the Bond
Notice of Sale and Note Notice of Sale, attached as Attachment 1 to E�ibit B.
Opinion of Bond Counsel means a written opinion of nationally recognized bond
counsel, delivered to the Issuer, to the effect that the exclusion from gross income for federal
incoine tax purposes of interest on the lssue will not be adversely affected.
Original Issues means, when applicable, collectively, the portions of the Refunded
Bonds and/or Refunded Notes and the issues that were issued to finance the Projects on a "new
money" basis and any other obligations all or a portion of which were issued to �'inance the
Projects on a new money basis which have been ultimately refinanced by this Issue.
Person has the meaning set forth in Section 7701(a)(1) and generally includes an
individual, trust, estate,partnership, association, company or corporation.
Preliminary Expenditures has the meaning set forth in Reg § L 150-2(�(2) and generally
means architectural, engineering, surveying, soil testing, lssuance Costs, including, when
applicable, Issuance Costs allocable to the Nonrefunding Portion, and similar costs paid with
respect to the Projects in an aggregate amount not exceeding 20% of the Issue Price of the Issue,
or, when applicable, the Issue Price of the Issue allocable to the Nonrefunding Portion.
However, Preliminary Expenditures do not include land acquisition, site preparation or similar
costs incident to the commencement of construction.
Appendix A-4
Prior Issue(s) means, when applicable, individually or collectively, the Original Issues
and each series of exclusively current refunding obligations all or a portion of which were
thereafter issued to refinance the Original Issues.
Private Business Use has the meaning set forth in Reg § L 141-3(a) and generally means
use (directly or indirectly) in a trade or business carried on by any Nongovernmental Person
other than use (i) as a member of, and on the same basis as, the general public or (ii) pursuant to
the Guidelines or the Research Guidelines. Any activity carried on by a Nongovernmental
Person(other than a natural Person) shall be treated as a trade or business.
Proceeds has the meaning set forth in Reg � 1.148-1(b) and generally means Sale
Proceeds, Investment Proceeds and Transfened Proceeds of the Issue or, when applicable, a
Prior Issue.
Public has the meaning set forth in Reg § 1.148-1(�(3)(ii) and generally means any
Person other than an Underwriter or a Related Parry to an Underwriter.
Purchaser means, when applicable, an entity, including a Successful Bidder, that
purchases the Issue, or, when applicable, a Prior Issue, for its own account without a present
intent to resell.
Purpose Investment has the meaning set forth in Reg §1.148-1(b) and generally means
an investment that is acquired by the Issuer to carry out the governmental purpose of the Issue.
Qualified Equity has the meaning set forth in Reg § 1.141-6(b)(3) and generally means
funds that are not derived from proceeds of a Tax-Advantaged Bond.
Qualified Guarantee has the meaning set forth in Reg � 1.148-4(� and generally means
an arrangement that imposes a secondary liability that unconditionally shi$s substantially all of
the credit rislc for all or part of the payinents on the Issue to the guarantor under that
arrangement.
Qualified Hedge has the meaning set forth in Reg § L148-4(h) and generally means a
contract entered into by the Issuer with a hedge provider primarily to inodify the Issuer's risk of
interest rate changes with respect to all or a part of the Issue.
Reasonable Retainage has the meaning set forth in Reg � 1.148-7(h) and generally
means an amount, not to exceed 5% of Available Construction Proceeds or Adjusted Gross
Proceeds, as applicable, on the date 24 months, or 18 months, as applicable, after the Issue Date,
that is retained for reasonable business purposes relating to the Projects, including to ensure or
promote compliance with a construction contract.
Rebate Requirement means the amount of rebatable arbitrage with respect to the Issue,
computed as of the last day of any Bond Year pursuant to Reg § 1.148-3.
Refunded Bonds means, when applicable, all or the portion of each of the series of bonds
being refunded by the Issue, as identified in Appendix B.
Appendix A-5
Refunded Notes means, when applicable, all or the portion of each of the series of notes
being refunded by the Issue, as identified in Appendix B.
Refunding Obligations means a Tax-Advantaged Bond issued to refund any portion of
the Issue, including any subsequent Tax-Advantaged Bond in a series of refundings thereof.
Refunding Portion means, when applicable, the portion of the Issue allocable to the
refunding of the Refunded Bonds and/or Refunded Notes, together with the portion of the Issue
allocable to the financing of a ratable share of Issuance Costs and other common costs of the
Issue.
Regulations or Reg means the applicable Treasury Regulations promulgated by the
Secretary of the Treasury of the United States under the Code.
Related Party has the meaning set forth in Reg §1.150-1(b) and generally means, in
reference to a Governmental Unit or a 501(c)(3) Organization, any member of the same
Controlled Group, and in any reference to any other Person, any two or more Persons who have
more than fifty percent (50%) common ownership, duectly or indirectly.
ReplacementProceeds has the meaning set forth in Reg §1.148-1(c) and generally means
amounts that have a sufficiently direct nexus to the issue or to the governmenta] purpose of the
Issue to conclude that the amounts would have been used for that governmental purpose if the
Proceeds of the Issue were not used, and includes a sinking fund, a pledged fund, and other
replacement proceeds, each as defined in Reg § 1.148-1(c).
Research Guidelines means Reg §1.141-3(b)(6) and Revenue Procedure 2007-47 or any
applicable successor thereto.
Sale Date has the meaning set forth in Reg § 1.150-1(c)(6) and generally means the first
day on which there is a binding contract in writing for the sale of a Maturity.
Sale Proceeds has the meaning set forth in Reg § 1.148-1(b) and generally means
amounts actually or constructively received from the sale of the Issue, or, when applicable, a
Prior Issue.
Signature Certificate means the Signature, No Litigation and Official Stateinent
Certificate or similar certificate prepared by Bond Counsel relating to the Issue or, when
applicable, a Prior Issue.
Small Issuer Exception has the meaning set forth in Reg § 1.148-8(a) and generally
means that, as of the Issue Date, the Issuer reasonably e�pects that the aggregate Issue Price of
tax-exempt bonds (other than (a) current refunding bonds to the extent the amount thereof does
not exceed the outstanding amount of the obligations to be refunded thereby and (b) qualified
private activity bonds) issued and to be issued by or on behalf of the Issuer during the current
calendar year will not exceed $5,000,000 except by the lesser of (i) $10,000,000 or (ii) the
aggregate face amount of bonds, in either case attributable to financing the construction of public
school facilities, as provided in Section 148(�(4)(D)(vii). In addition, the Issuer must have the
Appendix A-6
power to unpose or to cause the imposition of taxes of general applicability which, when
collected, may be used for the general purposes of the lssuer. The Issuer's power to impose or
cause the imposition of such taxes cannot be contingent on approval by any other Governmental
Unit. The Issuer cannot form or avail itself of an entity for the purpose of avoiding the volume
limitation described above.
State or Local Governmental Zlnit has the meaning set forth in Reg § 1.103-1(a) and is
generally a state or any politica] subdivision of a state, but excludes the United States and its
agencies or instrumentalities.
Successful Biddea�(s) means, when applicable, the Successful Bidder(s) set forth
in Appendix B.
Successful Bond Bi�lder means, when applicable, the Successful Bond Bidder set forth
in Apbendix B.
Successful Note Bidder means, when applicable, the Successful Note Bidder set forth
in Appendix B.
Tax-Advc�ntaged Bond has the meaning set forth in Reg § 1.150-1(b) and generally
means a taX-eXempt bond or a taxable bond that provides a federal tax benefit that reduces the
Issuer's borrowing costs.
Tax CeNtificate means the Tax Certiticate to which this AppendiY A is attached.
Tax-Exempt Bond means any obligation the interest on which is excluded from gross
income for federal income taX purposes pursuant to Section 103, other than a "specified private
activity bond" within the meaning of Section 57(a)(5)(C), as well as (i) stock in a "regulated
investment company" (within the meaning of Section 852) to the extent at least 95 percent of
income to the stocicholder is treated as interest on Tax-Exempt Bonds and (ii) any demand
deposit obligation issued by the United States Department of the Treasuxy pursuant to Subpart C
of 31 CFR Part 344.
Transferred Proceeds has the ineaning set forth in Reg § 1.148-9(b) and generally means
Proceeds of a Prior Issue that become Proceeds of the Issue under the transferred proceeds
allocation rule in Reg § 1.148-9(b).
Two Year Spending Exception has the meaning set forth in Reg § 1.148-7(e) and
generally means Available Construction Proceeds are expended at least as quickly as follows:
10% within siY months after the Issue Date
45% within twelve months after the Issue Date
75% within eighteen months after the Issue Date
100°/o within twenty-four months after the Issue Date
Appendix A-7
The requirement that 100% of Available Construction Proceeds be spent within twenty-four
months after the lssue Date will be met if at least 95% of Available Construction Proceeds is
spent within twenty-four months and the remainder is held as Reasonable Retainage, as
permitted by contracts with the Issuer's contractors, and such remainder is spent within thirty-six
months after the Issue Date.
Underwriter means (i) any Person, including, when applicable, a Successful
Bidder/Successful Bond Bidder/Successful Note Bidder, that agrees pursuant to a written
contract with the Issuer (or with the lead underwriter to form an underwriting syndicate) to
participate in the initial sale of the bonds and/or notes of the Issue, or, when applicable, a Prior
Issue, to the Public, and (ii) any Person that agrees pursuant to a written contract directly or
indirectly with a Person described in clause (i) of this paragraph to participate in the initial sale
of such bonds and/or notes of the Issue, or, when applicable, a Prior Issue, to the Public
(including a member of a selling group or a party to a third-party distribution agreement
participating in the initial sale of such bonds and/or notes of the Issue, or, when applicable, a
Prior Issue, to the Public).
Votes means the authorizations for the Issue specif'ied in the Signature Certificate.
Yield has the meaning set forth in Reg § 1.148-4 for an issue and Reg § 1.148-5 for
investments, and generally means, as to the Issue, or, when applicable, a Prior Issue, or
Investment Property, as applicable, that discount rate which, when used in computing the present
value of all unconditionally payable payments representing (i) principal, adjusted, as required,
for any substantial discounts or premiums, (ii) interest, including costs of Qualified Guarantees,
and (iii) payments or receipts on Qualified Hedges, produces an amount equal to the Issue Price
of the Issue, or, when applicable, a Prior Issue, or the purchase price of Investment Property, as
appropriate.
Yield Reduction Payment means a "qualified yield reduction payinent" to the United
States Department of the Treasury that reduces the yield on Investment Property, as set forth in
Reg § 1.148-5(c).
Appendix A-8
APPENDIX B
ISSUE SPECIFIC DEFINITIONS
For purposes of the Tax Certificate to which this Appendix B is attached, and the exhibits
to the Tax Certificate and any schedules or attachments to those exhibits, the following
capitalized terms have the following meanings:
2021 Issue means the Issuer's $4,303,439 General Obligation Bond Anticipation Notes,
issued on its Issue Date, on a new money basis, and payable February 11, 2022.
Bond Year means the period beginning on the Tssue Date and ending on February 10,
2023 (or on an earlier date selected by the Issuer in accordance with Reg § 1.148-1(b)), and each
successive one-year period thereafter. The last Bond Year will end on the last day on which any
bonds of the Issue will remain outstanding for federal tax purposes.
Issue Date means, as to the Issue, the date of this Tax Certificate, February 10, 2022.
Municipal Advisor means Hilltop Securities Inc., as municipal advisor to the Issuer in
connection with the Issue.
Refunded Notes means the $3,369,148.00 portion of the 2021 Issue. The remainder of
the 2021 Tssue will be retired with other moneys of the issuer.
Sale Date of the Issue is January 25, 2022.
Sale Proceeds means as to the Issue, the amount of $16,822,776.71, comprising the
stated principal amount of the Issue ($14,495,000.00),plus original issue premium thereon in the
amount of$2,327,776.71.
Successful Bidder means Robert W. Baird & Co.,Inc.
Appendix B-1
APPENDIX C
POST-ISSUANCE TAX COMPLIANCE PROCEDURES
TAX-EXEMPT OBLIGATIONS AND OTHER TAX-BENEFITED OBLIGATIONS
I. Introduction
These post-issuance compliance procedures of the Issuer are designed to provide for the effective
management of the Issuer's post issuance compliance program for tax-exempt and other tax-
benefited obligations in a manner consistent with state and federal laws applicable to such
obligations.
II. Post-Issuance Tax Compliance
The Treasurer of the Issuer, or such other designated officer (the "Compliance Officer") shall be
the primary bond compliance officer responsible for each issuance by the Issuer of tax-exempt
(ar otherwise tax-benefited) bonds, notes, financing leases, or other obligations (herein,
collectively referred to as "bonds"). All information related to each bond issue and the facilities,
equipment and other assets financed by such issue shall be maintained by or on behalf of the
Compliance Off"icer and the actions taken under subsections A through C of this Section II shall
be taken by the Compliance Officer or on behalf of the Compliance Of�cer by such other
officers or employees of the Issuer as appropriate.
A. Tax Certificate and Continuing Education
1. Tax Certificate— A Tax Certificate is prepared for each issuance of bonds. Immediately
upon issuing any bonds, the Compliance Officer, in conjunction with the Issuer's bond
counsel and financial advisor, shall review the Tax Certificate and make notes regarding
specific compliance issues for such bond issue on the Post-Issuance Compliance Notes
form at Exhibit A. The Tax Certificate and Notes shall clearly define the roles and
responsibilities relating to the ongoing compliance activities for each bond issue and will
identify specific compliance requirements.
2. Continuing Education — The Compliance Officer will actively seek out advice of bond
counsel on any matters that appear to raise ongoing compliance concerns and may attend
or participate in seminars, teleconferences, etc. sponsored by organizations such as the
Massachusetts C�llector-Treasurer Association and the Massachusetts Government
Finance Officers Association that address compliance issues and developments in the
public finance bond arena. In addition, national organizations such as the Securities
Industry and Financial Markets Association (SIFMA) and the National Association of
Bond Lawyers (NABL) offer numerous training opportunities and materials which may
be useful to the Compliance Officer.
B. Tax-Exempt Bonds Compliance Monitoring
Appendix C-1
1. Restrictions against Private Use — The Compliance Officer will continuously monitor
the expenditure of bond proceeds and the use of facilities or equipment fmanced or
refinanced with bonds to ensure compliance with Section 141 of the Internal Revenue
Code (the "Code") which generally establishes limitations on the use of bond-financed
facilities by non-state or local governmental entities, such as individuals using bond-
financed assets on a basis other than as a meinber of the general public, corporations and
the federal government and its agencies and instrumentalities.
a. Use of Bond Proceeds— The Compliance Officer will monitor and maintain records
with respect to expenditures to ensure that bond proceeds are being used on capital
expenditures for governmental purposes in accordance with the bond documents and
document the allocation of all bond proceeds. Such monitoring is required not only
for tax-exempt bonds, but also for tax credit bonds.
b. Use of the Bond-Financed Facility or Equipment
i. Equipment assets financed with bonds will be listed in a schedule for each
bond issue, which schedule may be included in the Tax Certificate. Equipment
assets generally are not to be disposed of prior to the earlier of(a) the date the
bonds and all subsequent refundings of such bonds are fully paid, ar (b) the end
of the useful life of such equipment. The Compliance Officer will maintain the
list of all bond-financed equipment for each bond issue, together with the
equipment's expected useful life.
ri. Constructed or acquired assets financed with bonds—In order to ensure that
assets constructed or acquired using bond proceeds, such as infrastructure
assets, are not leased, sold or disposed of prior to the end of the term of the
bonds and of all subsequent refundings of such bonds:
• Any asset constructed or acquired with bond proceeds shall be flagged in
the Issuer's records, and
• These projects will be monitored by the Compliance Officer.
iii. If there is any proposal to change the use of a bond-financed facility from a
governmental purpose to a use in which a private entity may have the use or
benefit of such a facility on a basis that is different from the rest of the general
public, the Compliance Offiicer will consult with bond counsel prior to the
occurrence of the proposed change in use.
2. Qualification for Initial Temporary Periods and Compliance with Restrictions
against Hedge Bonds
a. Expectations as to Expenditure of"New Money" Bond Proceeds
i. In order to qualify under the arbitrage rules for an initial temporary period of 3
years for "new money" issues during which bond proceeds can be invested
without regard to yield (but potentially subject to rebate), the Issuer must
Appendix G2
reasonably eXpect to spend at least 85% of"spendable proceeds"by the end of
the temporary period. in general under Code Section 149, in order to avoid
classification of an issue of bonds as "hedge bonds," the Issuer must both (x)
reasonably expect to spend 85% of the "spendable proceeds" of the bond issue
within the 3 year period beginning on the date the bonds are issued and (y)
invest not �nore than 50% of the proceeds of the issue in investments having a
substantially guaranteed yield for 4 years or more. These expectations have
been documented for the Issuer's outstanding bond issues in the tax
certificates executed in connection with each bond issue.
ri. If, for any reason, the Issuer's expectations concerning the period over which
the bond proceeds are to be expended change from what was documented in
the applicable tax certificate, the Compliance Officer will consult with bond
counsel.
b. Project Draw Schedule Compliance Monitoring — While there are unspent
proceeds of a bond issue, the Compliance Officer will compare and analyze the
original anticipated project draw schedule and the actual expenditure payouts and
reimbursements on each bond-fmanced project on an annual or more frequent basis.
The purpose of this analysis is to determine the variances from the original expected
draw schedule for each project and to document the reasons for these variances to
provide a continual record on the spending progress of each bond-financed project.
Factors relevant to the analysis include unexpected delays in the project timelines,
extreme weather, contract time extensions due to unexpected events, supplemental
agreements and any other factor with a potential to impact the progress or completion
of the projects. Generally, there should be no effect on the tax-exempt status of the
bonds under either the temporary period rules or the hedge bond rules if the actual
disbursements do not meet the original project draw schedule, unless circumstances
surrounding the actual events cast doubt on the reasonableness of the stated
expectations on the issuance date. Therefore, it is important for the Compliance
Off"icer to update the progress of each project at least annually, and consult with bond
counsel as to any variance from the original schedule.
c. Bond Proceeds Expenditure Schedule Compliance Monitoring — While there are
unspent proceeds of bonds, the Compliance Officer will compare and analyze the
bond proceeds expenditure schedule and the actual investment earnings on each
project on an annua] or more frequent basis. The purpose of this analysis is to
determine any variances from the expected expenditure schedule and to document the
reasons for these variances.
3. Arbitrage Rebate Compliance
a. Bonds may lose their tax-favored status, retroactive to the date of issuance, if they do
not comply with the arbitrage restrictions of section 148 of the Code. Two general
sets of requirements under the Code must be applied in order to determine whether
Appendix C-3
governmental bonds are arbitrage bonds: the yield restriction requirements of section
148(a) and the rebate requirements of section 148(�.
b. Yield Restriction Requirements — The yield restriction requirements provide, in
general terms, that gross proceeds of a bond issue may not be invested in investments
earning a yield higher than the yield of the bond issue, except for investments (i)
during one of the temporary periods permitted under the regulations (including the
initial three year temporary period described above), (ii) in a reasonably required
reserve or replacement fund or (iu) in an amount not in excess of the lesser of 5% of
the sale proceeds of the issue or $100,000 (the "minor portion"). Under limited
circumstances, the yield on investments subject to yield restriction can be reduced
through payments to the IRS known as "yield reduction payments." The Tax
Certificate will identify those funds and accounts associated with a particular issue of
bonds known, as of the date of issuance, to be subject to yield restriction.
c. Rebate Requirements
i. If, consistent with the yield restriction requirements, amounts treated as bond
proceeds are permitted to be invested at a yield in excess of the yield on the
bonds (pursuant to one of the exceptions to yield restriction referred to above),
rebate payments may be required to be made to the U.S. Treasury. Under the
applicable regulations, the aggregate rebate amount is the excess of the future
value of all the receipts from bond funded investments over the future value of
all the payments to acquire such investments. The future value is computed as
of the computation date using the bond yield as the interest factor. At least
90% of the rebate amount calculated for the first computation period must be
paid no later than 60 days after the end of the first computation period. The
amount of rebate payments requued for subsequent computation periods (other
than the final period) is that amount which, when added to the future value of
prior rebate payments, equals at least 90% of the rebate amount. For the fmal
computation period, 100% of the calculated amount must be paid. Rebate
exceptions and expectations are documented for each bond issue in the tax
certificate executed at the time of such bond issue.
ii. While there are unspent proceeds of bonds, the Issuer will engage an
experienced independent rebate analyst to annually calculate any rebate
that may result for that year and annually provide a rebate report to the
Compliance Officer. Bond counsel can assist with referrals to qualified
rebate analysts.
d. Timing of Rebate Payments
The Compliance Officer will work with the rebate analyst to ensure the proper
calculation and payment of any rebate payment and/or yield-reduction payment at the
required time:
Appendix C-4
i. First installment due no later than 60 days after the end of the fifth anniversary
of each bond issuance;
ii. Succeeding installments at least every five years;
iii. Final installment no later than 60 days after retirement of last bond in the
issue.l
4. Refunding Requirements
a. Refunded Projects — The Compliance Of�cer will maintain records of all bond
�nanced assets for each bond issue, including assets originally financed with a
refunded bond issue.
b. Yield Restriction — The Compliance Officer will work with its financial advisor
and bond counsel to maintain records of allocation of bond proceeds for current
and advance refundings ofprior bond issues to ensure that such bond proceeds are
expended as set forth in the applicable tax certificate executed at the time the
refunding bonds are issued. Any yield restricted escrows will be monitored for
ongoing compliance.
C. Record Retention
1. Section 6001 of the Code provides the general rule for the proper retention of records for
federal tax purposes. The IRS regularly advises taxpayers to maintain sufficient records
to support their tax deductions, credits and exclusions. In the case of a tax-exempt bond
transaction, the primary ta�payers are the bondholders. In the case of other tax benefited
bonds, such as "build America bonds" or "recovery zone economic development bonds",
the Issuer will be treated as the taxpayer. In order to ensure the continued exclusion of
interest to such bondholders, it is important that the Issuer retain sufficient records to
support such exclusion.
2. In General
a. All records associated with any bond issue shall be stored electronically or in hard
copy form at the Issuer's offices or at another location conveniently accessible to the
issuer.
b. The Compliance Officer will ensure tha.t the Issuer provides for appropriate storage of
these records.
' Generally,rebate payments must be paid not later than 60 days after retirement of the last bond in the issue.
Appendix GS
c. If storing documents electronically, the lssuer shall conform with Rev. Proc. 97-22,
1997-1 C.B. 652 (as the same may be amended, supplemented or superseded), which
provides guidance on maintaining boolcs and records by using an electronic storage
system. Bond counsel can furnish a copy of this Revenue Procedure if needed.
3. Bonds— Unless a longer period of time is required by state law, the lssuer shall maintain
the bond record as defined in this section for the longer of the life of the bonds plus 3
years or the life of refunding bonds (or series of refunding bonds) which refunded the
bonds plus 3 years. The bond record shall include the following documents:
a. Pre-Issuance Documents
i. Guaranteed Investment Contracts ("GICs") and Investments
(other than Treasury's State and Local Government Series
Securities, "SLGs") — If applicable, the Compliance Officer shall
retain all documentation regarding the procurement of each GIC or
other investment acquired on or before the date of bond issuance,
including as applicable the request for bids, bid sheets, documentation
of procurement method (i.e., competitive vs. negotiated), etc. If
investments other than SLGs are used for a defeasance escrow, the
documentation should include an explanation of the reason for the
purchase of open market securities and documentation establishing the
fair value of the securities and compliance with safe harbor bidding
rules. If SLGs are purchased, a copy of the final subscription shall be
maintained.
u. Project Draw Schedule — The Compliance Officer shall retain all
documentation and calculations relating to the draw schedule used to
meet the "reasonable expectations" test and use of proceeds tests
(including copies of contracts with general and sub-contractors or
summaries thereo�.
iri. Issue Sizing — The Compliance Officer shall maintain a copy of all
financial advisor's or underwriter's structuring information.
iv. Bond Insurance — If procured by the Issuer, the Compliance Officer
shall maintain a copy of insurance quotes and calculations supporting
the cost bene�t of bond insurance, if any.
v. Costs of Issuance documentation — The Compliance Of�cer shall
retain all invoices, payments and certificates related to costs of
issuance of the bonds.
b. Issuance Documents — The Compliance Officer shall retain the bound bond
transcript delivered from bond counsel.
c. Post-Issuance Documents
Appendix C-6
i. Post-lssuance Guaranteed Investment Contracts and lnvestments
(Other than SLGs) — the Compliance Officer shall retain all
documentation regarding the procurement of any GIC or other
investment acquired after bond issuance, including as applicable the
request for bids, bid sheets, documentation of procurement method
(i.e., competitive vs. negotiated), etc. If investments other than SLGs
are used for a defeasance escrow, the documentation should include an
explanation of the reason for the purchase of open market securities
and documentation establishing the fair value of the securities and
compliance with safe harbor bidding rules.
ri. Records of Investments shall be retained by the Compliance Officer.
iii. Investment Activity Statements shall be retained by the Compliance
Officer.
iv. Records of Expenditures— The Compliance Officer shall maintain or
shall cause to be maintained all invoices, etc. relating to equipment
purchases and constructed or acquired projects, either electronically or
in hard copy.
v. Records of Compliance
• Qualification for Initial Temporary Periods and Compliance
with Restrictions against Hedge Bond Documentation — The
Compliance Officer shall prepare the annual analysis described in
Section II(B)(2) above and maintain these records.
• Arbitrage Rebate Reports may be prepared by the Compliance
Officer or a third party as described in section II (B)(3) of this
document and retained by the Compliance Officer.
� Returns and Payment — Shall be prepared at the direction of the
Compliance Officer and filed as described in Section II(B)(3) of
this document.
• Contracts under which any bond proceeds are spent
(consulting engineering, acquisition, construction, etc.) — The
Compliance Officer shall obtain copies of these contracts and
retain them for the bond record.
d. General
i. Audited Financial Statements — The Compliance Officer will
maintain copies of the Issuer's annual audited Financial Statements.
ii. Reports of any prior IRS Examinations — The Compliance Officer
will maintain copies of any written materials pertaining to any IRS
examination of the Issuer's bonds.
III. Voluntarily Correctin�Failures to Complv with Post-Issuance Compliance Activities
Appendix C-7
If, in the effort to eXercise due diligence in complying with applicable federal tax laws, a
potential violation is discovered, the lssuer may address the violation through the applicable
method listed below. The Issuer should work with its bond counsel to determine the appropriate
way to proceed.
A. Taking remedial actions as described in Section 141 of the Internal Revenue Code
B. Utilizing the Voluntary Closing Agreement Program (VCAP) — Section 7.2.3 of the
Internal Revenue Manual establishes the voluntary closing agreement program for tax-exempt
bonds (TEB VCAP) whereby issuers of tax-exempt bonds can resolve violations of the Internal
Revenue Code through closing agreements with the Internal Revenue Service.
IV. Post Issuance Tax Compliance Procedures Review
The Compliance Officer shall review these procedures at least annually, and implement revisions
or updates as deemed appropriate, in consultation with bond counsel.
Appendix C-8
Exhibit A
POST ISSUANCE COMPLIANCE NOTES
[Name of Bond]
Transaction Parties
Overall Responsible Party for Debt Management Activities
Bond Counsel
Paying Agent
Rebate Specialist
Other
Appendix C-9
EXHIBIT A
$14,495,000
Town of Lexington, Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds
Dated February 10, 2022
ISSUE PRICE CERTIFICATE AND RECEIPT
The undersigned, on behalf of the Successful Bidder, hereby certities as set forth below
with respect to the sale of the above-captioned obligations ("Issue") of the Issuer. Capitalized
terms used and not otherwise defined herein shall have the respective meanings set forth in the
Tax Certificate to which this Exhibit A is attached.
1. Reasonably Expected Initial Offering Prices.
(a) As of the Sale Date, the reasonably expected initial offering prices of the
bonds of the Issue to the Public by the Successful Bidder are the prices listed in Schedule A
("Expected Offering Prices"). The Expected Offering Prices are the prices far the bonds of the
Issue used by the Successful Bidder in formulating its bid to purchase the Issue. Reflected
in Schedule B is a true and correct representation of the bid provided by the Successful Bidder to
purchase the Issue.
(b) The Successful Bidder was not given the opportunity to review other bids
prior to submitting its bid.
(c) The bid submitted by the Successful Bidder constituted a firm offer to
purchase the bonds of the Issue.
2. Receipt. The Successful Bidder hereby acknowledges receipt of the bonds of the
Tssue from the Issuer and further acknowledges receipt of all certificates, opinions and other
documents required to be delivered to the Successful Bidder, before or simultaneously with the
delivery of such bonds of the Issue, which certificates, opinions and other documents are
satisfactory to the Successful Bidder.
[Remainder of page intentionally left blank,• signature page follows.J
Exhibit A-1
The representations set forth in this certificate are limited to factual matters only.
Nothing in this certificate represents the Successful Bidder's interpretation of any laws,
including specifically Sections 103 and 148 and the Regulations thereunder.
The undersigned understands that the foregoing information will be relied upon by the
Issuer with respect to certain of the representations set forth in the Tax Certificate and with
respect to compliance with the federal income tax rules affecting the Issue, and by Locke Lord
LLP in connection with rendering its opinion that the interest on the Issue is excluded from gross
income for federal income tax purposes, the preparation of the Internal Revenue Service Form
8038-G, and other federal income tax advice that it may give to the Issuer from time to time
relating to the Issue.
Dated: February 10, 2022 ROBERT W. BAIRD & CO., INC.
By:
Name:
Title:
Exhibit A-2
SCHEDULE A TO EXHIBIT A
EXPECTED INITIAL OFFERING PRICES TO THE PUBLIC
sc�r�r���Icrr�c;
Tr,wn of Lcxingtan,�+lassachusetts
(;encral()bli�atiorr Munici�aal Pur�sc�se Loan of 2022�3onda datecl.lzanuary 27,2f>22
M�tus�ity
B<an�3(���c�arx�,7r�ne�rt Date* r�rn<ru�rt Rate SPield Price
SEELCL•'S:
Q2/f�ll2i')23 1,145,0!)0 5.470f1°fr Q.�547`�/0 1(14.421
Q2/fYl(2d)24 1,14S,Qf)6 S.00fI%� Q.670% lq£�.4R1
O2/CYI1202'S 1,140,000 5.0f�[I% O.f3Q0°lo I12.322
(�2!(YI1202G I,I44,(�(70 S.�)44°'a (�.412�1`�i I1S.88$
(J2lfYI12027 I,f'7£35,(J(70 S.�)40�''a 1.U�1C1`�� t1�.3tiS
Q2/f�ll2f)'�H 1,f780,Q!)0 5.470f1°hr 1.1()(7°'0 122.4�I3
n����r?oa� r,a�o,n�� �.a�opf� a.zaa�;�� �zs.�sz
o�sa�rzo��a r,��$o,o��o s.�roo�!a i.�so�rn ���.���
�zr�rrrzo�t �,c>sn,�c�o s.�,o��°r i.�oo{;�, ��r.za�
o�e��rz����z r,�s�,ar�� s.�o�tp,�r �i.�s��,�n i�r�.�sa c
�r„os s„ae���
�r�xr�i:
p2lU1I2034 1,39s,p(7{1 3.Q�Op%� 1.�90`�/0 111.749 C
T�;RM2:
(J2l011203(i 1,396,(J(76 2.f144°/a 2.000'�� 1f}(7.Op0
SLR['�52:
O2/OI120'37 fiSS,OOO 2.(1f�[I% 2.IQ0'�o 9K.72O
14,49S,Ut7f�
Uat�eel D<xtc U2/Lf�l'2422
Delivcry bate (l�f I f�/2022
}?ir�wt�<7u�c>n f}€310I/2022
Yas��mcst��rt 14,44)S,4fJf'7.p0
Pre�rri urn �,327,776.7 t
Prr�ci'uCti6n I6,fi22„776.71 LI6.OSS�17O"'lo
Undccwritcr"s[3isct�unt (66,'352.5�3) ((J.4S77(i2''�,)
Purchas�Price t(i,7S(i,424.I3 (tS.fi014U8°�'�
Accrue�i]��f�resf. -
Net P��c�c�:ecls t(i„7�6„A2A.I 3
SCHEDULE B TO EXHIBIT A
SUCCESSFUL BIDDER'S BID
Robert W. Baird &Co., Inc. -Red Bank, NJ's Bid ;.,�����m��,�.-
�exington (Town)
$16,655,000 General Obligation Municipal Purpose Loan of 2022
Bonds
For the aggregate principal amount of$16,655,000.00,we will pay you$19,167,079.31,plus accrued interest from the date of
issue to the date of delivery.The Bonds are to bear interest at the followin rate s :
Maturity Date Amou�t$Coupo�°/4 Yield°/p Dollar Price
02/01/2023 1,575M 5.0000 0.4500 104.421
02/p1/2024 1,570M 5.0000 0.6700 10$.4$1
02/01/2025 1,560M 5.0000 0.8000 112.322
02/01/2026 1,545M 5.0000 0.9200 115.888
02/01/2027 1,390M 5.0000 1.0000 119.365
02/01/2028 1,100M 5.d000 1.1000 122.493
02/01/2029 1,100M 5.0000 1.2000 125.352
02/01/2030 1,100M 5.0000 1.2500 128.379
02/01/2031 1,100M 5.Op00 1.3000 131.247
02/01/2032 1,1OOM 5.0000 1.3500 130.754
02/0112C133
02/01/2Q34 1,420M 3.0000 1.5900 111.749
..(12/01/2C135....
02/01/2036 1,420M 2.0000 2.0000 100.000
02/01/2037 675M 2.0000 2.1000 98.720
Total Interest Cost: $4,383,512.50
Premium: $2,512,079.31
Net Interest Cost: $1,871,433.19
TIC: 1.535843
Time�ast Bid Received On:01/25/2022 11:14:30 EST
EXHIBIT B
�14,495,000
Town of Lexington, Massachusetts
General Obligation Municipal Purpose Loan of 2022 Bonds
Dated February 10, 2022
CERTIFICATE OF THE MUNICIPAL ADVISOR
The undersigned, on behalf of the Municipal Advisor, has assisted the Issuer in soliciting
and receiving bids from potential underwriters in connection with the sale of the bonds of the
Issue in a competitive bidding process in which bids were requested for the purchase of such
bonds at specif'ied written terms set forth in the Notice of Sale, a copy of which is attached to this
certificate as Attachment 1. Capitalized terms used and not otherwise defined herein shall have
the respective meanings set forth in the Tax Certificate to which this Exhibit B is attached. The
competitive sale requirements (as defined in the Notice of Sale) for the Issue were met. The
Municipal Advisor further advises as follows:
L The bonds of the Issue were offered for sale at specified written terms more
particularly described in the Notice of Sale, which was distributed to potential bidders.
2. The Notice of Sale was disseminated electronically through PARITY on January
18, 2022. The method of distribution of the Notice of Sale is regularly used for purposes of
disseminating notices of sale of new issuances of municipal bonds, and notices disseminated in
such manner are widely available to potential bidders.
3. To the knowledge of the Municipal Advisor, all bidders were offered an equal
opportunity to bid to purchase the bonds of the Issue so that, for example, if the bidding process
affarded any opportunity for bidders to review other bids before providing a bid, no bidder was
given an opportunity to review other bids that was not equally given to all other bidders (that is,
no exclusive "last-loolc").
4. The Issuer received bids for the bonds of the Issue from at least three
Underwriters who represented that they have established industry reputations for underwriting
new issuances of municipal bonds. Based upon the Municipal Advisor's knowledge and
experience in acting as the Municipal Advisor far other municipal issues, the Municipal Advisor
believes those representations to be accurate. Copies of any written bids received are attached to
this certificate as Attachment 2. Bids not reflected in Attachment 2, if any, were received by
telephone rather than in writing.
5. The winning bidder for the bonds of the Issue was the Successful Bidder, whose
bid was determined to be the best conforming bid in accordance with the terms set forth in the
Notice of Sale, as shown in the bid comparison attached as Attachment 3 to this certificate. The
Issuer awarded the bonds of the Issue to the Successfu] Bidder.
E�ibit B-1
6. The Yield on the Issue is 1.4242843465% as shown on the attached Schedule A.
The representations set forth in this certificate are limited to factual matters only.
Nothing in this certificate represents the Municipal Advisor's interpretation of any laws,
including specifically Sections 103 and 148 and the Regulations thereunder.
[Remainder of page intentionally left blank,• signature page follows.J
Exhibit B-2
The undersigned understands that the foregoing information will be relied upon by the
Issuer with respect to certain of the representations set forth in the Tax Certificate to which this
certificate is attached and with respect to compliance with the federal income tax rules affecting
the Issue, and by Locke Lord LLP in connection with rendering its opinion that the interest on
the Issue is excluded from gross income for federal income tax purposes, in the preparation of
the Internal Revenue Service Form 8038-G, and in providing other federal income tax advice
that it may give to the Issuer from time to time relating to the Issue. The Issuer and Locke Lord
LLP may also rely on the foregoing information for purposes of determining compliance with
Section 21A of Chapter 44 of the Massachusetts General Laws, if applicable. No other Persons
may rely on the representations set forth in this certificate without the prior written consent of the
Municipal Advisor.
Dated: February 10, 2022 HILLTOP SECURITIES INC.
By:
Name:
Title:
Exhibit B-3
ATTACHMENT 1 TO EXHIBIT B
NOTICE OF SALE
ATTACHMENT 2 TO EXHIBIT B
COPIES OF WRITTEN BIDS RECEIVED
ATTACHMENT 3 TO EXHIBIT B
BID COMPARISON
Bid Results
Lexington (Town)
$16,655,000 General Clbligation Municipal Purpose Loan af 2�22
Bonds
�`he following bids were submitted using PARl7`��and displayed ranked by lawest TIC.
Click an the name af each bidder to see the respective bids.
Bid pward�` Bidder Name TIC
�_._.� Rcrbert W. Baird & Ccr., Inc. 1.535$43
.�....
�� 1.185 �inancial Services Ir�c. 1.596461
�� Fidelity Ca�pital Markets 1.608151
C'll KeyBanc Capital Markets 1.611514
C,,,,,,,� J.P. Morgian S�curii�ies LLC 1.614965
�__� BafA 5ecuri�ies 1.7406$0
SCHEDULE A TO EXHIBIT S
PROOF OF YIELD ON THE ISSUE
"I'c:awn cbf Le^xirr�tr�n,Massnchutic;tts
(;erferal(`)f�li�e+tit7n Murricipral Purpose l.,c>an rrf 2(722 Bc>nds dated.Ianuary 27,2()22
Yr�sent V�luc
to U2010/2U22
D�te Dcl�t Scrvioe* Tr�tal �a`, 1.424'�S�A3465`��0
fJ8/fJ1/2022 3U1,�62.51 30L,862.51 2f�t),�334.39
0�/O1/2p2'3 I,4fi2„75O.Q�� 1,4E2„75f).f70 1„4'X2,(i'4£�.S 1
f}$/f11/20.723 2�9,125.Uf} 2��,125.f7(� 283,I35.44
p2/pl/2�124 t,434,125.00 1,434,t2S.00) 1,3�)4,4�4.73
o�eo�Azo7a z��,so�.00 z�o,�oo.��� �sr,so�.a�
flZOfll/20.725 1,4p(Y,Sf1(Y.Uq 1,40f1,50q.(Y(� 1,342,S�S.f;4
fJ8/fJ1/2025 232,Of)(Y.Op 232,fi0p.fJt� 224,�335.6�
0?f01/2p26 l,372„�O().00 I,�72,UU0.(70 1,24)6,741.87
f}$/f71/20.72fi 2p3,Sn(Y.Uf} 203,SClq.f7(� 1�4,977.41
O2/O1/2Q)27 1,2f��3,SO(>.00 1,28f�,SOp.IJC) 1,21J4,fi6O.'38
Of�/O1/?p27 17(i,375.Q�0 17�i„�7�.f70 1(i3,I£�9.0�
fJ2/fJ1/202£� 1,2fi6,37S.Op 1,2Sf7,375.CY1� 1,154,227.34
o�eo�Azo7� ra�x,a�s.00 �a�,��s.��� ��r5,���.��
OZ001/2f129 1,229,375.bf) 1,22�,3�S.fYO 1,113,5()(�.61.
fJ$/fJ1/2029 122,37S.Op 122,37S.fJt� IIQ7,f)57,41
o�ForAz���a �,zU�,a�s.a�a i,z��,��s.��� I„E���3,�apa.��E��
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��e�vzo��i �,�so,�as.ou �,�ys�,��as.o� �,zz�,���.�a
a�ear�?a��� z�>„as�a.�o 7a,ds��r.�>o ��,r��aEr.�r
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�r�A�r��z������ ����,aai�>.00 ��r,aso.���t� z�,r�za.��
02001/?f133 2fY„45O.17C) �0„45f).fYO l?,5l')45.36
f}$/fJ1/2033 2CY,4S(Y.Op 2fJ>4S(�.CYI� 17,3?(i.f72
f}2/f}1/2034 20,45(>.Op 2f}>4Sp.0t� I?,2�3.75
Of�/O1/?p'34 2f7„45O.Q�O 70„45f).f70 I7,131.74
fJ2/fJ1/2035 71S,AS(Y.Op 71S,4S(7.CYl� 5�5,121.54
O�/O1124,)'3S 13,5O(,>.4)0 1'3,5Q0.(,)O t 1,15(,I.0)
OZ001/2fl3fi 7()8„50().UO 70£3,50().fYO SSI,U35.42
f}$/fJ1/203fi 6,SS(Y.Op f7,SS(�.CYI� 5,333.f72
Q'�/Q11247'37 (iCaI,S`afl.4)0 (i(i1,55U.�4',) S�4,f3�(i.(iS
I�3,37S,S�i2.S I 1 f�,37S,S62.S 1 16,$22,77Ci.71
Prt>ceeds Su�nrnai�✓
Delive ay datc 0211 Q/'�f,122
Par Value 14,4�S,U4p.{)f7
Preinium(�Di;,c�csur�t) 2,327,77h�.'7d�
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(Please Note: The following certificate is an essential part of the permanent record and
creates ongoing obligations of the lssuer. Please read it carefully before signing. Advise Locke
Lord LLP of any inaccuracy.)
CONTINUING DISCLOSURE CERTIFICATE
This Continuing Disclosure Certif"icate (the "Disclosure Certificate") is executed and
delivered by the Town of Lexington, Massachusetts (the"Issuer") in connection with the issuance
of its $14,495,000 General Obligation Municipal Purpose Loan of 2022 Bonds dated February 10,
2022 (the`Bonds"). The Issuer covenants and agrees as follows:
SECTION 1. Purpose of the Disclosure Certificate. This Disclosure Certificate is being
executed and delivered by the Issuer for the benefit of the Owners of the Bonds and in order to
assist the Participating Underwriters in complying with the Rule.
SECTION 2. Definitions. For purposes of this Disclosure Certificate the following
capitalized terms shall have the following meanings:
"Annual Report" shall mean any Annual Report provided by the Issuer pursuant to, and as
described in, Sections 3 and 4 of this Disclosure Certificate.
"Listed Events" shall meaii any of the events listed in Section 5(a) of this Disclosure
Certificate.
"MSRB" shall mean the Municipal Securities Rulemaking Board as established pursuant
to Section 15B(b)(1) of the Securities Exchange Act of 1934, or any successor thereto or to the
functions of the MSRB contemplated by this Disclosure Certificate. Filing information relating to
the MSRB is set forth in Exhibit A attached hereto.
"Obligated Person" shall mean the Issuer.
"Owners of the Bonds" shall mean the registered owners, including beneficial owners, of
the Bonds.
"Participating Underwriter" shall mean any of the original underwriters of the Bonds
required to comply with the Rule in connection with offering of the Bonds.
"Rule" shall mean Rule 15c2-12 adopted by the Securities and Exchange Commission
under the Securities Exchange Act of 1934, as the same may be amended from time to time.
SECTION 3. Provision of Annual Re�orts.
(a) The Issuer shall, not later than 270 days after the end of each fiscal year,provide to
the MSRB an Annual Report which is consistent with the requirements of Section 4 of this
Disclosure Certificate. The Annual Report may be submitted as a single document or as separate
documents comprising a package, and may cross-reference other information as provided in
-1
Section 4 ofthis Disclosuie Certificate;provided that the audited financial statements ofthe Issuer
may be submitted when available separately from the balance of the Annual Report.
(b) If the Issuer is unable to provide to the MSRB an Annual Report by the date
required in subsection (a), the Issuer shall send a notice to the MSRB in a timely manner, in
substantially the form attached as Exhibit B.
SECTION 4. Content of Annual Reports. The Issuer's Annual Report shall contain or
incorparate by reference the following:
(a) quantitative information for the preceding �scal year of the type presented in
the Issuer's Official Statement dated January 25, 2022 relating to the Bonds regarding (i)
the revenues and expenditures of the Issuer relating to its operating budget, (ii)
capital expenditures, (iii) fund balances, (iv) property tax information, (v) outstanding
indebtedness and overlapping debt of the Issuer, (vi)pension obligations of the Issuer, and(vii)
other post-employment benefits liability of the Issuer, and
(b) the most recently available audited financial statements of the Issuer, prepared in
accordance with geneially accepted accounting principles, with certain exceptions permitted by
the Massachusetts Uniform Municipal Accounting System promulgated by the Department of
Revenue of the Commonwealth. If audited fmancial statements for the preceding fiscal year are
not available when the Annual Report is submitted, the Annual Report will include unaudited
financial statements for the preceding fiscal year and audited financial statements for such fiscal
year shall be submitted when available.
Any or all of the items listed above may be incorporated by reference from other
documents, including official statements of debt issues of the Issuer or related public entities,
which(i) are available to the public on the MSRB internet website or(ii) have been filed with the
Securities and Exchange Commission. The Issuer shall clearly identify each such other document
so incoiporated by reference.
SECTION 5. Reporting of Si�nificant Events.
(a) The Issuer shall give notice, in accardance with the provisions of this Section 5, of
the occurrence of any of the following events with respect to the Bonds:
1. Principal and interest payment delinquencies.
2. Non-payment related defaults, if material.
3. Unscheduled draws on debt service reserves reflecting financial difficulties.
4. Unscheduled draws on credit enhancements reflecting financial difficulties.
5. Substitution of credit or liquidity providers, or their failure to perform.
6. Adverse tax opinions, the issuance by the Internal Revenue Service of proposed or
final determinations of taxability, Notices of Proposed Issue (IRS Form 5701-TEB) or other
-2
material notices or determinations with respect to the tax status of the Bonds, or other material
events affecting the tax status of the Bonds.
7. Modifications to rights of the Owners of the Bonds, if material.
8. Bond calls, if material, and tender offers.
9. Defeasances.
10. Release, substitution or sale of property securing repayment of the Bonds, if
material.
11. Rating changes.
12. Bankruptcy, insolvency, receivership or similar event of the Obligated Person.*
13. The consummation of a merger, consolidation, or acquisition involving an
Obligated Person or the sale of all or substantially all of the assets of the Obligated Person, other
than in the ordinary course of business, the entry into a defmitive agreement to undertake such an
action or the termination of a definitive agreement relating to any such actions, other than pursuant
to its terms, if material.
14. Appointment of a successor or additional trustee or the change of name of a trustee,
if material.
15. Incurrence of a financial obligation of the Obligated Person, if material, or
agreement to covenants, events of default, remedies, priority rights, or other similar terms of a
financial obligation of the Obligated Person,any of which affect Owners of the Bonds,if material.�
16. Default, event of acceleration, terniination event, modification of terms, or other
similar events under the terms of a financial obligation of the Obligated Person, any of which
reflect financial difficulties.�r
�As noted in the Rule,this event is considered to occur when any of the following occur: (i)the appoint�nent of a
receiver, fiscal agent or similar officer for the Obligated Person in a proceeding under the U.S.Bankruptcy Code or
in any proceeding under state or federal law in which a court or governmental authoriry has assumed jurisdiction
over substantially all of the assets or business of the Obligated Person,or if such jurisdiction has been assumed by
leaving the existing governing body and officials or officers in possession but subject to the supervision and orders
of a court or governmental authority, or(ii)the entry of an oeder confirming a plan of eeorganization,arrangement oe
liquidation by a court or governmental authority having supervision or jurisdiction over substantially all of the assets
or business of the Obligated Person.
t For purposes of event nulnbers 15 and 16 in Section 5(a)of this Disclosure Certificate,the term"financial
obligarion"means a(i)debt obligation;(ii)derivative instrument entered into in connection with,or pledged as
security or a source of payment for,an e�sting or planned debt obligation; or(iii)guarantee of(i)or(ii). The term
"financial obligation"excludes municipal securities for which a final official statement has been provided to
the MSRB consistent with the Rule.
-3
(b) Upon the occurrence of a Listed Event, the Issuer shall, in a timely manner not in
excess of ten(10) business days after the occurrence of the event, file a notice of such occurrence
with the MSRB.
SECTION 6. Transmission of Information and Notices. Unless otherwise required by
law, all notices, documents and information provided to the MSRB shall be provided in electronic
farmat as prescribed by the MSRB and shall be accompanied by identifying information as
prescribed by the MSRB.
SECTION 7. Termination of Re�ortin._ O�bli�ation. The Issuer's obligations under this
Disclosure Certificate shall terminate upon the prior redemption or payment in full of all of the
Bonds. If such termination occurs prior to the final maturity of the Bonds, the Issuer shall give
notice of such termination in the same manner as for a Listed Event under Section 5(b).
SECTION 8. Amendment: Waiver. Notwithstanding any other provision of this
Disclosure Certificate, the Issuer may amend this Disclosure Certificate and any provision of this
Disclosure Certificate may be waived if such amendment or waiver is permitted by the Rule, as
evidenced by an opinion of counsel expert in federal securities law (which may include bond
counsel to the Issuer),to the effect that such amendment or waiver would not cause the Disclosure
Certificate to violate the Rule. The first Annual Report filed after enactment of any amendment
to ar waiver of this Disclosure Certificate shall explain, in narrative form, the reasons for the
amendment or waiver and the impact of the change in the type of information being provided in
the Annual Report.
If the amendment provides for a change in the accounting principles to be followed in
preparing financial statements, the Annual Report for the year in which the change is made shall
present a comparison between the financial statements or information prepared on the basis of the
new accounting principles and those prepared on the basis of the former accounting principles.
The comparison shall include a qualitative discussion of the differences in the accounting
principles and the impact of the change in the accounting principles on the presentation of the
financial information in order to provide information to investors to enable them to evaluate the
ability of the Issuer to meet its obligations. To the extent reasonably feasible,the comparison shall
also be quantitative. A notice of the change in the accounting principles shall be sent to the MSRB.
SECTION 9. Default. In the event of a failure of the Issuer to comply with any provision
of this Disclosure Certi�icate any Owner of the Bonds may seek a court order for specific
performance by the Issuer of its obligations under this Disclosure Certificate. A default under this
Disclosure Certificate shall not constitute a default with respect to the Bonds, and the sole remedy
under this Disclosure Certificate in the event of any failure of the Issuer to comply with this
Disclosure Certificate shall be an action for specific performance of the Issuer's obligations
hereunder and not for money damages in any amount.
-4
SECTION 10. Beneficiaries. This Disclosure Certificate shall inure solely to the benefit
of the Owners of the Bonds from time to time, and shall create no rights in any other person or
entity.
Date: February 10, 2022 TOWN OF LEXINGTON,
MASSACHUSETTS
By:
Treasurer
Select Board
-5
EXHIBIT A
Filing information relating to the Municipal Securities Rulemaking Board is as follows:
Municipal Securities Rulemaking Board
http://emma.msrb.org
A-1
EXHIBIT B
NOTICE OF FAILURE TO FILE ANNUAL REPORT
Name of Issuer: Town of Lexington, Massachusetts
Name of Issue: $14,495,000 General Obligation Municipa]Purpose Loan of 2022 Bonds
Date of Issuance: February 10, 2022
NOTICE IS HEREBY GIVEN that the Issuer has not provided an Annual Report with
respect to the above-named Bonds as required by the Continuing Disclosure Certificate of the
Issuer dated February 10, 2022. The Issuer anticipates that the Annual Report will be filed by
Dated:
TOWN OF LEXINGTON,
MASSACHUSETTS
By:
io29sss3o�.i
B-1
CJM O1/19/2022
(Please Note: The following statements are an essential part of the permanent bond
record. Read them carefully before signing this certificate. Advise Locice Loi-d LLP of any
inaccuracy.)
Town of Lexington, Massachusetts
$14,495,000
General Obligation Municipal Purpose Loan of 2022 Bonds
dated February 10, 2022
SIGNATURE, NO LITIGATION AND OFFICIAL STATEMENT CERTIFICATE
A. Certificate of Authorized Officers. We, the Select Board and the Treasurer of the
Town of Lexington, Massachusetts (the"Town"), certify that we have signed each of the
$14,495,000 General Obligation Municipal Purpose Loan of 2022 Bonds, payable February 1 of
the years and in the principal amounts, and bearing interest at the respective rates as follows:
Interest Interest
Year Amount Rate Year Amount Rate
2023 $1,145,000 5.00°/a 2030 $1,080,000 5.00°/a
2024 1,145,000 5.00 2031 1,080,000 5.00
2025 1,140,000 5.00 2032 1,080,000 5.00
2026 1,140,000 5.00 2034 1,395,000 3.00
2027 1,085,000 5.00 2036 1,390,000 2.00
2028 1,080,000 5.00 2037 655,000 2.00
2029 1,080,000 5.00
The Bonds maturing on February l, 2034 and February 1, 2036 (each a"Term Bond")
shall be subject to mandatory redemption or mature as follows:
Term Bond due February 1, 2034
Year Amount
2033 $700,000
2034* $695,000
*Final Maturity
Term Bond due February 1, 2036
Year Amount
2035 $695,000
2036* $695,000
*Final Maturity
The Bonds shall be subject to redemption, at the option of the Town, upon such terms and
conditions as are set forth in the Official Statement prepared in connection with the Bonds dated
January 25, 2022 (the "Official Statement").
A book entry system is being used to evidence ownership and transfer of the Bonds on
the records of The Depository Trust Company("DTC"). The Bonds are registered in the name
of"CEDE & CO." as nominee for DTC and immobilized in the custody of DTC. All of the
Bonds are similar in farm and similarly executed, and each Bond bears (either by impression or
in facsimile)the Town seal, which is also af�ed to this certificate.
We, the Select Board of the Town, certify that we have authorized the use of any
facsimiles of our signatures that may be printed on the Bonds.
We, the said officers, also certify as follows:
1. Authoritv. The Bonds� are issued pursuant to a vote of the Select Board adopted
at a meeting duly called and held on February 7, 2022 and the following statutes and votes of the
Town:
(a) $8,000,000 $9,105,000 Center Streetscape Improvement Bonds under G.L. c.44,
§7(1) and a vote of the Town passed Apri13, 2019 (Article 16E);
(b) $2,000,000 $2,010,152 Bridge Elementary School Roof Replacement
Bonds, under G.L. c.44, §7(1) and a vote of the Town passed June
], 2020(Article 16E);
(c) $878,500 $2,200,000 Water Main Bonds, payable within 40 years from their
dates under G.L. c.44, §8(5) and/or G.L. c.29C and a vote of the
Town passed April 1, 2019 (Article 17);
(d) $1,000,000 $1,500,000 New Hill Street Sidewalk Bonds under G.L. c.44, §7(1)
and a vote of the Town passed April 10, 2019 (Article 16H);
(e) $0 $1,038,000 DPW Equipment Bonds under G.L. c.44, §7(1) and
a vote of the Town passed June 1, 2020 (Article 12F)
(� $797,000 $800,000 Sidewall�Improvement Bonds under G.L. c.44, §7(1) and
a vote of the Town passed June 1, 2020 (Article 12E);
(g) $700,000 $700,000 Sewer Pump Station Bonds under G.L. c.44, §8(14) and a
vote of the Town passed April 1, 2019 (Article 18B);
'See Paragraph A(2)below for the amount of bond premium which will be applied to reduce the borrowing
authority under certain of the respective town meeting votes.
- 2 -
(h) $600,000 $800,000 Pump Station Upgrade Bonds under G.L. c.44, §8(14)
and a vote of the Town passed on Apri19, 2018 (Article 18B);
(i) $295,000 $401,200 Wastewater Pump Station Bonds under G.L. c.44, �7(1)
and a vote of the Town passed June 1, 2020 (Article 14B);
(j) $0 $390,000 Watershed Stormwater Management Bonds under G.L.
c.44, §7(1) and/or §8(14) and a vote of the Town passed Apri15,
2017 (Article 12G);
(k) $0 $390,000 Culvert Replacement Bonds under G.L. c.44, §7(1) and a
vote of the Town passed April 5, 2017 (Article 12J);
(1) $0 $1,250,000 Route 4/225 Transportation Improvement Plan Bonds
under G.L. c.44, §7(7) and a vote of the Town passed November 12,
2019 (Article 8)
(m) $224,500 $275,000 Compost Equipment Replacement Bonds under G.L.
c.44, §7(1) and a vote of the Town passed June 1, 2020 (Article
12F); and
(n) $0 $1,000,000 Sewer Bonds, payable within 30 years from their
dates under G.L. c.44, §8(14) and a vote of the Town passed April
1, 2019 (Article 18a).
2. Description and Purpose of Bonds. The Town is issuing and delivering the Bonds
simultaneously with the delivery of this certificate. The following amounts of the issue are for
the following puiposes, including the payment of$3,369,148 bond anticipation notes:
Total Amount
Princi�al Premium� of Proceeds Pur�ose
(a) $8,000,000 -- $8,000,000 reconstruction of the center
streetscape, including
ADA compliance
improvement, lighting, and
safety improvements
(b) $2,000,000 -- $2,000,000 Bridge Elementary School
roof replacement
��1,803,000 of the net premium received by the Town in connection with the sale of the Bonds has been allocated to
project costs pursuant to G.L. c.44, §20,as amended,and tlie amount autharized to be borrowed for each project has
been reduced accordingly. The remaining unallocated net premium on the Bonds in the amount of$2,226.63 will be
appropriated by town meeting for eligible capital projects at a later date.
- 3 -
(c) $875,500 $121,500 $1,000,000 water distribution system
improvements
(d) $1,000,000 -- $1,000,000 constructing a new
sidewalk on Hill Street
from the intersection at
Bedford Street to the
intersection at Cedar Street
(e) $0 $845,000 $845,000 winter brine system, aerial
bucket truck, electric
grass mower
(fl $797,000 $3,000 $800,000 rebuilding and repaving
existing sidewalks
(g) $700,000 -- $700,000 pump station upgrades
(h) $600,000 -- $600,000 pump station upgrades
(i) $295,000 $106,200 $401,200 pump station upgrades
(j) $0 $390,000 $390,000 watershed storm
management projects
(k) $0 $315,000 $315,000 repair and replacement of
culverts
(1) $0 $250,000 $250,000 design, engineering and
architectural services for
25% design for Route
4/225 Bedford Street,
Hartwell avenue, Wood
Street transportation
improvement plan
(m) $224,500 $19,800 $244,300 compost equipment (CAT
loader)replacement
(n) $0 $110,000 $110,000 installation and
replacement of sanitary
sewer mains and sewerage
systems
3. Other Debt. No other debt has been incurred under those votes except for the
following bonds:
(a) $500,000 notes dated June 30, 2021 and payable February 11, 2022*;
- 4 -
(b) $50,000 notes dated June 30, 2021 and payable February 11, 2022*, of which
$10,152 will be paid on such date with available funds of the Town;
(c) $1,200,000 bonds dated February 11, 2021; and$200,000 notes June 30, 2021
and payable February 11, 2022*;
(d) $1,000,000 notes June 30, 2021 and payable February 11, 2022*;
(e) $380,000 notes dated June 30, 2021 and payable February 11, 2022*;
(� $770,000 notes dated June 30, 2021 and payable February ll, 2022*;
(g) $75,000 notes dated June 30, 2021 and payable February 11, 2022*;
(h) $200,000 bonds dated February 11, 2021; and $50,000 notes dated June 30, 2021
and payable February 11, 2022*;
(i)-(j) none;
(k) $75,000 bonds dated February 13, 2020;
(1) none;
(m) $244,300 notes dated June 30, 2021 and payable February 11, 2022; and
(n) $390,000 bond issued to the Massachusetts Water Resources Authority dated
November 18, 2019; $500,000 bonds dated February ll, 2021; and $110,000
notes dated June 30, 2021 and payable February 11, 2022*.
4. Maturity Schedule. The Bonds constitute a consolidated issue for purposes of
G.L. c.44, §16 of the General Laws. Each component of the Bonds matures at such times and in
such amounts as set forth in Appendix A attached hereto.
5. Approval of Sale. We approve the sale of the Bonds to Robert W. Baird&Co.,
Inc. (the "Purchaser") at par and accrued interest plus a premium of$2,261,424.13.
B. Delivery and Receipt. I, the Treasurer, certify that the Bonds were delivered on
this date and that the full purchase price including accrued interest for the period, if any, from the
date of the Bonds to this date was received from the Purchaser on this date.
C. Certificate as to Official Statement. I, the Town Treasurer, certify as follows:
(a) I have reviewed the Preliminary Official Statement dated January 19, 2022
(the "Preliminary Official Statement") and the Off'icial Statement relating to the sale of
the Bonds.
(b) To the best of my knowledge and belief, the Preliminary Official
Statement (excluding Appendices B and C, as to which no view is expressed) did not, as
- 5 -
of its date and as of the date of sale of the Bonds, and the Official Statement (excluding
the prices or yields on the cover page, and Appendices B and C, as to which no view is
expressed) did not as of its date and does not as of this date (which is the date of delivery
of the Bonds), contain any untrue statement of a material fact or omit to state a material
fact necessary to make the statements made therein, in the light of the circumstances
under which they were made, not misleading.
(c) Since the date ofthe Official Statement there has been no material adverse
change in the financial condition or affairs of the Town except as set forth in or
contemplated by the Official Statement.
D. Debt Limit. I, the Treasurer, certify that at the time of their authorization, the
Bonds were, and on the date hereof are, within every applicable debt and other limit prescribed
by law or othei-wise.
E. Certificate of Town Clerk. 1, the Town Clerk, certify as follows:
(a) Signatures and IncumbencX. The signatures of the Treasurer and Select
Board as appearing below are the genuine, electronic, or facsimile signatures of the
persons who executed the Bonds and who held those offices when the Bonds were
executed and when the Bonds were delivered.
(b) Open Meetin�Law. Except for the town meetings called pursuant to G.L.
c.39, §10, all proceedings essential to the authorization and issue of the Bonds and
deliberations of a quorum relating thereto have been taken at a meeting or meetings open
to the public; notice of each such meeting was filed in my office and publicly posted in
the time and manner set forth in the General Laws, as amended, in effect at the time of
each such meeting (Chapter 39, §23B for proceedings occurring prior to July 1, 2010 and
Chapter 30A, §§18-25 for proceedings occuning on or after July 1, 2010) and as further
suspended, supplemented, amended or modified by the Executive Order of the Governor
of The Commonwealth of Massachusetts Suspending Certain
Provisions of the Open Meeting Law, Chapter 30A, §20 dated March 12, 2020 (the
"Executive Order"), or, if applicable, in accordance with an alternative method of notice
prescribed or approved by the Attorney General as set forth in 940 CMR 29.03(2)(b); no
deliberations, decision or vote in connection with the Bonds were tal�en in executive
session and no vote was taken by secret ballot; and the official record of each such
meeting was made available to the public and remains available to the public as set forth
in G.L. c.39, §23B or c30A, §§18-25, as further suspended, supplemented, amended or
modified by the Executive Order, as applicable.
(c) Proceedin�s. No proceeding essential to the issue of the Bonds has been
repealed or amended except as stated in Paragraph A(1) above, and no proceedings have
been taken relating to the Bonds other than those certified to Locke Lord LLP.
(d) Bvlaws. The bylaws described below are the only bylaws or standing
votes of the Town affecting the authorization, sale or issue of the Bonds, including the
calling and conduct of town meetings, or the use of assessments or other charges imposed
- 6 -
to pay for any project fmanced by the Bonds, and there has been no change therein
affecting those matters in any way except as may be indicated below:
General By-Laws of the Town of Lexington, as amended through the 2012
Annual Town Meeting (Supplement#16) and certified to Locke Lord LLP on
June 17, 2021.
(e) Home Rule. The Town has not adopted a home rule charter and the Town
has not amended or repealed any special law relating to the Town through the use of
home rule procedures.
(� Develo�ment Districts. The Town has not established any development
districts pursuant to G.L. c.40Q.
F. Repavment Schedule. We, the Treasurer and the Select Board certify that the
maturities of each component of the Bonds, in our opinion, are arranged so that the amounts
payable in the several years for principal and interest combined are as nearly equal as practicable
or are in accordance with a schedule providing a more rapid amortization of principal.
G. Sewer Enterprise Fund. I,the Town Accountant, certify to the Treasurer that rates
and charges have been set at a sufficient level to cover the estimated operating expenses and debt
service related to the Sewer Enterprise Fund including debt service payments on the Bonds.
H. Execution of Counter�arts and Delivery by Electronic Means. This certificate,
as well as any other certificates or documents relating to the Bonds (collectively, the
"Documents"), may be executed in several counterparts, each of which shall be regarded as an
original and all of which shall constitute one and the same document. Delivery of an executed
counteipart of a signature page to a Document by electronic mail in a".pdf' file or by other
electronic transmission shall be as effective as delivery of a manually executed counterpart
signature page to such Document. Electronic signatures on any of the Documents shall be
deemed original signatures for the purposes ofthe Documents and all matters relating thereto,
having the same legal effect as original signatures.
- 7 -
L No Litigation;No Financial Interest. All of the undersigned certify that there has
been no litigation affecting the validity of the Bonds or the power of the Town to levy and collect
taxes to pay them; that none is pending or to our lcnowledge threatened; that neither the coiporate
existence nor boundaries of the Town nor the title of any of us to our respective off'ices is being
contested; and that none of us and, to the best of our lcnowledge, no other official of the Town
has any direct or indirect financial interest in or relationship with the Purchaser.
Dated: February 10, 2022
(Date of delivery of and
payment for the Bonds)
Treasurer
Town Accountant
Select Board Town Clerk
(Town Seal)
- 8 -
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AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Approve the FY2023 Recommended Budget and Financing Plan
PRESENTER: ITEM
Jim Malloy, Town Manager; Carolyn NUMSER:
Kosnoff,Assistant TM for Finance;
Jennifer Hewitt, Budget Officer I'�
S UM MARY:
In considering the vote to approve the FY2023 Recommended Budget&Financing Plan this evening, staff are
presenting the attached Crosswalk of Proposed Changes from the White Book. Also included for review is an
updated Program Summary, and clean and blacic-line versions of the budget boolc that incorporate
recommended changes since the White Book was published.
The Crosswalk highlights net State Aid changes from the Governor's Budget(+$4,281), an updated Free
Cash estimate, a proposal to advance the transition of Free Cash support from the operating budget, and the
results of the January 25th bond sale for the General Fund, Water, Sewer and Compost funds as detailed
below.
1. State Aid— Based on the Governor's Budget(H.2),revenue increases total more than$90,000, which is
primarily coming from education sources. Digging deeper into the details, state assessments are also
increasing, also due to education expenses. After factoring in both revenue and assessments, the net change is
+$4,281 in State Aid.
2. Free Cash—We are awaiting our final Free Cash certification Departinent of Revenue which is e�pected to
be final before Staff publishes the Brown Book. Based on final year-end transfers and ledger reconciliations
we have increased our Free Cash estimate from$14.625M to $]5.7M. The difference of$1,075,000 has been
applied to Cash Capital. If any further changes are made to Free Cash based on the final certified value, we
propose to reflect the difference in Unallocated Revenue.
3. Accelerate Transition of Free Cash Support from Operating Budget—As the Board is aware, we proposed
phasing out the use of free cash(was $3.5 million in FY19)to support the operating budget over a fiv�year
period($700,000 per year) and to reduce the use of debt financing for smaller capital projects in exchange for
using cash for this capital. Over the last 2-3 years we have reduced the amount of projects that are debt
financed in favor of cash capital. In addition some projects have been delayed due to the pandemic and the
financing timelines which has allowed us to stagger debt issuances. Over the last two months staff have refined
debt service projections based on updated construction timelines for authorized projects and the actual results
of our January 2022 bond sale (TIC of 1.53% on$16.SM sale). These combined factors have resulted in a
decrease of$800,000 in projected FY2023 debt service. We propose to utilize the $800,000 to reduce the use
of Free Cash to support the operating budget(you may remember that we paused this transition for 1 year
during the pandemic, so this will bring us back to the original schedule.) The Free Cash not supporting the
operating budget will be applied to Cash Capital, notably the Battle Green Streetscape project. This leaves a
total of$700,000 in support for the operating budget in the FY2023 budget, and will allow us to complete the
transition in FY2024. This is great news and in the coming years T believe we'll see additional bene�its from
phasing out the use of free cash to support the operating budget.
4. January Bond Sale— The results of the bond sale were better than originally projected and debt service for
both Water and Sewer ha�e been reduced from the original White Book values. Staff anticipate that
preliiliiiiary MWRA assessments will be released in mid-February, and will revise the placeholder 10%
increases for both Water and Sewer with the preliminary values when received.
5. Compost Revolving Fund— The original values printed in the White Book for both Benefits and Debt
Service for the Compost Revolving Fund did not reflect updated FY2023 amounts. That has been corrected,
and the resutts of the January 2022 bond sale have also been incorporated. In addition, staff have started an in-
depth review of the fund's financial forecast, and we anticipate presenting a number of fee increases to the
Boaxd in the coming month or two. Those fee increases should be sufficient to support a staff increase at the
site, and a request will be made to transition the part-time seasonal staff person to full-time, and increase the
revolving fund ceiling to support that spending.
6. Climate Action Plan—Finally, a technical change was recognized in that the original request far the Climate
Action Plan($55,000) did not reflect the repurposing of$30,000 remaining from the Getting to Net Zero III
initiative, which brings the total request to $85,000. Offsetting adjustments are shown in both the revenue and
expense portions of the operating budget section to capture the $30,000 increase. Note that staff continue to
work to refine the Climate Action Plan proposal, and that further changes may be made to the motion based on
those discussions.
7. There had been additional discussion and information presented to the Board related to the hot water heater
replacement at the Center Recreation Area. I previously provided additional cost information relative to this
project that outlined the various electric options (attached here for reference). Once the Board has discussed
this issue, should the Board wish to go forward with an electric option, staff recommends that the capital
budget reflect that for the ATM, that we fund full design costs for an electric option(instead of the in-kind
replacement) and that we fund the construction costs at the Fall STM. Mike Cronin, DPF Director is working
on obtaining estimates for design costs.
SUGGESTED MOTION:
Move to approve the FY2023 Recommended Budget and Financing Plan as summarized in the attached
Program Suininary, mcluding the changes to the White Book as presented above (or as further amended by the
Select Board), and to allow staff to make additionalnon-substantive adjustments and narrative updates in
preparation of publishing the final FY2023 Recommended Budget and Financing Plan.
FOLLOW UP:
Staff to finalize FY2023 Recommended Budget& Financing Plan(Brown Book), including additional
narrative updates the changes incorporated above. Staff will publish the final Brown Book on or before
February 28th, 2022.
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 9:OOpm
ATTACHMENTS:
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• Budget—The Board had one item outstanding on the budget/capital plan for the meeting on
2/7. Attached please find a comparative cost and the basis for the oil based hot water heater
(for sinks/showers) at the pool. The Department of Public Facilities had a design engineer
compare three different electric options, including: Electric Domestic Hot Water Heater;
Heat Pump Domestic Hot Water Heater; and Instantaneous Electric Heaters.
Please note the cost of installation for the various options for a domestic hot water heater is
as follows (greater detail attached):
Replace Oil Based Hot Water Heater: $ 32,000
Option 1 Standard Electric Hot Water Heater: $ 99,0001
Option 2 Heat Pump Hot Water Heater: $114,400�
Option 3 Instantaneous Hot Water Heater: $150,0003
Should the Board wish to have Public Facilities go forward with the electl-ic hot water heater,
we will develop an estimate for the additional costs associated with Eveisource, electrical
upgrades and/or building modifications.
1 Price does not include any utility company costs and would require an electrical system upgrade.
�Pricc docs not includc any utility coinpany costs or rcquircd building modifications.
'Price does not include any utility oo�ipany costs or required building modifications.
Oil vs.Standard Electric Hot Water Heater
Replace Oil Replace Oil
In Kind w/electric Diff$ Diff%
Capital $ 32,000 $ 99,000
AnnualOps $ 1,042 $ 1,995
Total $ 10,420 $ 19,953
10-Year $ 42,420 $ 118,953 $ 76,533 180%
Oil vs.Heat Pump Hot Water Heater
Replace Oil Replace Oil
In Kind w/electric Diff$ Diff%
Capital $ 32,000 $ 114,400
AnnualOps $ 1,042 $ 1,995
Total $ 10,420 $ 19,953
10-Year $ 42,420 $ 134,353 $ 91,933 217%
Oil vs.Heat Pump Hot Water Heater
Replace Oil Replace Oil
In Kind w/electric Diff$ Diff%
Capital $ 32,000 $ 150,000
AnnualOps $ 1,042 $ 1,995
Total $ 10,420 $ 19,953
10-Year $ 42,420 $ 169,953 $ 127,533 301%
Gallons BTUs Av�BTUs Year Cost
Oil 390 138,690 54,089,100 $ 1,042
KwH KwH Yr Avg BTUs Year Cost
Electricity 41 15,834 54,041,442 1,995
Monthly 5,278
1st 2000 kwh over 2000 kwh
Rate-Supply 0.09181 0.09181
Rate-Distribution 0.03763 0.03211
Rate(Generation/Dist) 0.12944 0.12392
Cost(monthly) 258.88 406.21 665.09
.
SED Associates Corp Consulting Engineers
, � Norwood Airport Business Park, 89 Access Rd., Unit#12, Norwood, MA 02062
DESIGN MEMORANDUM #1
DATE: January 26, 2022
TO: Chris Bouchard/Shawn Newell —Town of Lexington DPF
FROM: Rick Calhoun— SED Associates Corp
PROJECT: Lexington Town Pool
SUBJECT: Domestic Water Replacement Options
As requested, we have developed option for the replacement of the oil-fired water heater at the
above referenced location.
In keeping with the Town's efforts to reduce its carbon footprint, all of the options researched
are electrically driven.
The heaters at this location are only operated between Memorial Day and Labor Day and are
shut-off and drained down during the remainder the year. The facility has a total of 18 showers
that receive infrequent use during the facility's hours of operation. We have assumed that the
at a duration of 5 minutes each with a flow rate of 1.5 GPM.
The existing electrical service consist of a 400-amp 208/3/60 service from the utility company.
This service feeds all of the electrical equipment, including pool pumps and filtration system,
lighting, etc. It was stated that the service is currently at a 300-amp use level, leaving 100 amps
available for additional electrical equipment.
Option 1 — Standard Electric Water Heater
This option would require the use of two 120-gallon tanks with 45 kW heating elements/each.
The peak demand of these two heaters would provide a similar output to the existing oil-fired
water heater, however, would be more efficient as the electric heater is 100°/o efficient opposed
to an average of 80% for the older existing old-fired unit.
The issue with this option is the electric power required to supply them. Each unit requires
124.9 amps of 208/3/60 power, which would go above what is available on the existing service
and therefore would require an electrical service upgrade, new panel and additional circuit
wiring for the new water heaters.
Estimated Construction Cost: $99,000 (does not include utility company costs)
Option 2— Heat Pump Water Heater
The issue with utilizing heat pump water heaters in this application is the space that would be
required to house the heaters and the ventilation air that they would need to be ducted to the
exterior of the building as the units produce cool air that would reduce the overall efficiency of
the units. To produce the same amount of hot water as the existing system four heat pump
water heaters with 120-gallon tanks would be needed. This is due to the lower recovery rate of
this type of heater.
SED Associates Corp
Consulfing Engineers
The manufacturer also recommends a minimum of 3,600 FT3 of space per unit for a total of
14,400 FT3. The existing mechanical/electrical space does not have the required volume. This
would require that the existing mechanical/electrical space be opened up to other areas to get
the required volume. Due to the fact that the men's and women's room are adjacent to this
space this is not feasible. Therefore, it is our professional opinion that this system is not a viable
option.
Estimated Construction Cost: $114,400 (does not include utility company costs or building
modifications necessary to get the volume of space
required.)
Option 3— Instantaneous Water Heater
This option would require the installation of multiple heaters to handle the number of fixtures.
Assuming a heater that would be able to handle the flow rate of 120°F hot water to produce the
111°F mixed shower water temperature, a flow rate of 3.99 GPM is needed. This would require
a heater with a 48 kW heating element. The existing electric service would not be able to handle
this load and a complete service upgrade would be required.
Also, the hot water piping for the showers would need to be modified to separate the heaters to
accommodate three showers per heater.
Estimated Construction Cost: $150,000 (does not include utility company costs)
Based on the above, it is our recommendation that heater be replaced in kind.
If you have any questions or comments, please contact our offices at (617) 350-7245 or
Rcalhoun(c�sedac.com (e-mail).
By: Rick Calhoun
Attachments: none
P:\2022\2022015\Documents\2022105 Design Memorandum#1.docx
2
� A.O.Smith
� Sm i t h� Phone: 1.866.362.9898 Pro-Size Selection Report
www.hotwater.com
O�r��v�ti¢sr�h�s�r����.
January 25, 2022
Project Information
Project#: Prepared for:
Project Name: Pool Bath House
Location: Lexington Prepared by:
Engineer:
Contractor:
Selected Product
DRE-52-24
Gold Series
J
#Heaters: 1 Heater Recovery: 99 USGPH @ 100°F Rise � �
�u�,� .,,,,�
Model Number: DRE-52-24 1st Hour Delivery: 139 USGPH
Heater Storage(ea): 50 USG 3 Hour Average: 113 USGPH �� ���� %�
Input(ea): 24A kW Est.Storage Recovery: 30 min ��
//�
New External Tanks: 0 %Of Demand: 124% ,
Tank Capacity(ea): 0 USG `�j/�
Total Usable Storage: 40 USG ��
Recovery
Model Number Hi Cube Trailer Gallon Capaciry GPH Input KW Height Diameter Approx.Shipping
Load Factor Capacity �00 Degree Rise Weight(IbsJ
DRE-52-24 1.19 50 98 24.0 55.25 265
• Phase Convertible • Surface Mounted Thermostats
• CSA Certified and ASME Rated T&P Relief Valve • Incoloy Elements
• Meet or exceed the thermal efficiency and/or • Individual Element Fusing
standby loss requirements of the U.S.Department
of Energy and current edition of ASHRAE/IESNA
90.1
Application Loads
Summary
Peak Demand: 59 USGPH Temperature Rise: 100°F
�izing Rlotes
Hat water loads for pools,hot tubs,or other uses shauld be considered separately.Restaurant or food service loads shauld be cansidered
seperately if independent vdater heeting equipment is to be used.
Application Settings
Type: Bath House
Building Use: Not Specified Cold Water Temp: 40°F
Peak Demand Period: 1.00 Hours Stored Water Temp: 140°F
Approx.Storage: 25%
The A.O.Smith Pro-Size sizing program is a tool that can be used to estimate water heater requirements for many common applications.Pro-Size is intended to assist in selecting
water heaters or boilers that best meet the specific job requirements.It is the sole responsibility of the system designer to select the correct products needed for the specific application.
A.O.Smith reserves the right to make changes to Pro-Size without notice.
Page 1 of 2
January 25, 20Z2
Equipment: Water Heaters Only(no external #Storage Tanks: Not Specified
storage) Existing Storage: None
Fuel Type: Electric
Location: Indoor
LoNOx: Not Required
UltrasLowNOx: Not Required
ASME: Not Required
#Heaters: Not Specified
Altitude: Less than 2000 ft
Load Data
Number of Shower Heads: 8
Shower Head Flowrate: 1.5 USGPM
Shower Demand Peak Period: 5 minutes
Shower Recovery Time: 40 minutes
Number of Public Lavatories: 6
Number of Service Sinks: 0
Number of Bradley Wash Fountains(54" 0
Circular):
Number of Bradley Wash Fountains(54" 0
Semicircular):
Number of Bradley Wash Fountains(36" 0
Circular):
Number of Bradley Wash Fountains(36" 0
Semicircular):
Additional Load: 0 USGPH
Design Oversize: 0%
The A.O.Smith Pro-Size sizing program is a tool that can be used to estimate water heater requirements for many common applications.Pro-Size is intended to assist in selecting
water heaters or boilers that best meet the specific job requirements.It is the sole responsibility of the system designer to select the correct products needed for the specific application.
A.O.Smith reserves the right to make changes to Pro-Size without notice.
Page 2 of 2
� ' COMMERCIAL
•
mi �
HEAT PUMP WATER HEATERS
, ,,.
CHP SERIES
FULLY INTEGRATED HEAT PUMP WATER HEATER
The CHP-120 heat pump water heater is an integrated system designed specifically for
the commercial market.
FEATURES EASE OF OPERATION
�
ENERGY SAVING AND • Integrated design and pre-charged ����� � �a� � '�i
ENVIRONMENTALLY FRIENDLY refrigeration system makes for quick and easy % `���""d�� ��n;�„t � �
install � �
• Heat pump transfers heat from surrounding ', � � �" � ���
area into the tank • Large touch screen LCD display allows for ' �� �'
�
• Industry leading 4.2 COP mode selection,provides run information and � �� � �
includes troubleshooting alerts and detail ; � ;
• Multiple operating modes maximizes efficiency , � ,
• Choose from three o eratin modes � r � � '
�;,
while meetin s ecific hot water needs p g � '� � 1
g p Efficiency,Hybrid or Electric r � // ;
• Large capacity tank enables heat pump U � ;
DEPENDABLEAND LONG LASTING % �a� ,�
to operate more frequently than electric � r� � ��-
elements,saving money for the end user DESIGN � ;'�� �;
�,.
• Meets the standby loss requirements of U.S. • A.0.Smith-developed glass coated tank � �� ' ' �
;
Department of Energy and the current edition • Tank rated at 160 P51 working pressure � � 1
ofASHRAE 118.1 � � � � ��
Commeraal grade anode protects the tank � � t',
• Environmentally friendly R-134a refrigerant and extends the service life � �i� � r
• ENERGY STAR�Qualified • Proven heat pump technology � '' �� �
COMMERCIAL PERFORMANCE • Electric elements have incoloy sheathing and v
,
• First hour delivery of 150 GPH provide excellent protection from oxidation '
and scaling � �
• Rated heat pump power of 3.15 HP(240Vac) THREE YEAR LIMITED TANK WARRANTY
or 3.05(208Vac) � ��, �
• Electric heating element capacity of 12 kW • Backed by 3-year tank and 1-year parts/ � �
(240Vac)or 9 kW(208Vac) compressor limited warranties �
• Max water temperature of 150°F in efficiency/ • For complete warranty information,consult �
Hybrid modes and 180°F in electric mode written warranty or go to hotwateccom
• Operating ambient range of 40-110°F � 1
• Low operating sound measured at 59 dB(A) � ��� �
• Dual evaporator fans maximize performance
and provide room cooling MODEL CAHP 120
• 3/4"NPT water inlet and outlet
�� S H° NSF ^
0
LISTED o„�,a�o���„ �
OO October 2020 A.0.Smlth Corporation.All rights reserved. Page 1 of 4
hotwater.com�800-527-1953 Toll-Free USA�A.Q Smith Corporation�500 Tennessee Waltz Parkway�Ashland City,TN 37015 AOSZE55000
� ' COMMERCIAL
•
mi �
HEAT PUMP WATER HEATERS
�' H
ReliefValve Q� Water
(3/4"NPT) Connection
� � (3/4" NPT)
- � - a
F E A
C
i ���
..,..���..��........�.� �"������ Relief Valve
Drain Valve
„„„„„ s���,�
�,�,„�,���. .....�,,,
(314"NPT)
� Air Inlet �����........................................................................................��..� Air Inlet
I �
� Air Outlet
D
ROUGH-IN DIMENSIONS
Physical Dimensions
Water Relief Valve
Tank Diameter Maximum Service Panel Relief Valve Water Inlet Maximum
Total Height(A) �g� Depth(C) Width(D) Height(E) Outlet Height Height(G) Angle Width(H)
(F) p(°)
69 11/16 28 1/32 39 11/64 23 5/8 58 7/64 57 51/64 6 1/32 22 30 29/32
MODEL SPECIFICATIONS
Model Nominal Number of Total Element First Hour Delivery Recovery in GPH at Depends on mode of Approx.
COP Wattage(both in Hybrid Mode 100°Temperature operation per chart Shipping
Number Capacity Elements elements at 240V) (Gallons) Rise in Hybrid Mode below: Weight(Ibs)
Efficiency=41
CAHP 120 119 4.2 2 12,000 150 90 Hybrici=90 620
Electric-50
Page 2 of 4
AOSZE55000
� ' COMMERCIAL
•
mi �
HEAT PUMP WATER HEATERS
RECOVERY CAPACITIES
Recovery Rate In Gallons Per Hour
Input Temperature Rise°F
Mode of °F 30°F 40°F 50°F 60°F 70°F 80°F 90°F 100°F 110°F 120°F 130°F 140°F
Operation BT�� kW
Hour a� 17°C 22°C 28°C 33°C 39°C 45°C 50'C 56°C 61°G 67°C 72°C 78`C
GPH 136 102 82 68 58 51 45 41 37 34 31 29
Efficiency 33,678 10
LPH 515 386 309 258 221 193 172 155 140 129 119 110
GPH 30Z ZZ6 181 151 129 113 101 90 82 75 70 65
Hybrid 74,624 22
LPH 1141 856 685 571 489 4Z8 380 342 311 285 263 245
GPH 165 124 99 83 71 62 55 50 45 41 38 35
Electric 40,946 12
LPH 6Z6 470 376 313 268 235 209 188 171 157 145 134
Technical Characteristics
Model Type Intearatetl Heat Pump Water Heater
COP 4.2
HP Rated Input Power 3.15 HP(235 kv�
HP Rated Heating Output Capacity 11.13 kW
Power Specification Z08240Vac—60Hz 1 Ph
Maximum Operation Current 67 A
Refrigerant R134a
Refrigerant Charge Quantity 3.3 Lbs(1.5 Kg)
Electrical Heating Capacity 1 Z.0 kW C�Z40Vac and 9.0 kW C�208Vac
Measuretl Tank Capacity 111J6 Gal(423 L)
Operation Motles Efficiency,Hybritl,Electric
Efficiency/Hybrid Electric
Max.Water Temperature
150°FIb6°C) 180°F(82°C)
Operating Ambient Temperature 40-��0°F(a.4-a33°C)
Unit Operation Noise 59 dB(a)
Approx.Heater Weight 498 Lbs(226 Kg)
Approx.Shipping Weight 620 Lbs(281 Kg)
Page 3 of 4
AOSZE55000
� ' COMMERCIAL
•
mi �
HEAT PUMP WATER HEATERS
Installation Key Considerations
Service dearances A service dearanw of 24 inches should be maintained from serviceable parts such as the T&P valve,control system components,drain valve,and anode.
Ambient air temperature In Efficiency Motle the ambient air temperature must be above 45°F and below 110°F
Recommentled to have a minimum installation space of approximately 3,200 cubic feet.Installation spaces less than the remmmended could result in
Room size requirement reduced water heater efficiency and performance.If the water heater is installed in a confined space with less than 3,200 cubic feet,provisions should
be made to ensure sufficient airflow,such as installing louvered grills or fully louvered doors to ensure the most efficient operation of the water heater.
Failure to do so could rewlt in reduced heater efficiency and performance.
Amperage/Overcurrent This water heater requires a 208 or 240 VAC single phase power supply.Z08V requires 80 amp power supply at 60 Hz;Z40V requires 90 amp power
protection supply at 60 Hz.
Condensate draining This water heater produces condensate and must be properly drained.
Ducting There is not an optional ducting kit.Discharge air from the front of the water heater must be into a suitable room.
Indoor/Outdoor This water heater is approved for indoor use only.
This is a partial list.Please reference the Installation Manual for detailed installation consitlerations.
SUGGESTED SPECIFICATION
The heater(s)shall be Commercial Heat Pump Model Number CAHP 120 as manufactured by A.0.Smith Water Products Company or equivalent.Heater(s)shall be
rated at 1 Z kW @ 240V or 9 kW @ 208V,single phase,60 cycle AC as listed by Underwriters' Laboratories.All models meet National Sanitation Foundation NSF-5
requirements.Water heater shall have LCD display with built-in diagnostic and troubleshooting information.Tank(s)shall be 119 gallon capacity with 160 psi working
pressure and equipped with a commercial grade anode.All internal surfaces of the heater(s)exposed to water shall be glass-lined with an alkaline borosilicate
composition that has been fused to steel by firing at a temperature range of 1400°F to 1600°F.Internal power circuit fusing shall be provided.The heat pump water
heater shall be capable of operating in Efficiency,Hybrid or Electric only modes.3/4"NPT inlet and outlet water connections shall be provided.The water heater tank
shall have a three year limited warranty;the compressor,refrigeration components and all other parts shall have a one year limited warranty.Fully illustrated instruction
manual to be included.Meets or exceeds the efficiency and standby loss requirements of the U.S.Department of Energy and current edition of ASHRAE 118.1.
� � � 7 1 1 � � �� . � � � ' � �� �• � � � • � � � �
OO October 2020 A.0.Smith Corporation.All rights reserved. Page 4 of 4
hotwater.com�800-527-1953 Toll-Free USA�A.0.Smith Corporation�500 Tennessee Waltz Parkway�Ashland City,TN 37015 AOSZE55000
�
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Available up to 54 KW in Single or Three Phase Voltages
Features
��������� Heavy Duty Construction
�/ Constructed with high grade materials
to ensure lon o eratin life / '���r�,���� (F g��� '/,/
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✓ Simple to specify and easy to install and operate „ ' ;���
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�✓ Engineered for your specifc application
to ensure reliable operation
�✓ Wide selection of sizes to meet the needs of even .
the most demanding application . """
��������� High Effciency �µ"���ii� °� li' �����������
✓ On demand heating eliminates costly and �'�+"""a��
cumbersome storage tanks � �'� � �� �� �-�- ���%� ��%
�✓ Instantaneous design reduces stand-by heat loss
and signifcantly lowers operating costs compared to
traditional storage systems ��� Ili" li,^" ""'II'� � ���� ���,
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Applications ��
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uuuu� Process Systems uuuu� Supplemental Heat
uuuu� Wash Downs uuuu� Point-of-Use Hot Water
uuuui Heat Pump BaCk-Up o EFFiciF
�$�° Nr The Model HX/TX Tankless is a compact wall mounted
uuuu� Boiler Systems � �� �' 'F o
�� 2 electric tankless water heater that is 98/o +efficient and is
uuuu� Emergency Safety Wash Systems Z � easily installed and operated.
uuuu� Freeze Protection � ��f � � ,
�, � Products marked with the Lead-Free logo comply with the Safe
uuuui Heat Transfer Systems °� - ya Drinking Water Act(SDWA)requirements of a weighted average
���N��ds+�'' of less that 0.25%lead content on wetted surfaces of pipes,pipe
i+:rE����a°°�r�w�r,�, fittings, plumbing fittings and fixtures.
Tankless Water Heater For Commercial and Industrial Use
The Hubbell model HX/TX Tankless electric water heater model HX/TX for your water heating needs in even the
is a highly reliable and easily maintained heater designed most demanding and critical applications. The Hubbell
for operation in a commercial or industrial application.The Tankless is the right choice for your water heating
Hubbell HX/TX Tankless heater is compact, extremely requirements, as you will be providing your customer with
efficient, takes up minimal space, and reduces operating a quality product that is long lasting,trouble-free, and
costs. Hubbell's vast experience, meticulous engineering, energy efficient.
and advanced technology ensure that you can rely on the
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The Hubbell Model HX/TX electric tankless water heater contains high powered heating elements that heat
water only when there is demand for hot water.When hot water is needed,a built in fow sensor measures the
exact fow rate, and that data combined with temperature readings at the heater's inlet and outlet are processed
by the electronic temperature controller.This data is continuously transmitted to the temperature controller,which
constantly calculates the precise amount of power(kW)needed to achieve the desired temperature.A zero cross
over fring signal is sent to the fast acting triacs in order to modulate the heating elements to the precise level
needed to meet demand.The Hubbell tankless heater uses only as much power as is needed,while delivering
accurate and consistent hot water temperature.
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S��uwa�e�.�5��������a��as�
Sleek design and corrosion resistant
for long life
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AII copper and bronze ���������������������������������������������������������������������������������������������������������������������������������� �'��AN��d"�d�R�$��k�k�d��
construction � �•��a�S��ag���u�a��a�s
� �p/ j/ i Incoloy Sheathed for long life
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Auto resetting Hi-Limit thermostats
HOT WATER OUT ��� ���� r ,���� �I I��� ` � protect against over heating
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COLD WATER IN i��
� f Modulate heating elements 0-100%
! to ensure accurate and consistent
� :::: � � �
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Measures the exact flow rate which��� ��������� , ���** � ' %%- � ����������������'�P����
enables the control rystem to provide perfedly ge � ,� ElectronicTemperature Controller
matched heating power with demand � is adjustable in 1`increments in either
"����' � °F or°C
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Provides a heavy duty single point������� ��������� � � � � � � � ��...... . ..�... . ......�.. . ....
power connection
(Only Required on Certain Models)
l�d�agara���c��:��r��c��cre �"���s�c�N'�`a�wea�f���r��
Fully disengages the heating Step down transformer provides
elements in a fault condition 240 Voh control circuit power
(Only Required on 3 Phase Units) (Only Required on Models over 240 Volt)
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Heating Chamber: Copper and Bronze Thermostat Range: 32-194°F/0-90°C
Capacities: 8 thru 54 kW Hi-Limit: 200°F(Fixed Temperature)
Orientation: Wall Mounted Design WP: 150 psi
Voltages: 208 thru 600 Uolt 50/60 Hz Design TP: 300 psi
Phase: 1 �and 3�(balanced) Elements: Incoloy 800
Power Factor: 0.999 Standby Power: <3 Watts
Thermal Effciency: 98%+ Heating Chamber 5 Year
Warranty:
InlebOutlet Size: Electrical
TX: 3/4" Push Fit 1 Year
HX: 1" Push Fit warranty:
Min/Max Flow:
TX: 0.2 GPM Min, 8.0 GPM Max Enclosure: Stainless Steel Brushed Finish
HX: 0.5 GPM Min, 40 GPM Max
Max Inlet Temp.: 150°F Approvals: cULus, UL, EPH,ANSI/NSF 5
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IIIIIIIIIIIIIIIIIIIIIII Temperature Controller
A sophisticated electronic temperature controller with LED digital display provides the user interface.The temperature controller
processes all fow and temperature data and calculates the precise amount of power needed to meet demand.
� ���:, .,� « � � ���� �,���, � ���-.
��° Power Limiting: Allows the operator to reduce the power consumption by any percentage to provide installation and
operational flexibility and savings.
��° Diagnostics: Display inlet and outlet temperatures,flow rate and error codes to assist in troubleshooting.
��" Cost Calculator: Determine the exact cost of operating the heater. Input your cost per KWHr and the controller displays
total KWHRs consumed,total cost of operation, and total hot water usage(shown in gallons or liters).
�� Temperature Control: Set the digital display to the desired water temperature in °F or°G Fully adjustable in 1°increments from
32-194°F(0-90°C).A user adjustable+/-3°calibration feature provides additional control for superior
accuracy.
IIIIIIIIIIIIIIIIIIIIIII Full Heater Modulation
Each heating element is switched on/off using a fast acting solid state triac with zero cross over fring control.This switching schema
provides full modulation of each heating element, ensuring that the precise amount of heat is added to meet demand.To improve operating
effciency and component longevity, each triac is mounted to a heat sink located on the incoming supply piping so that heat generated by
the triac during the switching process is dissipated into the water.
IIIIIIIIIIIIIIIIIIIIIII Proper Power Integrity
All Hubbell tankless water heaters, including all 3 phase models, are engineered to operate as a balanced load and operate at 0.999
Power Factor.All Hubbell 3 phase models are designed for 3 wire(3 live, 1 ground)and 4 wire power systems and draw equal current across
all conductors to maintain the power integrity of the users electrical system. Hubbell does not recommend the use of heaters that operate as
an unbalanced load, as is common with staged heaters designed for star systems(3 live, 1 neutral, 1 ground)that require use of the neutral
leg.All load switching in Hubbell tankless models is performed as zero cross over, eliminating phase angle fring interference and associated
EMI issues.
IIIIIIIIIIIIIIIIIIIIIII Full Resource Staging
The Hubbell tankless control schema ensures that usage is equalized across all heating circuits.To achieve this, once the controller
has calculated the precise amount of kW required, all circuits are energized in a staggered fashion such that each circuit is proportionally
and independently energized and then time staggered between circuits.This Full Resource Staging Schema reduces EMI output, increases
component longevity, and provides highly accurate and consistent hot water temperatures. For three phase models,all circuits are fully
modulated and synchronized to operate as a balanced load.
IIIIIIIIIIIIIIIIIIIIIII Building Management Integration
Remote Control: Ability to remotely enable or inhibit the heating operation of the unit using one of the following two methods:
1.Customer supplied 24VDC signal is user confgured for either Inhibit Mode or Normal Operation Mode.
2.Customer supplied volt free contact is user confgured for either Inhibit Mode or Normal Operation Mode.
Priority Control: An integrated SPDT potential free dry contact(NO/NC 10A Q 240VAC)energizes when the unit is heating and
de-energizes when not heating.This feature is useful when it is desirable to give the water heater priority over
another electrical load to ensure that both are not operational at the same time.
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. . .
❑A. High flow construction specify model HX for up to 40 ❑G. NEMA 4x construction when heater is located in a wet environment.
GPM flow(min 0.5 GPM actuation). Overall dimensions 24" x 20" x 6"
❑B.Type 316L stainless steel heating chamber for added ❑ H. Additional heater control features to meet UL834 Electric Boiler
corrosion resistance. requirements. Please specify base model CR.
❑C. Special construction features. Please consult factory. � I. Factory supplied manifold single point connection for redundancy and
❑D. Inlet and Outlet Valve assembly simplifies high demand applications.
installation-and includes unions, shut offs, check
valve,drain�ports and pressure relief valve. ❑J. An ASSE 1070 code compliant Thermostatic mixing valve to
increase the amount of hot water available. Valve is 1/2" (-U�size and
❑E. Heating chamber built to ASME Section VIII and "UM" adjustable from 80-120°F.Typically used when supplying hot water to
stamped. multiple lays from a single water heater.
�� ��.� _
F. Remote Control Display allows the heater to be ��� ..o,,
installed in a remote location.The 3"x 5" NEMA 4 Manifold Assembly Option ,,,,�,�;,��,-,,;; ,��� ��,,�,,,, ��,,�,,,;,,�<,����
display enclosure can be located up to 250' from the u���� � � � � k �� �� � �� �i�`� I�i�� �
� %� � � �
heater and gives the operator full remote control and �u � � ����i 'u � ��"��� �� ��� �
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. � ,, ,, �, ,,, : , ,, ,
Please re uest submittal drawin from facto g "��//�,/�!�����' � `/�������������� r��j�� �„/
Please n�te.optional equiprne�rnay rmpa�overall dimensions and�vei ht. /� �... rv....wrv.;.....................
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...8..'.??...KW....M.°a.e!.s...............�.?...a.".d....3....E!.e.m.e.".t�............................. ,. -. � � .� ��
7 3 KW 3 Phase Voltages 1 Phase Voltages
28 1616 208V 240V 480V 600V 208V 240V
8 2
� 11 3 2
12 3 2
Hot Water " � 14 3 2 2
Outlet —► � 16 3 3 3 2
: ��. 18 3 3 3 2
°� 20 3 3
� 21 3 3 3 3
' `� 1� 24 3 3 3 3
Cold Water ' ' ����������'� � � � 16" 27 3 3 3 3
Inlet � Note:Chart indicates three element(3)and two e/ement(2)model types
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14—^ 3 Sla er12" ' 6
p _ _
g Electrical knockout
3/4"x 1"x 11/4"
Pressure Drop:14 psi @ 8 GPM Dry Weight:21 Lbs Wet Weight:21.5 Lbs Shipping Weight:24 Lbs
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24-54 KW Models (6 Element)
................................................................................................................................................................................................................ -. -. �� � � ��
7 11„ 3 Phase Voltages �Phase Voltages
2 8 �� 1716 KW
208V 240V 480V 600V 208V 240V
C� 24 J(s) J(6)
3i J(s) J(s)
Hot Water► o , 33 �/(61 �(6)
Outlet
_ ��� ' , . ., , as J(s) J(sl J(s)
6
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— ` �," :, _ . , �, 42 J(6) J161 JIs) J(s)
� � .. � 48 J(s) J(6) d161 JIs) J(s) J(s)
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- , - p� 25� Note: All models shown in this chait are six element(6)model types
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Cold Water � � ° ° 9 "
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Inlet , �� ��, �� ���
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15 4" Space 12"
13 �
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Pressure Drop:16 psi @ 8 GPM Dry Weight:38 Lbs Wet Weight:39 Lbs Shipping Weight:42 Lbs
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Heating Capability in GPM at F°Temperature Rise(°F�T) MAX Amps(at 100%heater output)
Rat`ing 20° 30° 40° 60° 70° 80° 100° 110° 120° 140° 3 Phase Voltages Votages
AT AT AT AT AT AT AT AT AT AT
208V 240V 480V 600V 208V 240V
8 2.73 1.82 1.36 0.91 0.78 0.68 0.55 0.50 0.45 0.39 - - - - 38 -
11 3.75 2.50 1.88 1.25 1.07 0.94 0.75 0.68 0.63 0.54 31 - - - - 46
12 4.09 2.73 2.05 1.36 1.17 1.02 0.82 0.74 0.68 0.58 33 - - - 58 -
14 4.75 3.18 2.39 1.59 1.36 1.19 096 0.87 0.8D O.6S - 34 - - 67 58
16 5.46 3.64 2.73 1.82 1.56 1.36 1.09 0.99 0.91 078 44 39 - - 77 67
18 6.14 4.09 3.07 2.05 1.75 1.54 1.23 1.12 �.02 0.88 50 - 22 - S7 75
2D 6.82 4.55 3.41 2.27 1.95 1.71 1.36 1.24 �.14 0.97 56 - - - 96 -
21 7.17 4.78 3.58 2.39 2.05 1.79 1.43 1.30 1.19 1.02 - 51 25 20 - 88
24 8.19 5.46 4.09 2.73 2.34 2.05 1.64 1.49 1.36 1.17 67 58 29 23 115 100
27 ,.l��p� 6.14 4.61 3.07 2.63 2.30 1.84 1.67 Y.54 1.32 - 65 33 26 - 113
31 �j�;-.��� 7.05 5.29 3.53 3.02 2.64 2.12 1.92 1.76 1.51 86 - - - 149 -
33 ,.��.�-� 7.51 5.63 3.75 3.22 2.81 2.25 2.05 1.88 1.61 - 79 - - - 138
36 //�,�.�� 8.19 6.14 4.09 3.51 3.07 2.46 2.23 2.05 1.75 100 - 43 - 173 -
40 �6�;�� � ;.�,�� 6.82 4.55 3.90 3.41 2.73 2.48 2.27 1.95 111 - - - 192 -
42 ,/�, ....� G�',..� 7.17 4.78 4.09 3.58 2.87 2.61 2.39 2.05 - 101 51 41 - 175
48 ���-���� �j f�� 8.19 5.46 4.68 4.09 3.28 2.98 2.73 2.34 133 116 58 46 230 200
54 � �,�j ������;�� ���,� 6.14 5.26 4.61 3.68 3.35 3.07 2.63 - 130 65 52 - 225
NOfe: •Unshaded flows specify Base Model TX,shaded flows must specify Base Model HX due to high f/ow rate.
•A/ternate voltages inc/uding 277,380,415,440 and 575 volt avai/able. Please consu/t factory for exact KW availabi/ity in these vo/tages.
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t��ep 1 Solve for the unknown using formulas below. Rated Voltage Applied Voltage De-Rating Factor
Variables To Solve For: 60o v 575 V 92�ro
KW Requirement: 600 V 550 V 84%
GPM x °F4T x 0.1465= KW 480 V 460 V 92%
Temperature Rise: 480 V 44o V 84%
KW x 6.824= GPM- °F4T 240 V 230 V 92%
FIOw Rat@: 240 V 220 V 84%
KW x 6.824= °F4T= GPM 240 V 208 V 75%
$te 2 When the actual supply voltage (applied voltage) is
p different than the design voltage (rated voltage) the
Choose the Tankless model with the KW rating which meets the peak resulting KW output will be affected. Please see the
demand(GPM)and required temperature rise(°F��for your application. chart for typical voltage de-rating factors, or use the
Step 3 following formula.
Choose the volta e and hase ower su I available. Note the total Applied Uoltage2
9 P P PPY X Rated KW= KW output at applied voltage
amperage draw of the unit and verify availability. Rated Uoltage2
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TX 0 0
Step 1 �Step 2 �tep 3 Step 4
Base Model No. KW Rating: Number of Voltage/Phase/Hz:
TX=8 GPM Max 8 thru 54KW Heating Elements: RS -208-1-60
HX=40 GPM Max (008-054) 2 R =208-3-60
Example:TX024-3T4 3 S =240-1-60
A Hubbell tankless electric water heater rated at 24 KW 6 T =240-3-60
with 3 heating elements and powered with 480 volt,three T3 -380-3-50/60
phase, 60 Hz. T7 =415-3-50/60
Option Note T5 =440-3-60
T4 =480-3-60
Any and all optional equipment for a tankless model heater must be called out in the written T6 -600-3-60
specifcations.A model number in and of itself does not refect any optional equipment selected.
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Master Specification: Model HX/TX Tankless
JOB NAME ENcINEER
REPRESENTATIVE CONTRACTOR
GENERAL
Provide a quantity of packaged type instantaneous electric tankless water heater(s) Model No.
TX as manufactured by Hubbell Heaters Stratford, CT.The entire unit is
packaged ready for plumbing and electrical service connections and shall bear the cULus listing mark certifying the
entire unit to UL499, UL EPH Sanitation listed to ANSI/NSF Standard 5 and CSA C22.2 No. 64-M91
(single phase units) and CSA C22.2 No. 88(three phase units).
HEATING CHAMBER
The heating chamber shall be all Sil-brazed copper and bronze construction. (❑Optional Specifcation:Type
316L Stainless Steel). A plastic heating chamber shall not be acceptable. Water heater heating chamber shall be rated
for a maximum allowable working pressure of 150psi.The heating chamber and all electrical controls shall
be completely enclosed in a heavy gauge stainless steel case.
HEATING CAPACITY
The tankless heater shall be rated at KW which will heat GPM of water at °F rise
( °to °F). Heaters that restrict hot water flow in any way shall not be acceptable.
ELECTRICAL
The tankless heater shall be designed to operate at volts, phase, 50/60Hz balanced power
and shall draw equal amperage across all phases at all times. For 3 phase heaters, power shall be a 3 wire (3 live,
1 ground) or a 4 wire (3 live, 1 neutral, 1 ground) system that does not require a neutral leg. The heater will draw
amps only when operating at full power. The immersion heating elements shall be high quality incoloy sheathed
and sized to obtain the rated capacity. Each element is to be operated using zero cross over solid state controls. The
heating elements shall be fully modulated from 0-100%to provide precise temperature control through the full range
of flows.A Hi-Limit thermostat with automatic reset shall be factory installed to disconnect each heating element in
the event of an over-temperature condition.An electronic digital display temperature controller shall be user adjustable
in 1° increments in either°F or°C and shall display flow rate, outlet temperature, inlet temperature and provide error
indication. A turbine-type flow meter shall be factory installed to provide precise temperature control for water flows
as low as 0.2 GPM up to a maximum flow of 8 GPM. Heaters that require greater than 0.2 GPM flow for actuation or
restrict flow shall not be acceptable. (❑ Optional Specifcation: High Flow Model HX, provides up to 40 GPM flow
with minimum actuation at 0.5 GPM ).
WAR RANTY
Hubbell shall warranty all electrical components against defects in workmanship and material for a period of one (1)
year from date of start-up, and the heating chamber for a full fve (5)years from date of start-up, provided that the
unit is started within three(3) months of date of shipment and installed and operated within the scope of the heater's
design and operating capability. Labor is not covered under warrant� Each heater shall be shipped with a complete set
of installation and operating instructions including spare parts list and approved drawings. All fabrication and assembly
shall be performed in the U.S.A.
OPTIONS
In addition, the tankless electric water heater shall be supplied with the following options:
❑Option
❑Option
❑Option
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Continuing research results in product irr�provement,therefore specifcations are subject to
TM change without notice For the most updated information consult the factory directly. ISO 9001
The Electric Heater Company uuuu� PO. Box 288 uuuu� Stratford, CT 06615-0288 uuuu� Phone: 203-378-2659 uuuu� Fax: 203-378-3593
info@hubbellheaters.com uuuu� www.hubbellheaters.com
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Section I Budget Overview Town of Lexington, MA
Summary of Revenues and Expenditures
The summary below shows revenues &expenditures for the Town of Lexington for FY2020-FY2023. It
reflects actual results of FY2020 and FY2021, FY2022 estimated revenues and budgeted expenditures
submitted to the Department of Revenue for the certification of the FY2022 tax rate, and the budget
recommendations of the Town Manager and School Superintendent for FY2023 budget and projected
revenues to support those recommendations.
FY2020 FY2021 FY2022 FY2023
Revenue Summary Actual Actual Recap Projected
Tax Levy $ 184,821,502 $ 194,329,878 $ 204,228,741 $ 212,113,191
State Aid $ 16,255,912 $ 16,334,701 $ 16,492,260 $ 16,784,662
Local Receipts $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108
Available Funds $ 14,264,142 $ 11,805,351 $ 17,825,379 $ 17,823,447
Revenue Offsets $ (1,875,209) $ (1,773,854) $ (1,961,196) $ (2,331,557)
Enterprise Funds (Indirect) $ 1,696,348 $ 1,749,435 $ 1,432,356 $ 1,805,613
Total General Fund $ 231,987,089 $ 237,803,577 $ 250,645,473 $ 259,683,465
General Fund Expenditure Summary
Education
Lexington Public Schools $ 109,609,162 $ 115,274,811 $ 123,376,981 $ 128,254,447
Minuteman Regional School $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898
Subtotal Education $ 112,079,293 $ j�8,137,958 $ 126,507,Oj9 $ 131,478,345
Municipal Departments $ 37,066,492 $ 39,479,010 $ 42,920,017 $ 44,802,554
Shared Expenses
Benefits &Insurance $ 34,516,484 $ 35,996,400 $ 39,754,560 $ 41,744,415
Property Insurance &Solar $ 1,440,268 $ 1,408,990 $ 1,485,000 $ 1,485,000
Debt (within-levy) $ 9,556,878 $ 10,237,538 $ 10,397,112 $ 7,541,580
Reserve Fund $ — $ — $ 750,000 $ 750,000
Facilities $ 11,095,414 $ 11,140,933 $ 12,153,365 $ 12,669,307
Subtotal Shared Expenses $ 56,609,045 $ 58,783,861 $ 64,540,037 $ 64,190,303
Capital
Cash Capital (designated) $ 8,137,274 $ 7,812,019 $ 10,136,491 $ 13,019,114
Subtotal Capital $ 8,137,274 $ 7,812,019 $ 10,136,491 $ 13,019,114
Other
Other (allocated) $ 4,358,036 $ 1,368,916 $ 6,541,910 $ 5,689,945
Other (unallocated) $ — $ — $ — $ 503,204
SubtotalOther $ 4,358,036 $ 1,368,916 $ 6,541,910 $ 6,193,149
Total General Fund $ 218,250,140 $ 225,581,764 $ 250,645,473 $ 259,683,465
General Fund Surplus/(Deficit) $ 13,736,949 $ 12,221,814 $ — $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
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Section II: Revenues
This section includes detailed information about FY2023 Projected Revenues. It includes:
• General Fund Revenue Description II-2
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-1
Section II Revenues Town ofLexington, Massachusetts
The summary below presents Total General Fund Operating Revenues and Net General Fund Revenues.
General Fund Operating Revenues include all revenues projected as available for use in FY2023.
• Total General Fund Operating Revenues are from annually recurring and non-recurring sources,
including transfers from special revenue funds, Specialized Stabilization Funds, and the Health
Claims Trust Fund.
• Net General Fund Revenues are Total General Fund Revenues less revenues recommended to
be set-aside to fund designated expenses.
In FY2023, Total General Fund Operating Revenues are projected to increase by approximately $9.04
million, or 3.6%. Net General Fund Revenues, those available to support school and municipal
operating budgets, are projected to increase by $8.38 million, or 3.6%.
FY2022-23 Change
FY2020 FY2021 FY2023
General Fund Revenue Summary Actual Actual FY2022 Recap Projected $ %
Property Tax Levy(Table 1) $ 184,821,502 $ 194,329,878 $ 204,171,602 $ 212,056,053 $ 7,884,450 3.86%
Tax Levy Dedicated to Capital � _ � — g 57,138 $ 57,138 $ — —%
Stabilization Fund
State Aid(Table Z) $ 16,255,912 $ 16,334,701 $ 16,492,260 $ 16,784,662 $ 292,402 1.77%
Local Receipts(Table 3) $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108 $ 860,175 6.81%
Available Funds(Table 4) $ 14,264,142 $ 11,805,351 $ 17,825,379 $ 17,823,447 $ (1,932) (0.01)%
Revenue Offsets(Table 5) $ (1,875,209) $ (1,773,854) $ (1,961,196) $ (2,331,557) $ (370,361) 18•88%
Enterprise Receipts(Table 6) $ 1,696,348 $ 1,749,435 $ 1,432,356 $ 1,805,613 $ 373,257 26.06%
Total General Fund Operating �231,987,089 $237,803,577 $250,645,473 $259,683,465 $ 9,037,992 3.61%
Revenues
Less-Revenues Set-Aside for � 12,495,310 $ 9,180,935 $ 16,678,401 $ 17,336,186 $ 657,785 3.94%
Designated Purposes
Net General Fund Revenues $219,491,779 $228,622,642 $233,967,072 $242,347,279 $ 8,380,207 3.58%
Detailed Description:
Property Tax Levy: The FY2023 property tax levy is projected to increase approximately $7.88
million, or 3.9%. The projected levy is a function of the FY2022 levy limit increased by 2.5% per
Proposition 2�/z, plus an increment for new growth. FY2023 new growth will be a function of
construction activity for the period July 1, 2021 to June 30, 2022. FY2023 new growth is estimated at
$2,750,000 based on a review of historical data on new growth.
Tax Levy Dedicated to Capital Stabilization Fund: In Fall 2021 the Town Manager proposed a
new fiscal guideline, a Capital Stabilization Framework, to prepare for future capital projects. Beginning
in FY2022, new levy growth generated from specified commercial and industrial development will be
dedicated to the Capital Stabilization Fund (CSF) rather than becoming general revenue for the town's
operating budget. Projects include those with a Preliminary Site Development and Use Plan (PSDUP)
approved by Town Meeting, or those approved due to the revamped zoning on Hartwell Ave. This
framework will reserve levy capacity to absorb a sudden increase in debt service for large capital
projects such as the high school in future years. The set-aside funds can also be applied in future years
to mitigate exempt debt service created by those capital projects. A list of properties currently subject
to this guideline is available in Table 1A.
State Aid: Due to the pandemic, Local Aid was largely level-funded in FY2021, with minimal increases
in FY2022, which is projected to continue in FY2023 and is projecting an overall increase of 1.77%.
The State is still developing its FY2023 budget; the Governor's initial FY2023 State aid numbers were
released in January 2022 and are reflected in This budget. Final figure are likely to be known in June
2022 when the Legislature adopts, and the Governor signs, the FY2023 State budget.
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-2
Section II Revenues Town ofLexington, Massachusetts
Local Receipts: FY2023 projections for each category of receipt are based on the history of actual
collections and projections of 3 and 5 year historical averages, with some adjustments to specific
categories due to the pandemic, such as Other Excise - Meals and Hotel/Motel. FY2023 local receipts
are estimated to increase by approximately $860,175 or 6.81% over FY2022 estimates, which were
also adjusted for the pandemic. The main contributors to this growth are a partial rebound in Other
Excise, and the recognition of higher ongoing revenues for permits, particularly building permits.
Available Funds: Available Funds are projected to remain relatively stable, with a decrease of
$(1,932), or (0.01)%. This is a net change, due to the use of $500,000 from the Special Education
Stabilization Fund in FY2022, which will not recur in FY2023; and the unavailability of funding from the
Parking Fund due to the lack of parking meter enforcement during the pandemic, as well as some
capital projects authorized during FY2022 which depleted the fund balance. These decreases are offset
by the availability of an additional $1 million in Free Cash in FY2023, primarily as an effect of setting
aside $2 million in the FY2022 budget for potential State Aid decreases, as well as one-time funding
sources for capital projects.
Consistent with prior years, FY2023 Available Funds includes a transfer of$141,000 from the
Transportation Demand Management Stabilization Fund to finance the Lexpress service and the Town's
contribution to the REV Shuttle, and a $750,000 transfer from the Health Claims Trust Fund to fund the
Town's Other Post Employment Benefit Fund.
In FY2023, a transfer from the Capital Stabilization Fund is not needed to mitigate within-levy debt
service, as debt service remains within target levels. Similarly, no funds were needed for this purpose
in FY2021 and FY2022.
Revenue Offsets: Revenue Offsets are projected to increase by approximately $370,361 or 18.88%.
Revenue Offsets represent the set-aside of a portion of projected revenues legally required for
particular purposes including:
(1) the component of state aid (Public Library aid reimbursement) that is distributed as Cherry
Sheet aid, but, in fact, is a categorical grant that is not available to support General Fund
operations;
(2) cherry sheet assessments - estimated charges to be levied by the Commonwealth to cover the
costs of state and regional services provided to the Town, based on updated projections
issued alongside the Governor's budget;
(3) the Assessor's Overlay account which covers the cost of abatements and exemptions granted
to properry taxpayers; and
(4) potential snow and ice deficits.
The FY2023 increase in total Revenue Offsets is driven by the set-aside of$400,000 in estimated
FY2023 revenue to cover a potential snow and ice deficit at the end of FY2022. For FY2022, $400,000
was set-aside, but was ultimately not needed since actual FY2021 snow and ice removal expenses fell
within their budgeted levels.
Enterprise Receipts: This category of revenue represents transfers from the Water, Sewer and
Recreation Enterprise Funds to the General Fund to cover General Fund expenditures that support the
operations of the water, sewer and recreation departments. During FY2022, the Recreation indirect
charges were not assessed due to the impact of the pandemic on enterprise revenues. The Recreation
indirect charge has been resumed for FY2023, and will be reevaluated in future budget cycles. The
Water and Sewer transfers are increasing by 6.0%, as supported by a detailed indirect analysis
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-3
Section II Revenues Town ofLexington, Massachusetts
completed by Finance. As a result of these combined adjustments, overall Enterprise Receipts are
increasing by 26.1%, or $373,257.
FY2023 2022-23 Change
Table 1:Prope Tax Levy FY2020 Actual FY2021 Actual FY2022 Recap Projected $ %
Tax Levy $ 176,907,122 $ 184,938,303 $ 194,415,313 $ 204,199,633 $ 9,784,320 5.03%
Prop.2.5% $ 4,422,678 $ 4,623,458 $ 4,860,383 $ 5,106,419 $ 246,036 5.06%
New Growth $ 3,608,503 $ 4,853,553 $ 4,923,938 $ 2,750,000 $ (2,173,938) (44.15)%
Override/Excess Le Ca aci $ 116,801 $ 85,435 $ 28,031 NA
SubtOtal $ 184�821�502 $ 194�329�87$ $ 204�171�602 $ 212�056�053 $ 7�884�450 3.86%
Table 3A:Property Tax Levy Dedicated to the Capital Stabilization Fund
1050 Waltham St. $ - $ - $ - $ - $ - -%
186 BedfoYd St. $ - $ - $ 21,451 $ 21,451 $ - -%
55 Watertown St. - - 35 687 35 687 - -%
5ubtotal $ - $ - $ 57,138 $ 57,138 $ - -%
Table 2:State Aid
Chapter70 $ 14,456,349 $ 14,438,034 $ 14,647,494 $ 14,852,994 $ 205,500 1.40%
Charter School Reimbursement $ 2,446 $ 80,755 $ 4,690 $ 54,959 $ 50,269 1,071.83%
Unrestricted General Government Aid $ 1,627,400 $ 1,627,400 $ 1,684,359 $ 1,729,837 $ 45,478 2.70%
Veterans'Benefits&Exemptions $ 117,802 $ 124,689 $ 95,590 $ 92,035 $ (3,555) (3.72)%
Offsets Libra 51 915 63 823 60 127 54 837 S 290 8.80%
Subtotal $ 16,255,912 $ 16,334,7di $ 16,492,260 $ 16,784,662 $ 292,402 1.77%
Table 3:Local Receipts
Motor Vehicle Excise Tax $ 5,383,364 $ 5,335,129 $ 5,315,294 $ 5,455,000 $ 139,706 2.63%
OtherExcise $ 1,503,388 $ 813,643 $ 774,100 $ 1,043,500 $ 269,400 34.80%
Penalties&Interest $ 564,274 $ 445,590 $ 341,500 $ 341,500 $ - -%
PILOT's $ 666,153 $ 660,966 $ 698,000 $ 715,000 $ 17,000 2.44%
Rentals $ 431,498 $ 473,201 $ 394,850 $ 361,850 $ (33,000) (8.36)%
Departmental-Schools $ 331,482 $ 337,909 $ 243,500 $ 244,500 $ 1,000 0.41%
Departmental-Municipal $ 2,697,925 $ 2,398,261 $ 2,590,025 $ 2,629,525 $ 39,500 1.53°/o
Licenses&Permits $ 3,021,668 $ 3,542,914 $ 1,906,600 $ 2,335,800 $ 429,200 22.51%
Special Assessments $ 19,781 $ 25,644 $ 13,064 $ 10,433 $ (2,630) (20.13)%
Fines&Forfeits $ 152,654 $ 59,820 $ 101,000 $ 101,000 $ - -%
Investment Income $ 1,297,265 $ 277,170 $ 250,000 $ 250,000 $ - -%
Miscellaneous Non-Recurrin 754 943 987 817 - - - -%
Subtotal $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108 $ 860,175 1.41%
Table 4:Availeble Funds
Parking Fund $ 425,750 $ 562,000 $ 828,237 $ - $ (528,237) (100.00)%
Cemetery Sale of Lots Fund $ 64,380 $ 40,480 $ 51,933 $ 16,125 $ (35,808) (68.95)%
Free Cash* $ 12,201,094 $ 9,468,456 $ 14,638,059 $ 15,700,000 $ 1,061,941 7.25%
Health Claims Trust Fund $ 750,000 $ 750,000 $ 750,000 $ 750,000 $ - -%
Transportation Demand Management Stab. � 141,000 $ 141,000 $ 141,000 $ 141,000 $ - -%
Fund
Traffc Mitigation Stabilization Fund $ - $ - $ - $ 240,000 $ 240,000 -%
Transportation Management Overlay District � _ � _ � - � b5,000 $ 65,000 -%
(TMOD)Stabilization Fund
Center Improvement District Stabilization Fund $ 27,000 $ - $ - $ - $ - -%
PEG Access Special Revenue Fund $ 638,918 $ 620,711 $ 629,287 $ 637,576 $ 8,289 1.32%
Transportation Network Company(TNC) � - � 16,SD4 $ 20,889 $ 6,824 $ (14,066) (67.33)%
Special Revenue Fund
Betterments Fund $ 16,000 $ 6,200 $ - $ - $ - -%
Visitors Center Stabilization Fund $ - $ 200,000 $ - $ - $ - -
Special Education Stabilization Fund $ - $ - $ 500,000 $ - $ (500,000) (100.00)%
Balances from Prior Yr.Capital Articles $ - $ - $ 155,974 $ 266,923 $ 110,949 -%
Use of BAN Premiums - - 110 000 - 110 000 100.00%
3ubYOtal $ 14�264�142 $ 11�805�351 $ 17�825�379 $ 17�$23�447 $ (1�932) (0.01)%
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-4
Section II Revenues Town ofLexington, Massachusetts
Table 5:Revenue Offsets
Cherry Sheet Assessments $ (923,294) $ (960,031) $ (1,001,069) $ (1,126,720) $ (125,651) 12.55%
Cherry Sheet Offsets-Public Libraries $ (51,915) $ (63,823) $ (60,127) $ (54,837) $ 5,290 (8.80)%
Overlay(abatements) $ (900,000) $ (750,000) $ (900,000) $ (750,000) $ 150,000 (16.67)%
Snow Deficit - - - 400 000 400 000 -
$ubtotal $ (1�875�209} $ (1�773�854) $ (1�961�196) $ (2�331�557) $ (370�361) 18.88%
Table 6:Enterprise Receipts
Water $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
Wastewater(Sewer) $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
Recreation&Communi Pro rams $ 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
Subtotal $ 1�696�348 $ 1�749�435 $ 1�432�356 $ 1�$05�613 $ 373�257 26.06%
Gross General Fund Revenues $ 231,987,089 $ 237,803,577 $ 250,645,473 $ 259,683,465 $ 9,037,992 3.61%
Revenues Set Aside for Designated � 12,495,310 $ 9,180,935 $ 16,678,401 $ 17,336,186 $ 657,785 3.94%
Expenses
Net General Fund Revenues Available for � 219,491,779 $ 228,622,642 $ 233,967,072 $ 242,347,279 $ 8,380,207 3.58%
Appropriation
Revenues Set Aside for Designated Expenses: This represents components of Gross General
Fund Revenues that are set aside for designated purposes. The proposed purposes are shown in the
table below.
Financing Sources
Tax Levy Free Cash Other Total Notes
1 Set-Aside for Unanticipated $ 200,000 $ 200,000 Reserved for appropriation at the 2022 annual town
Current Fiscal Year Needs meeting to fund supplemental appropriations to the
FY2022(current year)budget.
2 Other Post-Employment $ 750,000 $ 1,179,721 $ 1,929,721 $750,000 from the tax levy made available by an
Benefits(OPEB) equal transfer from the Health Insurance Claims
Trust Fund to fund FY2023 Health Insurance.
3 Unallocated $ 4,281 $ 498,923 $ 503,204 Set-aside for as yet to be identified FY2023
purposes.
4 Cash Capital $ 8,081,060 $ 548,747 $ 8,629,807 Free Cash and other available funds to support
capital improvements.
5 Appropriate into Capital $ 57,138 $ 3,085,296 $ 3,142,434 To meet future capital/debt service needs.
Stabilization Fund
6 Appropriate from Capital $ - $ - Proposed use of Capital Stabilization Fund to hold
Stabilization Fund debt service increases to 5%annually.
7 Transition Free Cash out of $ 1,500,000 $ 1,500,000 5-year plan to eliminate the use of Free Cash for
Operating Budget the Operating Budget.
8 Street Improvement $ 2,669,767 $ 2,669,767 Consistent with long-term street maintenance plan.
Program
9 Municipal Building Envelope $ 219,540 $ 219,540 Initially funded in 2006 override;increases by 2.5%
and Systems per year.
10 Warrant Articles $ 90,000 $ 55,000 $ 30,000 $ 175,000 Senior Tax Work-Off;Comprehensive Plan
Implementation;Climate Action Plan
11 Support of Recreation and $ 242,790 $ 242,790 Tax Levy support of Recreation and Community
Community Programs Dept. Programs Enterprise(Transfer to Article 5)
. • . � i .�� ���
13 Revenue to Support $ - $ 700,000 $ - $ 700,000 Free Cash to support the FY2023 operating budget.
Operating Budget
14 Funding for New Pension $ 400,000 $ 400,000 Amount of incremental increase in the updated
Schedule Pension Funding schedule will be supported with
Free Cash in FY2023.
15 Retire Note for Land $ - $ - $ - To pay down notes issued for Pelham and Bedford
Purchases-Debt Service St.over 5 years(final payment in FY2022).
. • . � � �� ��� �
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-5
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Section III: Program 1000: Education
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
education. It includes:
• 1100 Lexington Public Schools III-##
• 1200 Minuteman Regional High School III-18
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-1
Program: Education
1200 Minuteman Regional High School Town ofLexington, MA
Budget Overview: The Regional High School subprogram budget is for the assessment levied by the
Minuteman Regional Vocational Technical School District to support the operations of the School.
Minuteman is a regional high school, located in Lexington and Lincoln, which provides technical and
academic education for students in grades 9-12 from the Minuteman district, which includes 9 towns as
of July 1, 2020, as well as out-of-district students.
Minuteman Tech's programs include courses in Biotechnology, Environmental Science, Multi-media
Engineering, Design and Visual Communication, Engineering and Robotics Automation, Cosmetology,
Early Education and Teaching, Carpentry, Culinary Arts and Hospitality, Plumbing, Electrical, Health
Occupations, Horticulture, Programming and Web Development, Automotive Technology, Welding and
Metal Fabrication, Advanced manufacturing courses and a new Animal Science program, as well as
four-year academic and college preparatory programs. In addition, adult students can pursue a variety
of continuing education programs at Minuteman.
Lexington's historical enrollment at Minuteman is shown in the table below as of October ist of each
year, the date that enrollments from school districts throughout the Commonwealth are reported to the
Massachusetts Department of Elementary and Secondary Education.
10/1/2016 10/1/2017 10/1/2018 10/1/2019 10/1/2020 10/1/2021
High School Students 54 53.5 52 62 71 68
Post Graduate Students* 1 1 1 4 — —
e m .. .:
*Beginning in FY2021,Minuteman began offering Minuteman Technical Institute(MTI)for post-secondary students. MTI students pay
tuition directly to Minuteman; it had previously been included in the assessment. Two Lexington residents are enrolled in MTI in FY2022.
Appropriated/Authorized Staffing:
No Town staff are charged to this budget.
Budget Recommendations
The FY2023 recommended budget for the Minuteman Regional High School assessment is $3,223,898,
an increase $93,860 or 3.00% from the FY2022 budget. This is a preliminarx figure, as the district is
still developing its FY2023 budget, which will be presented to the Minuteman School Committee on
January 11, 2022.
Most of the increase is from debt service, much of which is from the new school building, which opened
in September 2019. Overall, the assessment incorporates $1,017,152 in debt service, an increase of
$89,260 or 9.6%. Since all debt for the new building has now been issued, Minuteman projects that
future debt requirements will gradually reduce as debt is paid down.
The annual assessment is broken out as follows -
Category FY2020 FY2021 FY2022 FY2023 $ Change %Change
Minimum Required Contribution $ 799,005 $1,057,954 $ 1,156,993 $ 1,158,939 $ 1,946 0.2%
Transportation Assessment $ 86,714 $ 83,516 $ 109,594 $ 78,524 $ (31,070) (28.4)%
Remaining Operating Assessment $ 962,102 $1,011,769 $ 935,559 $ 969,283 $ 33,724 3.6%
Capital/Debt Service $ 618,510 $ 709,909 $ 927,892 $ 1,017,152 $ 89,260 9.6%
Post-Graduate $ 3,800 $ — $ — —%
Total Assessment $2,470,131 $2,863,147 $3,130,038 $3,223,898 $ 93,860 3.0%
*Numbers may not add due to rounding.
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-18
Program: Education
1200 Minuteman Regional High School Town ofLexington, MA
Budget Summary:
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. 11 1 :. 1 1 :•: • :.1 11'
Appropriation FY2020 FY2021 FY2022 FY2023 Dollar Percent
Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ — $ — $ — $ — $ — —%
Expenses $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. . �� � � � : :.� ����
Level-Service FY2020 FY2021 FY2022 FY2023 Dollar Percent
Requests Actual Actual Appropriation Recommended Increase Increase
Total 1200 Minuteman $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. . �� - � � � : :.� ����
Object Code FY2020 FY2021 FY2022 FY2023 Dollar Percent
Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ — $ — $ — $ — $ — —%
Overtime $ — $ — $ — $ — $ — —%
Compensation $ — $ — $ — $ — $ — —%
Contractual Services $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
Utllltl25 � - � - � - � - � - -%
Supplies $ — $ — $ — $ — $ — —%
Small Capital $ — $ — $ — $ — $ — —%
Expenses $ 2,470,131 $ 2,863,i47 $ 3,i30,038 $ 3,223,898 $ 93,860 3.00%
. 11 1 :. 1 1 ••• • :.1 11'
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-19
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Section IV: Prog ra m 2000: Sha red Expenses
This section includes detailed information about the FY2023 Operating Budget & Financing Plan
for shared expenses. It includes:
• 2100 Employee Benefits IV-3
• 2200 Property & Liability Insurance IV-8
• 2300 Solar Producer Payments IV-10
• 2400 Debt Service IV-12
• 2500 Reserve Fund IV-14
• 2600 Public Facilities IV-17
FY2023 Recommended Budget & Financing Plan February 28, 2022
IV-1
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Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Mission: To provide and manage a comprehensive benefits program for Town and School employees
and retirees.
Budget Overview: Included in the Employee Benefits and Insurance program are costs for the
Town's pension assessment, workers'compensation, unemployment insurance, health, dental and life
insurance benefits and the Medicare tax.
Employee Benefits is comprised of the following:
• Contributory Retirement Assessment: The assessment of the Lexington Contributory
Retirement System levied to the Town to finance a portion of retirement benefits of Town and
non-teaching School employees. This assessment is issued pursuant to Massachusetts General
Laws (MGL) Chapter 32 and is based on an actuarial valuation of the funding obligations of the
Lexington Contributory Retirement System. In addition to this assessment, employee
contributions - ranging from 5% to 11% depending on date of hire - provide the majority of
pension system funding.
• Non-Contributory Retirement: The cost of benefits for employees who retired prior to the
creation of the Lexington Contributory Retirement System.
• Employee/Retiree Benefits: The Town's annual contribution for health, dental and life insurance
for active Municipal and School Department employees and retirees, and the Town's 1.45%
share of Medicare tax for all employees hired after 1986.
• Unemployment Compensation: The cost of unemployment payments for eligible employees
separated from Municipal or School Department employment. The Town self-insures for this
expense.
• Workers'Compensation: The medical costs incurred by Municipal and School employees injured
on the job, and medical costs of former public safety employees who retired on accidental
disability. The Town largely self-insures for this expense, but purchases"stop loss" insurance
for extraordinary work-related medical claims. The premiums for that insurance are captured in
the Workers'Compensation budget.
Authorized/Appropriated Staffing:
Staff support is provided through the Town Manager's Office, Human Resources and the Finance
Department. Portions of the salaries of four employees are charged to the General Fund health
insurance budget.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-3
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Employee Benefits and Insurance budget is $41,891,886. This is
a $1,997,463 or 5.01% increase from the FY2022 budget. The recommended budget includes the
benefits costs (health, dental, life, Medicare and workers'compensation) for all municipal and school
staff and retirees as of November 1, 2021.
Chanaes Include:
1. A $741,750, or 10.00% increase in Contributory Retirement based on a revised funding
schedule based on the January 1, 2021 actuarial valuation of the Lexington Retirement System.
Of that amount, $400,000 is funded from Free Cash, which is the same level of Free Cash
funding as in FY2022. The revised schedule would result in full funding of the system's
unfunded liability by 2030, given the current actuarial assumptions.
2. A $450 or 2.76% increase in Non-Contributory Retirement costs for employees receiving
pensions awarded prior to the creation of the Contributory Retirement system.
3. A $72,524 or 3.66% increase in the Town's contribution for the Medicare Tax based on FY2021
actual costs, projected FY2022 and FY2023 salaries and wages, new municipal positions, and
historical rates of increase in this item.
4. A $1,284,346 or 4.54% increase in health insurance costs (General Fund). The FY2023 budget
is based on an increase of 5.0% in health insurance premiums across all plans at November
2021 enrollment levels, and the projected addition of eighty (80) subscribers (new enrollees to
health coverage, either from new retirees, active employees electing to begin or resume
coverage, and active employees switching from individual to family plans). The recommended
budget includes benefits for a newly benefited position at the Department of Public Facilities.
5. A $15,785 or 1.44% increase in dental insurance costs (General Fund) based on the anticipated
level-funding of premium rates for FY2023, updated to reflect November 2021 enrollment levels
and a newly benefited position at the Department of Public Facilities.
6. No increase in life insurance costs based on projected enrollments.
7. Level-funding of unemployment insurance based on the revised budget of $200,000, which
reflects recent claim activity.
8. A $(125,000) or (16.67)% decrease in workers'compensation costs to a total of$625,000. As
of June 30, 2021, this continuing appropriation account had a total balance of $2,455,662. In
light of the fund balance, staff recommend a gradual reduction in the appropriation through
FY2026, with a goal of maintaining a fund balance of $2 million.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-4
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $33,802,865 $35,228,913 $ 38,737,210 $ 40,533,981 $1,796,771 4.64%
Transfers from Enterprise Funds to General
Fund(Indirects) $ 708,643 $ 762,237 $ 611,775 $ 805,256 $ 193,481 31.63%
Free Cash for Updated Pension Schedule $ - $ - $ 400,000 $ 400,000 $ - -%
PEG Access Special Revenue Fund $ 4,976 $ 5,250 $ 5,575 $ 5,178 $ (397) -7.12%
. 11 .. �11 .1 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary(General Fund) Actual Actual Revised Recommended Increase Increase
Compensation $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Expenses $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $1,983,891 5.00%
�� .. -�� .� �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests(General Fund) Actual Actual Revised Recommended Increase Increase
Total 2110 Contributory Retirement $ 6,334,436 $ 6,679,199 $ 7,417,500 $ 8,159,250 $ 741,750 10.00%
Total 2120 Non-Contributory Retirement 15 487 15 907 16 327 16 777 450 2.76%
Subtotal-Retirement $ 6,349,923 $ 6,695,106 $ 7,433,827 $ 8,176,027 $ 742,200 9.98%
Total 2130 Medicare $ 1,851,593 $ 1,907,961 $ 1,982,127 $ 2,054,651 $ 72,524 3.66%
Total 2130 Health Insurance $24,133,417 $25,448,028 $ 28,270,148 $ 29,554,494 $1,284,346 4.54%
Tota12130 DentalInsurance $ 1,072,635 $ 985,610 $ 1,093,458 $ 1,109,243 $ 15,785 1.44%
Total 2130 Life Insurance $ 21,571 $ 20,384 $ 25,000 $ 25,000 $ - -
Subtotal-Health/Life eenefiks $27,079,216 $28,361,983 $ 31,370,733 $ 32,743,388 $1,372,655 4.38%
Total 2140 Unemployment $ 200,000 $ 64,311 $ 200,000 $ 200,000 $ - -%
Total 2150 Workers Compensation* $ 887 346 $ 875 000 $ 750 000 $ 625 000 $ 125 000 -16.67%
Subtotal-Other Employee Benefits $ 1,087,346 $ 939,31i $ 950,000 $ 825,000 $ (i25,000) -13.16%
. . �� .. - ��� .� � '
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary(General Fund) Actual Actual Revised Recommended Increase Increase
Salaries&Wages $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Overtime - - - - - -
Personal5ervices $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Contractual Services $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $1,983,891 5.00%
Utilities $ - $ - $ - $ - $ - -
Supplies $ - $ - $ - $ - $ - -
Small Capital - - - - - -
Expenses $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $i,983,891 5.00%
. . �� .. - ��� .� � �
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Directed Funding(Revolving Funds) $ 119,250 $ 133,586 $ 139,863 $ 147,471 $ 7,608 5.44%
. �� �. � .i:
*Revo/ving Funds are authorized by Town Meetrng via Article 9,and are not appropriated underArtic%4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests(Revolving Funds) Actual Actual Revised Recommended Increase Increase
Tota12130 Health Insurance $ 117,343 $ 129,199 $ 135,729 $ 143,337 $ 7,608 5.61%
Total 2130 Dental Insurance $ 1,908 $ 4,387 $ 4,134 $ 4,134 $ - -%
. . �� .. - � .�•
Budget Summary - All Funds ----------------------------------------------.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Revised Recommended Increase Increase
Compensation $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Expenses $34,555,188 $36,026,026 $ 39,779,340 $ 41,770,839 $1,991,499 S.O1%
. . �� .. - � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-5
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Focus on: Health Benefits— Line Item 2130
While the cost of health insurance continues to be a concern for the Town of Lexington, as is the
case with all public and private organizations in this region and across the country, the Town was
successful in negotiating with the Employee Health Insurance Coalition to join the State's Group
Insurance Commission (GIC) health insurance program, which has helped to slow the growth of this
large cost driver.
The Town has an agreement with the Public Employees Committee (PEC) to remain in the GIC through
June 30, 2022, and will begin bargaining for a successor agreement this spring.
The table below displays an approximate distribution of health insurance costs for Municipal and School
employees and Retirees.
Table 1: Health Insurance Budget: FY2018 - FY2023
Increase
FY2018 FY2019 FY2020 FY2021 Budgeted Projected FY2022to
Actual Actual Actual Actual FY2022 FY2023 FY2023
Town�l� $ 3,445,544 $ 3,636,336 $ 3,903,453 $ 4,242,098 $ 4,874,424 $ 5,059,791 3.80%
School $11,232,098 $12,141,910 $13,170,788 $13,965,697 $15,502,288 $16,244,427 4.79%
Retirees $ 6,790,042 $ 6,725,482 $ 6,980,911 $ 7,165,298 $ 7,815,172 $ 8,175,329 4.61%
Total $21,467,685 $22,503,728 $24,055,153 $25,373,093 $28,191,883 $29,479,547 4.57%
Mitigation Fund�Z� $ 300,000 --- --- --- --- --- ---
Medicar��Part B � gg,628 $ 82,241 $ 78,264 $ 74,935 $ 78,264 $ 74,935 (4.25)%
Penalty
Net Budget Amount $Z1,856,313 $ZZ,585,970 $Z4,133,417 $Z5,448,028 $Z8,Z70,147 $29,554,481 4.54%
(1)Portion of salaries attributable to health insurance administration is inclusive in these figures.
(2)Payment made to the Public Employee Committee(PEC)HRA Mitigation Fund to offset increasing co-pays and deductibles.
(3)Medicare Part B Penalty is the penalty the Town must pay due to deferred migration of retirees from active plans to Medicare supplement plans.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-6
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
The table below shows the number of employees and retirees enrolled in the Town's health insurance
program.
Table 2: Health Insurance Enrollments �1�
FY2022 FY2023
Budget Budget
Based on Actual Subscribers,
plus Additional Projected Lives
Actual Subscribers shown below
Nov. 2017 Nov. 2018 Nov. 2019 Nov. 2020 Nov. 2021
Subscribers (�2018) (FY2019) (FY2020) (FY2021) (FY2022)
Municipal
Individual gl 96 107 98 110
Family 176 164 168 171 172
subtotal 257 260 275 269 282
School
Individual 336 356 350 358 376
Family 502 536 561 555 536
subtotal 838 892 911 913 912
Retirees 1,269 1,289 1,307 1,302 1,338
subtotal 2,364 2,441 2,493 2,484 2,532
Adtlitional,pxoj�cted lives far bud"get purposes
Position Vacancies
Municipal ig 9
School 13 26
subtotal 31 35
Estimated Open Enrollment/ Qualifying Events�Z�
Individual 9 9
Family z7 Z7
Retirees 44 44
subtotal 80 80
total 2,364 2,441 2,493 2,595 2,647
New Pasi#ions
School�3� 0 0
Municipal �3� 2 0
Facilities Dept. 0 1
subtotal 2 1
Es#im�ted Reduction in Subscrib�rs
Retirees (34) (34)
total 2,364 2,441 2,493 2,563 2,614
(1)The subscriber counts above do not include COBRA subscribers, but include employees whose salaries and
benefits are funded either fully or partially from non-General Fund sources.
(2)The projection shown under open enrollment/qualifying events is based on an assumption of current employees
losing coverage on their spouse's plans,and changes in marital status or dependent status.
(3)Based on the budgets as recommended by the School Committee and Select Board and assumes that each full-
time equivalent will subscribe to Town's insurance. The cost is estimated at a composite rate based on school and
municipal personnel enrollment.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-7
Program: Shared Expenses
2200 Property & Liability Insurance Town ofLexington, MA
Mission: To provide and manage a comprehensive property and liability management program for all
property and equipment in the Town.
Budget Overview: The properry and liability management program consists of the following
elements:
• Properry and Liability Insurance: The cost of premiums for policies that: (1) protect the Town
against property loss and damage; (2) insure the Town's vehicles; and (3) cover the Town against
liabiliry claims.
• Uninsured Losses: A continuing balance account for uninsured property losses, settlements and
deductibles contained in various insurance policies.
Authorized/Appropriated Staffing:
A portion of the Deputy Town Manager's salary is charged to this line-item in recognition of the
ongoing support provided.
Budget Recommendations:
The FY2023 overall recommendation for Property and Liability Insurance is $1,095,000, which is a
level-funded from the FY2022 appropriation.
1. Properry and liability insurance is increasing by $50,000 or 5.92%. In FY2022, the
appropriation was level-funded due to savings realized from a new procurement. Premium
increases of approximately 5% were used to project the FY2023 funding level.
2. A $(50,000) decrease in the budget for uninsured losses. The balance in this continuing
balance account as of June 30, 2021, is $1,563,470. In light of the fund balance, staff
recommend a gradual reduction in the appropriation, with a goal of maintaining a fund balance
of$1 million.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-8
Program: Shared Expenses
2200 Property & Liability Insurance Town ofLexington, MA
Budget Summary
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $1,022,643 $1,008,200 $ 1,069,961 $ 1,064,863 $ (5,098) (0.48)%
Transfers from Enterprise Funds
to General Fund(Indirects) $ 32,113 $ 33,096 $ 25,039 $ 30,137 $ 5,098 20.36 %
• . �� � ..- .� � �- �• ��� �• ���
Appropriation Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Compensation $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Expenses $1,019,666 $1,004,261 $ 1,058,662 $ 1,057,194 $ (1,468) (0.14)%
. . 11 • ..- .. � , � . �. .. � 1• 111 1• 111
Level-Service Requests �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Total 2210 Property&Liability � g04,756 $ 791,296 $ 845,000 $ 895,000 $ 50,000 5.92 %
Insurance
Total 2220 Uninsured Losses $ 250,000 $ 250,000 $ 250,000 $ 200,000 $ (50,000) (20.00)
. . 11 • ..- •� 1 . 1' •. 1• 111 1• 111
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Overtime $ — $ — $ — $ — $ — —
Compensation $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Contractual Services $1,019,666 $1,004,261 $ 1,058,662 $ 1,057,194 $ (1,468) (0.14)%
Utilities $ — $ — $ — $ — $ — —
Supplies $ — $ — $ — $ — $ — —
Small Capital — — — — — —
Expenses $1,019,666 $1,004,Z61 $ 1,058,662 $ 1,057,194 $ (1,468) (0.14)%
. . �� � ..- .. � �� �• ��� �• ���
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-9
Program: Shared Expenses
2300 Solar Producer Payments Town ofLexington, MA
Mission: To provide obligated payments for the installation and operating costs of the solar array at
the Hartwell Avenue Compost Facility.
Budget Overview: For the solar arrays installed at the Hartwell Avenue Compost Facility, Eversource
elected to reimburse the Town for the solar power generated via monthly payments, rather than issue
a credit on the Town's electric bills. For the rooftop solar panels on Town and School buildings, that
energy is credited in the monthly bill, thereby reducing utility costs at the Department of Public
Facilities. As a means of separately tracking the Hartwell Avenue arrangement, this budget division
reflects:
• Net Metering Credits: The revenues received from Eversource in return for solar power
generated at Hartwell Avenue. Any excess revenues are deposited into the General Fund.
• Solar Producer Payments: The annual amount paid to Syncarpha, the current owner of the
solar panels, for the cost of construction and operating costs.
Authorized/Appropriated Staffing:
No direct staff is charged to this line-item. Staff support is provided through the Public Facilities, Town
Manager and Finance departments.
Budget Recommendations:
The FY2023 overall recommendation for Solar Producer Payments is $390,000, which is level-funded
from the FY2022 appropriation.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-10
Program: Shared Expenses
2300 Solar Producer Payments Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $(306,475) $(306,604) $ (280,000) $ (280,000) $ - - %
Net-Metering Credits $ 691,986 $ 674,298 $ 670,000 $ 670,000 $ - - %
. . 11 . . • �� � �.. •1 111 •1 111
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Appropriation Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - - %
Expenses $ 385,512 $ 367,694 $ 390,000 $ 390,000 $ - - %
. . �� . . • .. � �.. .� ��� •� ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests Actual Actual Appropriation Recommended Increase Increase
Total 2300 Solar Producer � 385,512 $ 367,694 $ 390,000 $ 390,000 $ - - %
Payments
. �� . . �� - •� ��� •� ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary p�ual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ - $ - $ - $ - $ - - %
Overtime $ - $ - $ - $ - $ - - %
Compensation - %
Contractual Services $ - $ - $ - $ - $ - - %
Utilities $ 385,512 $ 367,694 $ 390,000 $ 390,000 $ - - %
Supplies $ - $ - $ - $ - $ - - %
Small Capital $ - $ - $ - $ - $ - - %
Expenses 385,512 367,694 390,000 390,000 - - %
. . 11 . . • �� � �.. •1 111 •1 111
Summary of Townwide Solar Credits and Expenses
FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023
Actual Actual** Actual Actual Actual Estimate Projection
Rooftop Solar Bill Credits $ 279,665 $ 303,696 $ 333,329 $ 326,421 $ 308,738 $ 291,500 $ 291,500
Rooftop PILOT* $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000
Rooftop Solar Payments $ (162,343) $ (157,038) $ (159,033) $ (173,254) $ (164,249) $ (165,000) $ (165,000)
Net Revenue subtotal $ 147,322 $ 176,658 $ 204,296 $ 183,167 $ 174,489 $ 156,500 $ 156,500
Hartwell Solar Revenue $ 647,232 $ 720,493 $ 691,986 $ 674,298 $ 670,000 $ 670,000
Hartwell PILOT* $ 55,400 $ 55,400 $ 55,400 $ 55,400 $ 55,400 $ 55,400
Hartwell Annual Lease $ 1,000 $ 1,000 $ 1,000 $ 1,000 $ 1,000 $ 1,000
Hartwell Solar Payments $ (355,257) $ (351,839) $ (385,512) $ (367,694) $ (390,000) $ (390,000)
Net Revenue subtotal - 348 375 425 054 36Z 875 363 004 336 400 336 400
Total Net Revenue $ 147,322 $ 525,033 $ 629,350 $ 546,042 $ 537,493 $ 492,900 $ 492,900
*Per MA DOR,solar PILOTs(Payments in Lieu of Taxes)are deposited as Personal Property taxes rather than under a PILOT category
of revenue.
**FY2018 costs/revenue for Hartwell are not representative of a full year of operations.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-11
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
Mission: To manage the issuance of Town debt in a manner which protects assets that are required to
deliver town services and yet limits large increases or decreases in annual debt service.
Budget Overview: Debt service includes General Fund principal and interest payments for levy-
supported (non-exempt) debt, both authorized by Town Meeting, as well as for capital projects being
proposed to the 2022 Annual Town Meeting.
Debt service on projects funded from the Compost Revolving Fund is shown in the DPW Budget
element 3420; and debt service for Water and Sewer Enterprise projects is shown in the DPW Budget
under elements 3610 and 3710, respectively.
Debt Service voted to be exempt from Proposition 2�/z, while not appropriated by Town Meeting, is
presented for informational purposes.
Authorized/Appropriated Staffing:
There is no direct staff charged to this line-item. Staff support for managing debt service is provided
through the Town Manager and Finance departments.
Budget Recommendations:
Total gross within-levy and Exempt debt service (before mitigation) is decreasing by $(3,623,221), or
(13.35)% compared to FY2022. Within-Levy debt service of$7,541,580 is decreasing by $(2,855,532),
or (27.46)% primarily due to the bond anticipation notes issued for the land purchases on Pelham Road
and Bedford Street being retired in FY2022.
The Town's target increase for net within-levy debt service is 5% per year, and any amount over that is
recommended to be mitigated with a transfer from the Capital Stabilization Fund. For FY2023, net
within-levy debt is $7,525,455, an decrease of $(499,450) or (6.22)% from FY2022 budgeted amounts;
therefore, a transfer from the Capital Stabilization fund is not needed to mitigate within-levy debt
service in FY2023. Transfers may be needed in future years to mitigate within levy debt service related
to the Hartwell Avenue street improvements, or other significant capital projects that may arise.
FY2022 gross exempt debt service as reported on the FY2022 Tax Rate Recap $16,747,991, which was
mitigated via a $2,800,000 transfer from the Capital Stabilization Fund. FY2023 gross exempt debt
service is projected at $15,980,302, a decrease of $(767,689), or (4.58)% compared to FY2022 gross
exempt debt service. FY2023 exempt debt service continues to be driven by the excluded debt
projects approved by the voters in December 2017 —the Fire Station Replacement, Hastings
Elementary School Replacement and the new Lexington Children's Place (LCP) building. To mitigate
the impact of this increase on Lexington taxpayers, it is proposed that $800,000 of Capital Stabilization
Funds be appropriated to offset exempt debt service in FY2023.
It is notable that the authorized debt for the capital projects noted above was mostly issued as of
June 30, 2020, and exempt debt service for these projects peaked in FY2021. The Police Station
reconstruction is proposed for the 2022 Annual Town Meeting and a debt exclusion vote is expected to
follow in June 2022. If approved, gross exempt debt service will increase over the next 2-3 years.
Despite this increase, significant draw-downs from the Capital Stabilization Fund are not expected for
this project as the Police Station debt will be partly offset by older exempt debt that will be retired over
the same period.
The FY2023 proposed capital projects are described in greater detail in Section XI: Capital Investment
in this Recommended Budget and Financing Plan.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-12
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources(All Funds)
Actual Actual Estimate Projected Increase Increase
Tax Levy $20,604,764 $22,675,688 $ 24,293,170 $ 22,705,757 $(1,587,413) (6.53)%
Fund Transfers
Capital Stab.Fund-Within Levy Debt $ — $ — $ — $ — $ — —
Capital Stab.Fund-Exempt Debt $ 5,200,000 $ 4,600,000 $ 2,800,000 $ 800,000 $(2,000,000) (71.43)%
Cemetery Sale of Lots Fund $ 64,380 $ 40,480 $ 51,933 $ 16,125 $ (35,808) (68.95)%
Betterments Fund $ 16,000 $ 6,200 $ — $ — $ — —%
Visitors Center Stabilization Fund $ — $ 200,000 $ — $ — $ — —%
. . �-. �
Appropriation Summary FY202U FY2021 FY2022 FY2023 Dollar Percent
(All Funds) Actual Actual Appropriation Recommended Increase Increase
Compensation $ — $ — $ — $ — $ — —%
Expenses $Z5,885,144 $27,522,368 $ Z7,145,103 $ Z3,SZ1,882 $(3,623,221) (13.35)%
. �-. - �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Gross Within Levy Debt Service
Actual Actual Appropriation Recommended Increase Increase
Total 2410 Within-Levy Long-Term Principal* $ 5,968,224 $ 6,292,000 $ 5,626,400 $ 5,274,000 $ (352,400) (6.26)%
Total 2420 Within-Levy Long-Term Interest $ 1,010,976 $ 1,101,675 $ 956,198 $ 1,217,534 $ 261,336 27.33%
Tota12430 Within-Levy Short-Term Principal $ 2,275,366 $ 2,712,350 $ 3,373,865 $ 872,933 $(2,500,932) (74.13)%
Total 2430 Within-Levy Short-Term Interest $ 302,312 $ 131,513 $ 440,649 $ 177,113 $ (263,536) (59.81)%
. . . �-� , � � :�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Net Within Levy Debt Service Actual Actual Appropriation Recommended Increase Increase
Total 2410 Within-Levy Long-Term Principal* $ 5,968,224 $ 6,292,000 $ 5,626,400 $ 5,274,000 $ (352,400) (6.26)%
Total 2420 Within-Levy Long-Term Interest $ 1,010,976 $ 1,101,675 $ 956,198 $ 1,217,534 $ 261,336 27.33%
Total 2430 Within-Levy Short-Term Borrowing $ 2,577,678 $ 2,843,863 $ 3,814,514 $ 1,050,046 $(2,764,468) (72.47)%
Funding Set-aside to Retire Note for Land ��Z�Z34,614) $(2,403,450) $ (2,320,274) $ — $ 2,320,274 (100.00)°
Purchases
Funding from Cemetery Sale of Lots/ � (g0,38D) $ (246,680) $ (51,933) $ (16,125) $ 35,808 (68.95)%
Betterments/Visitors Center
. . �-. ��• : � � •� �
Use of Capital Stabilization Fund to hold debt service
increases(net of projects funded with new revenue o � _ � _ � _ � _ � _ _o�o
and the retirement of notes for land purchases)to 5/o
annually
. . .. -. �-. �1• : 1 � •1 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Exempt Debt Service
Actual Actual Appropriation Recommended Increase Increase
. . . �-. � :� �
Use of Capital Stabilization Fund to mitigate impact of ��5,200,000) $(4,600,000) $ (2,800,000) $ (800,000) $ 2,000,000 (71.43)%
excluded debt service on property tax bills
� �-� 1 :1 1
• • �-� � 1
� . �'� � 1 . 1 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-13
Program: Shared Expenses
2500 Reserve Fund Town ofLexington, Massachusetts
Mission: To provide for extraordinary and unforeseen expenses.
Budget Overview: The Reserve Fund is under the jurisdiction of the Appropriation Committee.
Authorized/Appropriated Staffing:
There is no direct staff charged to this line-item. Staff support is provided through the Town Manager
and Finance departments.
Budget Recommendations:
The FY2023 recommendation for the Reserve Fund is $750,000, which is level-funded from the FY2022
appropriation.
Notes: The FY2020 and FY2021 budgets for the Reserve Fund were $900,000 and $750,000,
respectively.
• In FY2020, $100,000 was transferred to the Fire Department to offset increases in spending
due to the Town's response to the COVID-19 pandemic.
• In FY2021, $15,000 was transferred to the Conservation Division to allow them to respond to a
Letter of Map Revision from the Town of Belmont.
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-14
Program: Shared Expenses
2500 Reserve Fund Town ofLexington, Massachusetts
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ — $ — $ 750,000 $ 750,000 $ — — %
. . �� • . � ��� � ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Appropriation Recommended Increase Increase
Compensation $ — $ — $ — $ — $ — — %
Expenses $ — $ — $ 750,000 $ 750,000 $ — — %
. . 11 . 1 111 1 111
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests pctual Actual Appropriation Recommended Increase Increase
Total 2500 Reserve Fund $ — $ — $ 750,000 $ 750,000 $ — — %
. . 11 . 1 111 1 111
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary pctual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ — $ — $ — $ — $ — — %
Overtime — — — — — — %
Compensation .$ — .$ — $ — � — $ — — ��o
Contractual Services $ — $ — $ 750,000 $ 750,000 $ — — %
Utilities $ — $ — $ — $ — $ — — %
Supplies $ — $ — $ — $ — $ — — %
Small Capital $ — $ — $ — $ — $ — — %
Expenses $ — $ — $ 750,000 $ 750,000 $ — — %
. . 11 • . 1 111 1 111
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-15
This Page Intentionally Left Blank.
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Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Mission: The mission of the Department of Public Facilities is to manage the efficient operation and
maintenance of Town buildings, preserve the facility and equipment assets of the Town, and plan and
implement capital improvements. This mission is accomplished by establishing appropriate services in
support of building users, fostering continuous improvement in delivery of services, and by establishing
a five-year capital plan in collaboration with the Permanent Building Committee and other Town
committees.
Budget Overview: The Department of Public Facilities (DPF) is responsible for the coordination and
care of all Town-owned buildings inclusive of those under the control of the Town Manager, Library
Trustees and School Committee. The primary areas of service include custodial care and cleaning,
building maintenance and repair (including preventative maintenance), utilities, and landscaping and
grounds (school buildings only). The DPF administrative staff develops and implements the
maintenance programs that provide services for the Town buildings. In addition, the DPF Capital
Budget and the Building Rental Revolving Fund are managed by DPF staff.
Departmental Initiatives:
1. Continue renovations, additions and new construction at schools in support of increasing
enrollments.
2. Support implementation of Town Public Safety projects.
3. Review results of Master Plan survey and incorporate into future capital plans.
4. Implement other priority projects.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-17
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-18
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
School Facilities 2610 Budget Budget Budget Request
Maintenance Staff* 11 12 12 12
Custodian 54 54 54 54
Subtotal FTE 65 66 66 66
Municipal Facilities 2620
Custodian** 10 12 12 12
Subtotal FTE 10 12 12 12
Shared Facilities 2630
Director of Public Facilities 1 1 1 1
Assistant Director of Public Facilities 1 1 1 1
Superintendent of Custodial Services 1 1 1 1
Project Manager 1 1 1 1
Facility Superintendent 1 1 1 1
Facility Engineer 1 1 1 1
Event Manager 1 1 1 1
LHS Facility Manager 1 1 1 1
Office Manager 1 1 1 1
Admin.Asst. - Facility Coordinator 1 1 1 1
Admin.Asst. -Clerical/Rental 1 1 1 1
Administrator
Municipal Assistant- Part time*** 0.5 0.5 0.5 1
Subtotal FTE 11.5 11.5 11.5 12.0
� • �
Notes:
* FY2021 includes 1.0 additional maintenance staff person to address an increasing work load due to
expanding the town's building footprint over the past decade.
** FY2021 includes 2.0 additional staff for municipal custodians to absorb the contracted custodial
expenses for the Town Office Building, Public Services Building, Cary Memorial Library and original Visitors
Center with in-house stafF, and expand coverage to include the Town Pool, Center Playground bathrooms
and the new Visitors Center.
*** In FY2023, a program improvement requests revising the Municipal Assistant's responsibilities to
reflect management of the 20-year capital plan database, and increasing the FTE from 0.5 to 1.0.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-19
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Department of Public Facilities budget inclusive of the General
Fund operating budget and the Building Rental Revolving Fund is $13,254,533. The recommended
budget is a $531,774, or 4.18% increase from the FY2022 budget.
The Department of Public Facilities FY2023 recommended General Fund operating budget, inclusive of
the Education Facilities, Municipal Facilities and Shared Facilities divisions, is $12,669,307, which is a
$515,942, or 4.25% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $6,461,256, and reflects a $282,542 or 4.57%
increase, which provides contractually obligated and projected step increases and cost of living
increases for the SEIU and AFSCME contracts that expired June 30, 2021. It also reflects a program
improvement to enhance the role of the Management Assistant to manage the 20-year capital
database, increasing the FTE from 0.5 to 1.0.
The General Fund operating budget for Expenses is $6,208,051 and reflects a $233,400, or 3.91%
increase. This reflects an overall increase in the cost of cleaning materials and other supplies, as well
as the cost of replacing two department vehicles with electric plugins.
For FY2023, Utilities are essentially level-funded. A project to add e�ensive solar panels to seven
school buildings is currently underway, followed by the addition of batteries. The timing of both project
phases is uncertain, as is the ultimate impact on electric bills. Staff recognize that there will be cost-
savings once each phase is implemented, but the extent of the savings is unclear due to numerous
unknown factors. There should be greater clarity during development of the FY2024 budget.
The FY2023 Facilities Department recommended Building Rental Revolving Fund budget is $585,226,
an increase of$15,832 or 2.78%, which is attributable to increases in wages, staff overtime and
benefits charged to this account.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in TOtal dnd (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Update Admin Role and Make � 27,000 $ 16,796 $ 43,796 $ 27,000 $ 16,796 $ 43,796 $ —
Full-time
Additional Maintenance � 30,700 $ — $ 30,700 $ — $ — $ — $ 30,700
Responsibilities
Maintenance of Empty Facilities $ 25,000 $ — $ 25,000 $ — $ — $ — $ 25,000
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-20
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $11,075,948 $11,120,623 $ 12,132,153 $ 12,647,022 $ 514,869 4.24 %
PEG Special Revenue Fund $ 19,466 $ 20,310 $ 21,212 $ 22,285 $ 1,073 5.06 %
. . .�� � �• -� • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual n
ppropriation Recommended Increase Increase
Compensation $ 5,672,548 $ 5,588,376 $ 6,178,714 $ 6,461,256 $ 282,542 4.57 %
Expenses $ 5,422,866 $ 5,552,557 $ 5,974,651 $ 6,208,051 $ 233,400 3.91 %
. .�� � �• -� �
Program Summary �z020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual nppropriation Recommended Increase Increase
2610-Education Facilities $ 7,938,774 $ 7,904,917 $ 8,534,697 $ 8,8Z0,062 $ 285,365 3.34 %
2620-Municipal Facilities $ 1,987,953 $ 2,024,527 $ 2,388,449 $ 2,457,224 $ 68,775 2.88 %
2630-Shared Facilities $ 1,168,687 $ 1,211,489 $ 1,230,219 $ 1,392,021 $ 161,802 13.15 %
• . .11 � 1• '1 • . ... � ..
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 5,378,169 $ 5,372,219 $ 5,545,430 $ 6,115,199 $ 269,769 4.62 %
Overtime 294 379 216 157 333 284 346 057 12 773 3.83 %
Personal Services $ 5,672,548 $ 5,588,376 $ 6,178,714 $ 6,461,256 $ 282,542 4.57 %
Contractual Services $ 1,509,275 $ 1,501,518 $ 1,527,440 $ 1,568,250 $ 40,810 2.67 %
Utilities $ 3,122,259 $ 3,115,925 $ 3,503,751 $ 3,520,601 $ 16,850 0.48 %
Supplies $ 654,429 $ 809,520 $ 800,860 $ 868,700 $ 67,840 8.47 %
Small Capital $ 136,904 $ 125,594 $ 142,600 $ 250,500 $ 107,900 75.67 %
Expenses $ 5,422,866 $ 5,552,557 $ 5,974,651 $ 6,208,051 $ 233,400 3.91 %
. .�� � �• -� �
Budget Summary - Non-General Funds
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Building Rental Revolving � 484,523 $ 32,591 $ 570,000 $ 586,000 $ 16,000 2.81 %
Fund
. . .11 • . • 1 111 :. 111 . 111
*PEG revenues are tied to spending. For overall revenue,see Select Board budget presentation.
Appropriations Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual nppropriation Recommended Increase Increase
Building Rental
Revolving Fund $ 445,126 $ 8,458 $ 569,394 $ 585,226 $ 15,832 2.78 %
Personal Services $ 225,049 $ 2,333 $ 353,294 $ 368,054 $ 14,760 4.18 %
Expenses $ 205,350 $ 6,125 $ 198,000 $ 198,000 $ - - %
Benefits $ 14,728 $ - $ 18,100 $ 19,172 $ 1,072 5.92 %
• . .�� . .
Budget Summary - All Funds -------------------------------------------
Appropriation Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Compensation $ 5,897,596 $ 5,590,709 $ 6,532,008 $ 6,829,310 $ 297,302 4.55 %
Expenses $ 5,628,216 $ 5,558,682 $ 6,172,651 $ 6,406,051 $ 233,400 3.78 %
Benefits $ 14,728 $ - $ 18,100 $ 19,172 $ 1,072 5.9Z %
• .11 . .� .� .. . .
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-21
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Section V: Program 3000: Public Works
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for the
Department of Public Works (DPW). It includes:
• 3000-3500 DPW Summary V-3
• 3100 DPW Administration & Engineering V-8
• 3200 Highway V-12
• 3300 Public Grounds V-16
• 3400 Environmental Services V-20
• 3600 Water Enterprise V-24
• 3700 Sewer Enterprise V-28
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-1
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3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Mission: The Department of Public Works is a professional team dedicated to enhancing the quality of
life in Lexington and supporting the Town's core values. We make every effort to maximize the
efficient, effective use of our resources in the support, maintenance and upkeep of the infrastructure,
public lands and programs. We are committed to public safety and providing prompt, courteous,
quality service to our customers and each other.
Budget Overview: The Public Works program contains all DPW divisions. The services provided by
Public Works include the maintenance, repair, and construction of the Town's infrastructure, roads,
equipment, and property. The Department of Public Works is responsible for 284 lane miles of road,
154 miles of water mains, 34 miles of trunk sewer lines, 119 miles of street sewer lines, 4,700 catch
basins, 160 pieces of equipment, 9 parks, 4 cemeteries, and the 5.5 mile-long Jack Eddison Memorial
Bikeway. Public Works supports Town functions through the maintenance and repair of facilities such
as playing fields, and the bikeway. This program also includes the Town's water and sewer operations,
which function as separate enterprise funds and are shown in separate enterprise budgets.
Along with the day-to-day duties of DPW staff, many are also actively involved or work with Town
committees. Those committees include the Permanent Building Committee, the Tree Committee, the
Center Committee, the Water and Sewer Abatement Board, the Capital Expenditures Committee, the
Appropriation Committee, the Transportation Safety Group, the Bicycle Advisory Committee, the
Commission on Disabilities, the Monuments and Memorials Committee, the Sustainability Committee,
the Noise Advisory Group and the Recreation Committee. These, and other staff, also work
collaboratively on internal committees and teams.
Departmental Initiatives:
1. Coordinate Administrative and Operations functions to maintain a functionally efficient
organization.
2. Continue working with Town committees to ensure sustained engagement of residents.
3. Ensure staff accessibility and participation for training and advancement opportunities.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-3
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
� - � . . � . �
Director of Public Works 1 1 1 1
Manager of Operations 1 1 1 1
Management Analyst* 0.6 0.6 0.6 1
Office Manager 1 1 1 1
Department Account Assistant** 2.6 2.6 2.6 2.6
Department Assistant- Pub Grounds/ 1 1 1 1
Cemetery
Department Lead Assistant 1 1 1 1
Town Engineer 1 1 1 1
Assistant Town Engineer 1 1 1 1
Senior Civil Engineer*** 2 3 3 3
Engineering Assistant*** 4 3 3 3
Engineering Aide 0.7 0.7 0.7 0.7
Supt. of Equipment, Highways& Drains 1 1 1 1
Highway Foreman 1 1 1 1
Crew Chief 6 6 6 6
Heavy Equipment Operators 16 16 16 16
Information Coordinator 1 1 1 1
Seasonal Laborer 1.7 1.7 1.7 1.1
Equipment Foreman 1 1 1 1
Mechanic 4 4 4 4
Superintendent of Public Grounds 1 1 1 1
Leadmen 7 7 7 7
Arborists 3 3 3 3
Cemetery Foreman 1 1 1 1
� - � . . � . . � • • . �
Superintendent of Environmental Services 1 1 1 1
Compost Facility Foreman 1 1 1 1
Leadman**** — — — 1
Heavy Equipment Operator**** 2 2 2 1
Seasonal Laborer 0.7 0.7 0.7 0.7
.
.
Explanatory Notes
*The FY2023 budget recommends transitioning the DPW Management Analyst to full-time as a program
improvement.
**Full-time Dept. Account Assistant shown as 0.6 from General Fund; 0.4 is charged to Water/Sewer Enterprise.
***A program improvement in FY2021 promoted an Engineering Assistant to Senior Engineer.
****The FY2023 budget recommends upgrading a Heavy Equipment Operator to a Leadman as a program
improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-4
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Public Works budget inclusive of the General Fund operating
budget and the Burial Containers, Compost Operations, Lexington Tree Fund, Minuteman Household
Hazardous Waste, and Regional Cache - Hartwell Avenue revolving funds is $13,279,640. The
recommended budget is a $535,342, or 4.20% increase from the FY2022 budget.
The FY2023 recommended Public Works General Fund operating budget is $11,968,145, which is a
$440,002, or 3.82% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $4,877,999, and reflects a $182,799 or 3.89%
increase, which is attributable to the cost of contractually obligated step increases and cost of living
adjustments, as well as the inclusion of a program improvement to expand the hours of the DPW
Management analyst.
The General Fund operating budget for Expenses is $7,090,146 and reflects a $257,203 or 3.76%
increase.
The combined FY2023 recommended Revolving Fund budgets (see page V-7) are $1,311,495 which is
a $95,340 or 7.84% increase from the FY2022 budget, which includes a position upgrade at the
Hartwell Avenue compost site.
Please see the division sections on the following pages for a detailed explanation of the FY2023 budget
changes.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in Total dnd (reflected in NOt
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition PT Compost Site � 32,429 $ 16,874 $ 49,303 $ — $ — $ — $ 49,303
Attendant to FT
W-6 position upgrade $ 2,496 $ — $ 2,496 $ 2,496 $ — $ 2,496 $ —
Transition DPW Management � 24,121 $ 350 $ 24,471 $ 24,121 $ 350 $ 24,471 $ —
Analyst from PT to FT
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Public Grounds
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-5
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Budget Summary:
Funding Sources(General FY2020 FY2021 FY2022 FY2023 Dollar Percent
Fund) Actual Actual Estimate Projected Increase Increase
Tax Levy $ 8,314,553 $ 9,344,507 $ 10,603,745 $ 10,981,494 $ 377,749 3.56 %
Enterprise Funds(Indirects) $ 595,723 $ 624,564 $ 519,198 $ 614,351 $ 95,153 18.33 %
Fees,Charges and Available Funds
Parking Fund $ 72,900 $ 72,900 $ 72,900 $ - $ (72,900) -100.00 %
Cemetery Trust $ 90,038 $ 72,925 $ 50,000 $ 70,000 $ 20,000 40.00 %
Cemetery Prep Fees $ 272,443 $ 237,123 $ 230,000 $ 250,000 $ 20,000 8.70 %
Misc.Charges for Service $ 197 $ 114 $ 200 $ 200 $ - - %
Licenses&Permits $ 129,145 $ 143,175 $ 52,100 $ 52,100 $ - - %
. �� �� �� . � �: �� ��
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual appropriation Recommended Increase Increase
Compensation $ 4,165,247 $ 4,746,049 $ 4,695,Z00 $ 4,877,999 $ 182,799 3.89 %
Expenses $ 5,309,752 $ 5,749,259 $ 6,832,943 $ 7,090,146 $ 257,203 3.76 %
• . �� �� �� . , � � �• �� ��
Program Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Total 3110 Administration $ 655,805 $ 660,102 $ 693,469 $ 738,687 $ 45,218 6.52 %
Total 3120 Town Engineering $ 915,241 $ 930,378 $ 1,015,497 $ 1,080,193 $ 64,696 6.37 %
Total 3130 Street Lighting $ 237,224 $ 123,287 $ 228,200 $ 203,500 $ (24,700) -10.82 %
Total 3210 Highway $ 1,209,584 $ 1,305,787 $ 1,636,717 $ 1,695,756 $ 59,039 3.61 %
Total 3220 Equipment Maint. $ 731,408 $ 753,403 $ 840,179 $ 921,051 $ 80,872 9.63 %
Total 3230 Snow Removal $ 974,463 $ 1,447,960 $ 1,522,967 $ 1,585,694 $ 62,727 4.12 %
Total 3310 Parks $ 1,261,614 $ 1,418,322 $ 1,436,075 $ 1,545,793 $ 109,718 7.64 %
Total 3320 Forestry $ 409,077 $ 525,200 $ 552,426 $ 523,391 $ (29,035) -5.26 %
Total 3330 Cemetery $ 299,721 $ 344,843 $ 393,778 $ 405,634 $ 11,856 3.01 %
Total 3410 Refuse Collection $ 924,683 $ 952,423 $ 980,996 $ 1,010,426 $ 29,430 3.00 %
Total 3420 Recycling $ 1,213,048 $ 1,265,853 $ 1,478,817 $ 1,468,095 $ (10,722) -0.73 %
Total 3430 Refuse Disposal $ 643,130 $ 767,750 $ 749,022 $ 789,925 $ 40,903 5.46 %
• . �� �� �• . , � � �' -� ��
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 3,811,785 $ 3,975,546 $ 4,254,374 $ 4,422,844 $ 168,470 3.96 %
Prior Year Retro Payments $ - $ 191,964 $ - $ - $ - - %
Overtime $ 353,462 $ 578,539 $ 440,826 $ 455,155 $ 14,329 3.25 %
Persona/Services $4,165,247 $ 4,554,085 $ 4,695,200 $ 4,877,999 $ 182,799 3.89 %
Contractual Services $ 4,047,039 $ 4,372,826 $ 5,077,985 $ 5,189,746 $ 111,761 2.20 %
Utilities $ 358,913 $ 399,893 $ 459,008 $ 516,400 $ 57,392 12.50 %
Supplies $ 832,584 $ 939,898 $ 1,199,450 $ 1,280,500 $ 81,050 6.76 %
Small Ca ital $ 71,216 $ 36,641 $ 96,500 $ 103,500 $ 7,000 7.25 %
Expenses $5,309,752 $5,749,259 $ 6,832,943 $ 7,090,i46 $ 257,203 3.76 %
. . 11 11 �• . 1 1 �1 11
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-6
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Budget Summary - Revolving Funds*
Funding Sources FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Non-General Fund) Actual Actual appropriation Recommended Increase Increase
Regional Cache-Hartwell � 10,659 $ 9,248 $ 50,000 $ 50,000 $ - - %
Avenue
Lexington Tree Fund $ 86,450 $ 54,120 $ 70,000 $ 75,000 $ 5,000 7.14 %
Burial Containers $ 44,705 $ 35,680 $ 50,000 $ 60,000 $ 10,000 20.00 %
Compost Operations $ 673,846 $ 804,309 $ 790,000 $ 855,000 $ 65,000 8.23 %
Minuteman Household Hazardous � 153,800 $ 206,854 $ 260,000 $ 260,000 $ - - %
Waste
. . �� 11 �� � � ��� �� ��� :� ���
�
*Revolving Funds are authorized by Town Meeting via Article 9,and are not appropriated under Article 4.
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Non-General Fund) Actual Actual Appropriation Recommended Increase Increase
Regional Cache-Hartwell Avenue(3110)
Expenses $ 10,550 $ 1,883 $ 50,000 $ 50,000 $ - - %
Tree Revolving Fund(3320)
Expenses $ 887 $ 23,450 $ 70,000 $ 75,000 $ 5,000 7.14 %
Burial Containers Revolving Fund(3330)
Expenses $ 29,690 $ 21,815 $ 50,000 $ 60,000 $ 10,000 20.00 %
Compost Operations Rev.
Fund(3420) $ 824,841 $ 889,409 $ 786,155 $ 866,495 $ 80,340 10.22%
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10 %
Expenses $ 211,938 $ 245,515 $ 188,500 $ 194,000 $ 5,500 2.92 %
Benefits $ 70,246 $ 85,714 $ 77,487 $ 83,938 $ 6,451 8.33 %
Debt $ 217,303 $ 205,557 $ 163,001 $ 227,475 $ 64,474 39.55 %
Minuteman Household Hazardous Waste(3420)
Expenses $ 133,954 $ 255,449 $ 260,000 $ 260,000 $ - - %
. . �� �� �� - ... . � . ��. � .. . .�
�
Budget Summary - All Funds-------------------------------------------------
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(All Funds) Actual Actual Appropriation Recommended Increase Increase
Compensation $ 4,490,600 $ 5,098,672 $ 5,052,367 $ 5,239,081 $ 186,714 3.70 %
Expenses $ 5,696,770 $ 6,297,370 $ 7,451,443 $ 7,729,146 $ 277,703 3.73 %
Benefits(Revolving Funds) $ 70,246 $ 85,714 $ 77,487 $ 83,938 $ 6,451 8.33 %
Debt Service(Revolving Fund) $ 217,303 $ 205,557 $ 163,001 $ 227,475 $ 64,474 39.55 %
• 11 11 �• � . 1 • • .: •: ' .'1 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-7
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Mission: This element of the budget provides executive direction and leadership to all aspects of the
Department of Public Works (DPW) by promoting best management practices, administering Town
policies and providing engineering support to other DPW divisions and Town departments.
Budget Overview:
DPW Administration includes Administration, Operations, Engineering and Street Lighting. DPW
Administration Management staff plan, supervise, coordinate, schedule and direct the department's
activities. Staff are responsible for preparing budgets, monitoring expenditures, developing bid
specifications for DPW procurements, responding to citizens' questions and concerns, evaluating work
performance, performing inspections, managing projects and scheduling work assignments.
Staff also support various committees including the Permanent Building Committee, the Center
Committee, the Capital Expenditures Committee, the Conservation Committee, the Energy Committee,
the Bicycle Advisory Committee, the Tree Committee, and Sustainable Lexington.
Division Initiatives:
1. Continue use of work order system to ensure efficient and effective customer response.
2. Collaborate across divisions to focus on reducing paper use throughout the organization and
look for digital options for use and storage.
3. Maintain and create a diverse and talented workforce by utilizing improved employee
recruitment processes and and continuing to promote professional growth and development of
staff.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-8
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3110: DPW Administration
Director of Public Works 1 1 1 1
Manager of Operations 1 1 1 1
Management Analyst* 0.6 0.6 0.6 1
Office Manager 1 1 1 1
Department Lead Assistant 1 1 1 1
Department Account Assistant*" 2.6 Z.6 2.6 2.6
Subtotal FTE 7.2 7.2 7.2 7.6
Subtotal FT/PT 7 FT/1 PT 7 FT/1 PT 7 FT/1 PT 8 FT/0 PT
Element 3120: Engineering
Town Engineer 1 1 1 1
Assistant Town Engineer 1 1 1 1
Senior Civil Engineer*** 2 3 3 3
Engineering Assistant*** 4 3 3 3
Engineering Aide 0.7 0.7 0.7 0.7
Subtotal FTE 8.7 7.7 8.7 8.7
Subtotal FT/PT 8 FT/1 PT 8 FT/1 PT 8 FT/1 PT 8 FT/1 PT
.
. .
* 1 FT Assistant split betvueen DPW,Water&Sewer
** FY2021 reflects a program improvement request to promote an Engineering Assistant to Senior Engineer.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-9
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Administration and Engineering budget, inclusive of the General
Fund operating budgets for Administration, Engineering and Street Lighting, and the Regional Cache
Revolving Fund which funds the operation of the cache - a repository of emergency equipment at the
Hartwell Avenue compost facility for use by contributing member communities - is $2,072,380. The
recommended budget is a $85,214 or 4.29% increase from the FY2022 budget.
The recommended FY2023 Administration and Engineering General Fund operating budget is
$2,022,380 which is a $85,214, or 4.40% increase from FY2022. Of this amount, $1,581,480 is for
Compensation and reflects a $48,514 or 3.16% increase, which is attributable to the cost of
contractually obligated step increases, as well as a program improvement to make the DPW
Management Analyst full-time. Compensation does not include any estimate of prospective cost of
living increases for contracts expiring on or before June 30, 2022. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The recommended FY2023 Administration and Engineering General Fund operating budget for
Expenses is $440,900 and reflects a $36,700, or 9.08% increase. This is a net change, with increases
of $61,000 or 42.33% in Engineering to reflect the cost of developing the Stormwater enterprise
proposal among other projects, offset by decreases of $(24,700) or (11.32)% in the Street Lighting
budget, realizing savings in electricity and maintenance expenses due to the LED Street Light
conversion.
The FY2023 recommended Regional Cache Revolving Fund request is funded at $50,000, which is
level-funded from FY2022. The fund collects and spends fees paid by member towns for borrowing the
equipment.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Shcdries (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition DPW Management $ 24,121 $ 350 $ 24,471 $ 24,121 $ 350 $ 24,471 $ —
Analyst from PT to FT
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-10
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $1,260,500 $1,131,593 $ 1,440,202 $ 1,521,603 $ 81,401 5.65%
Enterprise Funds(Indirects) $ 416,727 $ 437,185 $ 442,964 $ 448,477 $ 5,513 1.24%
Fees&Charges
Charges for Service $ 197 $ 114 $ 200 $ 200 $ - -%
Licenses&Permits $ 129,145 $ 143,175 $ 52,100 $ 52,100 $ - -%
Parking Fund $ 1,700 $ 1,700 $ 1,700 $ - $ (1,700) -100.00%
. �� . :�: � � :� -�'
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Recommended Increase Increase
Compensation $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Expenses $ 394,815 $ 274,617 $ 404,200 $ 440,900 $ 36,700 9.08%
. 11 . :1: 1 . ' .. 1 :1 '1'
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary p�ual Actual Appropriation Recommended Increase Increase
Total 3110 DPW Administration $ 655,805 $ 660,102 $ 693,469 $ 738,687 $ 45,218 6.52%
Total 3120 Engineering $ 915,241 $ 930,378 $ 1,015,497 $ 1,080,193 $ 64,696 6.37%
Total 3130 Street Lighting $ 237,224 $ 123,287 $ 228,200 $ 203,500 $ (24,700) -10.82%
. . �� . :�: � � :� ���.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary p�ual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,410,811 $1,428,923 $ 1,519,106 $ 1,567,491 $ 48,385 3.19%
Overtime 2 644 10 227 13 860 13 989 129 0.93%
Personal Services $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Contractual Services $ 246,370 $ 170,346 $ 228,400 $ 285,300 $ 56,900 24.91%
Utilities $ 130,019 $ 95,096 $ 112,400 $ 102,400 $ (10,000) -8.90%
Supplies $ 18,165 $ 9,131 $ 62,400 $ 52,200 $ (10,200) -16.35%
Small Ca ital 261 44 1 000 1 000 - -%
Expenses $ 394,815 $ 274,617 $ 404,Z00 $ 440,900 $ 36,700 9.08%
. �� . :�: � � :� ��'
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Appropriation Recommended Increase Increase
Regional Cache-Hartwell Ave. $ 10,659 $ 9,248 $ 50,000 $ 50,000 $ - -%
. . �� - . . . � . � ��� � ���
*Revolving Funds are authorized by Town Meeting via Artide 9,and are not appropriated under Artide 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Recommended Increase Increase
Regional Cache-Hartwell Ave.
Expenses $ 10,550 $ 1,883 $ 50,000 $ 50,000 $ - -%
. . �� - . . . � � � ��� � ���
Budget Summary - All Funds------------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Recommended Increase Increase
Compensation $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Expenses $ 405,365 $ 276,499 $ 454,200 $ 490,900 $ 36,700 8.08%
. . �� � : � . � � :�
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-11
Program: Public Works
3200 Highway Town ofLexington, MA
Mission: The Highway Division maintains the town streets, sidewalks and stormwater infrastructure,
providing for the safe movement of vehicular and pedestrian traffic. The Highway Division performs
minor construction repairs, snow and ice operations for roadways and sidewalks, maintains all traffic
signage, traffic markings and supervises contractual service providers that perform repairs, cleaning
and maintenance work. In addition, the Equipment Maintenance Division ensures the Town's fleet is
operational and well maintained by performing repairs, preventive maintenance and managing the fuel
management program.
Budget Overview: The Highway Division includes Highway Maintenance, Equipment Maintenance
and Snow Removal.
• Highway Maintenance is responsible for all public streets, sidewalks, town parking lots, drainage
infrastructure and brooks, performing minor construction repairs, as well as maintaining all
traffic signage and traffic markings.
• Equipment Maintenance is responsible for the repair and preventive maintenance of 160
vehicles, rolling stock and equipment.
• Snow Removal is responsible for removing snow and treating 155 miles of roads and 62 miles of
sidewalks.
The Highway Division stafF works with and provides support to the Sidewalk and Center Committees.
Division Initiatives:
1. Continue with the repair and replacement of sidewalks based on the 2020 BETA sidewalk
assessment report.
2. Continue with MS4 permitting requirements including street sweeping, catch basin cleaning,
culvert cleaning and brook cleaning.
3. Take proactive measures to clean and repair catch basins townwide.
4. Provide timely and efFicient response to road hazards that arise on Town roads.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-12
Program: Public Works
3200 Highway Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3210: Highway Maintenance
Supt. of Equipment, Highways&Drains 1 1 1 1
Highway Foreman 1 1 1 1
Crew Chief 2 2 2 2
Leadman 2 Z 2 2
Shovel Operator 1 1 1 1
Heavy Equipment Operator 5 5 5 5
Information Coordinator 1 1 1 1
Seasonal Laborer 0.5 0.5 0.5 0.5
Subtotal FTE 13.5 13.5 13.5 13.5
Subtotal FT/PT 13 FT/1 PT 13 FT/1 PT 13 FT/1 PT 13 FT/1 PT
Element 3220: Equipment Maintenance
Equipment Foreman 1 1 1 1
Mechanic 4 4 4 4
Subtotal FTE 5 5 5 5
Subtotal FT/PT 5 FT/0 PT 5 FT/0 PT 5 FT/0 PT 5 FT/0 PT
�
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FY2023 Recommended Budget& Financing Plan February 28, 2022
V-13
Program: Public Works
3200 Highway Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Highway budget inclusive of the Highway Maintenance, Equipment
Maintenance and Snow Removal divisions is $4,202,501. The recommended budget is a $202,638, or
5.07%, increase from the FY2022 budget.
The budget for Compensation is $1,536,201, and reflects an increase of $41,046 or 2.75%, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $2,666,300 and reflects a $161,592 or 6.45% increase which includes an
anticipated $56,000 increase (23.4%) in the cost of gasoline and diesel fuel due to current market
conditions, as well as inflationary increases in supplies and materials across the division. The guardrail
replacement program started in FY2020, and the bicycle sharerow program initiated in FY2018, both
continue in FY2023.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-14
Program: Public Works
3200 Highway Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $2,756,367 $3,342,711 $ 3,852,429 $ 4,133,590 $281,161 7.30%
Enterprise Funds(Indirects) $ 87,888 $ 93,240 $ 76,234 $ 68,911 $ (7,323) -9.61%
Fees&Charges
Parking Fund $ 71,200 $ 71,200 $ 71,200 $ - $ (71,200) -100.00%
. �� . � � � � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $1,347,861 $1,6Q1,662 $ 1,495,155 $ 1,536,201 $ 41,046 2.75%
Expenses $1,567,594 $1,905,489 $ 2,504,708 $ 2,666,300 $161,592 6.45%
. . �� . � � � � � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation Recommended Increase Increase
Total 3210 Highway Maintenance $1,209,584 $1,305,787 $ 1,636,717 $ 1,695,756 $ 59,039 3.61%
Total 3220 Equipment Maintenance $ 731,408 $ 753,403 $ 840,179 $ 921,051 $ 80,872 9.63%
Total 3230 Snow Removal $ 974,463 $1,447,960 $ 1,522,967 $ 1,585,694 $ 62,727 4.12%
. �� . � � � � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,099,287 $1,124,698 $ 1,191,917 $ 1,222,877 $ 30,960 2.60%
Prior Year Retro Payments $ - $ 84,899 $ - $ - $ - -%
Overtime $ 248,574 $ 392,064 $ 303,238 $ 313,324 $ 10,086 3.33%
PersonalServices $i,347,86i $i,601,662 $ 1,495,i55 $ i,536,20i $ 4i,046 2.75%
Contractual Services $ 760,662 $ 950,752 $ 1,229,400 $ 1,256,OOo $ 26,600 2.16%
Utilities $ 181,248 $ 218,867 $ 269,908 $ 328,300 $ 58,392 21.63%
Supplies $ 563,623 $ 705,066 $ 920,400 $ 991,000 $ 70,600 7.67%
Small Ca ital 62 062 30 804 85 000 91 000 6 000 7.06%
Expenses $1,567,594 $1,905,489 $ 2,504,708 $ 2,666,300 $161,59Z 6.45%
. �� . � � � � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-15
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Mission: The Public Grounds Division, working with other Town Departments, user groups and
concerned citizens, supports various Town services and recreational opportunities that help to preserve
the Town's green character and open spaces, and promote public safety. Through the Cemetery
Division, it also serves bereaved families and provides well-maintained cemetery grounds.
Budget Overview: The Public Grounds Division is comprised of the Parks, Forestry and Cemetery
functions.
• The Parks staff maintain 9 parks, 12 playgrounds, 28 conservation areas, 41 athletic fields, 12
school grounds, 4 tennis facilities, 3 historical sites, the pool and reservoir complexes as well as
the Town's bicycle, fitness and conservation trails totaling approximately 630 acres. Lexington's
athletic fields are used by many groups, which put excessive demands on these facilities. The
new turf program has continued to make a marked improvement in the safety and playability of
these fields.
• The Forestry staff maintain approximately 10,000 street trees, an undetermined number of
trees on Park and Conservation lands and numerous shrub bed plantings on park, cemetery,
school and conservation properties and along right-of-ways.
• The Cemetery staff is responsible for the administration and maintenance of four cemeteries
including 21.5 acres in Westview, 6.9 acres in Munroe, 1.28 in Colonial and 0.5 acres in
Robbins.
Staff support the Recreation, Tree and Bicycle Advisory Committees.
Division Initiatives:
1. Continue the implementation of a proactive park maintenance program to provide safe, well-
maintained, aesthetically pleasing parks, athletic fields and public ground areas.
2. Continue to improve two turf areas per year; the Center Complex baseball and football fields
are targeted for FY2023.
3. Continue to implement a proactive tree maintenance program to minimize hazard trees and
provide safe, well-maintained, aesthetically pleasing parks, athletic fields and public ground
areas.
4. Continue the GPS location of graves at Westview Cemetery and begin plans for the other
cemeteries.
5. Oversee construction of the new cemetery building.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-16
Program: Public Works
3300 Public Grounds Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element 3310: Parks Division Budget Budget Budget Request
Superintendent of Public Grounds 1 1 1 1
Crew Chief 3 3 3 3
Leadman 4 4 4 4
Heavy Equipment Operator 8 8 8 8
Subtotal FTE 16 16 16 16
Subtotal FT/PT 16 FT/0 PT 16 FT/0 PT 16 FT/0 PT 16 FT/0 PT
Element 3320: Forestry Division
Crew Chief 1 1 1 1
Arborists 3 3 3 3
Heavy Equipment Operator 1 1 1 1
Seasonal Laborer 0.6 0.6 0.6 0.3
Subtotal FTE 5.6 5.6 5.6 5.3
Subtotal FT/PT 5 FT/2 PT 5 FT/2 PT 5 FT/2 PT 5 FT/2 PT
Element 3330: Cemetery Division
Cemetery Foreman 1 1 1 1
Leadman 1 1 1 1
Heavy Equipment Operator 1 1 1 1
Department Assistant 1 1 1 1
Seasonal Laborer 0.6 0.6 0.6 0.3
Subtotal FTE 4.6 4.6 4.6 4.3
Subtotal FT/PT 4 FT/2 PT 4 FT/2 PT 4 FT/2 PT 4 FT/1 PT
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-17
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Public Grounds budget inclusive of the General Fund operating
budgets for the Parks, Forestry and Cemetery divisions and the Burial Containers and Lexington Tree
Fund Revolving Funds is $2,609,818, which is a $107,539 or 4.30% increase over the FY2022 budget.
The combined Parks, Forestry and Cemetery FY2023 recommended General Fund operating budget is
$2,474,818 which is a $92,539 or 3.88% increase from the FY2022 General Fund budget.
The combined Parks, Forestry and Cemetery General Fund operating budget for Compensation is
$1,760,318 and reflects a $93,239 or 5.59% increase, which is attributable to the cost of contractually
obligated step increases and cost of living adjustments in the contract with Public Works staff.
The combined Parks, Forestry and Cemetery General Fund operating budget for Expenses is $714,500
and reflects a $(700) or (0.10)% decrease, which is a net change reflecting removal of a one-time
expense for $40,000, offset by inflationary increases in supplies and materials throughout the division.
The combined FY2023 revolving fund budgets are funded at $135,000, an increase of$15,000.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Public Grounds
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-18
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Lery $1,516,823 $1,884,177 $ 2,102,279 $ 2,057,855 $(44,424) -2.11%
Enterprise Funds(Indirects) $ 91,108 $ 94,139 $ - $ 96,963 $ 96,963 -%
Fees&Charges
Cemetery Prep Fees $ 272,443 $ 237,123 $ 230,000 $ 250,000 $ 20,000 8.70%
Directed Funding
Cemetery Trust $ 90,038 $ 72,925 $ 50,000 $ 70,000 $ 20,000 40.00%
. . �� - - . � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Expenses $ 566,482 $ 583,127 $ 715,200 $ 714,500 $ (700) -0.10%
. . �� . • � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pctual Actual Appropriation Recommended Increase Increase
Total 3310 Parks Division $1,261,614 $1,418,322 $ 1,436,075 $ 1,545,793 $109,718 7.64%
Total 3320 Forestry $ 409,077 $ 525,200 $ 552,426 $ 523,391 $(29,035) -5.26%
Total 3330 Cemetery $ 299,721 $ 344,843 $ 393,778 $ 405,634 $ 11,856 3.01%
. . �� . • � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary pctual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,301,688 $1,421,925 $ 1,543,351 $ 1,632,476 $ 89,125 5.77%
Prior Year Retro Payments $ - $ 107,065 $ - $ - $ - -%
Overtime $ 102 243 $ 176 248 $ 123 728 $ 127 842 $ 4 114 3.33%
Personal Services $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Contractual Services $ 284,660 $ 275,117 $ 447,600 $ 421,500 $(26,100) -5.83%
Utllltles $ 47�646 $ 85�929 $ 76�700 $ 85�700 $ 9�000 11.73%
Supplies $ 225,283 $ 216,287 $ 180,400 $ 195,800 $ 15,400 8.54%
Small Ca ital 8 893 5 794 10 500 11 500 1 000 9.5Z%
Expenses $ 566,482 $ 583,127 $ 715,Z00 $ 714,500 $ (700) -0.10%
. . �� - - . � �
Budget Summary -�Revolving Funds*--�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Lexington Tree Fund $ 86,450 $ 54,120 $ 70,000 $ 75,000 $ 5,000 7.14%
Burial Containers $ 44,705 $ 35,680 $ 50,000 $ 60,000 $ 10,000 20.00%
. . 11 - . . . :• :11 1 111 111 111 1'�
*Revolving Funds are authorized by Town Meering via Artic%9,and are not appropriated under Article 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Appropriation Recommended Increase Increase
Lexington Tree Revolving Fund
Expenses $ 887 $ 23,450 $ 70,000 $ 75,000 $ 5,000 7.14%
Burial Container Revolving Fund
Expenses $ Z9,690 $ 21,815 $ 50,000 $ 60,000 $ 10,000 20.00%
. . �� - . . . � � ��� ��� ��� ���
Budget Summary -�All Funds -�-�-�-�-�-�-�-�---�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Expenses $ 597,059 $ 628,392 $ 835,200 $ 849,500 $ 14,300 1.71%
• . 11 � 111 •:• . 1 1 • .1• : . 1 • 1'�
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-19
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Mission: The Environmental Services Division manages the solid waste, recyclables, yard waste and
household hazardous products generated by households and municipal facilities. The Division also
provides educational materials on ways to reduce solid waste, increase recycling and composting, and
reduce the toxicity of the waste stream.
Budget Overview: The Environmental Services Division includes Refuse Collection and Disposal,
Recycling, Yard Waste and Appliance/Electronic Waste.
Refuse collection is the curbside collection of non-recyclable residential solid waste and the separate
collection of large appliances and yard waste. Recycling is the curbside collection of recyclable
products, management of yard waste operations at the Hartwell Avenue Compost Facility, operation of
the Minuteman Household Hazardous Products regional facility and curbside collection of televisions,
computer monitors and other electronics (CRT's) and drop-off of corrugated cardboard.
The Town entered into a 5-year contract for the collection of trash and recyclables with E. L. Harvey &
Sons, Inc. beginning July 1, 2018 and running through June 30, 2023. The Town is currently under
contract with Wheelabrator in North Andover for refuse disposal through June 30, 2025.
Division Initiatives:
1. Work with E. L. Harvey & Sons to continue a manual refuse and manual single stream recycling
collection service. Oversee enforcement of mandatory recycling bylaw and State waste bans
regulations.
2. Continue to support programs to divert organics from residential trash. Since May 2018, DPW has
provided over 1,000 specialized green carts to residents participating in a food scraps program.
Lexington Public Schools divert approximately 100 tons of organics throughout the school year.
3. Continue to assess markets and pricing for compost, loam, leaf, bark mulch and yard waste
disposal permits.
4. Continue to support Zero Waste activities and programs, to promote waste reduction programs at
public events such as Discovery Day, community fairs and other events.
5. Complete implementation of DPW yard/compost facility operation's plan including gate installation,
security and conservation improvements.
6. Explore and implement new revenue opportunities.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-20
Program: Public Works
3400 Environmental Services Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3420: Recycling* (Compost Facility)
Superintendent of Environmental Services 1 1 1 1
Compost Facility Foreman 1 1 1 1
Leadman** — — — 1
Heavy Equipment Operator 2 2 2 1
Seasonal Attendant 0.7 0.7 0.7 0.7
Subtotal FTE 4.7 4.7 4.7 4.7
Subtotal FT/PT 4 FT/i PT* 4 FT/1 PT* 4 FT/1 PT* 4 FT/1 PT*
.
.
*The positions shown in Element 3420: Recycling are paid from the DPW Compost Revolving Fund.
**The FY2023 budget requests upgrading a Heavy Equipment Operator to a Leadman as a program
improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-21
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Environmental Services budget inclusive of the General Fund
operating budgets for the Refuse Collection, Recycling and Refuse Disposal divisions and the Compost
Operations and Minuteman Household Hazardous Waste Program Revolving Funds is $4,394,941,
which is a net $139,951 or 3.29% increase from the FY2022 budget.
There is no Compensation in the Refuse Collection, Recycling and Refuse Disposal General Fund
operating budget as all staff are funded within the Compost Operations Revolving Fund budget.
The combined General Fund Refuse Collection, Recycling and Refuse Disposal operating budget for
Expenses is $3,268,446 and reflects a $59,611 or 1.86% increase. The Refuse Collection expense
budget is recommended at $1,010,426, a increase of$29,430 or 3.00%, and the Recycling expense
budget is recommended at $1,468,095 a decrease of $(10,722) or (0.73)%, both of which reflect the
Town's contracts for refuse and recycling collections. The Recycling decrease also reflects the current
market for disposal of recycled materials, which has recently begun to stabilize; and is anticipated to
decrease by $(78,000) or (19.60)%. The Refuse Disposal expense budget is recommended at
$789,925, an increase of$40,903 or 5.46%, attributable to a 3.24% or $2.61 increase in the Town's
tipping fee per ton. Total refuse disposal tonnage for FY2023 is projected to be 9,500 tons, an
increase of 200 tons due to higher usage while residents have been home during the pandemic.
The FY2023 revolving fund budgets are recommended at $1,126,495, a $80,340 or 7.68% net
increase. The Minuteman Household Hazardous Waste Program Revolving Fund is level-funded at
$260,000. The Compost Operations Revolving Fund is recommended at $866,495, a $80,340 or
10.22% increase, which reflects actual expenses, as well as a program improvement to upgrade a
heavy equipment operator to a leadman.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Shcdries (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition PT Compost Site $ 32,429 $ 16,874 $ 49,303 $ — $ — $ — $ 49,303
Attendant to FT
W-6 position upgrade $ 2,496 $ — $ 2,496 $ 2,496 $ — $ 2,496 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-22
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $2,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
• . -�� . :� : . � . �: :
Appropriation Summary �1'2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - -%
Expenses $2,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
. . ��� - . :� : . � . �: :
Program Summary(General �2020 FY2021 FY2022 FY2023 Dollar Percent
Fund) Actual Actual Appropriation Recommended Increase Increase
Total 3410 Refuse Collection $ 924,683 $ 952,423 $ 980,996 $ 1,010,426 $ 29,430 3.00%
Total 3420 Recycling $1,213,048 $1,265,853 $ 1,478,817 $ 1,468,095 $(10,722) -0.73%
Total 3430 Refuse Disposal $ 643,130 $ 767,750 $ 749,022 $ 789,925 $ 40,903 5.46%
. . �� - - . :� : . � . �: :
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ - $ - $ - $ - $ - -%
Overtime - - - - - -%
Personal Services $ - $' - $ - $ - $ - -°�o
Contractual Services $2,755,348 $2,976,612 $ 3,172,585 $ 3,226,946 $ 54,361 1.71%
Utilities $ - $ - $ - $ - $ - -%
Supplies $ 25,514 $ 9,414 $ 36,250 $ 41,500 $ 5,250 14.48%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $2,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
. . ��� . :� : . � . �: :
Budget Summary - Revolving Funds* --------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Compost Operations Rev. Fund $ 673,846 $ 804,309 $ 790,000 $ 855,000 $ 65,000 8.23%
Minuteman Haz.Waste Rev. Fund $ 153,800 $ 206,854 $ 260,000 $ 260,000 $ - -%
• . �11 - . . . .' 1 . 1 1 111 111 , . 111 . • �
*Revolving Funds are authorized by Town Meeting via Article 9,and are not appropriated under ArNc%4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual appropriation Recommended Increase Increase
Compost Operations Rev.Fund $824,841 $889,409 $ 786,155 $ 866,495 $80,340 10.22%
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10%
Expenses $ 211,938 $ 245,515 $ 188,500 $ 194,000 $ 5,500 2.92%
Benefits $ 70,246 $ 85,714 $ 77,487 $ 83,938 $ 6,451 8.33%
Debt $ 217,303 $ 205,557 $ 163,001 $ 227,475 $ 64,474 39.55%
Minuteman Haz.Waste Rev.Fund $133,954 $255,449 $ 260,000 $ 260,000 $ - -%
Expenses $ 133,954 $ 255,449 $ 260,000 $ 260,000 $ - -%
. . -�� - . . . �-. :� -�
Budget Summary - All Funds-----------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10%
Expenses $3,126,753 $3,486,989 $ 3,657,335 $ 3,722,446 $ 65,111 1.78%
Benefits(Revolving Fund) $ 70,246 $ 85,714 $ 77,487 $ 83,938 $ 6,451 8.33%
Debt Service(Revolving Fund) $ 217,303 $ 205,557 $ 163,001 $ 227,475 $ 64,474 39.55%
• . 'll . 1 : ••1
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-23
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Mission: The Water/Sewer Division strives to enhance the quality of life in Lexington by providing
quality drinking water, and ensuring the proper and safe discharge of our wastewater and by
maintaining our commitment to improving the infrastructure.
Budget Overview: The Water Division budget is comprised of Water Operations, Massachusetts
Water Resources Authority (MWRA) purchases and indirect support from the General Fund.
The Water Operations maintains and repairs the water system that delivers water to Lexington homes
and businesses through 154 miles of water mains, 1,747 fire hydrants and two water towers that store
3.24 million gallons of water. The Town has a three-block inclining rate structure to encourage water
conservation. As a customer uses more water, the water rate for the additional units increases.
Customers are billed twice per year. The Town also sells water to the Town of Bedford at the MWRA
wholesale rate plus an administrative fee. The MWRA provides water to Lexington and greater Boston.
Indirect support from the General Fund reflects Water Enterprise Fund expenses (benefits, insurance
and engineering support) that are appropriated in the General Fund. The Water Enterprise Fund,
therefore, reimburses the General Fund for these expenses through an indirect cost transfer. In
FY2023, the Water Enterprise Fund will contribute to the Other Post-Employment Benefits (OPEB) Trust
Fund in a funding level that matches the contributions of the General Fund.
Departmental Initiatives:
1. Continue with the Hydrant Maintenance Program.
2. Continue working with the vendor implementing the Automatic Meter Reading System (AMR).
3. Implement a valve/hydrant maintenance and/or backflow/cross connection program.
4. Continue to evaluate water usage, to move towards conservation efforts.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-24
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Superintendent of Water&Sewer 0.5 0.5 0.5 0.5
Utility Billing Manager 0.5 0.5 0.5 0.5
Crew Chief 2 2 2 2
Grader-Shovel Operator 1 1 1 1
Leadman/Cross Connector Inspector 2 Z 2 2
Heavy Equipment Operator 4 4 4 4
Laborer-Meter Reader 1 1 1 1
Department Assistant 0.2 0.2 0.2 0.2
.
. � � � i
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-25
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended Water operating budget is $13,832,073, inclusive of indirect costs. The
recommended budget reflects a $1,207,607 or 9.57% increase from the FY2022 budget.
The budget for Compensation is $875,670, and reflects a $10,216 or 1.18% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $533,500 which is an increase of$19,200, or 3.73% from FY2022, and is
due to an increase in professional development to support training and licenses for several new staff
members, as well as inflationary increases in supplies and materials.
In FY2021, a new budget category of Cash Capital was initiated to begin to transition the ongoing
water main replacement program to being funded directly by user charges instead of debt financing.
This is the third year of an 11-year transition to move the entire $2,200,000 annual program to cash
financing. In doing so, rate payers will save a considerable amount on interest costs in the long-term.
The FY2023 recommendation for cash capital is $600,000.
Debt service is recommended to increase by $44,952 or 3.81%.
The preliminary MWRA Assessment is $9,618,303, which is a $874,391 or 10.00% increase from
FY2022. The final assessment will be issued in June 2022.
In FY2023, it is recommended that the Water Enterprise Fund continue contributing to the Other Post-
Employment Benefits Trust Fund, which was initiated in FY2018.
Indirect payments to the General Fund for those costs borne by the General Fund in support of water
operations are projected at $977,093, an increase of $58,848 or 6.41%.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in TOtal dnd (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Water/Sewer
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-26
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ - $ - $ - $ - $ - -%
Enterprise Funds
Retained Earnings $ - $ - $ - $ - $ - -%
User Charges $10,594,289 $13,560,393 $ 12,316,466 $ 13,524,073 $1,207,607 9.80%
Meter Charges $ 44,896 $ 75,844 $ 35,000 $ 35,000 $ - -%
Investment Income $ 17,931 $ 6,399 $ 8,000 $ 8,000 $ - -%
Fees&Charges $ 399,794 $ 265,633 $ 265,000 $ 265,000 $ - -%
. . .�� - . � . • � •�• � � .�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Revised Recommended Increase Increase
Compensation $ 660,929 $ 834,114 $ 865,454 $ 875,670 $ 10,216 1.18%
Expenses $ 420,436 $ 467,078 $ 514,300 $ 533,500 $ 19,200 3.73%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
Debt $ 1,192,000 $ 965,096 $ 1,179,794 $ 1,224,746 $ 44,952 3.81%
MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
OPEB $ 2,761 $ - $ 2,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
• . .11 - � 1 ' 1. '1 .:: . ".. 1 1 .1 •
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Revised Recommended Increase Increase
3610 Water Operations $ 2,273,365 $ 2,266,288 $ 2,559,548 $ 2,633,916 $ 74,368 2.91%
3620 MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
OPEB $ 2,761 $ - $ 2,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
. . .�� - . � � �. �� � � .�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Revised Recommended Increase Increase
Salaries&Wages $ 543,405 $ 598,162 $ 681,660 $ 689,487 $ 7,827 1.15%
Prior Year Retro Payments $ - $ 54,507 $ - $ - $ - -%
Overtime 117 523 181 445 183 794 186 183 2 389 1.30%
Personal Services $ 660,929 $ 834,114 $ 865,454 $ 875,670 $ 10,216 1.18%
Contractual Services $ 183,763 $ 247,112 $ 269,800 $ 279,800 $ 10,000 3.71%
utiiities � is,143 � ia,osz � v,000 � v,000 � - -�ro
Supplies $ 192,234 $ 198,018 $ 202,500 $ 211,700 $ 9,200 4.54%
Small Ca ital $ 26,296 $ 3,916 $ 25,000 $ 25,000 $ - -%
Expenses $ 420,436 $ 467,078 $ 514,300 $ 533,500 $ 19,200 3.73%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
Debt $ 1,192,000 $ 965,096 $ 1,179,794 $ 1,224,746 $ 44,952 3.81%
MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
OPEB $ 2,761 $ - $ 2,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
. . .11 - . 1 ' 1. �1 .:: . ' '.. 1 1 .1 •
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-27
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Mission: The Water/Sewer Division strives to enhance the quality of life in Lexington by providing
quality drinking water, by ensuring the proper and safe discharge of wastewater and by maintaining
our commitment to improving the infrastructure.
Budget Overview: The Sewer Division budget is comprised of Wastewater Operations,
Massachusetts Water Resources Authority (MWRA) purchases and indirect support from the General
Fund.
The Sewer Division maintains the wastewater system that serves 99 percent of Town residences and
businesses through 34 miles of trunk lines, 119 miles of street lines and 10,326 service connections.
There are also ten sewage-pumping stations operated by the Sewer Division. The Town has a three-
block inclining rate structure to encourage conservation. Customer sewer usage is determined based
on water usage over the same period, with the exception of ineters dedicated to outdoor irrigation.
The MWRA provides wastewater treatment to Lexington and greater Boston at the Deer Island
treatment facility.
Indirect support from the General Fund reflects Sewer Enterprise Fund expenses (benefits, insurance
and engineering support) that are appropriated in the General Fund. The Sewer Enterprise Fund,
therefore, reimburses the General Fund for these expenses through an indirect cost transfer.
In FY2023, the Sewer Enterprise Fund is recommended to contribute to the Other Post-Employment
Benefits (OPEB) Trust Fund in a funding level that matches the contributions of the General Fund.
Departmental Initiatives:
1. Continue the pipe flushing program and root removal in all areas.
2. Work with the Water Enterprise Division on the ongoing Automatic Meter Reading System
project. (AMR).
3. Continue to educate the public on the costs and problems created by Inflow & Infiltration.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-28
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Supt. of Water&Sewer 0.5 0.5 0.5 0.5
Utility Billing Manager 0.5 0.5 0.5 0.5
Crew Chief 1 1 1 1
Heavy Equipment Operator 2 2 2 2
Department Assistant 0.2 0.2 0.2 0.2
Seasonal Assistant 0.4 0.4 0.4 0.4
Seasonal Laborer 0.3 0.3 0.3 0.3
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-29
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Sewer operating budget, inclusive of indirect costs, is $12,313,219, a
$1,109,949 or 9.91% increase over the FY2022 budget.
The budget for Compensation is $399,848 and reflects a $10,069 or 2.58% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $458,400, an increase of $3,750 or 0.82%, which reflects anticipated
inflationary increases for electricity, supplies and materials.
In FY2021, a new budget category of Cash Capital was initiated to begin to transition the ongoing
sanitary sewer main replacement program to being funded directly by user charges instead of debt
financing. This is the third year of a 10-year transition to move the entire $1,000,000 annual program
to cash financing. In doing so, rate payers will save a considerable amount on interest costs in the
long-term. The FY2023 recommendation for cash capital is $300,000.
Debt service is recommended to increase by $150,104 or 10.25%.
The preliminary MWRA Assessment is $8,994,934, which is a $817,721 or 10.00% increase from
FY2022. The final assessment will be issued in June 202Z.
In FY2023, it is recommended that the Sewer Enterprise Fund continue contributing to the Other Post-
Employment Benefits Trust Fund, which was initiated in FY2018.
Indirect payments to the General Fund for those costs borne by the General Fund in support of sewer
operations are projected at $542,416, a increase of$28,305 or 5.51%.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for $ g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Water/Sewer
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-30
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ - $ - $ - $ - $ - -%
Enterprise Funds
Retained Earnings $ - $ - $ - $ - $ - -%
User Charges $ 9,885,948 $10,763,060 $ 10,841,270 $ 11,951,219 $1,109,949 10.24%
Connection Fees $ 695 $ 773 $ - $ - $ - -%
Investment Income $ 14,259 $ 8,811 $ 8,000 $ 8,000 $ - -%
Fees&Charges $ 514,538 $ 388,599 $ 354,000 $ 354,000 $ - -%
. �� . � � � �•
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Revised Recommended Increase Increase
Compensation $ 226,162 $ 315,205 $ 389,779 $ 399,848 $ 10,069 2.58%
Expenses $ 284,781 $ 325,634 $ 454,650 $ 458,400 $ 3,750 0.82%
Cash Capital $ - $ 100,000 $ Z00,000 $ 300,000 $ 100,000 50.00%
Debt $ 1,200,863 $ 1,243,337 $ 1,464,513 $ 1,614,617 $ 150,104 10.25%
MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
OPEB $ 3,004 $ - $ 3,004 $ 3,004 $ - -%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
• . 11 - � � 1 1•. �. � . .. � � . �. ... . . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pctual Actual Revised Recommended Increase Increase
3710 Sewer Enterprise $ 1,711,806 $ 1,884,177 $ 2,308,942 $ 2,472,865 $ 163,923 7.10%
3720-MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
Cash Capital $ - $ 100,000 $ 200,000 $ 300,000 $ 100,000 50.00%
OPEB $ 3,004 $ - $ 3,004 $ 3,004 $ - -%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
. . �� - . � �:� �� � � � � �. .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary pctual Actual Revised Recommended Increase Increase
Salaries&Wages $ 197,259 $ 252,732 $ 305,063 $ 314,031 $ 8,968 Z.94%
Prior Year Retro Payments $ - $ 12,329 $ - $ - $ - -%
Overtime 28 903 50 144 84 716 85 817 1 101 1.30%
Personal Services $ 226,162 $ 315,205 $ 389,779 $ 399,848 $ 10,069 2.58%
Contractual Services $ 134,846 $ 131,011 $ 207,400 $ 207,400 $ - -%
Utilities $ 108,424 $ 111,977 $ 130,000 $ 131,000 $ 1,000 0.77%
Supplies $ 41,511 $ 81,788 $ 103,250 $ 105,900 $ 2,650 2.57%
Small Ca ital $ - $ 858 $ 14,000 $ 14,100 $ 100 0.71%
Expenses $ 284,781 $ 325,634 $ 454,650 $ 458,400 $ 3,750 0.82%
Cash Capital $ - $ 100,000 $ 200,000 $ 300,000 $ 100,000 50.00%
Debt $ 1,200,863 $ 1,243,337 $ 1,464,513 $ 1,614,617 $ 150,104 10.25%
MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
OPEB $ 3,004 $ - $ 3,004 $ 3,004 $ - -%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
. . 11 - . , 1 1•. �. � . .. � � . �. ... . . �
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-31
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Section VI: Program 4000: Public Safety
This section includes detailed information about the FY2019 Operating Budget & Financing Plan for
public safety. It includes:
• 4100 Law Enforcement VI-3
• 4200 Fire & Rescue VI-8
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-1
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Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Mission: The Lexington Police Department provides public safety services to enhance the quality of
life in Lexington. A team of dedicated police ofFicers, detectives, dispatchers and support staff work in
a coordinated manner to effectively intervene in emergencies, promote traffic safety, suppress crime,
reduce fear and deliver services to the community through a variety of prevention, problem solving and
law enforcement programs.
Budget Overview: The Police Department is comprised of seven divisions: Administration, Patrol
and Enforcement, Traffic Bureau, Investigations, Dispatch, Animal Control and Crossing Guards. In
FY2021, the Police Department responded to 13,501 calls for service with 659 crimes investigated.
The Administration division is comprised of 11 full-time and 6 part-time employees including: the Chief
and two Captains who oversee administrative and operational functions including budget, planning,
training, personnel administration, public affairs and policy development; four Lieutenants who each
lead a workgroup consisting of patrol officers, dispatchers and a Sergeant providing 24/7 policing
services; an administrative Sergeant who tends to the accreditation program as well as detail
assignments and event planning; an office manager and clerk who handle records management,
accounting and payroll; 6 cadets who provide administrative support; and a mechanic who purchases,
equips and maintains the vehicle fleet and other specialized equipment.
The Patrol and Enforcement division is comprised of 34 officers (29 patrol officers and five sergeants)
responsible for responding to a variety of critical front-line services 24/7 including intervening in
emergencies, promoting crime prevention and traffic safety as well as suppressing crime.
The Traffic Bureau has one supervisor who oversees the Parking Enforcement Officer (PEO) and one
account clerk. Meter and parking enforcement in Lexington Center is done by the PEO. The Traffic
Bureau supervisor also manages the school crossing guard program.
The Investigations division is supervised by a Detective Lieutenant who is assisted by the Sergeant
Prosecutor and oversees six detectives responsible for investigation and prevention including: three
major case detectives, a family services detective, a Community Resource Officer (CRO) and a School
Resource Officer (SRO).
The Dispatch division is comprised of ten civilian dispatchers responsible for directing the proper
resources to nearly 14,000 service calls that require a police, fire or medical unit response.
The Animal Control division entered into an agreement to share a full-time Animal Control Officer (ACO)
with the Town of Bedford in October 2015, with 70%, or 27 hours per week allocated to Lexington.
The ACO is an employee of the Town of Bedford, but will continue to work collaboratively with the
Lexington Board of Health regarding animal related health issues.
The School Crossing guard program has 17 part-time civilian members who cover 15 school crossings
during the school year. A program improvement seeks to increase these numbers to 18 part-time
civilian members covering 16 crossings.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-3
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Departmental Initiatives:
1. Identify and schedule training surrounding Diversity, Equity and Inclusion (DEI), Fair and
Impartial Policing (FIP) and De-escalation Techniques. Explore ways to increase our community
engagement to ensure trust, accountability and transparency with the residents, work force and
visitors of Lexington.
2. Continue to support and work with the Facilities Department, the Permanent Building
Committee, Tecton Architects and input from citizen groups regarding the design and
construction of a new police station.
3. With the anticipated hiring of a Police Chief in early 2022, and potentially other members of the
command staff, continue the smooth transition plan and executive development practices that
will continue to identify and develop future leaders from within the Department.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-4
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Chief 1 1 1 1
Captain of Operations 1 1 1 1
Captain of Administration 1 1 1 1
Administrative Sergeant 1 1 1 1
Lieutenants(Patrol) 4 4 4 4
Sergeants(Patrol) 5 5 5 5
Police Officers 29 29 29 29
Lieutenant(Detective) 1 1 1 1
Sergeant(Detective-Prosecutor) 1 1 1 1
Detectives; Major Case 3 3 3 3
Family Services Detective 1 1 1 1
School Resource Officer 1 1 1 1
Community Resource OfFicer 1 1 1 1
Cadets-6 part-time 3.06 3.06 3.06 3.06
Parking Enforcement Officer 1 1 1 1
Dispatch Supervisor — 1 1 1
Dispatchers 9 9 9 9
Office Manager 1 1 1 1
Traffic Bureau Supervisor 1 1 1 1
Administrative Assistant 1 1 1 1
Department Account Assistant 1 1 1 1
Mechanic 1 1 1 1
Animal Control - 1 part-time — — — —
Parking Lot Attendants- 8 part-time 2.81 2.81 — —
Crossing Guards- 18 part-time 3.69 3.69 3.69 3.91
.
50 Officers 50 Officers 50 Officers 50 Officers
.
Overall staff changes from FY2020 to FY2023:
FY2021 - Dispatch Supervisor role reflects program improvement,funded via Enhanced 911 state
grant.
FY2022 - Parking Lot Attendants reflect a transition at the Depot Lot from an attended lot to a pay-
by-plate program
FY2023 -A program improvement requests an 18th crossing guard to cover a third location on
Marrett Rd. for the Hastings School.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-5
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Police Department budget is $8,265,377 which is a $121,230 or 1.49%
increase from the FY2022 budget.
The budget for Compensation is $7,169,307 and reflects an increase of $50,309 or 0.71%, which is a
net increase that reflects savings due to staff turnover offset by contractually obligated step increases,
a program improvement to support enhanced police training under the new state certification
requirements, a second program improvement which anticipates the need for staff to transport
detainees to another location once the police move to their temporary location, and a third program
improvement to fund a third crossing guard on Marrett Road for the Hastings Elementary School.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2022. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The budget for Expenses is $1,096,070 and reflects an increase of$70,921 or 6.92%. Nearly $30,000
is due to anticipated increases in the regional gasoline contract. The majority of the remaining
increase is due to the purchase of two Hybrid vehicles, increased costs associated with supplies and
ammunition, increased training and mileage costs, and an increase for the contract with the Town of
Bedford to fund the Animal Control Officer.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Administrative Lieutenant $ 141,661 $ 18,458 $ 160,119 $ — $ — $ — $ 160,119
Required Police Training $ 41,840 $ 607 $ 42,447 $ 41,840 $ 607 $ 42,447 $ —
Holding Cell Shifts $ 44,800 $ 650 $ 45,450 $ 44,800 $ 650 $ 45,450 $ —
Crossing Guard $ 7,921 $ 115 $ 8,036 $ 7,921 $ 115 $ 8,036 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-6
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $7,073,419 $7,471,636 $ 7,613,247 $ 8,046,377 $433,130 5.69%
Fees&Charges
Fees $ 113,811 $ 88,026 $ 115,000 $ 115,000 $ - -%
Fines&Forfeitures $ 152,654 $ 59,820 $ 101,000 $ 101,000 $ - -%
Licenses&Permits $ 3,188 $ 5,100 $ 2,800 $ 3,000 $ 200 7.14%
Parking Fund' $ 312,100 $ 312,100 $ 312,100 $ - $(312,100 -100.00%
. �� . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Revised Recommended Increase Increase
Compensation $6,753,696 $7,002,993 $ 7,118,998 $ 7,169,307 $ 50,309 0.71%
Expenses $ 901,475 $ 933,689 $ 1,025,149 $ 1,096,070 $ 70,921 6.92%
• . �� . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pctual Actual Revised Recommended Increase Increase
Total 4110 Police Administration $ 1,799,212 $ 1,925,919 $ 1,804,589 $ 1,796,646 $ (7,943) -0.44%
Total 4120 Patrol&Enforcement $3,604,027 $3,743,861 $ 4,001,304 $ 4,150,368 $ 149,064 3.73%
Total 4130 Traffic Bureau $ 463,758 $ 428,958 $ 396,075 $ 399,256 $ 3,181 0.80%
Tota14140Investigations $ 870,040 $ 932,948 $ 958,461 $ 946,043 $ (12,418) -1.30%
Total 4150 Dispatch $ 699,122 $ 700,905 $ 738,222 $ 722,587 $ (15,635) -2.12%
Total 4160 Animal Control $ 65,812 $ 67,053 $ 69,888 $ 73,104 $ 3,216 4.60%
Total 4170 Crossing Guards $ 153,200 $ 137,039 $ 175,608 $ 177,373 $ 1,765 1.01%
• . � 11 . • . 1 ••�
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised Recommended Increase Increase
Salaries&Wages $5,594,835 $5,754,440 $ 6,172,458 $ 6,142,708 $ (29,750) -0.48%
Prior Year Retro Payments $ - $ - $ - $ - $ - -%
Overtime 1 158 861 1 248 553 942 040 1 022 999 80 959 8.59%
Personal Services $6,753,696 $7,002,993 $ 7,114,498 $ 7,165,707 $ 51,209 0.72%
Contractual5ervices $ 342,735 $ 287,089 $ 410,742 $ 419,324 $ 8,582 2.09%
Utilities $ 108,729 $ 112,457 $ 128,487 $ 164,747 $ 36,260 28.22%
Supplies $ 223,212 $ 264,008 $ 217,281 $ 219,623 $ 2,342 1.08%
Small Ca ital 226 799 270 135 268 639 292 376 23 737 8.84%
Expenses $ 901,475 $ 933,689 $ 1,025,149 $ 1,096,070 $ 70,92i 6.92%
• . �� . � ���
*Reflects transfers from the Parking Fund to the 6eneral Fund rather than actua/revenue from pa�king permits,Depot Square/ot fees,
and Pay-by-Phone and meter revenue. The fund balance is insu(ficient to support a transfe�to the Genera/Fund in FY2023 due to
effects from the pandemic as well as sizeable capital projects in FY2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-7
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Mission: The Lexington Fire Department protects the people, homes and businesses in our
community from fire, medical emergencies, hazardous material incidents and natural disasters. This is
accomplished through public education, safety code management and emergency response.
Budget Overview: The Fire Department is comprised of five divisions: Administration, Fire
Prevention, Fire Suppression, Emergency Medical Services and Emergency Management.
• Administration is responsible for developing policies and procedures, training, inventory control,
financial and budgetary oversight, and managing the day-to-day operations of the Department.
• Fire Prevention is responsible for fire code enforcement activities, public education, plan review,
permit application and approval, flammable/combustible liquid storage approval and regulatory
enforcement of blasting applications and permits.
• Fire Suppression is staffed 24/7, operating out of two stations and responding to emergency
calls including: fire suppression, motor vehicle accidents, medical emergencies, hazardous
material responses, and other emergency incidents.
• Emergency Medical Services operates in conjunction with the Fire Suppression division, staffing
two ambulances 24/7 at the Advanced Life Support (ALS) level. These vehicles respond to over
2,500 calls for assistance annually.
• Emergency Management is responsible for communications with the Federal Emergency
Management Agency (FEMA) and the Massachusetts Emergency Management Agency (MEMA),
as well as reviewing and commenting on numerous Townwide emergency operation plans. The
Chief serves as the Emergency Management Director and the department's administrative staff
support this division.
Departmental Initiatives:
1. Implement additional modules of the Public Safety Software and build out to department needs.
2. Role out online fire permitting process.
3. Develop an improved employee recruitment process to address diversity and retention.
4. Continue work on new fire headquarters as one year comes to an end and identify any needs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-8
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
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FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Fire Chief 1 1 1 1
Assistant Fire Chief 2 2 2 2
Office Manager 1 1 1 1
Fire Inspector 1 1 1 1
Fire Captains 4 4 4 4
Fire Lieutenants 12 12 12 12
Firefighters/Paramedics 44 44 44 44
Fire Prevention Assistant 0.86 0.86 0.86 0.86
.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-9
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Fire Department budget is $8,068,468. The recommended budget is a
$99,158 or 1.24% increase from the FY2022 budget.
The recommended budget for Compensation is $7,269,665, and reflects an increase of $22,464 or
0.31% from the revised FY2022 budget, for contractually obligated step increases. Compensation does
not include any estimate of prospective cost of living increases for contracts expiring on or before June
30, 2022. Funds for prospective increases are captured in the Salary Adjustment account within the
Town Manager's budget.
The budget for Expenses is $798,803 and reflects a net increase of $76,694 or 10.62%, which includes
anticipated increases in diesel fuel costs ($12,400), increases in maintenance costs ($10,000) for fire
apparatus, ambulance and fleet vehicles; enhanced communications costs ($2,400) to house the
Emergency Command Center at fire headquarters, and a program improvement ($48,633) for a
training mannequin to allow stafF to practice their life support skills.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in (reflected in
Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Advanced Life Support Training � 48,633 $ — $ 48,633 $ 48,633 $ — $ 48,633 $ —
and Simulation Manikin
Medstat MS 500 EMS ATV and � g4,048 $ — $ 84,048 $ — $ — $ — $ 84,048
Trailer
Combination Wildfire Scout and � 55,280 $ — $ 55,280 $ — $ — $ — $ 55,280
Personnel Transporter AN
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-10
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $5,840,461 $6,357,519 $ 6,550,635 $ 6,644,793 $ 94,158 1.44%
Fees&Charges
Ambulance Fees $1,321,540 $1,157,735 $ 1,340,000 $ 1,340,000 $ - -%
Fire Department Fees $ 32,850 $ 47,395 $ 33,675 $ 33,675 $ - -%
Licenses&Permits $ 55,480 $ 55,120 $ 45,000 $ 50,000 $ 5,000 il.il%
. . �� - - - � � : �.• .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Revised Recommended Increase Increase
Compensation $6,645,325 $6,987,078 $ 7,247,201 $ 7,269,665 $ 22,464 0.31%
Expenses $ 605,006 $ 630,691 $ 722,109 $ 798,803 $ 76,694 10.62%
• . ' 11 1 • •• •.• 1 i 1.' •.• ••
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pctual Actual Revised Recommended Increase Increase
Total 4210 Fire Administration $ 470,901 $ 550,049 $ 582,730 $ 608,685 $ 25,955 4.45%
Total 4220 Fire Prevention $ 228,785 $ 233,563 $ 240,605 $ 245,071 $ 4,466 1.86%
Total 4320 Fire Suppression $6,382,277 $6,625,477 $ 6,928,204 $ 6,945,138 $ 16,934 0.24%
Total 4240 Emergency Medical � 164,206 $ 204,780 $ 211,771 $ 261,174 $ 49,403 23.33%
Services
Total 4250 Emergency � 4,161 $ 3,900 $ 6,000 $ 8,400 $ 2,400 40.00%
Management
. . �� � � : �.• .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Revised Recommended Increase Increase
Salaries&Wages $5,624,935 $5,878,461 $ 6,075,937 $ 6,133,174 $ 57,237 0.94%
Overtime 1 020 390 1 108 616 1 171 264 1 136 491 34 773 -2.97%
Personal Services $6,645,325 $6,987,078 $ 7,Z47,201 $ 7,Z69,665 $ 22,464 0.31%
Contractual Services $ 287,580 $ 292,933 $ 336,304 $ 351,154 $ 14,850 4.42%
Utilities $ 52,053 $ 44,402 $ 67,890 $ 80,331 $ 12,441 18.33%
Supplies $ Z63,943 $ 180,807 $ 217,415 $ 218,185 $ 770 0.35%
Small Ca ital 1 429 112 549 100 500 149 133 48 633 48.39%
Expenses $ 605,006 $ 630,691 $ 722,109 $ 798,803 $ 76,694 10.62%
• . ' 11 ' : ' 1 • •• •.• 1 i 1.' •.• ••
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-11
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Section VII: Program 5000: Culture & Recreation
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
culture & recreation services. It includes:
• 5100 Cary Memorial Library VII-3
• 5200 Recreation and Community Programs VII-9
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-1
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-2
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Mission: The Cary Memorial Library's mission is to ignite curiosity, engage minds, and connect our
community.
Budget Overview: Cary Memorial Library is comprised of three divisions: Administration and General
Services, Adult Services, and Youth Services.
• Administration and General Services includes administrative staff and webmaster salaries, as
well as the supply, equipment, and Minuteman Library Network membership costs.
• Adult Services includes all adult library, technology, and bibliographic services staff as well as
adult books and audiovisual materials.
• Youth Services includes all children's library staff and also includes library materials for children
and teens.
Departmental Initiatives: Our Guiding Principles
1. Books, information, and so much more: We continue our 150-year-long tradition of providing
books and other materials that reflect the needs and interests of Lexington residents. Though
much has changed since our doors first opened in 1869, our essential function remains the
same - to bring the world of information and ideas to you.
2. At the intersection of learning, making, and play: In recent years, educational research has
increasingly shown that we learn best through experience - by making mistakes and trying
again. In furthering this effort, we are expanding these types of learning opportunities, giving
you more chances to build, create and play.
3. A place that works for everyone: We value the rich diversity of our community, and our
commitment to equitable service for all is unwavering. Efforts to identify and remove barriers
to access are ongoing - we are a work in progress.
4. With opportunities for human connection: In a world where technology is ever-present, we are
committed to fostering human interactions. Sometimes that is as simple as providing
comfortable chairs for a serendipitous meeting between old friends. Other times it takes the
shape of an elaborate event with community partners and hundreds of guests. Large and
small, these moments, shared among neighbors, strengthen the social fabric of Lexington.
5. A future as vibrant as our past: With more than a half million visitors each year, Cary Library is
a cherished community asset and a source of civic pride. Stewardship of this resource requires
equal attention to preservation and transformation.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-3
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-4
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Library Director 1.0 1.0 1.0 1.0
Deputy Library Director* 1.0 1.0 1.0 1.0
Office Manager 1.0 1.0 1.0 1.0
Head of Adult Services 1.0 1.0 1.0 1.0
Head of Youth Services 1.0 1.0 1.0 1.0
Head of Technology &Training* - - 1.0 1.0
Librarian I*** 5.0 5.0 6.0 6.0
Librarian II* 5.0 5.0 4.0 4.0
Library Associates*** 7.0 7.0 8.0 8.0
Library Technicians**** 3.5 2.8 2.8 2.8
Library Technician II***,**** 7.0 8.0 6.0 6.0
Adult Pages***** 1.6 1.6 1.6 Z.2
Student Pages***** 0.7 0.7 0.7 -
Seasonal/Sunday Substitutes As Needed As Needed As Needed As Needed
. i
.
*In FV2022,due to staff turnover, the Head of Technology role was broken out from the Depury Library Director and re-
established as a Department Head position. A Librarian II was assigned to the ro%.
**In FY2022,Fall STM approved the transfer of the Library's dedicated webmaster from the Innovation&Technology
budget to the Library budget.
***In FY2022, two Library Technician IIs were reclassified to a LibraryAssociate and a Librarian I.
****A Program Improvement in FY2020 added hours to cover the Teen Room,resulting in an increase of 0.38 FTE. In
FY202i,a program improvement transitioned a part-time Technician Yo a full-time Technician II.
*****In FY2023 all Pages will be combined under Adult Pages.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-5
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended General Fund Library budget is $3,336,219, which is a $179,871 or 5.70%
increase from the FY2022 budget.
The General Fund operating budget for Compensation is $2,637,708, and reflects a $112,101 or 4.44%
increase, which incorporates contractually obligated step increases and cost of living increases.
The General Fund operating budget for Expenses is $698,511 and reflects a $67,770 or 10.74%
increase, which is primarily driven by inflationary increases for supplies and materials and contractual
services.
To retain certification by the Massachusetts Board of Library Commissioners, the Library must expend
the equivalent of 13 percent of its annual municipal appropriation on materials. Prior to FY2016, the
Town's appropriation had been less than one-half of this required amount, with the balance coming
from the Library Foundation and Friends of the Library. In FY2016, the Town approved a program
improvement request that substantially closed this funding gap. In FY2021, a program improvement
added funding to the materials budget to achieve 100% funding, which is continued in FY2023 at
13.7%. This was precipitated by a change in the Minuteman Library Network renewal policy, which
automatically renews overdue materials, if available, and has dramatically reduced revenues from fines
which were primarily used for materials costs.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Full-Time Youth Services � 69,456 $ 17,411 $ 86,867 $ — $ — $ — $ 86,867
Librarian
Library Fellowship $ 5,080 $ 74 $ 5,154 $ — $ — $ — $ 5,154
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-6
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 2,736,466 $ 2,725,127 $ 3,156,348 $ 3,336,219 $179,871 5.70%
. . �� . . ��,
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary
Actual Actual Revised Recommended Increase Increase
Compensation $ 2,265,546 $ 2,162,069 $ 2,525,607 $ 2,637,708 $112,101 4.44%
Expenses $ 470,920 $ 563,057 $ 630,741 $ 698,511 $ 67,770 10.74%
. . �� . . ��.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary
Actual Actual Revised Recommended Increase Increase
Total 5110 Admin.&General � 493,941 $ 522,196 $ 592,832 $ 654,704 $ 61,872 10.44%
Services
Total 5120 Adult Services $ 1,565,355 $ 1,492,243 $ 1,682,180 $ 1,776,326 $ 94,146 5.60%
Total 5130 Youth Services $ 677,170 $ 710,687 $ 881,336 $ 905,189 $ 23,853 2.71%
. 11 . . '.. . . . . ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary
Actual Actual Revised Recommended Increase Increase
Salaries&Wages $ 2,223,069 $ 2,161,492 $ 2,462,578 $ 2,572,582 $110,004 4.47%
Prior Year Retro Payments $ - $ - $ - $ - $ - -%
Overtime Sunda Premium $ 42,477 $ 578 $ 63,029 $ 65,126 $ 2,097 3.33%
Personal Services $ 2,265,546 $ 2,i62,069 $ 2,525,607 $ 2,637,708 $ii2,i0i 4.44%
Contractual Services $ 121,295 $ 124,486 $ 141,111 $ 160,752 $ 19,641 13.92%
Utilities $ 8,153 $ 7,353 $ 8,200 $ 5,000 $ (3,200) -39.02%
Supplies $ 313,613 $ 392,521 $ 441,430 $ 492,759 $ 51,329 11.63%
Small Ca ital $ 27,859 $ 38,697 $ 40,000 $ 40,000 $ - -%
Expenses $ 470,920 $ 563,057 $ 630,741 $ 698,511 $ 67,770 10.74%
. . 11 . . . '.. . . • • : 1'.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-7
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Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Mission: The Department of Recreation and Community Programs strives to provide affordable,
quality programs meeting the needs of the community. The Department is committed to providing
active and passive leisure opportunities that are educational, fun and life-enriching. The Department
promotes participation by all Lexington residents in safe, accessible and well-maintained facilities.
Budget Overview: The Department operates as an Enterprise Fund whereby program and facility
fees must cover the direct cost of operations including all full- and part-time staff and program,
services and facility expenses including supplies, equipment, utilities and wages/overhead. As such,
the operating budget may increase or decrease year to year to meet changes in enrollment and facility
use demands. The Director of Recreation and Community Programs, through the Recreation
Committee, sets program fees with the approval of the Select Board. The operating budget supports
staff who manage and deliver programs along with the supplies and equipment needed to operate
those programs and services in addition to seven full-time staff. The Enterprise Fund is comprised of
four divisions: Recreation, Pine Meadows Golf Club, Community Center and the Administrative Division.
The Administrative Division was created in FY2020 to centralize administrative support for the business
aspects within the Recreation, Pine Meadows and Community Center operations.
Program revenues (Recreation, Pine Meadows Golf Club and Community Center) also help fund Capital
Improvement Projects. In FY2023, the Department's contribution to the General Fund to cover the
costs of employee benefits and indirect services has been reintroduced. Staff will be working to
provide options for alternative funding models for the Department to the Fiscal Guideline Working
Group. That model may be implemented as soon as FY2024.
The Department offers a wide variety of leisure, socialization and recreational opportunities for
individuals of all ages and abilities. Staff plan, schedule and coordinate programs, activities and special
events at Outdoor Recreation Facilities such as, parks, playgrounds, athletic fields, tennis and
basketball courts, the Town Pool, Old Reservoir and Pine Meadows Golf Club. Other outdoor resources
include Conservation and Open Spaces. Additionally, the indoor facilities the department utilize include
the Community Center, the Public Schools, off-site and out-of-town venues.
Departmental Initiatives:
1. Implement the Key Findings of the 2020 Town of Lexington Community Needs Assessment
along with the recommendations from the 2017 Recreation Facilities ADA Compliance Study in
the development of the operational and capital improvement planning for the future needs of
the community.
2. Recommend and implement Key Findings of the 2021 Athletic Fields Feasibility Study.
3. Continue the growth and implementation of the department's therapeutic, adaptive and
inclusive recreation programming.
4. Explore alternative funding sources for the Recreation and Community Programs Department in
order to sustain the Recreation Enterprise Fund and operations.
5. Support Townwide cultural and historic events.
6. Support Townwide diversity equity and inclusion initiatives.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-9
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
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Note: Pine Meadows staffing is provided via contractual services.
Oversight is provided by the Director of Recreation and Community Programs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-10
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element: 5210 Administration Budget Budget Budget Request
Director of Recreation and Community Programs 1 1 1 1
Administrative Manager 1 1 1 1
Municipal Assistant* 0.68 — — —
Administrative Assistant** 2 1.8 1.8 1.8
Subtotal FTE 4.68 3.8 3.8 3.8
SubtotalFT/PT 4FT/2PT 4FT/2PT 3FT/iPT 3FT/1PT
FY2020 FY2021 FY2022 FY2023
Element: 5220 Recreation Budget Budget Budget Request
Assistant Director 1 1 1 1
Recreation Supervisor 1 1 1 1
Recreation Coordinator*** — — — 0.4
Certified Therapeutic Recreation Specialist**** 0.34 1 1 1
Seasonal (Part-time) 225+/- 225+/- 225+/- 225+/-
Subtotal FTE 2.34 3.0 3.0 3.4
SubtotalFT/PT 2FT/1PT 2FT/iPT 3FT/OPT 3FT/iPT
FY2020 FY2021 FY2022 FY2023
Element: 5240 Community Center Budget Budget Budget Request
Community Center Director 1 1 1 1
Youth &Family Coordinator 1 1 1 1
Department Assistant 1 1 1 1
Municipal Assistant(3, PT)* 1 — 1 1
Building Supervisor(2, PT)* 1 — 1 1
Seasonal (Part-time) 50+/- 50+/- 50+/- 50+/-
Subtotal FTE 5 3 5 5
Subtotal FT/PT 3 FT/4 PT 3 FT/0 PT 3 FT/5 PT 3 FT/5 PT
. . 1 • : :
• • 1 •' 1
• •
• • � •
*In FY2021,in light of the Community Center being closed,a number of staff were furloughed.
**The incumbent in the Administrative Assistant role has requested a 4-day schedule.
***A part-time Recreation Coordinator is requested as a program improvement in FY2023.
****In FY2019,a part-time Certified Therapeutic Recreation Specialist was added to staff for the full year. In FY2021,the
position was expanded to full-time.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-11
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended budget for the Department of Recreation and Community Programs -
comprised of four divisions: Pine Meadows Golf, Recreation, Community Center and Administrative - is
$3,425,097. The recommended budget is an increase of $835,161 or 32.25% from the FY2022
budget, which anticipated a slow resumption of pre-pandemic activity levels.
It should be noted that the Recreation and Community Programs Department operating budget has
historically been supported solely from program fees. In FY2016, with the opening of the Community
Center, the tax levy began to contribute the equivalent of the wages and benefits for the three full-time
employees who are most closely involved with managing the Community Center operations and
programming. This will continue in FY2023, with $242,790 being proposed in General Fund support of
Community Center wages.
The Community Center provides free drop-in programs and opportunities to promote social, emotional,
and cognitive well-being and wellness for residents of all ages and abilities. It provides residents with a
wide variety of programs that are fun, educational and life-enriching. The Community Center provides
opportunities and access to all residents that are generally not supported through fees, in addition to
many programs, activities and services that may require a fee. The customer service counter at the
Center supports the Community Center, including the operations of the Human Services and the
Recreation &Community Programs Departments, allowing for one-stop shopping for services and
programs.
The recommended budget for Compensation is $1,567,753, which is a $225,552 or 16.80% increase
from the FY2022 budget, and reflects a return to more comprehensive programming, as well as step
increases, cost-of-living adjustments, and a rate increase for Seasonal staff commensurate with the
January 2022 state minimum wage increase.
The recommended budget for Expenses is $1,571,240 and reflects a $323,505 or 25.93% increase
from the FY2022 budget, primarily due to the introduction of new programming and the ability to
resume offering a wide, diverse and accessible variety of in-person and virtual recreational
programming for the community, post-pandemic. The recommended budget for the operation of the
Pine Meadows Golf Course is $550,800 and reflects a net increase of $3,000 or 0.55%. The current
course management contract was awarded in December 2018 for a contract period of 3 years
beginning January 2019 through December 2021, with options for annual renewals through December
2023.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in (reflected in
Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Community Center Furniture $ 25,000 $ — $ 25,000 $ — $ — $ — $ 25,000
Communiry Center Generator $ — $ — $ — $ — $ — $ — $ —
Vehicle Replacement $ 47,000 $ — $ 47,000 $ 47,000 $ — $ 47,000 $ —
Part-time Recreation � Z5,000 $ 363 $ 25,363 $ 25,000 $ 363 $ Z5,363 $ —
Coordinator
Program Guide-Mailing& � 55,000 $ — $ 55,000 $ 55,000 $ — $ 55,000 $ —
Printing
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-12
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 208,859 $ 618,916 $ 509,215 $ 242,790 $(266,425) -52.32%
Enterprise Funds
Retained Earnings $ 375,000 $ 375,000 $ - $ 375,000 $ 375,000 -%
Recreation User Charges $ 759,909 $1,062,285 $ 1,026,718 $ 1,461,752 $ 435,034 42.37%
Community Center User Charges $ 372,293 $ 252,313 $ 297,655 $ 445,555 $ 147,900 49.69%
Golf User Charges $ 759,738 $1,162,256 $ 756,348 $ 900,000 $ 143,652 18.99%
Investment Income $ 8,176 $ 3,206 $ - $ - $ - -%
. . �� •- . �•
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Recommended Increase Increase
Compensation $1,246,075 $ 896,659 $ 1,342,201 $ 1,567,753 $ 225,552 16.80%
Expenses $1,048,005 $ 892,248 $ 1,247,735 $ 1,571,240 $ 323,505 Z5.93%
Debt Service $ - $ - $ - $ - $ - -%
Indirect Costs(Trans.to Gen. � 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
Fund)
. . �� • . .� �.. . �•
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary p�ual Actual Appropriation Recommended Increase Increase
Total 5210 Administration $ 422,614 $ 367,309 $ 413,114 $ 532,078 $ 118,964 28.80%
Total 5220 Recreation $ 862,440 $ 544,972 $ 1,100,745 $ 1,426,153 $ 325,408 29.56%
Total 5230 Pine Meadows $ 444,270 $ 526,933 $ 547,800 $ 550,800 $ 3,000 0.55%
Total 5240 Community Center $ 564,755 $ 349,692 $ 528,277 $ 629,962 $ 101,685 19.25%
Indirect Costs $ 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
. . �� • . .� �.. . �•
Object Code Summary �Z020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,245,956 $ 896,567 $ 1,342,201 $ 1,567,753 $ 225,552 16.80%
Overtime 118 92 - - - -%
Personal Services $I,Z46,075 $ 896,659 $ 1,34Z,201 $ 1,567,753 $ 225,55Z 16.80%
Contractual Services $ 952,915 $ 802,222 $ 1,050,840 $ 1,278,350 $ 227,510 21.65%
Utilities $ 49,837 $ 39,636 $ 82,850 $ 95,385 $ 12,535 15.13%
Supplies $ 45,252 $ 50,389 $ 107,045 $ 133,505 $ 26,460 24.72%
Small Ca ital - - 7 000 64 000 57 000 814.29%
Expenses $1,048,005 $ 892,248 $ 1,247,735 $ 1,571,240 $ 323,505 25.93%
Debt $ - $ - $ - $ - $ - -%
Indirect $ 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
• . 11 ' . � • •1 1.• • i• • • 1• •
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-13
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Section VIII: Program 6000: Human Services
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
Human Services. It includes:
• 6100-6200 Administration; Veteran's Services; Youth and Family Services
and Community Programs; and Transportation Services VIII-2
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-1
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Mission: The Human Services Department connects Lexington residents across the lifespan to
information, support and services that promote health and well being; and is responsible for managing
the Lexpress bus system, Lex-Connect taxi, and other transportation initiatives. The department seeks
to identify the unmet needs of our community by providing outreach and prevention services to
families, seniors, veterans and youth.
Budget Overview: The Human Services Department is organized to provide services and support to
residents of all ages. Department Staff oversee the following divisions: Administration and Outreach,
Senior Services, Youth and Family Services, Veterans'Services and Transportation Services. Since
moving to the Lexington Community Center in 2015, attendance, walk-in visits, phone calls and
requests for information have increased significantly.
Staff from Senior Services and Youth and Family Services provide senior, youth and intergenerational
programming, assessments, information and referral, short-term counseling, financial assistance,
consultation on life changes, support and light case management. Veterans'services staff provide
veterans in Lexington, Bedford, and Carlisle with information, connection to State and Federal benefits,
and support, as well as work with colleagues to plan Town celebrations and special events that honor
Veterans. Transportation Staff manage the Lexpress bus and Lex-Connect taxi, as well as provide
travel consultation on other transit options.
Departmental Initiatives:
1. Continue to identify and implement programming specific to diversity, equity, and inclusion, as
well as participate in Town-sponsored racial justice initiatives.
2. Continue implementation of the CHNA 15 grant funded work of the Mental Health Task Force
that includes collaboration with Town, School, and community stakeholders to assess and
respond to community mental health needs and provide aligned approaches in regards to
prevention, intervention, and critical incident response services to the Lexington Community.
3. Continue implementation of action plan based on findings and recommendations from Age
Friendly needs assessment. Collaborate on Comprehensive Plan with continued participation in
an advisory and advocacy capacity.
4. Begin to implement transit regionalization plan, which includes viable steps towards
regionalizing transportation services as well as a funding plan. Regionalization of transit services
will enhance transportation through the network effect, create more coordinated services with
acceptable minimum services levels, and identify sustainable funding mechanisms to further
enhance transportation for all.
5. Continue to support and promote access to mental health services through direct therapeutic
services as well as through the William James INTERFACE Referral Service.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-2
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-3
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Director of Human Services 1 1 1 1
Senior Services Director* 1 1 1 1
Assistant Director of Youth and Family 1 1 1 1
Services
Clinical &Community Outreach 1 1 1 1
Manager*
Senior Services Coordinator 1 1 1 1
Senior Services Nurse 0.57 0.57 0.57 0.57
Office Manager 1 1 1 1
Municipal Clerk(Part-time) 0.69 0.69 0.69 0.69
Veterans' Services District Director 1 1 1 1
Veterans' Services Officer 0.51 0.51 0.51 0.51
Transportation Services Manager** 0.80 1 1 1
Department Transportation Assistant 0.80 0.80 0.80 0.80
Registered Dietician*** PT PT PT PT
Volunteer Coordinator/Program pT PT PT PT
Assistant***
• . 1 1 1 1
• . ' ' : .' : .' : .'
Explanatory Notes:
*Two positions received title changes in FY2021 to better explain roles externally: Assistant Director of Senior
Services was changed to Senior Services Director. Outreach Coordinator was changed to Clinical &Community
Outreach Manager.
**The Transportation Services Manager position transitioned from Z8 hours to full-time(35 hours) in FY20Z1
through a program improvement.
***The part-time temporary positions of Registered Dietician and Volunteer Coordinator/Program Assistant are
fully funded by grants from the Executive Office of Elder Affairs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-4
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Human Services budget is $1,847,930 which is a $251,997 or
15.79% increase from the revised FY2022 budget. The All Funds budget includes funding from a
Massachusetts Executive Office of Elder Affairs (EOEA) grant, the Massachusetts Bay Transportation
Authority (MBTA) Suburban Transportation grant, and the Senior Services Revolving Fund. In addition,
the Towns of Bedford and Carlisle fund a portion of the Veterans'Services budget through an
Intermunicipal Veterans' District agreement.
The Human Services FY2023 recommended General Fund operating budget request is $1,527,421 and
reflects a $249,956 or 19.57% increase from the revised FY2022 budget.
The General Fund operating budget for Compensation is $717,650, and reflects a $27,176 or 3.94%
increase, which reflects the cost of contractually obligated step increases. Compensation does not
include any estimate of prospective cost of living increases. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The General Fund operating budget for Expenses is $809,771 and reflects a $222,780 or 37.95%
increase, which is a net change that reflects an increase for contractually obligated Lexpress costs, as
well as $200,000 to restore a one-time diversion of funds to a Lexpress operating grant in FY2022. For
FY2023, funding for the William James Interface Mental Health Referral Service will be shared between
the municipal and school budgets.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-5
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Budget Summary - General Fund
Funding Sources FY2020 FY2021 FY2022 FY2023 Dollar Percent
(GeneralFund) Actual Actual Estimate Projected Increase Increase
Tax Levy $1,034,317 $1,127,471 $ 1,130,298 $ 1,387,945 $257,647 22.79%
veteran Benefits Reimbursement $ 56,702 $ 61,498 $ 22,167 $ 14,476 $ (7,691) -34.70%
TDM Allocation $ 95,000 $ 95,000 $ 95,000 $ 95,000 $ - -%
Fees
Lexpress Fares $ 56,642 $ 9,506 $ 30,000 $ 30,000 $ - -%
. .111 . .. . .� .. . � .
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Revised Recommended Increase Increase
Compensation $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,176 3.94%
Expenses $ 610,696 $ 657,109 $ 586,991 $ 809,771 $222,780 37.95%
. . .��� .
Program Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Revised Recommended Increase Increase
Total 6110 Administration $ 194,900 $ 211,492 $ 226,584 $ 237,334 $ 10,750 4.74%
Total 6140 Veterans'Services $ 85,548 $ 56,748 $ 90,048 $ 91,554 $ 1,506 1.67%
Total 6150 Youth&Family � 159,566 $ 184,651 $ 206,118 $ 212,253 $ 6,135 2.98%
Services
Total 6170 Senior Services& � 156,245 $ 146,415 $ 192,959 $ 198,454 $ 5,495 2.85%
Community Programs
Tota16210Transportation � 646,403 $ 694,168 $ 561,756 $ 787,826 $226,070 40.24%
Services
• .111 . .. . .� .. . � .
Object Code Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Revised Recommended Increase Increase
Salaries&Wages $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,176 3.94%
Overtime - - - - - -%
PersonalServices $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,176 3.94%
Contractual Services $ 583,248 $ 638,725 $ 548,561 $ 770,796 $222,235 40.51%
Utilities $ 3,168 $ 3,266 $ 3,240 $ 3,240 $ - -%
Supplies $ 21,389 $ 12,849 $ 31,690 $ 31,235 $ (455) -1.44%
Small Ca ital 2 891 2 269 3 500 4 500 1 000 28.57%
Expenses $ 610,696 $ 657,109 $ 586,991 $ 809,771 $222,780 37.95%
. . .��� .
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-6
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Budget Summary - Revolving Funds* and Grants
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
EOEA Grant $ 94,762 $ 94,764 $ 94,764 $ 94,764 $ - -%
Veterans Services Regional � 58,293 $ 89,671 $ 92,461 $ 95,745 $ 3,284 3.55%
Funding
Senior Services Revolving Fund* $ 33,638 $ 8,151 $ 75,000 $ 75,000 $ - -%
MBTA Grant $ 54,080 $ 56,243 $ 56,243 $ 55,000 $ (1,243) -2.21%
. .��� . . -� � � �• �- �
*Revolving Funds are authorized by Town Meeting via Artic/e 9,and are not appropriated under Article 4.
Appropriations Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Non-General Fund) Actual Actual Revised Recommended Increase Increase
EOEA Grant $ 89,721 $ 99,831 $ 94,764 $ 94,764 $ - -%
PersonalServices $ 62,628 $ 79,391 $ 67,346 $ 68,447 $ 1,101 1.63%
Expenses $ 27,093 $ 20,440 $ 27,418 $ 26,317 $ (1,101) -4.02%
Veterans'Services Regional
Funding $ 57,936 $ 94,177 $ 92,461 $ 95,745 $ 3,284 3.55%
Personal Services $ 55,670 $ 92,952 $ 90,116 $ 93,320 $ 3,204 3.56%
Expenses $ 2,266 $ 1,225 $ 2,345 $ 2,425 $ 80 3.41%
Senior Services Revolving Fund
Expenses $ 38,157 $ 6,469 $ 75,000 $ 75,000 $ - -%
MBTA Grant-Transportation Services
Expenses $ 54,080 $ 56,243 $ 56,243 $ 55,000 $ (1,243) -2.21%
• . .��� . . • :• . � �.: � �• �- � .. �
Budget Summary - All Funds ---------------------------------------------
Appropriation Summary(All �2020 FY2021 FY2022 FY2023 Dollar Percent
Funds) Actual Actual Revised Recommended Increase Increase
Compensation $ 750,264 $ 808,710 $ 847,936 $ 879,417 $ 31,481 3.71%
Expenses $ 732,293 $ 741,486 $ 747,997 $ 968,513 $220,516 29.48%
. . .111
� 1 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-7
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Section IX: Program 7000: Land Use, Health and
Development Department
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for the
Land Use, Health and Development Department. It includes:
• 7100-7400 Summary IX-3
• 7110 Building and Zoning IX-10
• 7120 Administration IX-14
• 7130 Conservation IX-16
• 7140 Health IX-20
• 7200 Planning IX-24
• 7300 Economic Development IX-28
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-1
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Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Mission: The Land Use, Health and Development Department includes those offices that manage and
promote residential and commercial development in Lexington while protecting the health and safety of
residents through local bylaws, regulations, and best practices, as well as State statutes and
regulations, in the areas of public health, building code, zoning, economic development, wetland
protection, conservation and land-use. By consolidating these various operations under the
management of an Assistant Town Manager, the Town is able to further streamline code enforcement,
program and policy development, and outreach and educational activities related to commercial,
residential and public development.
Budget Overview: The Land Use, Health and Development Department is comprised of: Building
and Zoning, Conservation, Health, Planning and Economic Development.
• Building and Zoning is responsible for enforcing the State building, electrical, gas and plumbing
codes, the local zoning bylaw, and Architectural Access Board Regulations.
• Conservation is responsible for administering and enforcing the State and local wetland protection
codes and the State Stormwater Management Regulations, managing over 1,400 acres of Town-
owned conservation land, and providing outreach and education concerning natural and watershed
resources.
• Public Health is responsible for enforcing State and local health codes, administering health
screening and vaccination programs, evaluating community health needs and developing
intervention programs to prevent disease and disability.
• Planninq supports the Planning Board in the administration of the Subdivision Regulations, the
determination of adequacy of unaccepted streets, the granting of special permits for residential
development, site plan review and granting of special permits within the commercial manufacturing
district, and the review of planned development district proposals that go to Town Meeting. In
addition, the stafF engages in short- and long-term planning in regard to growth and development
issues in Lexington, being active participants in various committees dealing with issues of
transportation, affordable housing and economic development, as well as participating in regional
and statewide initiatives.
• Economic Development works to encourage new investment and support our local businesses. It
serves as a liaison for businesses and works to address business-related issues from Center parking
to updating land use policy. The Office also works to retain and expand local businesses by
providing information, conducting research, supporting a visitor-based economy, and leveraging
State economic development tools and resources designed to improve the business environment.
The Economic Development Office manages the Visitors Center and Tourism operations.
Departmental Initiatives:
1. Implement the Select Board's health and development-related goals associated with the work of
the Department.
2. Implement high priority and near-term action steps and recommendations of the
Comprehensive Plan Update.
3. Implement initiatives, policies and plans of the Board of Health, especially with respect to
completing the dispensing of the COVID vaccine to Lexington residents and others, as required.
4. With the Engineering Division, support the community input on the Bedford Street/Hartwell
Avenue 25% design development.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-3
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-4
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Assistant Town Manager 1 1 1 1
Administrative Assistant 1 1 1 1
Administration Dept Office Manager 1 1 1 1
Administration Dept Assistants 4 4 4 4
Economic Development Director 1 1 1 1
Economic Development Coordinator 1 1 1 1
Visitor Services Manager 1 1 1 1
Visitor Center Staff(6PT) 4.75 4.75 4.75 4.75
Visitor Center PT Assistant Manager 0.56 0.56 0.56 0.56
Battle Green Guides Seasonal Seasonal Seasonal Seasonal
Liberty Ride Coordinator 0.7 - - -
Liberry Ride Guides Seasonal Seasonal Seasonal Seasonal
Planning Director 1 1 1 1
Assistant Planning Director 1 1 1 1
Planner 1 1 1 1
Planning Dept. Assistant 1 1 1 1
Conservation Director 1 1 1 1
Conservation Coordinator 1 1 1 1
Land Use Ranger 0.25 0.25 0.25 0.25
Land Management Interns Seasonal Seasonal Seasonal Seasonal
Public Health Director 1 1 1 1
Assistant Public Health Director* - - 1 1
Public Health Agents* 1 2 1 1
Public Health Nurse** 0.6 0.6 0.6 1
Building Commissioner 1 1 1 1
Asst Building Commissioner 1 1 1 1
Building Inspectors 1 1 1 1
Plumbing and Gas Inspector 1 1 1 1
Zoning Enforcement Administrator 1 1 1 1
Electric Inspectors 1 1 1 1
Part-time Electric Inspector*** 0.24 0.24 0.24 0.24
Part-time Plumbing Inspector*** 0.14 0.14 0.14 0.14
Part-time Building Inspector*** 0.38 0.38 0.38 0.58
. . . . .
. . �. . �. ..
. . �
. . . .
Explanatory Notes:
*A second Health Agent was funded in FY2021 via a program improvement. They were later reclassified to an Assistant
Health Director.
**The full-time Public Health Nurse is shared between Lexington (.6)and Belmont(.4)per Nursing Services Agreement
executed in FY2009. A program improvement in FY2023 seeks to reassign the position to Lexington on a full-time
basis.
***The hours budgeted for part-time inspectors are filled by multiple individuals,as available. The FY2023 increase
supports expanded responsibilities of the division,particularly for short-term rentals and expanded commercial
developments.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-5
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Land Use, Health and Development Department budget, inclusive
of the General Fund operating budget, the Liberty Ride, Visitor Center, Residential Engineering Review
and Health Program Revolving Funds, is $3,201,078, which is a $111,328 or 3.60% increase from the
FY2022 budget.
The FY2023 recommended Land Use, Health and Development General Fund operating budget is
$2,792,613 which is a $98,624, or 3.66% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $2,338,226 and reflects a $166,974 or 7.69%
increase, which funds contractually obligated step increases, as well as a program improvement to
make the public health nurse a full-time position in Lexington. Compensation also reflects the transfer
of the Visitors Center manager from the Visitors Center Revolving Fund to the General Fund, partially
offset by transferring the Battle Green Guides to the Visitors Center Revolving Fund, and more fully
offset by a reduction in expenses to support the Visitors Center. Compensation does not include any
estimate of prospective cost of living increases. Funds for prospective increases are captured in the
Salary Adjustment account within the Town Manager's budget.
The General Fund operating budget for Expenses is $454,387 and reflects a decrease of $(68,350) or
(13.08)%, which is a net change that reflects shifting $74,000 in ongoing support for the Visitors
Center to Compensation at Economic Development, removing $19,500 in scanning costs from the
Building and Zoning and Conservation budgets, and increasing support for professional development at
both Health ($7,000) and Economic Development ($7,000), as well as increasing Marketing ($5,000)
and Advertising ($2,000) at Economic Development to support the town's promotional efforts for the
250th celebration, and $5,000 for a program improvement to reprint brochures for ACROSS Lexington.
The FY2023 recommended budget for the Residential Engineering Review, Health Program, Liberry
Ride, and Visitor Center revolving funds is $506,065, an increase of$1Z,704 or 2.57%, which reflects
ongoing adjustments as the Visitors Center continues to adapt to pandemic operations in their
permanent location.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Salaries (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
ACROSS Lexington Brochures $ 5,000 $ — $ 5,000 $ 5,000 $ — $ 5,000 $ —
Increase Public Health Nurse to � 34,681 $ 1,503 $ 36,184 $ 34,681 $ 1,503 $ 36,184 $ —
Ful I-time
Senior Planner $ 90,000 $ 17,709 $ 107,709 $ — $ — $ — $ 107,709
Visitors Center Assistant � 57,538 $ 17,239 $ 74,777 $ — $ — $ — $ 74,777
Manager(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-6
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ (709,547) $(1,084,948) $ 901,089 $ 564,513 $(336,576 -37.35 %
TDM Stabilization Fund $ 46,000 $ 46,000 $ 46,000 $ 46,000 $ - - %
Center Impr. District Stab. Fund $ 27,000 $ - $ - $ - $ - - %
Fees&Charges
Departmental Fees $ 80,873 $ 70,022 $ 49,200 $ 76,900 $ 27,700 56.30 %
Licenses&Permits $2,711,117 $3,213,684 $ 1,697,700 $ 2,105,200 $407,500 24.00 %
• . 11 'll � •• •.� • � �• � . �� �
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Compensation $1,828,944 $1,903,721 $ 2,171,252 $ 2,338,226 $166,974 7.69 %
Expenses $ 3Z6,499 $ 341,037 $ 52Z,737 $ 454,387 $(68,350) -13.08 %
• . �� ��� .
Level-Service Requests �2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Total 7110 Building&Zoning $ 609,689 $ 561,393 $ 640,862 $ 644,673 $ 3,811 0.59 %
Total 7120 Administration $ 429,696 $ 431,375 $ 553,500 $ 569,150 $ 15,650 2.83 %
Total 7130 Conservation $ 214,574 $ 197,387 $ 255,027 $ 253,882 $ (1,145) -0.45 %
Total 7140 Health $ 252,755 $ 301,634 $ 400,951 $ 457,870 $ 56,919 14.20 %
Total 7200 Planning $ 323,020 $ 375,185 $ 434,992 $ 446,240 $ 11,248 2.59 %
Total 7300 Economic � 325,708 $ 377,784 $ 408,657 $ 420,798 $ 12,141 2.97 %
Development
. . �� ��� - - .
Object Code Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,816,122 $1,887,074 $ 2,136,687 $ 2,303,212 $166,525 7.79 %
Overtime 12 822 16 648 34 565 35 014 449 1.30 %
Personal Services $I,SZ8,944 $1,903,721 $ 2,171,Z5Z $ Z,338,Z26 $166,974 7.69 %
Contractual Services $ 180,715 $ 239,506 $ 374,526 $ 378,676 $ 4,150 1.11 %
Utilities $ 10,062 $ 10,674 $ 13,111 $ 13,561 $ 450 3.43 %
Supplies $ 135,723 $ 90,856 $ 135,100 $ 62,150 $(72,950) -54.00 %
Small Ca ital - - - - - - %
Expenses $ 326,499 $ 341,037 $ 522,737 $ 454,387 $(68,350) -13.08 %
. . �� ��� .
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-7
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Budget Summary - Revolving Funds
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Residential Engineering Review � - � 57,600 $ 57,600 $ 57,600 $ - - %
Revolving Fund
Health Programs Revolving � 22,654 $ 21,342 $ 45,000 $ 45,000 $ - - %
Fund
Lab Animal Permits Revolving � _ � - � 40,000 $ 40,000 $ - - %
Fund
Liberty Ride Revolving Fund $ 125,800 $ 790 $ 104,000 $ 104,000 $ - - %
Visitor Center Revolving Fund $ 39,309 $ 74,242 $ 247,000 $ 260,000 $ 13,000 5.26 %
. . �� -�� . .�� �. .�� ���
*Revolving Funds are authorized by Town Meeting via Artide 9,and are not appropriated under Artide 4.
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Revolving Funds) Actual Actual Appropriation Recommended Increase Increase
7110-Residential Engineering Review
Expenses $ - $ - $ 57,600 $ 57,600 $ - - %
7140-Health Programs
Expenses $ 45,719 $ 27,352 $ 45,000 $ 45,000 $ - - %
7140-Lab Animal Permits
Expenses $ - $ - $ 40,000 $ 40,000 $ - - %
7320-Liberty Ride $ 139,510 $ - $ 104,000 $ 104,000 $ - -%
Compensation $ 41,715 $ - $ 14,000 $ 14,000 $ - - %
Expenses $ 97,795 $ - $ 90,000 $ 90,000 $ - - %
7340-Visitor Center $ 44,359 $ 59,470 $ 246,761 $ 259,465 $12,704 5.15%
Compensation $ 18,459 $ 26,501 $ 138,541 $ 114,750 $(23,791) (17.17)%
Expenses $ 25,899 $ 32,970 $ 108,220 $ 144,715 $ 36,495 33.72 %
. . �� ��� - . �. �. ��
Budget Summary - All Funds ---------------------------------------------
Appropriation Summary(All �2020 FY2021 FY2022 FY2023 Dollar Percent
Funds) Actual Actual pppropriation Recommended Increase Increase
Compensation $1,889,118 $1,930,222 $ 2,323,793 $ 2,466,976 $143,183 6.16 %
Expenses $ 495,913 $ 401,359 $ 765,957 $ 734,102 $(31,855) -4.16 %
. 11 'II � � 1 1:• 1 1 1 .1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-8
This Page Intentionally Left Blank.
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Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
Mission: The Building and Zoning Division is a regulatory function with the goal of protecting the
health and safety of residents. This role is fulfilled through the enforcement of building, zoning and
land use regulations.
Budget Overview: The Building and Zoning Division enforces state building, electrical, plumbing, gas
and mechanical codes, Architectural Access Board Regulations and local zoning bylaws. Staff,
comprised of the Building Commissioner, Assistant Building Commissioner, Building Inspectors,
Electrical Inspector, Plumbing & Gas Inspector and Zoning Enforcement Administrator, review
construction drawings and specifications, issue permits, inspect new construction, conduct periodic
inspections of restaurants, day care centers, schools, religious institutions, museums, places of public
assembly and multi-family housing, and levy fines or prosecute when necessary to maintain code
compliance.
Division Initiatives:
1. Continue the efforts to improve and administer the online permitting system, helping applicants
obtain their permits. The ViewPoint Cloud permit system requires all building, zoning, electrical,
plumbing and gas permits to be applied for electronically. This permitting system allows applicants
to do much of their work from their office or home, thereby saving time and money from having to
visit the Town ofFices.
2. Scan all the historical building, wiring, plumbing and gas permit records.
3. Permit, inspect, monitor and ensure code compliance for the first high-rise building constructed in
Lexington at 440 Bedford Street. This building is 120 feet tall and will be a major construction
project in a highly visible and congested area of town.
4. Add capacity to perform more inspections to the current work load of the Building Inspectors. This
will be for the review, permitting, inspection and enforcement of the new Short-Term Rental zoning
bylaw; the proposed fence/wall zoning bylaw; as well as the recently approved noise construction
limits. This is supported by the addition of 52 days of funding for per diem inspectors.
5. Assist the planning office in amending the zoning bylaw to address heights and setbacks of walls
and fences in residential districts.
6. Support the Town's efforts to Increase the building permit fees for commercial construction from
$12 per thousand to $15 per thousand. If increased, the high-rise building at 440 Bedford street
alone, would increase revenue about $100,000.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-10
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Building Commissioner 1 1 1 1
Asst. Bldg. Commissioner 1 1 1 1
Building Inspectors 1 1 1 1
Plumbing and Gas Inspector 1 1 1 1
Zoning Enforcement Administrator 1 1 1 1
Electric Inspector 1 1 1 1
Part-time Electric Inspector* 0.24 0.24 0.24 0.24
Part-time Plumbing Inspector* 0.14 0.14 0.14 0.14
Part-time Building Inspector* 0.38 0.38 0.38 0.58
. . . . . . . . •.
• . ' . ' . ' . ' . '
*The hours budgeted for part-time inspectors are filled by multiple individuals,as available. The FY2023 increase
supports expanded responsibilities of the division,particularly for short-term rentals and expanded commercial
developments.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-11
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Building and Zoning budget is $702,273 a $3,811 or 0.55%
increase from the FY2022 budget.
The FY2023 recommended General Fund Building and Zoning budget is $644,673 a $3,811 or 0.59%
increase from the FY2022 budget.
The recommended budget for Compensation is $610,583 and reflects a $18,311, or 3.09% increase,
which is due to contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The recommended budget for Expenses is $34,090 and reflects a decrease of$(14,500) or (29.84)%
from FY2022, due to removal of a scanning budget item that will be undertaken via other available
funds.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-12
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $(2,096,778) $(2,616,550) $ (1,046,838) $ (1,443,027) $ (396,189) 37.85%
Directed Funding
Departmental Fees $ 12,210 $ 16,170 $ 12,500 $ 12,500 $ - -%
Licenses and Permits $ 2,694,257 $ 3,161,772 $ 1,675,200 $ 2,075,200 $ 400,000 23.88%
. . � : � . . . . . .�• �� : �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Recommended Increase Increase
Compensation $ 582,335 $ 537,920 $ 592,272 $ 610,583 $ 18,311 3.09%
Expenses $ 27,355 $ 23,473 $ 48,590 $ 34,090 $ (14,500) -29.84%
. . � : � . . . . � .�• .:• • .�� :. � ..
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary p�ual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 577,238 $ 532,287 $ 585,933 $ 604,161 $ 18,228 3.11%
Overtime 5 096 5 633 6 339 6 422 83 1.31%
Personal Services $ 582,335 $ 537,920 $ 592,272 $ 610,583 $ 18,311 3.09%
Contractual Services $ 5,444 $ 15,329 $ 36,640 $ 22,140 $ (14,500) -39.57%
Utilities $ 5,635 $ 5,983 $ 6,800 $ 6,800 $ - -%
Supplies $ 16,275 $ 2,161 $ 5,150 $ 5,150 $ - -%
Small Capital $ - $ - $ - $ - $ - -%
Expenses $ 27,355 $ 23,473 $ 48,590 $ 34,090 $ (14,500) -29.84%
. . � : � . . . . . .�• �� : �
Budget Summary - Revolving Funds*-------------------------------------•
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources � Increase Increase
Actual Actual Estimate Pro ected
Residential Engineering Review $ - $ 57,600 $ 57,600 $ 57,600 $ - -%
. � - . .�� .�� .��
*Revolving Funds are authorized by Town Meeting via Artic/e 9,and are not appropriated under Article 4.
Appropriation Summary FYz020 FY2021 FY2022 FY2023 Dollar Percent
(Revolving Funds) Actual Actual Appropriation Recommended Increase Increase
7110-Residential Engineering Review Revolving Fund
Expenses $ - $ - $ 57,600 $ 57,600 $ - -%
. � . .�� .��
Budget Summary - All Funds ----------------------------------------------�
Appropriation Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
(All Funds) Actual Actual Appropriation Recommended Increase Increase
Compensation $ 582,335 $ 537,920 $ 592,272 $ 610,583 $ 18,311 3.09%
Expenses $ 27,355 $ 23,473 $ 106,190 $ 91,690 $ (14,500) -13.65%
. . 1 : . .1• .:• . .•: '. 1 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-13
Program: Land Use, Health and Development Department
7120 Administration Town ofLexington, MA
Mission: To develop comprehensive regulatory and technical assistance services to town residents
and commercial entities transacting development business with the Town.
Budget Overview: Administration provides management oversight and administrative support to the
Building and Zoning, Health, Conservation, Planning and Economic Development Offices and to the
numerous boards and commissions, including the Zoning Board of Appeals and Historic Districts
Commission, and coordinates their daily operations. The staff, comprised of an Assistant Town
Manager, an Office Manager, Administrative Assistant and four Department Assistants, schedules and
coordinates hearings, prepares legal notices, sets agendas, processes applications and permits, inputs
data into Access databases, maintains files, circulates petitions among Town boards and officials,
prepares meeting notices, agendas and minutes, determines and notifies abutters, communicates with
the public, attends meetings, performs payroll and accounts payable functions, makes daily deposits,
and files all final documentation. The Assistant Town Manager for Development position oversees all
operations of the six divisions within the Land Use, Health and Development Department.
Division Initiatives:
1. Direct the Department in support of the Select Board goals specifically focused on public health,
land and real property, housing and economic development and planning, as assigned by the Town
Manager.
2. Improve online information on Department initiatives and boards and committees supported by the
Department.
3. Improve the availability of information about Department initiatives, permit processes, and
opportunities for public engagement.
�� �M
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Assistant Town Manager 1 1 1 1
Administrative Assistant 1 1 1 1
OfFice Manager 1 1 1 1
Department Assistants 4 4 4 4
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-14
Program: Land Use, Health and Development Department
7120 Administration Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 General Fund budget for the OfFice of Administration is $569,150, an
increase of$15,650 or 2.83% from the FY2022 budget.
The General Fund operating budget for Compensation is $514,050 and reflects an increase of$10,850
or 2.16% for contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The General Fund operating budget for Expenses is $55,100 and reflects a net increase of $4,800 or
9.54%, which incorporates adjustments to reflect actual expenditures as $5,000 for a program
improvement to reprint ACROSS Lexington brochures.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Salaries (reflected in
and Shared Total and Shared NOt
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
ACROSS Lexington Brochures $ 5,000 $ - $ 5,000 $ 5,000 $ - $ 5,000 $ -
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ 418,496 $ 423,275 $ 539,800 $ 547,750 $ 7,950 1.47%
Directed Funding
Departmental Fees $ 11,200 $ 8,100 $ 13,700 $ 21,400 $ 7,700 56.20%
. . � �. . . �� � . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pctual Actual Appropriation Recommended Increase Increase
Compensation $ 415,527 $ 414,009 $ 503,200 $ 514,050 $ 10,850 2.16%
Expenses $ 14,169 $ 17,366 $ 50,300 $ 55,100 $ 4,800 9.54%
. � �. . �� � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 410,923 $ 406,987 $ 490,539 $ 501,225 $ 10,686 2.18%
Overtime $ 4,604 $ 7,022 $ 12,661 $ 12,825 $ 164 1.30%
PersonalServices $ 4i5,527 $ 4i4,009 $ 503,200 $ 5i4,050 $ i0,850 2.i6%
Contractual Services $ 8,746 $ 11,165 $ 43,200 $ 46,700 $ 3,500 8.10%
Utilities $ 614 $ 940 $ 600 $ 900 $ 300 50.00%
Supplies $ 4,809 $ 5,261 $ 6,500 $ 7,500 $ 1,000 15.38%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 14,169 $ 17,366 $ 50,300 $ 55,100 $ 4,800 9.54%
• . � �. . . �� � . �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-15
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
Mission: To protect the health and safety of Town residents through education about and regulation
of and management of natural areas and wetlands.
Budget Overview: The Conservation Division provides administration, interpretation and
enforcement of all applicable State laws and Local codes; counsel, guidance and education to the public
on environmental issues; research and reports on relevant issues for the Conservation Commission
meetings to aid the Commission in key decision making; enforcement of permit conditions through
construction inspections; management of conservation areas and the Land and Watershed Stewardship
Program. The Conservation Director manages and supervises the Conservation staff and operations
and, along with the Conservation Stewardship Coordinator, performs administrative, supervisory,
professional and technical work in connection with managing and directing comprehensive
environmental programs.
Division Initiatives:
1. Continue efforts to provide for a comprehensive online records management program for
conservation historical records via the Laserfiche Document Imaging Software.
2. Plan for and implement enhanced public outreach and programming to protect, preserve, and
promote Lexington's natural resources.
3. Complete the Open Space and Recreation Plan Update (FY2022 CPA) and implement goals,
objectives and priorities established in Year 1 of the Seven Year Action Plan.
4. Onboard a new community garden coordinator volunteer and provide a comprehensive orientation
and training program.
5. Finalize and record Conservation Restrictions for all CPA conservation land acquisitions.
6. Plan for and acquire open space parcels as prioritized by the Conservation Commission.
7. Implement the numerous conservation land management and stewardship prioritized projects,
including Daisy, Willard's Woods,and West Farm meadows preservation, Parker Meadow Universal
Accessible Trail Construction (FY2021 and FY2022 Supplemental CPA), Wright Farm Conceptual Site
Access Design and Parking (FY2021 CPA), and Willard's Woods Accessible Improvements Design
and Engineering (FY2020 CPA).
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-16
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Conservation Director 1 1 1 1
Conservation Coordinator 1 1 1 1
Land Use Ranger 0.26 0.26 0.26 0.26
Seasonal Land Management Interns Seasonal Seasonal Seasonal Seasonal
• . . . . .
. . . .
• . �
• • • •
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-17
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
Budget Recommendations:
The recommended FY2023 General Fund Conservation budget is $253,882, a decrease of$(1,145) or
(0.45)% from the FY2022 budget.
This includes a $3,855 or 1.75% increase in compensation to reflect contractually obligated step
increases. Compensation does not include any estimate of prospective cost of living increases for
contracts expiring on or before June 30, 2022. Funds for prospective increases are captured in the
Salary Adjustment account within the Town Manager's budget.
Expenses reflect a decrease of$(5,000), or (14.19)%, due to removal of a scanning budget item that
will be undertaken via other available funds.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-18
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 211,274 $ 184,635 $ 252,027 $ 250,882 $ (1,145) -0.45 %
Directed Funding
Fees $ 3,300 $ 12,752 $ 3,000 $ 3,000 $ - - %
. � . . � �
Appropriation FY2020 FY2021 FY2022 FY2023 Dollar Percent
Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ 192,861 $ 171,404 $ 219,780 $ 223,635 $ 3,855 1.75 %
Expenses $ 21,713 $ 25,983 $ 35,247 $ 30,247 $ (5,000) (14.19)%
. 1 . - . 1 1
Object Code FY2020 FY2021 FY2022 FY2023 Dollar Percent
Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 191,510 $ 169,673 $ 216,701 $ 220,516 $ 3,815 1.76 %
Overtime 1 351 1 731 3 079 3 119 40 1.30 %
PersonalServices $ 192,861 $ 171,404 $ 219,780 $ 223,635 $ 3,855 1.75 %
Contractual Services $ 11,309 $ 19,972 $ 26,636 $ 21,436 $ (5,200) -19.52 %
Utilities $ 2,389 $ 2,191 $ 2,911 $ 3,061 $ 150 5.15 %
Supplies $ 8,015 $ 3,820 $ 5,700 $ 5,750 $ 50 0.88 %
Small Ca ital $ - $ - $ - $ - $ - - %
Expenses $ 21,713 $ 25,983 $ 35,247 $ 30,247 $ (5,000) -14.19 %
. � . . � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-19
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
Mission: Under the direction of the Lexington Board of Health, the mission of the Lexington Health
OfFice is to prevent disease and promote wellness in order to protect and improve the health and
quality of life of its residents, visitors and workforce.
Budget Overview: The Health Office manages disease prevention and surveillance programs
designed to protect the health of the community. Programs include but are not limited to public health
education, infectious disease surveillance and case investigation activities, oversight and enforcement
of all state and local community health and environmental health regulations, mosquito-borne disease
prevention efforts, public vaccination clinics, and public health emergency planning and response
efforts. The Health Office staff is comprised of the Health Director, an Assistant Health Director, a
Health Agent, and a part-time Public Health Nurse.
Division Initiatives:
1. Continue to perform all required activities regarding Covid-19 and to offer services such as
testing, tracing, education, data collection and analysis, and vaccine.
2. Review local Board of Health regulations, and update as necessary, to coincide with current
State and Federal regulations,standards and best practices, including tobacco, body art and
food. Research and finalize local regulations regarding the care and use of laboratory animals.
3. Continue to enhance customer service satisfaction and improve staff efficiency by updating
Board of Health permit applications in ViewPoint Cloud, with particular focus on the following
record types: retail food, temporary food, mobile food, food plan review, public swimming pool,
rDNA, Animal Keeping and Recreational Camps for Children. Begin to implement field
inspection capacity with a new software system.
4. Continue to respond to all inquiries, complaints, and concerns from the public and staff in a
timely fashion. Perform routine inspections to ensure compliance with state and local
regulations.
5. Continue to work with Region 4AB to improve regional collaboration for Preparedness and with
Region 4A to strengthen the Medical Reserve Corps. (MRC) in volunteer recruitment, training,
deployment and retention.
6. Continue to update and exercise shelter plans, develop shelter intake and medical triage forms,
and develop a checklist for environmental health risk management in shelters.
7. Engage and convene community partners to broaden public health preparedness planning
efforts to include people with disabilities and considerations for access and functional needs in
the scope of EDS and shelter plans in accordance with Massachusetts Department of Public
Health (MDPH) guidance.
8. Continue to serve as a local resource for public health education and outreach on the impacts of
climate change on health. Collaborate with the Sustainability Director.
9. Continue to provide flu shots to the pubic utilizing the most reasonable and safe methods
including drive through clinics and at various locations. Evaluate and implement ways to expand
our vaccine program to include all recommended adult and pediatric vaccines.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-20
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Public Health Director 1 1 1 1
Public Asst. Health _ — 1 1
Director*
Public Health Agent* 1 2 1 1
Public Health Nurse** 0.6 0.6 0.6 1.0
. . . . . � �
� . . . . . �.
*In FY2021,a second Health Agent was funded via a program improvement. During that year,one
of the Health Agents was reclassified to Assistant Health Director.
**The full-time Public Health Nurse is shared between Lexington (.6)and Belmont(.4) per Nursing
Services Agreement executed in FY2009. A program improvement in FY2023 seeks to reassign the
position to Lexington on a full-time basis.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-21
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Health budget inclusive of the General Fund operating budget and
the Health Program Revolving Fund, which funds health clinics, is $542,870. The recommended
budget is a $56,919 or 11.71% increase from the FY2022 budget.
The FY2023 recommended Health General Fund operating budget is $457,870, which is a $56,919 or
14.20% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $359,570 and reflects a $48,169 or 15.47%
increase, which funds the cost of contractually obligated step increases and salary increases.
The General Fund operating budget for Expenses is $98,300 and reflects a $8,750 or 9.77% increase,
which reflects a $1,500 decrease in staff mileage and travel expenses.
The FY2023 Health Programs Revolving Fund is recommended at $45,000 which is level-funded from
the FY2022 authorization. First authorized in FY2021, a revolving fund for Lab Animal Permits is
recommended at $40,000 to handle inspections for an increasing number of lab animals in the
commercial and industrial properties in town.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Increase Public Health Nurse to � 34,681 $ 1,503 $ 36,184 $ 34,681 $ 1,503 $ 36,184 $ —
Ful I-time
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-22
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 235,895 $ 249,721 $ 378,451 $ 427,870 $ 49,419 13.06%
Directed Funding
Permits $ 16,860 $ 51,912 $ 22,500 $ 30,000 $ 7,500 33.33%
. -� � ��� � ��
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Compensation $ 207,852 $ 267,494 $ 311,401 $ 359,570 $ 48,169 15.47%
Expenses $ 44,903 $ 34,140 $ 89,550 $ 98,300 $ 8,750 9.77%
. -� � ��� . � . . ��
Object Code Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 206,941 $ 267,144 $ 309,631 $ 357,777 $ 48,146 15.55%
Overtime 910 350 1770 1793 23 1.30%
Personal Services $ 207,852 $ 267,494 $ 311,401 $ 359,570 $ 48,169 15.47%
Contractual Services $ 43,273 $ 32,526 $ 80,500 $ 89,250 $ 8,750 10.87%
Utilities $ 1,102 $ 960 $ 2,800 $ 2,800 $ - -%
Supplies $ 529 $ 654 $ 6,250 $ 6,250 $ - -%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 44,903 $ 34,140 $ 89,550 $ 98,300 $ 8,750 9.77%
. . �� - � ��� • : � ��,
Budget Summary - Revolving Funds*
Funding Sources FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Health Programs Revolving � 22�654 $ 21,342 $ 45,000 $ 45,000 $ - -%
Fund
Lab Animal Permits Revolving � _ � - � 40,000 $ 40,000 $ - -%
Fund
. �� - ��� ���
*Revolving Funds are authorized by Town Meeting via Artic/e 9,and are not appropriated under Artide 4.
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Revolving Funds) Actual Actual Appropriation Recommended Increase Increase
7140-Health Programs Revolving Fund
Expenses $ 45,719 $ 27,352 $ 45,000 $ 45,000 $ - -%
7140-Lab Animal Permits Revolving Fund
Expenses $ - $ - $ 40,000 $ 40,000 $ - -%
. �� - ��� ���
Budget Summary - All Funds --------------------------------------------
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(All Funds) Actual Actual Appropriation Recommended Increase Increase
Compensation $ 207,852 $ 267,494 $ 311,401 $ 359,570 $ 48,169 15.47%
Expenses $ 90,622 $ 61,492 $ 174,550 $ 183,300 $ 8,750 5.01%
. . �1 - i :. 1 . •
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-23
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
Mission: The Planning Office helps residents envision and work toward a community that serves the
needs of all its citizens and to manage growth and change. The Planning Office provides staff
assistance to the Planning Board, helps to administer the Zoning Bylaw and reviews development
permit applications for residential and commercial projects.
Budget Overview: The Planning Office supports the Planning Board in the administration of the
Subdivision Regulations, the adequacy determinations of unaccepted streets, the granting of special
permits for residential development, site plan review and granting of special permits, as well as
reviewing zoning amendments and planned development district proposals that go to Town Meeting.
In addition, the staff engages in short- and long-term planning regarding growth and development
issues in Lexington, actively participants in various committees dealing with transportation, affordable
housing, economic development, as well as regional and statewide initiatives.
The planning staff participates on the Development Review Team, the Economic Development Advisory
Committee, the Housing Partnership Board, the Transportation Safety Group, Parking Management
Group, Transportation Forum, the HOME Consortium, and the Boston Metropolitan Planning
Organization.
Division Initiatives:
1. Implement Lexington's updated Comprehensive Plan (LexingtonNext), which will guide future
land development and preservation activities over the next 2, 5, 10-years, and beyond.
2. Assemble and support the Planning Board's Annual Work Plan to ensure alignment with
Lexi ngton Next.
3. Establish an expedited, transparent, and engaging permitting process that is clear and
consistent for all projects.
4. Collaborate with members of the Land Use, Health, and Development (LUHD) Department and
other staff members to plan and execute short- and long-term planning initiatives.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-24
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Planning Director 1 1 1 1
Assistant Planning Director 1 1 1 1
Planner 1 1 1 1
Administrative Assistant 1 1 1 1
� . . .
� . .
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-25
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended General Fund Planning Office budget is $446,240, which is an increase of
$11,248 or 2.59% from the FY2022 budget.
The General Fund operating budget for Compensation is $368,890 and reflects a $11,248 or 3.15%
increase from the FY2022 budget, due to contractually obligated step increases. Compensation does
not include any estimate of prospective cost of living increases for contracts expiring on or before June
30, 2022. Funds for prospective increases are captured in the Salary Adjustment account within the
Town Manager's budget.
The recommended budget for Expenses is $77,350 and is level-funded from FY2022. A warrant article
requests $75,000 for implementation of LexingtonNEXT, the long-term plan which is due to be
completed early in 2022.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in TOtal dnd (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Senior Planner $ 90,000 $ 17,709 $ 107,709 $ — $ — $ — $ 107,709
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-26
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
Budget Summary
Funding Sources �z020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 268,858 $ 342,185 $ 414,992 $ 406,240 $ (8,752) -2.11%
Directed Funding
Fees $ 54,163 $ 33,000 $ 20,000 $ 40,000 $ 20,000 100.00%
• 11 � 1 1 •• •� •� •,
Appropriation FY2020 FY2021 FY2022 FY2023 Dollar Percent
Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ 291,624 $ 339,806 $ 357,642 $ 368,890 $ 11,248 3.15°/o
Expenses $ 31,396 $ 35,379 $ 77,350 $ 77,350 $ - -%
. 11 . 1 1 '. '1
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 291,017 $ 339,028 $ 349,848 $ 360,995 $ 11,147 3.19%
Overtime 608 778 7 794 7 895 101 1.30%
Personal Services $ 291,624 $ 339,806 $ 357,642 $ 368,890 $ 11,248 3.15%
Contractual Services $ 29,643 $ 33,283 $ 72,850 $ 72,850 $ - -%
Utilities $ 322 $ 600 $ - $ - $ - -%
Supplies $ 1,431 $ 1,497 $ 4,500 $ 4,500 $ - -%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 3i,396 $ 35,379 $ 77,350 $ 77,350 $ - -%
• 11 � 1 1 •• •� •� •�
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-27
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
Mission: The Economic Development Office works to encourage new investment and support for our
local businesses - big and small. A strong local business environment is a critical component of a
healthy and sustainable community, creating places to eat and shop, as well as opportunities for
employment and added revenue to support local services. To that end, the Economic Development
Office serves as a liaison for businesses and works to address business-related issues from parking to
updating land use policy. The Office also works to retain and expand local businesses by providing
information, conducting research, and leveraging State economic development resources. The
Economic Development Office also cultivates and maintains relationships with State-level partners for
business development, tourism, and infrastructure investment opportunities. The Economic
Development Office works to leverage economic opportunities from tourism through the operations of
the Visitors Center, the Liberty Ride Trolley Tour, and the Battle Green Guides program. Sharing our
role in American history attracts many thousands of visitors to Lexington each year. These visitors help
to support our local businesses which contributes to our community's overall economic sustainability.
Budget Overview: The Economic Development budget is divided into three elements: the Economic
Development Office, the Liberty Ride Trolley Tour Program, and the Visitors Center Operations.
The Economic Development OfFice is tasked with strengthening the commercial tax base, providing
services to existing and prospective businesses, and overseeing tourism functions and staff. The
Economic Development Office works on initiatives with input from the Economic Development Advisory
Committee, the Lexington Center Committee, and the Tourism Committee.
The Liberty Ride is a trolley tour of Lexington and Concord which also serves as the only transportation
link to the area's historic sites. As a revolving fund, the Liberty Ride is self-funded through ticket sales.
Due to the pandemic, the Liberry Ride did not operate during 2020, and operated a limited schedule in
2021. Since the current trolley contract expires in March 2022, operations will need to adapt to a new
contract.
The Visitors Center serves as gateway for over 120,000 people who come to visit Lexington every year.
As a revolving fund, the Visitors Center operates with revenue generated from gift shop retail sales to
offset costs. The construction of the new Visitors Center was completed and opened to the public in
Spring 2020. Unfortunately, operations in 2020 and 2021 were hampered due to the pandemic.
Division Initiatives:
Economic Development Office
1. Ensure long-term viability of Lexington businesses in light of the COVID-19 Pandemic and changing
retail environment.
2. Implement next steps from the Local Rapid Recovery Plan recommendation to improve East
Lexington Business Corridor.
3. Launch a new Tourism Website.
Tourism/Visitor Activities
1. Expand programs & retail operations in the Visitors Center.
2. Develop additional materials for non-English speaking visitors and implement the Freedoms Way
Grant.
3. Identify other funding opportunities to augment revenue for the tourism revolving funds.
4. Increase the use of social media and target online advertising to increase visits to Lexington.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-28
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Economic Development Director 1 1 1 1
Economic Development Coordinator 1 1 1 1
Economic Development Intern Seasonal Seasonal Seasonal Seasonal
Visitor Center Manager 1 1 1 1
Visitor Center Staff (6PT) 4.75 4.75 4.75 4.75
Visitor Center Assistant Manager 0.56 0.56 0.56 0.56
Battle Green Guides Seasonal Seasonal Seasonal Seasonal
Tour Services Coordinator 0.70 — — —
Liberty Ride Guides Seasonal Seasonal Seasonal Seasonal
• . • 1 : : :
. . .. ..
• .
� . .
• • • •
Note: Visitor Center staffing is included above as this function was transferred from Chamber of
Commerce in FY2015. There are 7 Visitor Center staff(1 works full-time and 6 work part-time) and 30
seasonal workers from April to October
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-29
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
Budget Recommendations:
The FY2023 recommended All Funds Economic Development budget, inclusive of the General Fund
operating budget and the Liberty Ride and Visitors Center Revolving Funds, is $784,263, which is a
$24,845 or 3.27% increase from the FY2022 budget.
The FY2023 recommended General Fund Economic Development operating budget is $420,798, which
is a $12,141 or 2.97% increase from the FY2022 General Fund budget. The recommended General
Fund operating budget for Compensation is $261,498, and reflects a $74,541 or 39.87% increase,
which is a net change, and captures contractually obligated step increases, the transfer of the Visitors
Center manager from the Visitors Center Revolving Fund to the General Fund, partially offset by
transferring the Battle Green Guides to the Visitors Center Revolving Fund, and more fully offset by a
reduction in expenses to support the Visitors Center. Compensation does not include any estimate of
prospective cost of living increases. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The recommended General Fund operating budget for Expenses is $159,300, a decrease of$(62,400)
or (28.15)%. This is a net-change that reflects reducing ongoing support for the Visitors Center by
$74,000; offset by increasing Marketing ($5,000) and Advertising ($2,000) to support the town's
promotional efForts for the 250th celebration.
Contractual costs include expenses associated with the REV Shuttle, a business-serving shuttle that
runs between the Hartwell Avenue corridor and the Alewife Red Line Station, funded via a transfer from
the Transportation Demand Management (TDM) Stabilization Fund.
The recommended FY2023 Liberty Ride Revolving Fund request is level-funded at $104,000. COVID-19
travel restrictions affected the travel and tourism industry overall; the Liberty Ride tour was suspended
in Summer 2020, and operated on a limited schedule in Summer 2021. Since the current trolley
contract expires in March 2022, operations will need to adapt to a new contract. If new proposals will
not be self-sustaining, staff may seek alternative transportation options, including potentially a bus.
The recommended FY2023 Visitor Center Revolving Fund request is $259,465 which is essentially level-
funded from FY2022. In an efFort to provide greater stability for the operation going forward, the
salary for the Visitors Center manager is being moved to the General Fund. A small amount of support
remains in the General Fund budget ($20,000) in the event that sales do not adequately fund the
remaining operating expenses. Staff anticipate that this level of support will allow the Visitors Center
to remain open year-round.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
(reflected in (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Visitors Center Assistant � 57,538 $ 17,239 $ 74,777 $ — $ — $ — $ 74,777
Manager(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-30
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 252,708 $ 331,784 $ 362,657 $ 374,798 $ 12,141 3.35%
TDM Stabilization Fund $ 46,000 $ 46,000 $ 46,000 $ 46,000 $ - -%
Center Impr. District Stab. Fund $ 27,000 $ - $ - $ - $ - -%
. �� � �: ��: �
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Compensation $ 138,745 $ 173,089 $ 186,957 $ 261,498 $ 74,541 39.87%
Expenses $ 186,964 $ 204,696 $ 221,700 $ 159,300 $(62,400) -28.15%
. . �� - � �: ��: . �
Program Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
7310 Economic Development Office $ 325,708 $ 377,784 $ 408,657 $ 420,798 $ 12,141 2.97%
. 11 � 1: '1: . 1 •: '
Object Code Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(General Fund) Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 138,492 $ 171,955 $ 184,035 $ 258,538 $ 74,503 40.48%
Overtime 252 1 134 2 922 2 960 38 1.30%
Personal Services $ 138,745 $ 173,089 $ 186,957 $ 261,498 $ 74,54i 39.87%
Contractual Services $ 82,299 $ 127,231 $ 114,700 $ 126,300 $ 11,600 10.11%
Utilities $ - $ - $ - $ - $ - -%
Supplies $ 104,665 $ 77,464 $ 107,000 $ 33,000 $(74,000) -69.16%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 186,964 $ 204,696 $ 221,700 $ 159,300 $(62,400) -28.15%
. �� � �: ��: �
Budget Summary - Revolving Funds*-------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Liberty Ride Rev. Fund $ 125,800 $ 790 $ 104,000 $ 104,000 $ - -%
Visitors Center Rev. Fund $ 39,309 $ 74,242 $ 247,000 $ 260,000 $ 13,000 5.26%
• . 11 - � � � . 1• 1 111 .' 111 111 1 '�
*Revolving Funds are authorized by Town Meeting via Arficle 9,and are not appropriated unde�A�tic%4.
Appropriation Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
(Revolving Funds) Actual Actual Appropriation Recommended Increase Increase
7320 Liberty Ride Rev. Fund $139,510 $ - $ 104,000 $ 104,000 $ - -%
Compensation $ 41,715 $ - $ 14,000 $ 14,000 $ - -%
Expenses $ 97,795 $ - $ 90,000 $ 90,000 $ - -%
7340 Visitors Center Rev. Fund $ 44,359 $ 59,470 $ 246,761 $ 259,465 $12,704 5.15%
Compensation $ 18,459 $ 26,501 $ 138,541 $ 114,750 $(23,791) -17.17%
Expenses $ 25,899 $ 32,970 $ 108,220 $ 144,715 $ 36,495 33.72%
. . 11 . . � :.. . . 1 1 . . '. 1' .
Budget Summary - All Funds ----------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriations Summary pctual Actual Appropriation Recommended Increase Increase
Compensation $ 198,919 $ 199,589 $ 339,498 $ 390,248 $ 50,750 14.95%
Expenses $ 310,658 $ 237,665 $ 419,920 $ 394,015 $(25,905) -6.17%
. . �� � . �•
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-31
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Section X: Program 8000: General Government
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
General Government. It includes:
• 8100 Select Board X-2
• 8200 Town Manager X-6
• 8300 Town Committees X-10
• 8400 Finance X-12
• 8500 Town Clerk X-16
• 8600 Innovation &Technology X-20
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-1
Program: General Government
8100 Select Board Town ofLexington, MA
Mission: The Select Board, together with the Town Manager, represents the executive branch of the
Town government. The Board consists of five members, elected for three-year terms. Select Board
members serve without compensation. The Board acts as the Town's primary policy-making body for a
wide variety of issues affecting service delivery, finance and Town infrastructure. They provide
oversight in matters of litigation, act as the licensing authority, enact rules and regulations regarding
traffic control and are responsible for calling Town Meetings and approving the Town Meeting Warrant.
Budget Overview: This budget includes funding for the Select Board's Office, Town Counsel, the
Annual Town Report, and the Public, Education, Governmental (PEG) programming budget.
Day-to-day operation of the Select Board's Office is under the direction of the Office Manager/Executive
Clerk and the Department Assistant who assist the Select Board members and coordinate activities with
the Town Manager's Office. The staff prepare the Annual and Special Town Meeting Warrants and
assist the Select Board members in responding to questions and inquiries from the public. They also
receive all contributions to Select Board gift accounts, the Fund for Lexington, the PTA Council
Scholarship, the Lexington Education Fund and all other Trustees of Public Trusts funds.
Staff manage the licensing and permitting process for the Board (the licensing authority). These
licenses include alcoholic beverage, auctioneer, cable television, common victualler, entertainment,
flammable storage, innkeeper, lodging house, theater, Class I, II and III for the sale of used cars,
vehicles for hire such as common carrier, limousine and taxi cab and automatic amusement machines.
Staff maintain approximately 320 Select Board appointments to more than 50 committees. In addition,
the Select Board's Office notifies Lexington residents of all national, state and local elections.
Town Counsel represents the Town, through the Select Board and Town Manager, on all legal matters
including litigation, contracts, drafting of Town bylaws and enforcement of bylaws through the Court
system.
The Town Report is the official proceeding and activities of Town Government. It is required to be
prepared annually under State law.
The PEG budget funds activities related to the Town's cable television programming. Under
Massachusetts law, municipalities may receive up to 5% of the basic cable bill for PEG programming
activities. These funds are largely used, under the guidance of the Communications Advisory
Committee, to fund the LexMedia contract.
Departmental Initiatives:
1. Develop enhanced recruitment and onboarding processes for Select Board appointments to
Boards and Committees.
2. Improve methods of Communication between the Select Board and residents.
3. Continue to work with the IT Department to automate the remaining Permitting and Licensing
workflows for Select Board Permits.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-2
Program: General Government
8100 Select Board Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Office Manager/Executive Clerk 1 1 1 1
Department Assistant 1 1 1 1
Recording Secretary 0.22 0.25 0.25 0.25
� , . . . . .
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-3
Program: General Government
8100 Select Board Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended General Fund operating budget for the Select Board is $1,298,802, which is
a $38,994 or 3.10% increase from the FY2022 General Fund budget.
The Compensation budget is $145,163, which is a $9,381 or 6.91% increase, which reflects step
increases. Compensation does not include any estimate of prospective cost of living increases. Funds
for prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The overall Expenses operating budget is $1,153,639, which is an increase of $29,613 or 2.63%, which
is primarily due to a program improvement for $20,000 to fund the goal-setting process for the Select
Board. In addition, there are increases in the annual audit ($2,000) and PEG Access ($7,613) budgets.
The recommended FY2023 budget for legal expenses is level-funded from FY2022 at $395,000. The
recommended FY2023 budget for the annual Town Report is unchanged from FY2022 at $13,688.
The FY2023 recommended budget for the Town's annual contract with LexMedia for broadcasting
public meetings and events is $610,113 which is a $7,613 or 1.26% increase from FY2022, and reflects
contractual commitments to LexMedia. This budget item is fully funded from the PEG Access Special
Revenue Fund.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Goal Setting $ — $ 20,000 $ 20,000 $ 20,000 $ — $ 20,000 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-4
Program: General Government
8100 Select Board Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 376,874 $ 542,450 $ 588,144 $ 609,018 $ 20,874 3.55%
Transfers from Enterprise Funds � 1,118 $ 1,071 $ 664 $ 1,171 $ 507 76.36%
to General Fund(Indirects)
PEG Access Special Revenue Fund $ 602,500 $ 610,113 $ 7,613 1.26%
Fees
Licenses&Permits $ 76,258 $ 74,525 $ 68,500 $ 78,500 $ 10,000 14.60%
• . �� � �.: • � :�: •• :� : ... ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation ndea Increase Increase
Compensation $ 118,280 $ 128,668 $ 135,782 $ 145,163 $ 9,381 6.91%
Expenses $ 950,446 $1,084,528 $ 1,124,OZ6 $1,153,639 $ 29,613 Z.63%
. . : �� - - � �.• :�• :� ���
Program Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation nded Increase Increase
Total 8110 Select Board's OfFice $ 204,629 $ 205,805 $ 248,620 $ 280,001 $ 31,381 12.62%
Total 8120 Legal $ 241,617 $ 399,245 $ 395,000 $ 395,000 $ - -%
Total 8130 Town Report $ 11,004 $ 10,445 $ 13,688 $ 13,688 $ - -%
Total 8140 PEG Access $ 611,477 $ 597,702 $ 602,500 $ 610,113 $ 7,613 1.26%
• 11 � 1.: . • • :1: •: :1 ... ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation nded Increase Increase
Salaries&Wages $ 118,280 $ 128,668 $ 135,782 $ 145,163 $ 9,381 6.91%
Overtime $ - $ - $ - $ - $ - -%
PersonalServices $ i18,280 $ i28,668 $ 135,782 $ i45,i63 $ 9,38i 6.9i%
Contractual Services $ 930,639 $1,069,616 $ 1,103,513 $1,133,126 $ 29,613 2.68%
Utilities $ - $ - $ - $ - $ - -%
Supplies $ 19,807 $ 14,913 $ 20,513 $ 20,513 $ - -%
Small Ca ital - - - - - -%
Expenses $ 950,446 $1,084,528 $ 1,i24,026 $1,153,639 $ 29,613 2.63%
• 11 � 1. . • • :1: •: :1 ... ��
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-5
Program: General Government
8200 Town Manager Town ofLexington, MA
Mission: The Select Board appoints the Town Manager who oversees the daily operations of all
general government departments, implements the policies of the Select Board, proposes an annual
operating and capital budget, and enforces Town bylaws and regulations. The Town Manager's
authority and responsibilities are established in the Select Board-Town Manager Act of 1968. The
Town Manager's Office is also responsible for Human Resources and benefit administration, as well as
risk management.
Budget Overview: The Town Manager's Office budget is comprised of the following elements:
Organizational Direction and Administration, Human Resources, Sustainability, Pubic Outreach and
Communication, and Diversity, Equity and Inclusion. Organizational Direction and Administration
includes day-to-day oversight for all Town departments, townwide staff training and professional
development, and special projects. This function also implements all decisions of the Select Board and
provides staff support to various Town committees. The Sustainability and Resilience Officer, Public
Information Officer and Chief Equity Officer positions are in the Town Manager's Office to support and
further the goals and priorities of the Town. In addition, the Town Manager's OfFice, through the
Human Resources function, is responsible for personnel administration, benefits administration,
collective bargaining negotiations, workers compensation and unemployment benefits.
Departmental Initiatives:
1. Continue to support the Racial Diversity, Inclusion, and Equity Transformation plan and other social
equiry initiatives in coordination with the Select Board.
2. Work to support the organization's high-performance culture by providing directed team building to
the Middle and Senior Management Team.
3. Develop new revenue sources to support the budget, particularly the capital budget, by developing
long-term debt management strategies to mitigate the impact of large project debt service.
4. Continue the initiative to develop organizational sustainability by passing on institutional knowledge,
engaging mid-level managers in organization decision-making and selecting and training qualified
individuals.
5. Finalize new fiscal policies, specifically the development of a sustainable funding model for the
Capital Stabilization Fund and updating strategies for funding the Town's OPEB Liability. The next
policy review will evaluate the funding model for the Recreation Enterprise Fund.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-6
Program: General Government
8200 Town Manager Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Town Manager 1 1 1 1
Deputy Town Manager 1 1 1 1
Public Information Officer 1 1 1 1
Sustainability and Resilience Officer 1 1 1 1
Chief Equity Officer* — — 1 1
Office Manager/Special Events Coordinator 1 1 1 1
Management Fellow/Analyst** 1 1 2 2
Hearing Officers*** 0.12 0.12 0.12 0.12
Human Resources Director 1 1 1 1
Human Resources Associate 1 1 1 1
Benefits Coordinator 1 1 1 1
Municipal Assistant**** — 0.54 0.54 0.54
.
.
*A Chief Equity Officer was added in FY2022 via a program improvement in response to community organizing around racial
justice and equiry.
**A second Management Analyst role was added via 2021 Fall STM,in part to help manage the American Recovery Plan Act
(ARPA)projects. A portion of their salary is funded from ARPA.
***Two hearing officers hear appeals for parking fines;one municipal hearing officer hears appeals for fines issued by the Fire
Department(regional position,shared with Winchester and Woburn)
****A part-time Municipal Assistant was add via a program improvement in FYZ021 to support benefits processing for Human
Resources.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-7
Program: General Government
8200 Town Manager Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended budget inclusive of the Town Manager's Office and Human Resources is
$1,245,753, which is a $30,039 or 2.47% increase from the revised FY2022 budget. Fall 2021 Special
Town Meeting approved an increase in compensation to hire a Management analyst to assist with ARPA
project management.
The recommended FY2023 budget for Compensation is $956,568, and reflects a $23,889 or 2.56%
increase, which captures step increases. Compensation does not include any estimate of prospective
cost of living increases. Funds for prospective increases are captured in the Salary Adjustment account
within the Town Manager's budget.
The recommended FY2023 budget for Expenses is $289,185, which reflects an increase of$6,150 or
2.17% from FYZ022, which is a net increase to support the growth in department personnel.
The department's budget includes a Salary Adjustment Account, which reflects anticipated FYZ023
collective bargaining settlements, other wage increases, and compensated leave payments due certain
employees at retirement. Once contractual settlements are reached, funds are transferred from this
account to the appropriate departmental budget upon a vote of the Select Board. Nine contracts expire
at the end of FY2022 or earlier, including those with the Lexington Police Supervisors and Patrol
Officers, Dispatchers, Firefighters, Town Custodians, Crossing Guards, Municipal Managers and
Municipal Clerks.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
(reflected in (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Full-time HR Administrative Assistant � 26,609 $ 16,790 $ 43,399 $ — $ — $ — $ 43,399
(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-8
Program: General Government
8200 Town Manager Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 393,690 $ 487,168 $ 784,136 $ 847,175 $ 63,039 8.04%
Enterprise Funds(Indirect) $ 51,406 $ 42,193 $ 36,728 $ 36,728 $ - -%
Available Funds
Rentals* $ 431,498 $ 473,201 $ 394,850 $ 361,850 $ (33,000) -8.36%
. �� . ..- �� � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Revised Recommended Increase Increase
Compensation $ 714,544 $ 826,080 $ 932,679 $ 956,568 $ 23,889 2.56%
Expenses $ 162,050 $ 176,481 $ 283,035 $ 289,185 $ 6,150 2.17%
. �� . ..- �� � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Increase Increase
Actual Actual Revised Recommended
Total 8210 Organizational � 624,321 $ 753,077 $ 904,789 $ 929,103 $ 24,314 Z.69%
Dir. &Admin.
Total 8220 Human Resources $ 252,274 $ 249,485 $ 310,925 $ 316,650 $ 5,725 1.84%
. �� . ..- �� � �
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised Recommended Increase Increase
Salaries&Wages $ 714,544 $ 826,080 $ 932,679 $ 956,568 $ 23,889 2.56%
Overtime $ - $ - $ - $ - $ - -%
Personal Services $ 714,544 $ 826,080 $ 932,679 $ 956,568 $ 23,889 2.56%
Contractual Services $ 143,342 $ 155,818 $ 244,550 $ 250,050 $ 5,500 2.25%
Utilities $ 168 $ 1,107 $ - $ 1,400 $ 1,400 -%
Supplies $ 15,981 $ 16,217 $ 31,985 $ 31,235 $ (750) -2.34%
Small Capital $ 2,559 $ 3,339 $ 6,500 $ 6,500 $ - -%
Expenses $ 162,050 $ 176,481 $ 283,035 $ 289,185 $ 6,150 2.17%
. 11 . ..- •' 11 1 1 •
*Rentals are comprised of rental receipts from the WaldorF School,Bertucci's Italian Restaurant,LexFarm and PeeYs Coffee&Tea
sidewalk rentals,cell tower lease revenue and the sublease of Kline Hall to LexMedia.
Budget Summary - Salary Adjustment (8230)
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 477,222 $ 408,732 $ 313,529 $ 826,422 $512,893 163.59%
. . � �. -�:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary p�ual Actual Revised Recommended Increase Increase
Total 8230 Salary Adjustment $ 477,222 $ 408,732 $ 313,529 $ 826,422 $512,893 163.59%
. 1 �. �1: • . :. � .�
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-9
Program: General Government
8300 Town Committees Town ofLexington, MA
Mission: Town Committees includes the Appropriation Committee, Capital Expenditures Committee,
Public Celebrations Committee and various boards and committees appointed by the Select Board,
Moderator and the Town Manager.
Budget Overview: The Town Committees budget provides funding for a variety of statutory and
advisory committees that are an integral part of the operation of local government in Lexington. The
financial committees - the Appropriation Committee and the Capital Expenditures Committee - provide
detailed financial review and analysis to Town Meeting. The Town Celebrations Committee, appointed
by the Select Board, plans the Town's annual celebrations, including the Martin Luther King Day
celebration, and parades on Veterans' Day, Patriots' Day, and Memorial Day.
...................................................................................... ......................................................................................... .......................................................................................
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Authorized/Appropriated Staffing
Limited staff support is provided through the Town Manager's Office and Finance Department, and a
part-time Recording Secretary takes meeting minutes.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-10
Program: General Government
8300 Town Committees Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Town Committees budget is $70,160, which is an increase of$4,927 or
7.55% from FY2022.
Compensation will increase by $135 or 2%, which reflects a cost of living adjustment. Expenses are
funded at $63,263, which is an increase of $4,792 or 8.20%. This reflects a $925 or 2.5% increase in
supplies for the Town Celebrations Committee for increasing costs for Patriots' Day, and an additional
$4,000 ($5,000 total) for the Dance Around the World event that was postponed in FY2020, FY2021,
and FY2022 due to the pandemic.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Lexington Human Rights Committee � 6,000 $ - $ 6,000 $ - $ - $ - $ 6,000
Budget
Lexington Council for the Arts � 4,000 $ - $ 4,000 $ - $ - $ - $ 4,000
Expanded Programming
Budget Summary
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 10,102 $ 24,890 $ 65,233 $ 70,160 $ 4,927 7.55 %
. . : �� . . -- � � .•� � .�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary
Actual Actual Appropriation Recommended Increase Increase
Compensation $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 2.00 %
Expenses $ 6,148 $ 19,085 $ 58,471 $ 63,263 $ 4,792 8.20 %
. �� . . � � •� � .�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pctual Actual Appropriation Recommended Increase Increase
Total 8310 Financial Committees $ 4,299 $ 6,329 $ 8,262 $ 8,397 135 1.63 %
Total 8320 Misc. Boards& � 103 $ 6,005 $ 10,500 $ 10,500 $ - - %
Committees
Total 8330 Town Celebrations $ 5,700 $ 12,557 $ 46,471 $ 51,263 $ 4,792 10.31 %
. �� . . � � •� � .�
Object Code Summary �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 2.00 %
Overtime - - - - - - %
Compensation $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 Z.00 %
Contractual Services $ 38 $ 6,183 $ 10,000 $ 10,000 $ - - %
Utilities $ - $ - $ - $ - $ - - %
Supplies $ 6,110 $ 12,902 $ 48,471 $ 53,263 $ 4,792 9.89 %
Small Ca ital - - - - - - %
Expenses $ 6,148 $ 19,085 $ 58,471 $ 63,263 $ 4,79Z 8.20 %
. �� . . � � •� � .�
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-11
Program: General Government
8400 Finance Town ofLexington, MA
Mission: The Finance Department is responsible for: (1) maintaining timely and accurate records on
all financial activities of the Town; (2) administering internal financial controls; (3) facilitating the
evaluation of the Town's financial condition; (4) ensuring that the delivery of Town services is done in
compliance with Massachusetts General Laws that govern municipal finance; (5) providing timely and
accurate financial information to managers of Town services to facilitate the evaluation of the cost
effectiveness and efficiency of Town programs; (6) providing timely and accurate financial information
to Town boards and committees to facilitate policy deliberation and formulation; and (7) safeguarding
the financial assets of the Town.
Budget Overview: The Finance Department is comprised of the following divisions: the Comptroller's
Office, the Treasurer/Collector's Office and the Assessing Office.
• The Comptroller's Office is responsible for maintaining the Town's general ledger (accounting),
accounts payable, payroll and centralized purchasing. The Comptroller's budget is also inclusive
of funding for the Assistant Town Manager for Finance, who oversees all financial operations of
the Town, and the Budget Officer who in concert with the Assistant Town Manager for Finance
and the Town Manager, develops and monitors the annual capital and operating budgets.
• The Treasurer/Collector's Office has three primary responsibilities: the collection and deposit of
all Town taxes, fees and charges including property taxes, motor vehicle excise, utility billing
and other local receipts (permit and license fees, fines, etc.); the management and investment
of all revenues collected; and the issuance and servicing of debt.
• The Assessor's Office's primary function is the development of assessed values of real and
personal property.
Staff also support various boards and committees including the Appropriation Committee, Capital
Expenditures Committee, Retirement Board, Water and Sewer Abatement Board and other ad-hoc
committees as assigned.
Departmental Initiatives:
Comptroller:
1. The Employee Self Service (ESS) module went live in FY2021 and employees now have view
access to their own information in the online portal. The Comptroller's office continues to work
on implementing Tyler Content Manager (TCM) in conjunction with the IT department. This
module is an integrated document management and archiving system that will further expand
functionality for ESS and move the department closer to paperless processing.
2. Over the last year the Federal Government has appropriated billions of dollars for pandemic
relief through FEMA, the CARES Act, and the American Rescue Plan Act (ARPA). The Town of
Lexington has been allocated millions of dollars through these programs and the Comptroller's
office has taken on tracking, accounting, documentation and reporting of these funds. This
initiative will continue for several more years and we will continue to maximize the amount of
funding available to Lexington.
3. Partner with the Treasurer/Collector to implement electronic Accounts Payable as requested by
vendors to decrease the overall number of printed and mailed checks.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-12
Program: General Government
8400 Finance Town ofLexington, MA
Treasurer/Collector:
1. Implement an online portal for accepting gifts and donations for the Town's trust and gift
accounts. Staff believes our existing payment vendor UniPay can be used for this purpose and
will be working to design and implement this online payment option in the coming year.
2. Explore online access to individual properry tax accounts.
3. The Water and Sewer department recently implemented the tracking of miscellaneous
receivables (backflow billing) in Munis. The Finance department expects to add supplemental
tax billing, PILOTS and TDM payments to this process in the coming year.
Assessor:
1. Enhance productivity through adoption of new technology to support data collection and input
activity, including income and expense data.
2. Archive and electronically store all historical property record cards currently residing in the
Assessor's Office.
3. Develop procedures for addressing and resolving commercial abatements without litigation.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
X-13
Program: General Government
8400 Finance Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element 8410: Comptroller Budget Budget Budget Request
Asst. Town Manager for Finance/Comptroller 1 1 1 1
Town Accountant 1 1 1 1
Staff Accountant 1 1 1 1
Procurement Officer 0.91 0.91 0.91 0.91
Financial Clerk 1 1 1 1
Payroll Manager* — — 1 1
Budget Officer 1 1 1 1
Administrative Assistant 0.40 0.40 0.40 0.40
Subtotal FTE 6.31 6.31 7.31 7.31
SubtotalFT/PT 5FT/2PT 5FT/2PT 6FT/2PT 6FT/2PT
Element 8420: Treasurer/Collector
Treasurer/Collector 1 1 1 1
Assistant Tax Collector 1 1 1 1
Treasury Assistant 1 1 1 1
Account Clerk 1 1 1 1
Municipal Clerk 0.46 0.46 0.46 0.46
Subtotal FTE 4.46 4.46 4.46 4.46
SubtotalFT/PT 4FT/iPT 4FT/iPT 4FT/iPT 4FT/iPT
Element 8430: Assessor
Director of Assessing 1 1 1 1
Residential Field Manager 1 1 1 1
Residential Analyst/Inspector 2 2 2 2
Office Manager 1 1 1 1
Municipal Clerk 1 1 1 1
Subtotal FTE 6.0 6.0 6.0 6.0
Subtotal Ff/PT 6FT/OPT 6FT/OPT 6Ff/OPT 6FT/OPT
.
*In FY2022,a payroll manager was added via a a program improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-14
Program: General Government
8400 Finance Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Finance Department budget is $2,048,151, which represents a $43,543, or
2.17% increase from the FY2022 budget.
The operating budget for Compensation is $1,549,316, and reflects an increase of$38,343 or 2.54%,
which captures contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The recommended budget for Expenses is $498,835, and reflects an increase of $5,200 or 1.05%,
which reflects a small number of inflationary increases.
Program Improvement Request:
None requested.
Budget Summary
Funding Sources FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $1,500,102 $1,555,492 $ 1,822,694 $ 1,837,725 $ 15,031 0.82%
Enterprise Funds(Indirects) $ 163,526 $ 166,750 $ 149,914 $ 178,426 $ 28,512 19.02%
Fees&Charges
Charges for Services $ 34,229 $ 42,645 $ 32,000 $ 32,000 $ - -%
. -�� ��- .�: ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $1,328,134 $1,393,047 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Expenses $ 369,723 $ 371,841 $ 493,635 $ 498,835 $ 5,200 1.05%
. . :��� ��� .�• ��:
Program Summary FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Appropriation Recommended Increase Increase
Total 8410 Comptroller $ 632,386 $ 630,442 $ 767,639 $ 797,386 $ 29,747 3.88%
Total 8420 Treasurer/Collector $ 413,231 $ 433,903 $ 459,243 $ 465,201 $ 5,958 1.30%
Total 8430 Assessing $ 652,240 $ 700,543 $ 777,726 $ 785,564 $ 7,838 1.01%
. . -�� ��� .�• �-:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $1,325,306 $1,393,252 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Overtime $ 2,827 $ 205 $ - $ - $ - -%
Personal Services $1,328,134 $1,393,047 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Contractual Services $ 344,683 $ 349,997 $ 449,345 $ 453,745 $ 4,400 0.98%
Utilities $ (4,641) $ (1,980) $ 1,950 $ 2,750 $ 800 41.03%
Supplies $ 29,681 $ 23,823 $ 42,340 $ 42,340 $ - -%
Small Ca ital - - - - - -%
Expenses $ 369,723 $ 371,841 $ 493,635 $ 498,835 $ 5,200 1.05%
. . :��� ��� .�• ��:
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-15
Program: General Government
8500 Town Clerk Town of Lexington, MA
Mission: The Office of the Town Clerk is the primary repository of official documents for the Town,
and the custodian of and recording office for official Town and vital records. Responsibilities include
issuing marriage licenses, recording vital statistics, issuing dog licenses, registering businesses, fulfilling
public records requests, and conducting the annual Town Census. The Town Clerk's Office conducts
elections in conformance with State and local laws and, with the Board of Registrars, processes voter
registrations and certifications. The Town Clerk reports to the Deputy Town Manager.
Budget Overview: The four elements comprising the Office of the Town Clerk include Town Clerk
Administration, Registration, Elections, and Archives & Records Management.
Town Clerk Administration: The Town Clerk acts as the Town's recording officer, registrar of vital
statistics, and chief election official. The Town Clerk is the official record-keeper of Town Meeting,
certifies bylaws, Town Meeting appropriations, filings with the Department of Revenue, signs notes for
borrowing, and certifies official documents. The Town Clerk also registers all vital events within
Lexington, recording births, marriages and deaths in accordance with State law. The Town Clerk is
keeper of the seal, administers the oath of office to elected and appointed members of boards and
committees, maintains records of adopted municipal codes, regulations, bylaws, oaths of office,
resignations, appointments, and submits general bylaws and zoning bylaws to the Attorney General for
approval. The Town Clerk's Office issues licenses and permits and serves as a central information point
for residents.
Board of Registrars: Registrars, appointed by the Select Board, are responsible for promoting voter
registration, overseeing voter records and ruling on voter eligibility. Stipends for the Board of
Registrars remain level-funded. Annual voter confirmations are conducted in accordance with State
statute. The Annual Town Census and the publishing of the List of Residents is funded in this element.
Elections: This element includes administration of local, state and federal elections in accordance
with election laws, most recently including Early Voting for State biennial Elections and the Presidential
Primary, pre-registration of 16 and 17 year-olds, and automatic voter registration. Staff provide
information on candidate certifications, referenda, initiative petitions, campaign finance laws, election
procedures, ballot initiatives and voter information. Over 110 Election Workers staff Lexington's polling
locations, and site preparations are coordinated with Public Works, Public Facilities, Police and
Lexington Public Schools.
Records Management: This element addresses inventory and retention of historic and current
records and documents, including proper maintenance and storage, preservation, management of
electronic documents, and public access to public records and information. A part-time Archivist/
Records Manager is responsible for this work and oversees the conservation and preservation of
Lexington's historic documents.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-16
Program: General Government
8500 Town Clerk Town of Lexington, MA
Departmental Initiatives:
1. Ongoing administration of town/state/federal elections in conformance with statutory
requirements to provide legal and accessible elections to Lexington voters. Emphasis on goal of
utilizing municipal buildings for polling locations rather than schools.
2. Continued development of Archives & Records Management Program, including the
management of the Town's electronic documents;
3. Continued use of Laserfiche Document Imaging System for records retention, electronic access,
and archives/records portal, as well as for office use.
4. Continued use of Commonwealth of Massachusetts Electronic Vital Records Systems for births,
deaths and burial permits.
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Town Clerk 1 1 1 1
Assistant Town Clerk 1 1 1 1
Administrative Assistant 1 1 1 1
Municipal Assistant 1.23 1.23 1.23 1.23
Archivist/Records Manager 0.46 0.46 0.46 0.46
. . • . • . • . •
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-17
Program: General Government
8500 Town Clerk Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended Town Clerk budget is $627,297 which is a $124,866 or 24.85% increase
from the FY2022 budget. In FY2022, only one local election was budgeted, whereas in FY2023 there
will also be a state primary in September 2022 and a state general election in November 2022.
The budget for Compensation is $470,247 and reflects a $66,066 or 16.35% increase, which is
primarily driven by a larger number of elections in FY2023. The increase in FY2023 compensation is
inclusive of contractually obligated step increases and an increased need for poll workers.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2022. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The budget for Expenses is $157,050, which is an increase of $58,800 or 59.85%, and reflects a higher
number of anticipated elections in FY2023, as well as a program improvement for $30,500 to purchase
electronic poll pads for each precinct in Lexington, increasing efFiciency and reducing the need for
paper reports.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Municipal Clerk Position- � 10,351 $ 16,554 $ 26,905 $ — $ — $ — $ 26,905
additional hours
Archivist/Records Manager- � 20,606 $ 16,703 $ 37,309 $ — $ — $ — $ 37,309
Additional Hours
Election Modernization-Poll Pads $ 30,500 $ — $ 30,500 $ 30,500 $ — $ 30,500 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-18
Program: General Government
8500 Town Clerk Town of Lexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 406,463 $ 438,936 $ 426,531 $ 546,397 $119,866 28.10%
Directed Funding
Departmental Fees $ 36,361 $ 36,943 $ 35,900 $ 35,900 $ - -%
Licenses and Permits $ 42,255 $ 46,366 $ 40,000 $ 45,000 $ 5,000 12.50%
. . : �� . � • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ 391,457 $ 427,766 $ 404,181 $ 470,247 $ 66,066 16.35%
Expenses $ 93,622 $ 94,479 $ 98,250 $ 157,050 $ 58,800 59.85%
. . : �� . � • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation Recommended Increase Increase
Total 8510 Town Clerk Admin. $ 33Z,542 $ 338,717 $ 351,389 $ 347,595 $ (3,794) -1.08%
Total 8520 Board of Registrars $ 20,128 $ 16,906 $ 18,525 $ 19,825 $ 1,300 7.02%
Total 8530 Elections $ 9Z,889 $ 121,755 $ 79,800 $ 204,875 $125,075 156.74%
Total 8540 Records Management $ 39,519 $ 44,867 $ 52,717 $ 55,002 $ 2,285 4.33%
. . : �� . � • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 373,302 $ 406,539 $ 395,881 $ 457,622 $ 61,741 15.60%
Overtime $ 18,155 $ 21,226 $ 8,300 $ 12,625 $ 4,325 52.11%
Personal Services $ 391,457 $ 427,766 $ 404,181 $ 470,247 $ 66,066 16.35%
Contractual Services $ 77,589 $ 89,770 $ 86,150 $ 113,600 $ 27,450 31.86%
Utilities $ 3,050 $ 2,400 $ 2,�00 $ 2,000 $ - -%
Supplies $ 1Z,982 $ 2,309 $ 10,000 $ 10,850 $ 850 8.50%
Small Ca ital - - 100 30 600 30 500 30 500.00
Expenses $ 93,622 $ 94,479 $ 98,Z50 $ 157,050 $ 58,800 59.85%
. . : �� . � • �
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-19
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
Mission: The Innovation &Technology (IT) Department's mission is to provide high-quality, cost-
effective technology and services to Town administration and staff so that they can best serve the
citizens of the Town of Lexington; and, to provide effective web services to employees and residents to
facilitate both the dissemination and collection of information by town government.
Budget Overview: The IT department supports, maintains and manages Townwide business-related
technology (e.g. technology that serves both the School and Municipal staff or environments). IT
maintains the technology serving all Municipal departments. The department supports townwide core
services including the financial system (MUNIS), time keeping (NovaTime), document management
(Laserfiche), facilities maintenance and management technology, emergency management websites
and services, and VoIP telephone systems. IT maintains the infrastructure and security of the network
core and co-manages the townwide area network for municipal and school departments. The
department manages municipal technology purchases and performs the installations and maintenance
of Town information technology equipment and services. IT staff also provide support and training for
end-users.
Departmental Initiatives:
1. Maximize the value of current systems
a. Laserfiche
b. ViewPoint Cloud
c. MUNIS
d. VISION
e. BlueBeam
f. ProPhoenix
g. SeamlessDocs
2. Continue to invest in the Town's IT infrastructure and security posture
a. Implement recommendations from the network assessment
b. Implement recommendations from the cybersecurity assessment
c. Investigate additional cybersecurity/security measures and services
3. Increase Customer Service Quality
a. Emphasis on a customer-centric approach to working with the departments and staff
4. Focus on future visioning for IT
a. Mobile work initiatives
b. Hosting and replatforming of core systems
c. Unified communication
d. Disaster Recovery (DR) planning and expansion of capabilities
e. Network redundancy planning and implementation
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-20
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Innovation &Technology Director* 1 1 1 1
Information Technology Director 1 1 1 1
Municipal Assistant** 0.43 0.43 0.43 0.54
Business Analyst/Project Manager 2 2 2 2
Network Administrator 1 1 1 1
GIS/Database Administrator 1 1 1 1
Support Technician 1 1 1 1
Applications &Systems Administrator 1 1 1 1
Webmaster*** 2 2 1 1
Part-time Intern 0.25 0.25 0.25 0.25
• . 1 .: 1 .: • .: . .
� . . � . � . . . . .
*In FY2021,the Information Technology Department was renamed the Department of Innovation&Technology,
which resulted in a title change for the department head.
**In FY2023,a program improvement requests an increase in hours for the Municipal Assistant from 15 to 19 per
week.
***In FY2022,a webmaster was reassigned to Cary Library at Fall 2021 Special Town Meeting.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-21
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Innovation &Technology budget is $2,727,727, which is a $(61,565) or
(2.21)% decrease from the FY2022 budget.
The recommended budget for Compensation is $867,192, and reflects a $(27,600) or (3.08)%
decrease, which is a net change that reflects contractually obligated step increases and a program
improvement to increase the hours for an administrative assistant, offset by the transfer of a
webmaster to Cary Library. Compensation does not include any estimate of prospective cost of living
increases for contracts expiring on or before June 30, 2022. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The recommended budget for Expenses is $1,860,535 and reflects a $(33,965) or (1.79)% decrease,
which incorporates the following adjustments:
• An increase in Communications and Network Support ($75,000) to cover costs associated with
the replacement of the Network Core, including a $5,000 program improvement to maintain a
redundant network anticipated to be installed in FY2023 using either capital or ARPA funding;
• A decrease in Contract Services ($62,000) due to fewer projects requiring contracted services
during FY2023;
• A decrease in PC Hardware ($30,000) due to the large deployment of laptops during the
pandemic and FY2022 budgeting;
• An increase in overall Software Maintenance ($29,035) to reflect annual increases in software
maintenance in applications like MUNIS and ProPhoenix as well as new software installations,
offset by a reduction in the number of licenses for many other applications, especially under IT
Software Support.
• A decrease in LAN Hardware ($17,000) due to reduced server replacement needs.
• An increase in LAN Peripherals ($12,000) for replacing the network switches at the Community
Center.
• A decrease in various items ($35,000) relating to office supplies, mobile phones and
professional development to reflect actual expenses.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (refleded in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Administrative Assistant(PT to FT) $ 34,197 $ 16,900 $ 51,097 $ 6,838 $ 99 $ 6,937 $ 44,160
Applications Administrator $ 66,895 $ 17,374 $ 84,269 $ — $ — $ — $ 84,269
Fiber Maintenance and Repair $ 5,000 $ — $ 5,000 $ 5,000 $ — $ 5,000 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-22
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $1,792,874 $2,109,853 $ 2,700,253 $ 2,604,272 $ (95,981) -3.55%
Enterprise Funds(Indirects) $ 142,966 $ 119,524 $ 89,039 $ 123,455 $ 34,416 38.65%
• . :.�� . . . :-�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Recommended Increase Increase
Compensation $ 860,292 $ 836,010 $ 894,792 $ 867,192 $ (27,600) -3.08%
Expenses $1,075,548 $1,393,367 $ 1,894,500 $ 1,860,535 $ (33,965) -1.79%
. :.11 . . : '1 :• . .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation Recommended Increase Increase
8610 IT Administration $1,935,840 $2,229,377 $ 2,789,292 $ 2,727,727 $ (61,565) -2.21%
• :.11 � � : . .� . ;. . . .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary
Actual Actual Appropriation Recommended Increase Increase
Salaries&Wages $ 855,562 $ 831,717 $ 890,374 $ 862,716 $ (27,658) -3.11%
Overtime $ 4 729 $ 4 293 $ 4 418 $ 4 476 $ 58 1.31%
Persona/Services $ 860,292 $ 836,010 $ 894,792 $ 867,192 $(27,600) -3.08%
Contractual Services $ 891,561 $1,179,015 $ 1,542,000 $ 1,552,035 $ 10,035 0.65%
Utilities $ 82,381 $ 95,684 $ 129,000 $ 127,500 $ (1,500) -1.16%
Supplies $ (4,401) $ 7,560 $ 29,500 $ 17,000 $ (12,500) -42.37%
Small Capital $ 106,007 $ 111,108 $ 194,000 $ 164,000 $ (30,000) -15.46%
Expenses $1,075,548 $1,393,367 $ 1,894,500 $ 1,860,535 $(33,965) -1.79%
� . :.11 � . � :'1
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-23
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Section XI: Capital Investment
FY2023 Capital Improvement Budget & Financing Plan
INTRODUCTION
A crucial aspect of the Town's operations, from providing services to its residents and businesses to
equipping employees to effectively perform their jobs, requires the existence of certain basic physical
assets. These assets include streets, water mains, parks, buildings, large equipment and technology.
They must be purchased, maintained and replaced on a timely basis or their usefulness in providing
public services will diminish. The Town's five-year Capital Improvements Program and annual Capital
Budget are developed to ensure adequate capital investment in the Town's assets.
Definition of Capital Projects
A capital project is defined as a major, non-recurring expenditure that generally meets the following
criteria:
• Massachusetts General Law permits the Town to issue bonds to finance the expenditure;
• The expenditure is $25,000 or more;
• The expenditure will have a useful life of 10 years or more for buildings or building components
and 5 years for vehicles and equipment; and
• Planning, engineering, or design services may be considered capital when such services are
integral to a construction, renewal or replacement project that meets the criteria for a capital
expenditure.
CAPITAL POLICY FRAMEWORK
The FY2023 Capital Budget was developed within the capital policy framework initially adopted by the
Select Board in 1991, and subsequently amended in 2006 and 2009 to ensure adequate planning and
funding for capital investment, particularly cash capital projects within the General Fund. This capital
investment strategy includes the following major elements:
• Multi-year planning for capital investment;
• Debt exclusions for major capital projects; and
• Ensuring sufficient operating budget resources for maintaining capital assets.
FIVE-YEAR CAPITAL PROGRAM
Five-year capital improvement planning has been part of Lexington's budget development process for
many years. Multi-year planning allows proper staging and sequencing of capital projects to smooth
financing plans and to make funding needs more predictable. Capital investment requirements can
vary, involving unique large projects such as a fire vehicle or a school building. Other capital
investment needs are recurring such as the annual program to resurface roadways.
The five-year Capital Improvement Program includes all anticipated capital projects identified by school
and municipal departments over the next five years.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-1
The following are potential funding sources for financing the Town's capital investments:
• Cash Financing - The Town regularly appropriates available funds (i.e., cash financing) from the
general and enterprise funds to finance certain capital investment projects. Examples of available
funds are unreserved fund balance (free cash), tax levy, enterprise fund retained earnings,
specialized stabilization funds, premiums received when issuing bond anticipation notes, and,
when available, unexpended balances of prior years' capital articles.
• Debt - The Town has traditionally financed large dollar value capital projects with debt.
Depending upon the project, the debt service resulting from debt-funded capital projects can be
financed from a variety of sources including the General Fund (either within the Levy Limit or
from a voter approved Proposition 21/z debt exclusion), Enterprise and Revolving Funds or the
Community Preservation Fund (see discussion of the CPA below).
In 2019, the Town's management, Select Board and finance committees reviewed the Town's
finance policies and will be implementing new strategies for funding the Town's capital plan. This
includes increasing cash financing of projects, particularly the items that are part of a continuing
capital program, and reducing the Town's overall reliance on debt financing.
• Other Sources - The Town uses dedicated state aid and grant funding to finance capital
investment when these funds are available.
• Community Preservation Act (CPA) Funds - Beginning in FY2007, following voter approval,
the Town began to assess a Community Preservation Surcharge of 3% of the property tax levied
against all taxable real property. For owners of residential properry, the assessed value used to
calculate the surcharge is net of a $100,000 residential exemption. Community Preservation
funds can be used for those purposes defined by the Community Preservation Act, MGL Ch. 44B.
Such purposes include the acquisition and preservation of open space, the creation and support
of community (affordable) housing, the acquisition and preservation of historic resources, and the
creation and support of recreational facilities.
Beginning in FY2008, the Town began to receive State matching funds to supplement the local
surcharge. Over time, as additional communities in the Commonwealth adopted the CPA
surcharge, the annual percentage of state matching funds gradually decreased. In 2019, the
state enacted new legislation to increase funding to the Community Preservation budget, and
Lexington's annual match is expected to increase significantly. This new legislation became
effective beginning in January 2020, and in November 2020, Lexington received a State match of
$1.5 million, or 29.7% of its surcharge revenue. In FY2022 the State match further increased to
at total of 40.9%, or $2.2 million. Receipts for FY2023 from the surcharge and state matching
funds are preliminarily estimated at $8.1 million, reflecting an estimated match of $2.2 million, or
38%.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-2
FY2023 CAPITAL FINANCING STRATEGY
The proposed financing plan for the recommended FY2023 capital budget is shown in the table below.
, e
Other
Free Cash/ Funding
Tax Levy Sources Debt Total Other**
General Fund $ 12,467,290 $ — $ 6,415,000 $ 18,882,290 $ —
Excluded Debt Projects $ — $ — $ 32,800,000 $ 32,800,000 $ —
Other Funding &Chapter 90 $ — $ 548,747 $ — $ 548,747 $ 982,231
Water Enterprise $ — $ 2,420,000 $ — $ 2,420,000 $ —
Sewer Enterprise $ — $ 945,000 $ 2,220,000 $ 3,165,000 $ —
Recreation Enterprise $ — $ 95,000 $ — $ 95,000 $ —
Community Preservation Act* $ — $ 11,322,556 $ — $ 11,322,556 $ —
, i . . , e. . .s
*Includes both Town and non-Town CPA funded projects.
**Other represents Chapter 90 Aid for street improvements. This item does not require a Town Meeting appropriation.
The following table, FY2023 Recommended Capital Budget, lists all FY2023 projects recommended by the
Select Board for consideration and their estimated costs by program area and funding source. The Capital
Expenditures Committee has also been evaluating these requests and will issue a report and
recommendations to Town Meeting.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-3
FY2023 Recommended Capital Budget
-e - �e e e
��ee ° e � �� e s � s ee s e
Conservation West Farm Meadow Preservation $ 28,ll5 CPA 10
Conservation Wright Farm Barn Stabilization and Preservation $ 155,000 CPA 10
Economic Development Hartwell District Signage $ 65,000 TMOD Stabilization Fund 12
Land Use Townwide Pedestrian&Bicycle Plan $ 65,000 Traffic Stabilization Fund 12
Planning South Lexington and Forbes-Marrett Traffic Mitigation Plans $ 175,000 Traffic Stabilization Fund 12
Planning/Engineering Transportation Mitigation $ 6,824 TNC Spec. Revenue Fund 12
Total Land Use, Health and Development $ 494,999
Fire Replace Pumper Truck $ 650,000 Free Cash 12
Total Public Safety $ 650,000
Recreation&Comm. Pgms. Pine Meadows Improvements $ 95,000 Recreation RE il
Recreation&Comm. Pgms. Park and Playground Improvements $ 200,000 CPA 10
Recreation&Comm. Pgms. Park Improvements-Athletic Fields $ 250,000 CPA 10
Recreation&Comm. Pgms. Park Improvements- Hard Court Surfaces $ 2,500,000 CPA 10
Recreation&Comm. Pgms. Community Park Master Plan-Lincoln Park $ 100,000 CPA 10
Total Culture and Recreation $ 3,145,000
Public Facilities Public Facilities Bid Documents $ 100,000 Free Cash 16
Public Facilities Building Flooring $ 150,000 Free Cash 16
Public Facilities School Paving and Sidewalks $ 145,000 Free Cash 16
Public Facilities Mechanical/Electrical Systems Replacements $ 787,000 Free Cash 16
Public Facilities Municipal Building Envelopes and Associated Systems $ 219,540 Tax Levy 16
Public Facilities Townwide Roofing $ 428,000 Free Cash 16
Public Facilities School Building Envelopes and Associated Systems $ 251,400 Free Cash 16
Public Facilities Playground Enhancements-Pour-in-Place Surfaces $ 1,459,591 CPA 10
Public Facilities Center Recreation Complex Bathrooms&Maintenance � 915,000 CPA 10
Building Renovation
Public Facilities Lexington Police Station Construction $ 32,800,000 Exempt Debt STM
Public Facilities LHS Feasibility Study $ 1,825,000 GF Debt TBD
Public Facilities High School Equipment Emergency Funds $ 500,000 GF Debt 16
Public Facilities Town Pool Water Heater Replacement $ 31,000 Free Cash 16
Total Public Facilities Department $ 39,611,531
Public Works Townwide Culvert Replacement $ 390,000 Free Cash 12
Public Works Equipment Replacement $ 1,536,000 Water-Sewer RE/Free Cash 12
Public Works Sidewalk Improvements $ 800,000 Free Cash/Prior Bond Auth. 12
Public Works Townwide Signalization Improvements $ 125,000 Free Cash 12
Public Works Storm Drainage Improvements and NPDES Compliance $ 570,000 Free Cash 12
Public Works Comprehensive Watershed Stormwater Management $ 390,000 Free Cash 12
Public Works Street Improvements $ 2,669,767 Tax Levy 12
Public Works Pump Station Upgrades $ 2,000,000 Wastewater RE/Debt 14
Public Works Sanitary Sewer System Investigation and Improvements $ 1,020,000 wastewater Debt/user Charges 14
Public Works Water Distribution System Improvements $ 2,200,000 Water RE/User Charges 13
Public Works Hydrant Replacement Program $ 150,000 Water RE/Free Cash 12
Public Works Battle Green Streetscape Improvements $ 4,975,000 Free Cash/GF Debt 12
Public Works Municipal Parking Lot Improvements $ 60,000 Free Cash 12
Public Works Public Parking Lot Improvement Program $ 100,000 Free Cash 12
Public Works New Sidewalk Installations $ 75,000 Free Cash 12
Total Public Works Department $ 17,060,767
Lexington Public Schools LPS Technology Program $ 1,343,006 Free Cash 15
Total Lexington Public Schools $ 1,343,006
Innovation&Techno%gy Application Implementation $ 158,500 Free Cash 12
Innovation&Techno%gy Network Redundancy&Improvement Plan $ 945,000 Free Cash 12
Innovation&Techno%gy Scanning- Electronic Document Management $ 110,000 Free Cash 12
Town Clerk Archives&Records Management $ 20,000 CPA 10
Total General Government $ 1,233,500
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-4
Lexington Housing Authority Vynebrooke Village ModPHASE Modernization Project $ 160,790 CPA 10
Lexhab 116 Vine Street Affordable Housing Construction $ 5,300,000 CPA 10
Lexhab Affordable Housing Unit Renewal $ 234,000 CPA 10
Total Non-Governmental Projects $ 5,694,790
6 / 6 e , e e
CAPITAL PLAN BY FINANCING SOURCE
The following pages include tables that show the recommended FY2023 capital projects by financing
source: General Fund debt; Water Fund debt; Wastewater Fund debt; Recreation and Community
Programs Fund debt; Proposition 2�/2 excluded debt; Community Preservation Fund debt; Compost
Revolving Fund debt; and cash capital (i.e., current revenue).
Each debt-related table includes the projected debt service impact of recommended projects, actual
debt service on debt authorized and issued, and projected debt service on debt authorized and
unissued. Finally, each table is accompanied by a written description of each recommended project.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-5
FY2023 RECOMMENDED PRO)ECTS - GENERAL FUND DEBT (Table I)
TABLE I: FY2023 RECOMMENDED PRO7ECTS-GENERAL FUND DEBT
Amount PROJECTED DEBT SERVICE
Interest
FindnCed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
MUNICIPAL PRO]ECTS
1 Battle Green Streetscape g 4,090,000 15 4% / $ 109,067 $ 436,267 $ 425,360 $ 414,453 $ 403,547
Improvements($4,975,000)
Subtotal $ 4,090,000 $ 109,067 $ 436,267 $ 425,360 $ 414,453 $ 403,547
FACILITIES PRO]ECTS
Within-Levy Projects
1 High School Equipment Emergency a
Funds $ 500,000 5 4/o / $ - $ 120,000 $ 116,000 $ 112,000 $ 108,000
Subtotal $ 500,000 $ - $ 120,000 $ 116,000 $ 112,000 $ 108,000
Project that is a potential candidate for debt exclusion
1 LHS Feasibility Study $ 1,825,000 5 4°/o $ - $ 73,000 $ 438,000 $ 423,400 $ 408,800
Subtotal $ 1,825,000 $ - $ 73,000 $ 438,000 $ 423,4D0 $ 408,800
TOTAL PRO]ECT COSTS $6,415,000 $ 309,067 $ 629,267 $ 979,360 $ 949,853 $ 920,347
AUTHORIZED LEVY SUPPORTED DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Approved and Issued $ 6,491,534 $ 5,472,708 $ 4,142,558 $ 2,972,282 2,432,262
B Projected Approved and Unissued $ 940,979 $ 2,326,180 $ 2,260,016 $ 2,193,852 $ 2,127,688
C Total Debt Service on Authorized Debt $ 7,432,513 $ 7,798,888 $ 6,402,574 $ 5,166,134 $ 4,559,950
D Projected New Levy Supported Debt Service(above) / $ 109,067 $ 629,267 $ 979,360 $ 949,853 $ 920,347
E TOTAL-PROJECTED LEVY SUPPORTED DEBT SERVICE 10 397 112 7 541 580 8 428 155 7 381 934 6 115 987 5 480 297
F Plus:Projected Debt Seroice on Future Capital Projects $ 155,133 $ 1,442,735 $ 2,755,935 $ 4,096,011
G Less:Debt Service Funded from Special Revenue Accounts $ (51,933) $ (16,125) $ (132,023) $ (124,148) $ (124,148) $ (124,148)
H Less:Revenue Set Aside for Paydown of Land Purchases $ (2,320,274) $ - $ - $ - $ - $ -
I Less:Proposed Use of Stabilization Fund $ - $ - $ - $ - $ - $ -
J Total Offsets to Projected Levy Supported Debt Service(G+H+I) $ (2,372,207) $ (16,125) $ (132,023) $ (124,148) $ (124,148) $ (124,148)
K PRO]ECTED NET LEW SUPPORTED DEBT SERVICE(E+F+]) $8,024,905 $7,525,455 $ 8,451,265 $8,700,521 $8,747,774 $9,452,160
Municipal Projects
1. Battle Green Streetscape Improvements - $4,975,000 ($4,090,000 General Fund
Debt; $885,000 Free Cash): This request will fund the remaining design, construction and
project management for the roadways around the Lexington Battle Green, which currently
includes a preferred roundabout alternative for the intersection with Hancock Street and
Massachusetts Avenue. Prior authorizations from FY2013 and FY2016 funded a review of the
pedestrian and vehicular safety and flow in and around the Battle Green, ways to enhance the
access and visibility of the historical sites and how it relates to the overall Center Streetscape
Project. A conceptual plan has been developed and will be further refined through the
remaining design phase and public outreach process. The funding for both final design and
construction is being requested for this Town Meeting to allow for the work to be completed in
advance of the 250th anniversary of the Battle of Lexington.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-6
Facilities Projects
In 2020, the Department of Public Facilities conducted an evaluation of all the Town's building-related
capital assets. This study produced a detailed report on the current condition of DPF assets, including a
20-year Master Plan for renovations and replacements of all town buildings and systems. Due to timing of
receipt of the report, and DPF's focus on ensuring ongoing operations and town and school buildings
during the pandemic, recommendations from the report have not been incorporated into this budget.
Initial conversations with policy makers on insights gleaned from the report data will begin in early 2022,
and we expect that staff will further update and prioritize the long-term capital plan in a way that is
financially feasible and and best protects the Town's capital assets.
1. High School Equipment Emergency Funds - $500,000 (General Fund Debt): The
Lexington High School is a building with many needs, both in terms of the ability to house a
high performing educational program and the physical facility itself. The facility continues to age
and some systems have exceeded their useful life. The Facilities department continues to
perform regular preventative maintenance, however some systems are still in danger of failing.
The Town has begun planning for a significant construction project in the coming years, and the
Lexington School Committee has submitted a Statement of Interest to the MSBA for
consideration of a new or refurbished high school. While waiting on that invitation, and the
construction that will follow, this request would provide a funding authorization to repair or
replace a major mechanical system in an emergency situation only. This debt authorization will
remain open and available for expenditure until a new or refurbished facility is operational, and
at that time any unused portion would be rescinded.
Potential Candidate for Debt Exclusion
1. LHS Feasibility Study- $1,825,000 (General Fund Debt): Lexington High School (LHS)
was renovated in 2000 to a capacity of 1,842 students. In 2014 and 2015, pre-fabricated
buildings were added to the campus, increasing the number of classrooms. The January 28,
2015 Symmes Maini & McKee Associates (SMMA) Lexington Public Schools Master Plan Report
identified the "classroom" capacity of LHS to be 2,270 students, though also identifying that
core areas would still be overcrowded. This existing capacity was projected to provide sufficient
classroom space for the next five years. From the SMMA Master Plan, a School Building Project
Consensus Plan was developed that identified adding capacity to the middle schools, elementary
schools, and pre-Kindergarten, as the priorities over the next five years. School Committee
submitted a Statement of Interest (SOI) to the Massachusetts School Building Authority (MSBA)
to evaluate LHS for insufficient educational capacity and system upgrades. Should the MSBA
select the Lexington SOI, funding would be required for the Feasibility Study. The SOIs
submitted to the MSBA in 2019 and 2020 were not selected to move forward. In February
2021, the School Committee again submitted an SOI to the MSBA and expect to hear if the LHS
project is selected in the Spring of 2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-7
FY2023 RECOMMENDED PRO)ECTS - WATER FUND DEBT (Table II)
TABLE II: FY2023 RECOMMENDED PROJECTS-WATER DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None proposed. $ - --- --- $ - $ - $ - $ - $ -
TOTAL PRO)ECT COSTS $ - $ - $ - $ - $ - $ -
AUTHORIZED WATER DEBT SERVICE FY2022 FY2023 FY2024 FY2Q25 FY2026 FY2027
A Subtotal:Authorized and Issued $ 1,006,679 $ 849,135 $ 692,868 $ 666,206 $ 635,015
B Subtotal:Approved and Unissued(short and long-term) $ 218,067 $ 626,400 $ 615,560 $ 604,720 $ 593,880
C Total:Debt Service on Authorized Debt / $1,224,746 $1,475,535 $1,308,425 $1,270,926 $1,228,895
D Subtotal: Projected Debt Service on Proposed Capital Projects $ - $ - $ - $ - $ -
E TOTALPRO]ECTEDWATERDEBTSERVICE $1,179,794 $1,224,746 $1,475,535 $1,308,428 $1,270,926 $1,228,895
No recommendations for debt financing.
FY2023 RECOMMENDED PRO)ECTS - WASTEWATER FUND DEBT (Table III)
TABLE III: FY2023 RECOMMENDED PRO]ECTS-WASTEWATER DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 Pump Station Upgrades $1,SOO,000 10 4% / $ 40,000 $ 210,000 $ 204,000 $ 198,000 $ 192,000
($2,000,000)
Sanitary Sewer System
2 Investigation and Improvements $720,000 10 4% � $ 19,200 $ 100,800 $ 97,920 $ 95,040 $ 92,160
($1,020,000)
TOTAL PRO]ECT COSTS $2,220,000 $ 59,200 $ 310,800 $ 301,920 $ 293,040 $ 284,160
AUTHORIZED SEWER DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal:Authorized and Issued Debt $ 1,355,417 $ 1,099,820 $ 1,019,324 $ 928,187 $ 845,285
B Subtotal:Approved and Unissued Debt(short and long-term) $ 200,000 $ 557,800 $ 548,920 $ 540,040 $ 531,160
D Subtotal��.Project d'Debt Servhe on Pr pobed Capital Projects � �1,55592 00 $1,63�0 800 $1�5301 g44� �$1,468,040 $1,3284,4160
E TOTAL PROJECTED SEWER DEBT SERVICE $1,464,513 $1,614,617 $1,968,420 $1,870,164 $1,761,267 $1,660,605
1. Pump Station Upgrades - $2,000,000 ($1,500,000 Wastewater Debt, $500,000
Wastewater Retained Earnings): This is an ongoing program to upgrade Lexington's ten
sewer pumping stations. A 2013 evaluation and capital plan was developed for the Town with
the assistance of Wright-Pierce, including a detailed engineering survey of the pump stations.
The survey helped determine current and future needs, timetable and probable costs for the
proposed work. Construction has been completed on the pump stations at Worthen Road,
Marshall Road and Constitution Road. Design has been finalized for construction at the Hayden
Avenue pump station and the recent bid process resulted in significant cost increases over
original projections. Design is underway and near completion for the North Street pump
station, and given the recent bid results the construction cost for the North Street pump station
has increased significantly to reflect current market prices. The goal of this program is to
upgrade all of the pumps and support systems to enable better energy efficiency and avoid
emergency expenditures.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-8
2. Sanitary Sewer System Investigation and Improvements - $1,020,000 ($720,000
Wastewater Debt, $300,000 Wastewater User Charges): This is an annual program that
provides for rehabilitation of sanitary sewer infrastructure. Work will include replacement or
repair of deteriorated sewers, force mains and manholes in order to improve flow and reduce
inflow and infiltration into the system. Engineering investigation and evaluation will continue on
sewers throughout town, including those in remote, hard to access areas. These capital
investments improve the operation of the sewer system, reduce backups and potential
overflows, prevent system malfunctions and reduce the measured flows through the MWRA
meter.
Beginning in FY2021, the funding source for this ongoing capital replacement program has been
gradually shifting to Wastewater user charges, with the ultimate goal of transitioning the entire
program to cash funding over 10 years. While rate payers may pay slightly higher wastewater
rates in the short-term, significant debt service savings will be realized, resulting in lower overall
costs in the long-term.
FY2023 RECOMMENDED PRO)ECTS - RECREATION FUND DEBT (Table IV)
TABLE IV: FY2023 RECOMMENDED PROJECTS-RECREATION and COMMUNITY PROGRAMS DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED RECREATION REVENUE DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt Service $ — $ — $ — $ — $ —
B Subtotal: Approved and Unissued Debt Service $ — $ — $ — $ — $ —
C Total: Approved Debt Service $ — $ — $ — $ — $ —
D Subtotal: Projected Debt Service on Proposed Capital Projects ; $ — $ — $ — $ — $ —
E TOTAL PROJECTED DEBT SERVICE $ — $ — $ — $ — $ — $ —
No recommendations for debt financing,
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-9
FY2023 RECOMMENDED PRO7ECTS - FUNDING THROUGH PROPOSITION 2�/z DEBT
EXCLUSION (Table V)
TABLE V: FY2023 RECOMMENDED PROJECTS- FUNDING THROUGH PROPOSITION 2�/z DEBT EXCLUSION
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
Lexington Police Station $32,800,000 30 — $ — $ 2,405,333 $ 2,361,600 $ 2,317,867 $ 2,274,133
Construction
Total Project Cost $32,800,000 $ — $ 2,405,333 $ 2,361,600 $ 2,317,867 $ 2,274,133
APPROVED AND PROPOSED EXCLUDED DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
Subtotal: Approved and Issued Debt $ 15,945,696 $ 14,023,382 $ 13,629,861 $ 13,229,441 $ 12,681,295
Subtotal: Approved and Unissued Debt $ 34,606 $ 1,018,557 $ 989,311 $ 960,066 $ 930,820
Total: Approved Excluded Debt Service $ 15,980,302 $ 15,041,939 $ 14,619,172 $ 14,189,507 $ 13,612,115
Subtotal: Subtotal-Projected Exempt Debt Service(above) �$ — $ 2,405,333 $ 2,361,600 $ 2,317,867 $ 2,274,133
Total Approved and Proposed Excluded Debt Service $16,747,991 $15,98U,302 $17,447,272 $16,980,772 $16,507,374 $15,886,248
Less:use of Capital Stabilization Fund to Mitigate Debt Service � �Z�gp0,000) $ (800,000) $ (700,000) $ — $ — $ —
Impacts on Properry Tax Bills
Net Excluded Debt Service $13 947 991 $15 iS0 302 $16 747 272 $i6 980 772 $16 507 374 $15 886 248
1. Lexington Police Station Construction - $32,800,000 (Exempt Debt): The existing
police station opened in 1956 and lacks many basic amenities of a modern police facility. The
building does not have an elevator or a sally port for prisoner access to the cell block. It also
lacks a fire sprinkler system. The indoor firing range, locker rooms, garage and office spaces
are inadequate. Bathrooms on the basement and second floor levels are not ADA compliant.
The heating and cooling systems are inefficient and the building is served by two separate
electrical systems which cause problems during outages.
In FY2017, the Town appropriated $65,000 for a feasibility study to consider locations for
constructing a new Police Station. In FY2019, the Town funded the design and engineering of a
new Police Station at its current location, 1575 Massachusetts Avenue. The funding request for
the demolition and reconstruction of the Police Station, and temporary relocation space, was
originally planned for the 2021 Annual Town Meeting, but was postponed to allow the
community to engage in conversations regarding race, social justice and the future of policing.
After public engagement and reaffirming the conceptual design, final design funds were
appropriated at the Fall 2021 Special Town Meeting. The request for construction funding,
currently estimated at $32,800,000, will come to the 2022 Annual Town Meeting, with a debt
exclusion vote to follow in June 2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-10
FY2023 RECOMMENDED PRO)ECTS - Community Preservation Act Debt (Table VI)
TABLE VI: FY2023 RECOMMENDED PROJECTS-COMMUNITY PRESERVATION ACT DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED CPA REVENUE DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt $ 1,866,600 $ 1,788,900 $ 681,200 $ — $ —
B Subtotal: Approved and Unissued Debt $ 69,032 $ — $ — $ — $ —
C Total: Approved Debt Service $1,935,632 $1,788,900 $ 681,200 $ — $ —
D Subtotal: Projected Debt Service on Proposed Capital Projects $ — $ — $ — $ — $ —
E TOTAL PRO]ECTED DEBT SERVICE $2,989,550 $1,935,632 $1,788,900 $ 681,200 $ — $ —
No recommendations for debt financing.
FY2023 RECOMMENDED PRO)ECTS - Compost Revolving Fund (Table VII)
TABLE VII: FY2023 RECOMMENDED PROJECTS-Compost Revolving Fund
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED REVENUE SUPPORTED DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt $ 227,475 $ 189,436 $ 181,966 $ 174,496 $ 102,200
B Subtotal: Approved and Unissued Debt $ — $ — $ — $ — $ —
C Total: Approved Revenue Supported Debt Service $ 227,475 $ 189,436 $ 181,966 $ 174,496 $ 102,200
D Subtotal: Projected Debt Service on Proposed Capital Projects $ — $ — $ — $ — $ —
E TOTAL PRO]ECTED DEBT SERVICE $ 163,001 $ 227,475 $ 189,436 $ 181,966 $ 174,496 $ 102,200
No recommendations for debt financing,
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-11
FY2023 RECOMMENDED PRO7ECTS - CASH CAPITAL (Table VIII)
TABLE VIII: FY2023 RECOMMENDED FUNDING FROM REVENUES(Cash by Source)
Waterl
Sewer Recr. Enterprise
Retained Retained Operating Other
Project Free Cash Tax Levy Earnings Earnings Funds CPA* Funds*� Total Cost Other**'
SCHOOLPROJECTS
1 LPS Technology Program $1,343,006 $ - $1,343,006 $ -
• ees ees
FACILITIES
2 Public Facilities Bid Documents $ 100,000 $ - $ 100,000
3 Building Flooring $ 150,000 $ - $ 150,000
4 School Paving and Sidewalks $ 145,000 $ - $ 145,000
5 Mechanical/Electrical Systems Replacements $ 787,000 $ - $ 787,000
6 Municipal Building Envelopes and Associated $ 219,540 $ - $ 219,540
Systems
7 Townwide Roofing $ 428,000 $ - $ 428,000
$ School Building Envelopes and Associated $ Z51,400 $ - $ 251,400
Systems
9 Playground Enhancements-Pour-in-Place $1,459,591 $ - $1,459,591
Surfaces
10 Center Recreation Complex Bathrooms& $ 915,000 $ - $ 915,000
Maintenance Building Renovation
11 Town Pool Water Heater Replacement $ 31,000 - $ 31,000
• ase ae
MUNICIPAL PROJECTS
12 West Farm Meadow Preservation $ 28,175 $ - $ 28,175
13 Wright Farm Barn Stabilization and Preservation $ 155,000 $ - $ 155,000
14 Hartwell District Signage $ 65,000 $ 65,000
15 Townwide Pedestrian&Bicycle Plan $ 65,000 $ 65,000
16 South Lexington and Forbes-MarrettTraffic $175,000 $ 175,000
Mitigation Plans
17 Transportation Mitigation $ 6,824 $ 6,824
18 Replace Pumper Truck $ 65Q000 $ - $ 65Q000
19 Pine Meadows Improvements $ 95,000 $ - $ 95,000
20 Park and Playground Improvements $ 200,000 $ - $ 200,000
21 Park Improvements-Athletic Fields $ 250,000 $ - $ 250,000
22 Park Improvements-Hard Court Surfaces $2,500,000 $ - $2,500,000
23 Community Park Master Plan-Lincoln Park $ 100,000 $ - $ 100,000
24 Townwide Culvert Replacement $ 390,000 $ - $ 390,000
25 Equipment Replacement $1,246,000 $ 29Q000 $ - $1,536,000
26 Sidewalk Improvements $ 563,077 $236,923 $ 800,000
27 Townwide Signalization Improvements $ 125,000 $ - $ 125,000
28 Storm Drainage Improvements and NPDES $ 570,000 $ - $ 570,000
Compliance
29 Comprehensive Watershed Stormwater $ 390,000 $ - $ 390,000
Management
30 Street Improvements"" $2,669,767 $ - $2,669,767 $982,231
31 Pump Station Upgrades $ 500,000 $ - $ 500,000
32 Sanitary Sewer System Investigation and $ 300,000 $ - $ 300,000
Improvements
33 Water Distribution System Improvements $1,600,000 $ 600,000 $ - $2,200,000
34 Hydrant Replacement Program $ 75,000 $ 75,000 $ - $ 150,000
35 Battle Green Streetscape Improvements $ 885,000 $ - $ 885,000
36 Municipal Parking Lot Improvements $ 60,000 $ - $ 60,000
37 Public Parking Lot Improvement Program $ 10Q000 $ - $ 10Q000
38 New Sidewalk Installations $ 75,000 $ - $ 75,000
39 Application Implementation $ 158,500 $ - $ 158,500
40 Network Redundancy&Improvement Plan $ 945,000 $ - $ 945,000
41 Scanning-Electronic Document Management $ 110,000 $ - $ 110,000
42 Archives&Records Management $ 20,000 $ - $ 20,000
• asr eee sf' eoe
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-12
OTHER CPAFUNDED PROJECTS
43 Vynebrooke Village ModPHASE Modernization $ 160,790 $ 160,790
Project
44 116 Vine Street Affordable Housing Construction $5,300,000 $5,300,000
a5 Affordable Housing Unit Renewal $ 234,000 $ 234,000
• •a `
• a as� e�e ser eee
*CPA totals do not include proposed FY2023 administrative budget of$150,000 and$1,935,632 for debt service.
**Other Funds include the Parking Fund,TDM Stabilization Fund,Transportation Network Company(TNC)Special Revenue Fund,and Prior Bond Authorizations.
***Other includes$982,231 in Chapter 90 Aid for street improvements.
****Proposed funding for the annual street resurfacing program is comprised of$2,669,767 of tax levy dollars and an anticipated distribution of$982,231 of Chapter
90 funds. This level of funding is intended to maintain the Town's roadway surface rating(RSR)in the mid-80s.
School Department Projects
1. LPS Technology Program - $1,343,006 (Free Cash): This request addresses the District's
strategic goal for enhancing the capacity to utilize technology as an instructional and administrative
tool. The request will continue to support student access to devices to allow for innovative learning
methods that integrate supportive technologies, problem-based approaches and higher order
thinking skills. It also maintains and improves, when needed, current infrastructure such as
networks, access points and servers.
The capital improvement request for FY2023 would provide funding for the following:
Tech Workstations - $173,400 to replace Unit A (all classroom teachers, counselors, librarians and
staff working under the teacher contract; Unit A) workstations and peripheral devices (laptops,
desktops, printers and monitors). Staff workstations were primarily replaced from FY2020 funds,
thus minimal replacements are budgeted for this cycle. (150 laptops @ $1,075 each, 5 laptops/
workstations @ $1,000 each, 10 printers @ $440 each, and 10 monitors @ $275 each)
PreK-5 Mobile Devices - $105,300 to replace 260 Grade 1 iPads across all district Grade 1 classes
due to current devices having reached their end of life. (260 iPads @ $405 each)
1:1 Middle School Program - $212,610 to purchase 570 Chromebooks for 6th graders entering
Diamond and Clark Middle Schools. All middle school students have 1:1 devices and the devices
follow them through middle school (three-year life span). Generally, by the end of middle school,
many devices have reached their end of life due to use. (570 Chromebooks @ $373 each)
1:1 at Lexin_t�gh School - $180,480 to purchase 640 Chromebooks for 9th graders. All high
school students, once provided a device in 9th grade or upon entering the high school, have the
device through their senior year (four-year life span). (640 Chromebooks @ $282 each)
Science/Technoloqy/Engineering/(Art)/Math (STEM/STEAM./Computer Science - $80,800 to update
district computer labs at either the Middle School/High School level and purchase STEM/STEAM
based curricular materials. (two labs @ $37,400 each, $6,000 for STEM/STEAM Materials)
Interactive Projectors/Whiteboard Units and Document Cameras- $240,416 to replace 48
interactive projectors districtwide. This equips buildings with a touch-activated interactive system
with a new ceramic whiteboard and soundbar. The replacements will begin with the oldest model
per school until all systems are within a 5-year window with all of the same functionality. The
request will also replace 28 document cameras at middle schools, with remaining schools planned
in future years. As part of new school construction, some schools have newer document cameras
and other schools have had document cameras replaced prior to this year. (48 projectors @ $4,640
each, 28 document cameras @ $632 each)
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-13
District and Building Network Infrastructure - $330,000 to replace switches at the high school that
control internet and internal connections ($40,000), replace switches districtwide that support
internal connections in schools ($90,000), and replace the electronic devices that support the
schools' virtual networks ($200,000).
Server/Storaae Infrastructure - $20,000 to maintain and upgrade any server-related hardware.
Department of Public Facilities Projects
2. Public Facilities Bid Documents - $100,000 (Free Cash): This is an annual request for
funding professional services to produce design development, construction documents and/or bid
administration services for smaller projects in anticipation of requests for construction funding at
town meeting that have a high probability of approval. This will ensure that both municipal and
school projects can be completed in the then-current construction season, which is particularly
important for the timely completion of school building projects given the short window between the
end of school in June and the end of summer.
3. Building Flooring - $150,000 (Free Cash): Initiated in FY2011, this is an annual request for
funds to be used for the replacement of flooring systems in municipal and school buildings. The
goal of this annual program is to ensure failing floor surfaces are replaced and are safe for all
users. The FY2023 request will begin a systematic replacement of classroom flooring from Vinyl
Composite Tile to Linoleum Vinyl Tile at Bowman, Bridge, Clarke, Fiske and Harrington schools. In
FY2022, second floor hallway floors at Fiske Elementary School were replaced, as were floors in
four classrooms at the high school, the field house basketball court and the Town Office Building.
4. School Paving and Sidewalks - $145,000 (Free Cash): This capital request provides�as
needed' replacement of sidewalks, bus loops and parking areas on school grounds. Extraordinary
repairs for school paving areas are necessary to maintain parking and pedestrian surfaces in a
condition suitable for public safety and highlights the Safe Routes to School. The FY2023 request
will specifically fund sidewalk panel replacements and parking and roadway improvements at Clarke
Middle School which are currently in poor condition.
5. Mechanical/Electrical Systems Replacements - $787,000 (Free Cash): This request is part
of an annual replacement of HVAC and electrical systems that have exceeded their useful lives and
require replacement before excessive failures occur. This appropriation will address items identified
in the 20-year Master Plan.
6. Municipal Building Envelopes and Associated Systems - $219,540 (Tax Levy): This
ongoing capital request, originally approved for funding in the 2006 Proposition 2�/2 Override,
includes repair and replacement projects for the maintenance and upgrade of municipal buildings
and systems. The FY2023 request seeks funding to begin a window replacement project at the
Lexington Community Center. Windows in the mansion section of the building are single pane,
difficult to open and have significant air leaks, and this funding will replace them with a safer and
more energy efficient option.
7. Townwide Roofing - $428,000 (Free Cash): A priority for this FY2023 request is to replace a
significant portion of the Central Administration Building's asphalt shingle roof which is necessary to
prevent water infiltration.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-14
8. School Building Envelopes and Associated Systems- $251,400 (Free Cash): The purpose
of this ongoing capital request is to perform annual prioritized extraordinary repairs and
modifications to school buildings and systems. Specifically, the FY2023 request will be used to
address water and air infiltration issues at the Central Administration Building by repairing or
replacing gaskets, caulking, doors and windows.
9. Playground Enhancements - Pour-in-Place Surfaces- $1,459,591 (CPA): Older
playgrounds use bark mulch as their safety surfacing, which is not stable and is regularly washed
out or kicked out by students using the play equipment. When this occurs, the 12-inch impact
absorbent surfacing requirement is no longer being met, which could result in serious injuries if or
when a student falls. Pour In Place (PIP) safety surfacing is a rubber/urethane product being used
in all new playground installations. Benefits include better drainage, consistent safety surface, and
faster snow melt, enabling use of the playground during colder months. Replacement of the
playground surfaces at the Bowman, Bridge and Estabrook elementary schools is proposed during
the summer of 2022, as well as a completely new playground at the Fiske elementary school.
10. Center Recreation Complex Bathrooms & Maintenance Building Renovation - $915,000
(CPA): This request is for construction costs associated with renovation of the bathrooms and
maintenance building at the Center Recreation Complex. The project will renovate the bathrooms,
repair the plumbing system, and install new fixtures. In addition, the storage area currently used
by DPW staff to maintain the athletic fields in the area, will be renovated to better support those
efforts.
11. Town Pool Water Heater Replacement - $31,000 (Free Cash): This request will replace the
water heater at the town pool complex which provides hot water to the 11 sinks and 18 showers at
the complex, located in both locker rooms, the family bathroom/locker room and the outdoor
showers on the pool deck. The existing oil-based water heater was installed in 2013 and is
approaching end of life. There has been considerable discussion around the heating source for the
replacement unit, and this item may be adjusted to cover design costs for installation of an electric
unit.
Municipal Pro'�ects
12. West Farm Meadow Preservation - $28,175 (CPA): This request is to preserve approximately
10 acres of ineadow at West Farm to improve passive recreation opportunities, enhance wildlife
and plant habitat, and create a renewed connection to Lexington's history through the recovery of
stone walls and scenic vistas.
13. Wright Farm Barn Stabilization and Preservation - $155,000 (CPA): This is a first phase
request to stabilize the shell of the Barn structure at Wright Farm to prevent weather and water
damage by fixing or replacing the windows, gutters, down spouts, and roof shingles. In addition,
ponding water in the lowest level below grade needs to be addressed.
14. Hartwell District Signage - $65,000 (Hartwell Transportation Management Overlay
District (TMOD) Stabilization Fund): This is a request to add new signage on Hartwell Avenue
and the jughandle on Bedford street to address safety issues as well as to support economic vitality
by drawing attention to the commercial corridor - Hartwell Innovation Park.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-15
15. Townwide Pedestrian & Bicycle Plan - $65,000 (Traffic Stabilization Fund): This request
is to develop a Townwide Pedestrian and Bicycle Plan, which will compile existing conditions data,
identify and prioritize future improvements to the streets, sidewalks, shared use paths to more
safely accommodate pedestrians, rollers and bicyclists and provide meaningful connections to the
region's active transportation network. The plan will provide a framework for the Transportation
Safety Group (TSG) to address safety requests, prioritize sidewalk requests and inform capital plan
budget decisions. The Plan will update the sidewalk prioritization plan and sidewalk request
process to address locations with the most need and those that will create the most community
benefit.
16. South Lexington and Forbes-Marrett Traffic Mitigation Plans - $175,000 (Traffic
Stabilization Fund): This request is to develop two Traffic Mitigation Plans: one for the South
Lexington Transportation Management Overlay District (TMOD) and the second for Forbes-Marrett
TMOD. The South Lexington TMOD encompasses the intersection of Spring Street and Hayden
Avenue and most of Hayden Avenue. The Forbes-Marrett TMOD encompasses the Marrett Road
and Forbes Street intersection. Traffic Mitigation Plans are a critical part of justifying mitigation
payments from private development in the area and are required for proper implementation of the
TMODs. In addition, the Plans outline projects and strategies to use mitigation funds to reduce
single occupancy vehicle trips, increase safety and reduce traffic congestion.
17. Transportation Mitigation - $6,823.50 (Transportation Network Company (TNC) Special
Revenue Fund): This annual capital request is to support the ongoing work of the Transportation
Safety Group (TSG). The TSG is staffed by the Planning, Engineering, School and Police
Departments. Between FY2008 and FY2011, Town Meeting appropriated funds to collect data,
perform analysis, review citizen requests and recommendations for various townwide transportation
improvements in support of the Traffic Mitigation Group (dissolved in 2012 and later reconstituted
as the TSG). Anticipated projects for the FY2023 funds include study and creation of school zones;
on-call engineering services to quickly address safety requests and address road design to reduce
speeds where needed; and to apply to MassDOT to reduce certain regulatory speed limits.
18. Replace Pumper Truck- $650,000 (Free Cash): This request will replace the fire
department's 2004 pumper truck that is currently being used as a mechanical reserve. In general,
fire equipment has an anticipated useful life of 20 years. Lexington typically uses a truck in the
front-lines for 10-years, followed by 10-years as a mechanical reserve. The 2004 pumper saw
extensive front-line use when a previous pump had mechanical issues, which caused additional
wear and tear to this piece.
19. Pine Meadows Improvements - $95,000 (Recreation Retained Earnings): This request
will fund installation of new fairway bunkers on the 2nd and 7th holes as well as a greenside
bunker at the 8th hole, reconstruction of the bunker on the 9th green, expansion of the tee at the
9th hole, reconstruction of the middle tee on the 8th hole, and completion of the design and
engineering work associated with the cart path restoration and renovation on the 5th hole.
20. Park and Playground Improvements - $200,000 (CPA): This request will update and replace
playground equipment, safety surfacing and various other amenities at Kinneens Park. The existing
playground equipment was last replaced in 2004. The proposed improvements will result in the
park being in compliance with the Consumer Product Safety Commission (CPSC), the American
Society for Testing and Materials (ASTM) and the American with Disabilities Act (ADA).
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-16
21. Park Improvements - Athletic Fields - $250,000 (CPA): This ongoing multi-year capital
program is to address safety and playability concerns as well as provide adequate and safe field
conditions. This program funds improvements to athletic fields, including renovations to natural
turf, drainage, new irrigation systems, and site amenities including benches and backstops. The
FY2023 funds will be used for such improvements to the Fiske School Fields. Based on
recommendations from a 2017 ADA Compliance Study, additional walkways will be installed to
provide accessibility to the various ball field team areas as well as to the share outfields. If
approved, renovations will begin in the Fall of 2022.
22. Park Improvements - Hard Court Surfaces - $2,500,000 (CPA): This request will renovate
the Farias Basketball Courts and Gallagher Tennis Courts. The project will include the construction
of post tension court surfaces for basketball and tennis/pickleball. In addition to new courts, the
project will provide new fencing, athletic equipment, storage shed, shelter, site amenities, tennis
practice backboards, and signage. Due to the extensive use that they receive, a complete
reconstruction of the the courts and installation of new practice boards will be needed.
23. Community Park Master Plan - Lincoln Park- $100,000 (CPA): This request is to complete
a master plan for Lincoln Park to provide a strategic road map for implementing improvements,
enhancements, and upgrades at Lincoln Park in upcoming years. Significant investments are
planned in the coming 5 years, including field replacements and upgrades to the playground and
fitness stations. The master plan will incorporate feedback from the Lincoln Park-Sub Committee,
Recreation Committee, Conservation Commission, and community stakeholders, and result in a
coordinated, holistic approach when implementing planned capital improvement projects at Lincoln
Pa rk.
24. Townwide Culvert Replacement - $390,000 (Free Cash): This request is part of an ongoing
program to proactively replace culverts prior to catastrophic failure, which will allow for proper
design considerations and funding while also minimizing the impact to residents through
unexpected road closures and flooding. A comprehensive Culvert Asset Management Plan guides
the work to replace culverts in town; which is a companion effort with the ongoing Watershed
Management Plan. Final design has been completed for culverts at Constitution Road and the
Valleyfield area. Construction is underway for phase 1 of Constitution Road; Valleyfield/Waltham
Street will be bid soon.
25. Equipment Replacement- $1,536,000 ($1,246,000 Free Cash, $145,000 Water
Retained Earnings, $145,000 Sewer Retained Earnings): This is an annual request to
replace equipment that is beyond its useful life and whose mechanical condition no longer meets
the requirements of the Department of Public Works (DPW). The DPW has an inventory of 146
pieces of equipment including sedans, hybrid SUVs, construction vehicles and specialized equipment
used to mow parks, plow snow, repair streets and complete a variety of other projects. Without
regular equipment replacement, the efficiency and cost effectiveness of the DPW's operations
would be handicapped due to equipment down time and excessive repair costs.
Each piece of equipment is inventoried with original and current replacement cost, state of
condition and replacement time interval. Replacement intervals vary from 5 to 20 years and are
based on manufacturer recommendations and use (type and duration).
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-17
The selection of vehicles to be replaced begins with the proposed replacement date. Then each
vehicle is assessed as to its mechanical condition and work requirements. The systematic
replacement program defines what equipment is expected to need replacement during the next five
years with the intent of preventing any unexpected emergency purchases. Annual updates are
conducted by the Equipment Maintenance Division, Division Superintendents and reviewed by the
Manager of Operations and Director of Public Works.
The FY2023 request, by funding source, is shown in the table below.
Equipment Free Cash Sewer RE Water RE Total
6 Wheel Dump with Snow Plow $ 50,000 $ 87,500 $ 87,500 $ 225,000
Utility Service Truck $ 57,500 $ 57,500 $ 115,000
Drain Flushing &Vacuum Truck $ 500,000 $ 500,000
Boom Flail Mower $ 45,000 $ 45,000
Autonomous Paint Striping Machine $ 52,000 $ 52,000
Wheeled Excavator $ 230,000 $ 230,000
Loader Mounted Snow Blower $ 170,000 $ 170,000
Sign Machine $ 63,000 $ 63,000
Toro Workman $ 40,000 $ 40,000
Small Front End Loader 96 000 96 000
Total $1,246,000 $145,000 $145,000 $1,536,000
26. Sidewalk Improvements ($800,000) - $800,000 ($563,077 Free Cash & $236,923 Prior
Bond Authorizations): This request seeks funds to rebuild and/or repair existing sidewalks that are
in poor condition. DPW (in conjunction with various committees and town departments) generates a
list each year of sidewalks most in need of repair/replacement, based on four determining factors:
1) Is the sidewalk unsafe for travel due to trip hazards, defects, etc.
2) Is the sidewalk within the Safe Routes to School Program
3) Is the volume of pedestrian traffic heavy, light or average
4) Is the general condition of the sidewalk poor, fair or good which dictates treatments such as
full reconstruction, overlay or patching
DPW currently reviews the condition for 30% of town sidewalks annually, which is used to identify
the work to be done. Sidewalks considered for FY2023 funding include:
• Lowell St. from Woburn St. to Fulton Rd. (East side)
• Heritage Dr.
• Partridge Rd.
• Gould Rd. from Dewey to Turning Mill Rd.
• South Rindge Ave.
• Bow St.
• Waltham St. from Park Dr. to Worthen Rd. (West side)
• Village Circle
• Sanderson Rd.
• Bryant Rd.
• Orchard Lane
• Demar Rd. from Turning Mill to #26
• Dewey Rd. from Grove St. to Gould Rd.
• Royal Circle
• Reconstruction of Ramps, Townwide
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-18
The following table presents the recent history of Sidewalk appropriations:
FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022
$ 600,000 $ 600,000 $ 800,000 $ 800,000 $ 800,000 $ 800,000 $ 800,000
27. Townwide Signalization Improvements - $125,000 (Free Cash): This is an annual request
for funds to update traffic and pedestrian signals in Lexington. A signal inventory and compliance
study has been completed, which includes ADA compliance, condition assessment, signal timing,
delays and prioritization recommendations. Most work has been completed at the intersection of
Massachusetts Avenue and Worthen Road; once pole relocations are complete the final course of
asphalt will be placed and final pavement markings painted to complete the project. The FY2023
request is anticipated to address the Lowell Street intersections with North Street and East Street.
28. Storm Drainage Improvements and NPDES Compliance - $570,000 (Free Cash): This is
an annual request to replace and supplement existing drainage structures, issues typically
uncovered during roadway related construction activity. Funds will also be used for continued
compliance with the Environmental Protection Agency (EPA) Phase II regulations which help
improve the water quality of Lexington's streams and ponds. Approximately $300,000 of this
funding request is for compliance with the construction-related portions of the National Pollutant
Discharge and Elimination System (NPDES) minimum control measures as mandated by the EPA in
the stormwater general permit. The permit also requires the Town to comply with requirements for
illicit discharge detection and elimination (IDDE), best management practices (BMP), installation,
and retrofits. The remaining $270,000 will be used to repair/replace drainage structures
encountered during road construction, repair other drainage areas of concern in the Town and
improve stormwater issues discovered during NPDES investigation work. Current drainage
improvements are being performed throughout the Oakland Street neighborhood. The IDDE
program has continued with two summer interns and work is underway on the design of numerous
BMPs, as well as drainage improvements in other areas of town. The preemptive repair of existing
drainage structures will reduce damage to structures themselves, existing pavement, and private
and public property.
29. Comprehensive Watershed Stormwater Management- $390,000 (Free Cash): DPW,
Engineering and Conservation collaborate on this annual capital request which addresses drainage/
brook management issues. The request funds the continuing design and implementation of
watershed plans and the construction of priorities established in those plans. Staff has reviewed
three watershed plans already completed (Charles River, Shawsheen River and Mystic River) and
developed a prioritization schedule with built-in flexibility pending unforeseen changes. Requested
funding will be used to move forward with those prioritized areas. Oxbow/Constitution phase 1 is
currently under construction, and the first phase of Valleyfield/Waltham Street will be bid soon.
Long-term benefits of the program include prevention of property damage, reduction in liability and
overall improvement to the health of Lexington's waterways.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-19
30. Street Improvements- $3,651,998 ($2,669,767 Tax Levy, $982,231 Chapter 90
funding): This is an annual request for the street resurfacing and maintenance program. In
addition to the $2,669,767 appropriated from the tax levy, $982,231 of Chapter 90 funds will be
utilized. (Chapter 90 funding is based on Lexington's most recent allocation and on the current
state allocation of $200 million statewide.) Funds will be used for design, inspections, planning,
repair, patching, crack sealing and construction of roadways and roadway related infrastructure
including repair and installation of sidewalks. A preliminary list of the streets to be repaired under
this article is currently being developed. A pavement management system is utilized to assist in
analyzing the road network and selecting roadways for repairs. This funding will allow for the
proper improvements and repair of Lexington's streets and sidewalks, increasing their quality and
safety.
Street Improvements - Financing Components
FY2023
2001 Override Increased by 2.5% per year $ 741,812
Maintenance of unallocated revenue from FY2012 Revenue Allocation Model $ 281,234
Maintenance of unallocated revenue from FY2013 Revenue Allocation Model $ 164,850
FY2014 Health Insurance Savings $ 1,100,000
Additional Tax Levy Funding $ 381,871
Estimated Chapter 90 Aid $ 982,231
Total $ 3,651,998
Without Chapter 90 $ 2,669,767
31. Pump Station Upgrades - $2,000,000 ($1,500,000 Wastewater Debt, $500,000
Wastewater Retained Earnings): See detailed description under Table III: Wastewater Fund
Debt.
32. Sanitary Sewer System Investigation and Improvements - $1,020,000 ($720,000
Wastewater Debt, $300,000 Wastewater User Charges): See detailed description under
Table III: Wastewater Fund Debt.
33. Water Distribution System Improvements - $2,200,000 ($1,600,000 Water Retained
Earnings, $600,000 Water User Charges): This is an annual program that replaces unlined,
inadequate, aged and vulnerable water mains, deteriorated service connections and eliminates
dead ends in the water mains. Water mains were recently replaced on Vaille Avenue, significant
portions of Hartwell Avenue, Peacock Farm Road, Eldred Street and White Pine Lane. Additionally,
a sustaining valve was installed on Grove Street to ensure that proper pressures are maintained.
Water main replacements are anticipated in the Parker Road neighborhood, and on Vine Street,
Hayden Avenue, Marshall Road, and Lowell Street from Maple Street to and including Summer
Street. A booster pump is planned for the low-pressure area along Fairfield Street.
The Town has also completed a hydraulic model for the entire distribution network and an asset
management plan for replacing the Town's aging water infrastructure that will ensure a proactive
approach for keeping Lexington's water both safe and reliable. The model identifies areas of
vulnerability, water main aging, and those areas with low volumes and pressures. The asset
management plan recommends the replacing 1% of our water mains on an annual basis.
Beginning in FY2021, the funding source for this ongoing capital replacement program has been
gradually shifting to Water user charges, with the ultimate goal of transitioning the entire program
to cash funding over 11 years. While rate payers may pay slightly higher water rates in the short-
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-20
term, significant debt service savings will be realized, resulting in lower overall costs in the long-
term.
34. Hydrant Replacement Program - $150,000 ($75,000 Free Cash &$75,000 Water
Retained Earnings): This is an ongoing replacement program designed to maintain the integrity
of the fire protection system throughout town. Faulty hydrants need to be replaced to meet safety
requirements. A list of hydrants needing replacement is generated each year during the annual
inspection and flushing of hydrants by the Water and Fire Departments. Based on discussions
between the two departments, the target goal is to replace approximately 60 hydrants per year at a
cost of $2,500 per hydrant. The Town of Lexington has 1,747 fire hydrants in its fire protection
system; a total of 57 hydrants were replaced in FY2021, and 12 were repaired.
35. Battle Green Streetscape Improvements - $4,975,000 ($4,090,000 General Fund Debt;
$885,000 Free Cash): See detailed description under Table I: General Fund Debt.
36. Municipal Parking Lot Improvements - $60,000 (Free Cash): This request is for the survey
and design of the parking lot that extends from Fletcher Avenue on the most easterly side to the
limits of the Town Office Building parcel on the most westerly side. Funds for construction/
reconstruction will be requested in FY2024. The project includes reconstruction of the existing
asphalt parking areas as well as new construction and reconfiguration of parking in the area
nearest the Hosmer House and Police Station. This will provide for improved flow through the
parking area as well as the potential for additional parking spaces pending the impacts of the Police
Station design and Hosmer house move. The design and construction of the parking lot will be
coordinated with the Police Station reconstruction since that project will significantly impact the
existing parking lot.
37. Public Parking Lot Improvement Program - $100,000 (Free Cash): This request is for the
redesign of the public parking lots located in downtown Lexington, including the Depot lot, the lot
between Edison Way and the Depot (CVS lot), and the lot between Waltham Street and Muzzey
Street (Michelson lot). These lots are currently in fair to poor condition with inefficient circulation
and parking layouts. This redesign work will include surveys and a conceptual plan development
design, with the anticipated results of improved efficiency, circulation and aesthetics. More detail is
needed in order to get solid estimates on the cost of construction.
38. New Sidewalk Installations - $75,000 (Free Cash): This request is to fund the survey and
design work for a new sidewalk along Cedar Street. This design work and public outreach will
inform a future request for construction funding.
39. Application Implementation - $158,500 (Free Cash): This capital program is for large
application migrations and implementations. The FY2023 request covers a number of initiatives -
1) the purchase and installation of a cemetery management system to facilitate cemetery
operations; 2) the purchase, installation and configuration of a scheduling and time tracking
system(s) for the police and fire departments; and 3) the purchase and installation of permitting
and inspections software for the Board of Health.
40. Network Redundancy &Improvement Plan - $945,000 (Free Cash): This request is to
build a stand alone fiber network for town computing and communications in an effort to achieve
redundancy and vendor-independent capability. This will protect communication (both data and
voice) between sites that are assessed as critical to the daily function and safety of the Town, and
support greater use of paperless processes. Design for the network has been completed, and if
approved, installation would begin in Summer 2022.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-21
41. Scanning - Electronic Document Management- $110,000 (Free Cash): This request is to
scan existing physical documentation into the Town's document management systems (Laserfiche
and Tyler Content Manager). This effort will support continued efforts to migrate to paperless
workflows. Once workflows have been established and no additional paper records are being
created, historical records are scanned to ensure a complete repository and to allow departments to
reclaim the physical space previously occupied by their records.
42. Archives & Records Management - $20,000 (CPA): This is an ongoing request to fund the
conservation and preservation of historic municipal documents and records and to make them
available on the Town's digital archives. This FY2023 request will include the 1927 blueprints for
the Cary Memorial Building; Tax Warrants and Acts of Massachusetts, 1778-1823; and Police
Department Journals 1874-1909. Significant progress has been made in preserving Lexington's
historic documents but there remains a continuing need to preserve records from the early 1900s
and make them accessible. It is projected that this will be a yearly request for treatment/
digitization/microfilming of records. The preservation and conservation of permanent records for
archiving creates the basis for documenting Lexington's history for the future.
43. Vynebrooke Village ModPHASE Modernization Project- $160,790 (CPA): This request is
for fire and other safety system upgrades to supplement state funding for a large-scale
modernization project at Vynebrooke Village, operated by the Lexington Housing Authority. The
overall project cost is currently estimated to be $4,434,550.
44. 116 Vine Street Affordable Housing Construction - $5,300,000 (CPA): This request is to
construct affordable housing at 116 Vine Street. LexHAB proposes to build six units of affordable
housing that are expected to achieve near net zero energy consumption due to the use of solar
panels and extensive energy conservation measures in the design of the buildings. The
construction funds are the final phase in a three-phase approach that will enable the creation of six
units of affordable housing that will promote economic diversity and provide much needed housing
within Lexington.
45. Affordable Housing Unit Renewal - $234,000 (CPA): This request is for preservation,
rehabilitation and restoration of 18 LexHAB units. Nine of the units were purchased with CPA
funds, and rehabilitation and preservation work is anticipated, including kitchen and bath
renovations, new appliances, electrical upgrades, installation of a new doors and exterior painting
to prevent failure. For the remaining nine LexHAB-operated units not secured with CPA funds, the
projects will include re-roofing or roof replacement as well as exterior painting to prevent damage
and failure of the structure.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-22
.� ' �' ' '� 1 � ' •�• '� 1 1 .� '�
Ongoing Capital Programs-General Fund
Deferred
Dept. Project Name FY2023 FY2024 FY2025 FY2026 FY2027 Total
Innovation&Techno%gy
Application Implementation $ - $ 200,000 $ 100,000 $ 100,000 $ 100,000 $ 500,000
Network Core Equipment Replacement $ - $ 8Q000 $ 19Q000 $ - $ 26Q000 $ 530,000
Municipal Technology Improvement Program $ - $ 100,000 $ 100,000 $ 100,000 $ 100,000 $ 400,000
Network Redundancy&Improvement Plan $ - $ 450,000 $ 220,000 $ 110,000 $ - $ 780,000
Phone Systems&Unified Communications $ - $ - $ 90,000 $ 80,000 $ 60,000 $ 230,000
: � ��� �� ��� •� ��� � ��� ��� ���
Land Use,Hea/th and Development
Transportation Mitigation $ - $ 40,000 $ 60,000 $ 100,000 $ 100,000 $ 300,000
�� ��� .� ��� �� ��� �� ��� �� ���
Public Facilities
Public Facilities Bid Documents $ - $ 100,000 $ 100,000 $ 100,000 $ 100,000 $ 400,000
Building Flooring $ - $ 156,000 $ 162,000 $ 169,000 $ 176,000 $ 663,000
School Paving and Sidewalks $ - $ 218,000 $ 125,000 $ 125,000 $ 125,000 $ 593,000
Mechanical/Electrical Systems Replacements $ - $ 850,000 $ 917,000 $ 984,000 $ 1,053,000 $ 3,804,000
Municipal Building Envelopes and Associated Systems $ - $ 225,029 $ 230,655 $ 236,421 $ 242,332 $ 934,437
Townwide Roofing $ - $ 652,000 $ 1,269,000 $ 244,000 $ - $ 2,165,000
School Building Envelopes and Associated Systems $ - $ 257,684 $ 264,127 $ 270,600 $ 277,365 $ 1,069,776
�. • �
Public Works
' Townwide Culvert Replacement $ - $ 390,000 $ 390,000 $ 390,000 $ 390,000 $ 1,560,000
Equipment Replacement $ - $ 1,585,000 $ 1,575,000 $ 1,465,000 $ 1,52q000 $ 6,145,000
Sidewalk Improvements $ - $ 800,000 $ 800,000 $ 800,000 $ 800,000 $ 3,200,000
Townwide Signalization Improvements $ - $ 50,000 $ 55,000 $ - $ - $ 105,000
* Storm Drainage Improvements and NPDES Compliance $ - $ 570,000 $ 570,000 $ 570,000 $ 570,000 $ 2,280,000
* Comprehensive Watershed Stormwater Management $ - $ 390,000 $ 390,000 $ 390,000 $ 390,000 $ 1,560,000
Street Improvements $ - $ 2,688,312 $ 2,707,321 $ 2,726,806 $ 2,746,777 $ 10,869,216
Hydrant Replacement Program $ - $ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 300,000
- - - - - :�. . �
Schools
LPS Technology Program $ - $ 1,391,303 $1,312,551 $ 1,411,961 $ 1,389,538 $ 5,505,353
1 1
• . .• �� � 1 1� 1 � 1
Ongoing Capital Programs-Enterprise Funds
Deferred
Dept. Project Name FY2023 FY2024 FY2025 FY2026 FY2027 Total
Public Works
Pump Station Upgrades $ - $ 75,000 $ - $ - $ - $ 75,000
Sanitary Sewer System Investigation and Improvements $ - $ 1,040,404 $ 1,061,210 $ 1,082,431 $ 1,104,080 $ 4,288,125
Water Distribution System Improvements $ - $ 2,244,000 $ 2,288,900 $ 2,334,670 $ 2,381,360 $ 9,248,930
Hydrant Replacement Program $ - $ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 300,000
WaterTower(s)replacement $ - $ - $ 2,156,250 $ 9,803,750 $ - $ 11,960,000
��� .� .� ��� �
Recreation&Community Programs
Pine Meadows Improvements $ - $ - $ 250,000 $ - $ 60,000 $ 310,000
Pine Meadows Equipment $ - $ 95,000 $ - $ 75,000 $ 30,000 $ 200,000
��� � ��� ��� •� ��� � ���
. . .� .. . ��� .� � . � ��� �
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-23
.� ' �' ' '� 1 � ' •�• "� 1 1 .• '�
Ongoing and One-time Capital Projects-CPA Fund
Deferred
Dept. ProjectName FY2023 FY2024 FY2025 FY2026 FY2027 Total
Land Use,Health and Willard's Woods Site Improvements $ - $ 597,114 $ - $ - $ - $ 597,114
Development
Public Works Public Grounds Irrigation Improvements $ - $ 80,000 $ - $ - $ - $ 80,000
Park and Playground Improvements $ - $ 15Q000 $ 80Q000 $ 835,000 $ 25Q000 $ 2,035,000
Park Improvements-Athletic Fields $ - $ 285,000 $ 480,000 $ - $ - $ 765,000
Recreation&Community Park Improvements-Site Amenities $ - $ 30,000 $ - $ 30,000 $ - $ 60,000
Programs Cricket Field Construction $ - $ - $ - $ 200,000 $ - $ 200,000
Lincoln Park Fitness Stations Equipment $ - $ - $ - $ - $ 50,000 $ 50,000
Lincoln Park Field Improvements $ - $ 25,000 $ 425,000 $ 442,000 $ 460,000 $ 1,352,000
Town Clerk Archives&Records Management $ - $ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 80,000
. .. ��� ��� :� ���
One-Time Capital Projects-General Fund
Deferred
Dept. ProjectName FY2023 FY2024 FY2025 FY2026 FY2027 Total
Replace Pumper Truck $ - $ - $ - $ 700,000 $ - $ 700,000
Fire
Ambulance Replacement $ - $ 335,000 $ - $ - $ 375,000 $ 710,000
LHS Feasibility Study $ - $ - $ - TBD $ - $ -
Public Facilities LHS Science Classroom Space Mining $ - $ 200,000 $ - $ - $ - $ 200,000
Cary Library Children's Room Renovation � - $ 5,58q000 $ - $ - $ - $ 5,580,000
Project
Hartwell Ave.Compost Site Improvements $ - $ - $ 200,000 $ - $ - $ 200,000
Municipal Parking Lot Improvements $ - $ 460,000 $ - $ - $ - $ 460,000
Public Parking Lot Improvement Program $ - $ 663,000 $ 619,000 $ - $ - $ 1,282,000
New Sidewalk Installations $ - $ 865,000 $ 250,000 $ - $ 3,000,000 $ 4,115,000
Public Works Bedford St.and Hartwell Ave.Long-Range
Transportation Improvements $ - $ 1,580,000 $ - $ - $ - $ 1,580,000
StreetAcceptance $ - TBD TBD TBD TBD $ -
Public Grounds Irrigation Improvements $ - $ 120,000 $ - $ - $ - $ 120,000
Cemetery Columbarium $ - $ - $ 450,000 $ - $ - $ 450,000
Recreation&Community Pine Meadows Clubhouse Renovation $ - $ 120,000 $ - $ 1,680,000 $ - $ 1,800,000
Programs Lincoln Park Field Improvements $ - $ - $ 775,000 $ 806,000 $ 838,000 $ 2,419,000
��� � .. ��� ' . ��i ��� ' . ���
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-24
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FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-25
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Section I Budget Overview Town of Lexington, MA
Summary of Revenues and Expenditures
The summary below shows revenues &expenditures for the Town of Lexington for FY2020-FY2023. It
reflects actual results of FY2020 and FY2021, FY2022 estimated revenues and budgeted expenditures
submitted to the Department of Revenue for the certification of the FY2022 tax rate, and the budget
recommendations of the Town Manager and School Superintendent for FY2023 budget and projected
revenues to support those recommendations.
FY2020 FY2021 FY2022 FY2023
Revenue Summary Actual Actual Recap Projected
Tax Levy � ������',��'!����', $ 194,329,878 $ 204,228,741 $ 212,113,191
�����g!!�I�.......
StateAid $ 16,255,912 $ 16,334,701 $ 16,492,260 � ���r"��������
����u-�::�.......
Local Receipts $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108
Available Funds $ 14,264,142 $ 11,805,351 $ 17,825,379 � ....�l�a��"p���/....
�:��°..r.n�a ��...;
n��.��
Revenue Offsets $ (1,875,209) $ (1,773,854) $ (1,961,196) � ....�1� �MS1„�'��'��/�
,�............................�.......���:��
Enterprise Funds (Indirect) $ 1,696,348 $ 1,749,435 $ 1,432,356 $ 1,805,613
Total General Fund � �������"������ $ 237,803,577 $ 250,645,473 � �"����"��"����"'�
�, , �',„�� u �'��....',„
„,� ,,,,
, ',,,.... �.. . ......
. ............. .� �
General Fund Expenditure Summary
Education
Lexington Public Schools $ 109,609,162 $ 115,274,811 $ 123,376,981 $ 128,254,447
Minuteman Regional School $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898
Subtotal Education $ 112,079,293 $ 118,137,958 $ �26,507,0�9 $ 131,478,345
Municipal Departments $ 37,066,492 �� :����I������➢ , $ 42,920,017 $ 44,802,554
��.�.�..��.: !a�.......
Shared Expenses
Benefits &Insurance $ 34,516,484 $ 35,996,400 $ 39,754,560 $ 41,744,415
Property Insurance &Solar $ 1,440,268 $ 1,408,990 $ 1,485,000 $ 1,485,000
Debt (within-levy) $ 9,556,878 $ 10,237,538 $ 10,397,112 �; l�'���,,�!����
,�—��-��:.���
Reserve Fund $ — $ — $ 750,000 $ 750,000
Facilities $ 11,095,414 $ 11,140,933 $ 12,153,365 $ 12,669,307
Subtotal Shared Expenses $ 56,609,045 $ 58,783,861 $ 64,540,037 � ���,������.-���'p
,,��:.........................��;����'.......
Capital
Cash Capital (designated) $ 8,137,274 $ 7,812,019 $ 10,136,491 �� ....� ����11������.....
�.-�:�:�`���
Subtotal Capital $ 8,137,274 $ 7,812,019 $ 10,136,491 :� ,1 �"����������
�`...........................:�',��,��
Other
FY2023 Recommended Budget& Financing Plan February 28, 2022
I-1
Section I Budget Overview Town of Lexington, MA
Other (allocated) $ 4,358,036 $ 1,368,916 $ 6,541,910 � "� ��������"u
�................................�'����������--
Other (unallocated) $ — $ — $ — � ��Q�D';���Q��"�....
���
Subtotal Other $ 4,358,036 $ 1,368,916 $ 6,541,910 � �"�,�'�",��,����
�.................................�,��.��-��,�......
Total General Fund $ 218,250,140 � �'�""��"'�����'��� $ 250,645,473 � �"'���������"'�
�„ � ,,,,
,,,-,,,,„ �,�'�,��,,, �..... ,,,,„ „�„ ���',„
General Fund Surplus/(Deficit) ^� � "���"������� � ��,���'����.',',�� . $ — $ —
, � ,,,, „ , „ �, ,
,„ � � ,, ,„��,���',�„�.�..,�„�......
FY2023 Recommended Budget& Financing Plan February 28, 2022
I-2
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Section II: Revenues
This section includes detailed information about FY2023 Projected Revenues. It includes:
• General Fund Revenue Description II-2
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-1
Section II Revenues Town ofLexington, Massachusetts
The summary below presents Total General Fund Operating Revenues and Net General Fund Revenues.
General Fund Operating Revenues include all revenues projected as available for use in FY2023.
• Total General Fund Operating Revenues are from annually recurring and non-recurring sources,
including transfers from special revenue funds, Specialized Stabilization Funds, and the Health
Claims Trust Fund.
• Net General Fund Revenues are Total General Fund Revenues less revenues recommended to
be set-aside to fund designated expenses.
In FY2023, Total General Fund Operating Revenues are projected to increase by approximately
�,�w�� ��� million, or� �-�/�� �,�/��. Net General Fund Revenues, those available to support school and
municipal operating budgets, are projected to increase by �/ ��7���� ��u million, or �.�� �����"�.
FY2022-23 Change
FY2020 FY2021 FY2023
General Fund Revenue Summary Actual Actual FY2022 Recap Projected $ %
Property Tax Levy(Table 1) � ���p���u;r� ��b�l�. $ 194,329,878 $ 204,171,602 $ 212,056,053 $ 7,884,450 3.86%
a. ,.
, ��... .��-
Tax Levy Dedicated to Capital � _ � — � 57,138 $ 57,138 $ — —%
Stabilization Fund
StateAid(Table 2) $ 16,255,912 $ 16,334,701 $ 16,492,260 � �6"apJ�^�.,����� �r l��l,,^��1�� � r�`°��+
��—&�rp���'!�p�b'!:��..... ,� ��P�����I...... �,..._.
Local Receipts(Table 3) $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108 $ 860,175 6.81%
AvailableFunds(Table4) $ 14,264,142 $ 11,805,351 $ 17,825,379 �i> �/,���:����Il r� �1,��,,>l) ��!�II�'1pu
ajF �.�'9p��.�..rp'�'�_',.' �,.p�,., .�p.-� ... �:��Y�,-�..�.. .
Revenue Offsets(Table 5) $ (1,875,209) $ (1,773,854) $ (1,961,196) �IM ����w���."�"��"� I^ ���������� ���'"�u�°'�`"
..... B:�R,'�
a�—�'M1�r.„�.;�.� �.....................�.�.e .
Enterprise Receipts(Table 6) $ 1,696,348 $ 1,749,435 $ 1,432,356 $ 1,805,613 $ 373,257 26.06%
Total General Fund O eratin
p 9 ��,;"����������m���. $237,803,577 $250,645,473 �,,�,i!���fm������"w'�iu � .������"������ "��u���%au
Revenues
��:���..:�- ��'��g����';�-�........p..�A.�#-���:��..... ,�14:�.a.a�'�
Less-Revenues Set-Aside for � 12,495,310 $ 9,180,935 $ 16,678,401 � II/,���u���Qu �s Gs"a�l�", ��b�1�la,
Designated Purposes
��n�a��„����- �—�r��-�- �,-:��
Net General Fund Revenues ��.',',���������'���� $228,622,642 $233,967,072 ���,�I����'�i������ Po� .�,������,� ��"���/�!.
. ��.�r��� ���..���:g���:m, � ,,,�����;�:�,,,. �,:.... �
��.��
Detailed Description:
Property Tax Levy: The FY2023 property tax levy is projected to increase approximately $7.88
million, or 3.9%. The projected levy is a function of the FY2022 levy limit increased by 2.5% per
Proposition 2�/2, plus an increment for new growth. FY2023 new growth will be a function of
construction activity for the period July 1, 2021 to June 30, 2022. FY2023 new growth is estimated at
$2,750,000 based on a review of historical data on new growth.
Tax Levy Dedicated to Capital Stabilization Fund: In Fall 2021 the Town Manager proposed a
new fiscal guideline, a Capital Stabilization Framework, to prepare for future capital projects. Beginning
in FY2022, new levy growth generated from specified commercial and industrial development will be
dedicated to the Capital Stabilization Fund (CSF) rather than becoming general revenue for the town's
operating budget. Projects include those with a Preliminary Site Development and Use Plan (PSDUP)
approved by Town Meeting, or those approved due to the revamped zoning on Hartwell Ave. This
framework will reserve levy capacity to absorb a sudden increase in debt service for large capital
projects such as the high school in future years. The set-aside funds can also be applied in future years
to mitigate exempt debt service created by those capital projects. A list of properties currently subject
to this guideline is available in Table 1A.
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-2
Section II Revenues Town ofLexington, Massachusetts
State Aid: Due to the pandemic, Local Aid was largely level-funded in FY2021, with minimal increases
in FY2022, which is projected to continue in FY2023 and is projecting an overall increase of
�—�'� � //�/�. The State is still developing its FY2023 budget; the �u����w�irir����ir°�,,...initial FY2023 State aid
numbers ���iNII ����N��bN���,���u� u��lll��a������, in January 2022�� ����°�M...-�11�����^u���a��N�;��:����ir���� �,�u�� u�a��l,��.q�m�....
iii�i �his budget. Final figure are likely to be known in June 2022 when the Legislature adopts, and the
Governor signs, the FY2023 State budget.
Local Receipts: FY2023 projections for each category of receipt are based on the history of actual
collections and projections of 3 and 5 year historical averages, with some adjustments to specific
categories due to the pandemic, such as Other Excise - Meals and Hotel/Motel. FY2023 local receipts
are estimated to increase by approximately $860,175 or 6.81% over FY2022 estimates, which were
also adjusted for the pandemic. The main contributors to this growth are a partial rebound in Other
Excise, and the recognition of higher ongoing revenues for permits, particularly building permits.
Available Funds: Available Funds are projected to remain relatively stable, with a decrease of
�1.1�9-�°�����,�����"�.�',�, or�� �:.. ��� �.D�,��%�. This is a net change, due to the use of $500,000 from the
Special Education Stabilization Fund in FY2022, which will not recur in FY2023; and the unavailability of
funding from the Parking Fund due to the lack of parking meter enforcement during the pandemic, as
well as some capital projects authorized during FY2022 which depleted the fund balance. .I�II��^���
���,�.ir�����,���� ��u��� ����������. I��� �I�n�; �����iilll��ll°�ulllu�y...�����u� a�����u�.u��iii���lll ��11....iric�ullllllu�rir�n. uir� IC ir���� �wa�^�I�� uiir� IC ��f������ �;�iruirr����iriilll� ���..
�uin� ��:�����;�, �����.�.uu���...��u��� "��� ir��nullllllli��u�n uu� �,;II��� III �°���� Il�u���lla����, ��aui �°����.��u�dui�lll ��q.���s� �u�°� �����iir������� �� ���IIIIII ��..
�ir��� �.uu�rr�i�� �u,uu���uu�� r���u�uua,��^���..����ru �da�.l�ui���lll I�u�����ad�a�,, .
Consistent with prior years, FY2023 Available Funds includes a transfer of$141,000 from the
Transportation Demand Management Stabilization Fund to finance the Lexpress service and the Town's
contribution to the REV Shuttle, and a $750,000 transfer from the Health Claims Trust Fund to fund the
Town's Other Post Employment Benefit Fund.
In FY2023, a transfer from the Capital Stabilization Fund is not needed to mitigate within-levy debt
service, as debt service remains within target levels. Similarly, no funds were needed for this purpose
in FY2021 and FY2022.
Revenue Offsets: Revenue Offsets are projected to increase by approximately °::. '>„���� �����'�G�;�,, or
� " ��?��r�u «��,��""�"�. Revenue Offsets represent the set-aside of a portion of projected revenues legally
required for particular purposes including:
(1) the component of state aid (Public Library aid reimbursement) that is distributed as Cherry
Sheet aid, but, in fact, is a categorical grant that is not available to support General Fund
operations;
(2) cherry sheet assessments - estimated charges to be levied by the Commonwealth to cover the
costs of state and regional services provided to the Town, based on updated projections
issued alongside the Governor's budget;
(3) the Assessor's Overlay account which covers the cost of abatements and exemptions granted
to property taxpayers; and
(4) potential snow and ice deficits.
The FY2023 increase in total Revenue Offsets is driven by the set-aside of$400,000 in estimated
FY2023 revenue to cover a potential snow and ice deficit at the end of FY2022. For FY2022, $400,000
was set-aside, but was ultimately not needed since actual FY2021 snow and ice removal expenses fell
within their budgeted levels.
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-3
Section II Revenues Town ofLexington, Massachusetts
Enterprise Receipts: This category of revenue represents transfers from the Water, Sewer and
Recreation Enterprise Funds to the General Fund to cover General Fund expenditures that support the
operations of the water, sewer and recreation departments. During FY2022, the Recreation indirect
charges were not assessed due to the impact of the pandemic on enterprise revenues. The Recreation
indirect charge has been resumed for FY2023, and will be reevaluated in future budget cycles. The
Water and Sewer transfers are increasing by 6.0%, as supported by a detailed indirect analysis
completed by Finance. As a result of these combined adjustments, overall Enterprise Receipts are
increasing by 26.1%, or $373,257.
FY2023 2022-23 Change
Table 1:Property Tax Levy �z020 Actual FY2021 Actual FY2022 Recap Projected $ %
Tax Levy $ 176,907,122 $ 184,938,303 $ 194,415,313 $ 204,199,633 $ 9,784,320 5.03%
Prop.2.5% $ 4,422,678 $ 4,623,458 $ 4,860,383 $ 5,106,419 $ 246,036 5.06%
New Growth $ 3,608,503 $ 4,853,553 $ 4,923,938 $ 2,750,000 $ (2,173,938) (44.15)%
Override/ExcessLevyCapacity �,� (,�G�,,°,�Yl,j� $ (85,435) $ (28,031) NA
°' &N�J�vk
Subtotal � �&��,�&����p1z�"� $ 194,329,87H $ 204,171,602 $ 212,056,053 $ 7,884,450 3.86%
�" �.£$+�����:�!''��.�
Table lA:Property Tax Levy Dedicated to the Capital Stabilization Fund
1050 Waltham St. $ - $ - $ - $ - $ - -%
186 Bedford St. $ - $ - $ 21,451 $ 21,451 $ - -%
55 Watertown St. $ - $ - $ 35,687 $ 35,687 $ - -%
Subtotal $ - $ - $ 57,138 $ 57,138 $ - -%
Table 2:5tate Aid
Chapter70 $ 14,456,349 $ 14,438,034 $ 14,647,494 ,,� I���,�'�J�1�'b^� .;p ?�)'��,�'�u�VP 1;,;�1�1�°,,,�,.
� 14Vyt�2f�„�:g14V � &�z"�+P��}Qk 2:Pl.�i�'fc.r
Charter School Reimbursement $ 2,446 $ 80,755 $ 4,690 "F� �^�N���� �'�'u ���,,.�+�� p�Cl?I G fi��"'/,�
�; u>,tUfk�Y � 3&Q:h ��s�."/,
Unrestricted General Government Aid $ 1,627,400 $ 1,627,400 $ 1,684,359 ,1� G„I�"^�„r�.tJ ,� �N.v„!dJ+� J',,J�I r��
� n:,Tkf�,�V9�i Q� ;,;,��3d �,.�h�Y�/vx
P $ $ $ I� �� �J f•, "'.
Veterans Bene its&Exem tions 117,802 124,689 95,590 ' �d�„�Y�"r ��..
�,y � u,u �� .
, �
� "�?a;!'s°9(� '� ......_uf�r
Offsets(Library) $ 51,915 $ 63,823 $ 60,127 ,�t ,^�„t�wt! � (�,�.7�GNY (r„'k,;i.SC1)�/�,
,, Ff1&��_ . _......__ ........nlcr
Subtotal $ 16,255,912 $ 16,334,701 $ 16,492,260 � ��rv,�'���,�f�f�� � ����,����m� III,,,��"�J�n
�u �.�����'�n��"�� � �.�?e'��� �.,?;�e�fes
Table 3:Local Receipts
Motor Vehicle Excise Tax $ 5,383,364 $ 5,335,129 $ 5,315,294 $ 5,455,000 $ 139,706 2.63%
Other Excise $ 1,503,388 $ 813,643 $ 774,100 $ 1,043,500 $ 269,400 34.80%
Penalties&Interest $ 564,274 $ 445,590 $ 341,500 $ 341,500 $ - -%
PILOT's $ 666,153 $ 660,966 $ 698,000 $ 715,000 $ 17,000 2.44%
Rentals $ 431,498 $ 473,201 $ 394,850 $ 3fi1,850 $ (33,000) (8.36)%
Departmental-Schools $ 331,482 $ 337,909 $ 243,500 $ 244,500 $ 1,000 0.41%
Departmental-Municipal $ 2,697,925 $ Z,398,261 $ 2,590,025 $ 2,629,525 $ 39,500 1.53%
Licenses&Permits $ 3,021,668 $ 3,542,914 $ 1,906,600 $ 2,335,800 $ 429,Z00 Z2.51%
Special Assessments $ 19,781 $ 25,644 $ 13,064 $ 10,433 $ (2,630) (20.13)%
Fines&ForFeits $ 152,654 $ 59,820 $ 101,000 $ 101,000 $ - -%
Investment Income $ 1,297,265 $ 277,170 $ 250,000 $ 250,000 $ - -%
Miscellaneous Non-Recurrin 754 943 987 817 - - - -%
Subtotal $ 16,824,395 $ 15,358,065 $ 12,627,933 $ 13,488,108 $ 86�,175 1.41%
Table 4:Available Funds
Parking Fund $ 425,750 $ 562,000 $ 828,237 $ - $ (828,237) (100.00)%
III Cemetery Sale of Lots Fund $ 64,380 $ 40,480 $ 51,933 $ 16,125 $ (35,808) (68.95)%
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-4
Section II Revenues Town ofLexington, Massachusetts
Free Cash* $ 12,201,094 $ 9,468,456 $ 14,638,059 J; 1"e,,r!+`U�'Y„uyf�ll ,?„ �,4)�r�.,°)�P� 7,I s°��
� 141„t�a�'s,�41 Q� QR;,�ba�) ��1.�b�}'Fir
Health Claims Trust Fund $ 750,000 $ 750,000 $ 750,000 $ 750,000 $ - -%
Transportation Demand Management Stab. � 141,000 $ 141,000 $ 141,000 $ 141,000 $ - -%
Fund
Traffic Mitigation Stabilization Fund $ - $ - $ - $ 240,000 $ Z40,000 -%
Transportation Management Overlay District � _ � _ � - $ 65,000 $ 65,000 -%
(TMOD)Stabilization Fund
Center Improvement District Stabilization Fund $ 27,000 $ - $ - $ - $ - -%
PEG Access Special Revenue Fund $ 638,918 $ 620,711 $ 629,287 $ 637,576 $ 8,289 1.32%
Transportation Network Company(TNC) � - � 16,504 $ 20,889 $ 6,824 $ (14,066) (67.33)%
Special Revenue Fund
Betterments Fund $ 16,000 $ 6,200 $ - $ - $ - -%
Visitors Center Stabilization Fund $ - $ 200,000 $ - $ - $ - -
Special Education Stabilization Fund $ - $ - $ 500,000 $ - $ (500,000) (100.00)%
Balances from Prior Yr.Capital Articles $ - $ - $ 155,974 ��� �dr�",���, � �ptl�„ap�pap -o�o
�; ;;�.:nF�,�r°'� $ �db,"�4�a�
Use of BAN Premiums - - 110 000 - 110 000 100.00%
3ubYOtal $ 14�264�142 $ 11�805�351 $ 17�825�379 � IIIt"��,:��"����,,,,, � ��,s����„� Q�q�,����"/au
� ��a��,��g��d �(1m�.4&�R���� ��n,�,�.��".�eu
.......................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
.......................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................
Table 5:Revenue Offsets
CherrySheetAssessments $ (923,294) $ (960,031) $ (1,001,069) fJ; (V�,V,I�p„r")�u� � ��l.a��,�"�!��} �� �r!��/��,
� lN:p��EypPt�D¢:N�- .�n �1,rD�Y.P�,�- ,a-�.r$kX�"�QT
Cherry Sheet Offsets-Public Libraries $ (51,915) $ (63,823) $ (60,127) „�> �'a^���£.9JJ ;� 'b,„�"bub �+;�,,1s�Y�°%
� _(€a�D,&7.d� y'� .......__ ......_r.Y�
Overlay(abatements) $ (900,000) $ (750,000) $ (900,000) $ (750,000) $ 150,000 (16.67)%
Snow Deficit $ - $ - $ - $ 400,000 $ 400,000 -
5ubtotal $ (1,875,209) $ (1,773,854) $ (1,961,196) �ro ����;;,',���"!m"!m�� "� ���'"��"����w�� �����"/an
�'u (����fl��;���� C�,�!,�BP���) �.���;;:�s�%sv
Table 6:Enterprise Receipts
Water $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41°/o
Wastewater(Sewer) $ 532,094 $ 541,663 $ 514,111 $ 54Z,416 $ 28,305 5.51%
Recreation&Communit Pro rams 269 681 277 771 - 286 104 Z86 104 -%
Subtotal $ 1,696,348 $ 1,749,435 $ 1,432,356 $ 1,805,613 $ 373,257 26.06%
Gross General Fund Revenues ^� ��������/������. $ 237,803,577 $ 250,645,473 � �"�������,�m��'�'� � ��,����������" �„�m�a�1�;u.
$� 7�':�:��£s"l��:ffNdU ^�» ��&$�l''w��d�.�� �P XM���R'YqQb_ %��':�.��plsa
Revenues Set Aside for Designated � 12,495,310 $ 9,180,935 $ 16,678,401 � ��,���ro�III m��� � �w"'�,�R"��"'� "�m��,a"Jar
Expenses
� �'����k�g�9�� � �Z���e"�&�� ��'l���dsv
Net General Fund Revenues Available for m� ������ y y� 22g 622 642 233 967 072
Appropriation n $ r r $ i i � W�"�p��r���<M"""� �` �a�"'u"��V!x��i� "�'mro��'Jau
� ��.���•��.�1��'U �; 'A��:��"��.g�"G��: � YN�QA�R�7� �,�.'��1��
Revenues Set Aside for Designated Expenses: This represents components of Gross General
Fund Revenues that are set aside for designated purposes. The proposed purposes are shown in the
table below.
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-5
Section II Revenues Town ofLexington, Massachusetts
Financing Sources
Tax Levy Free Cash Other Total Notes
1 Set-Aside for Unanticipated $ 200,000 $ 200,000 Reserved for appropriation at the 2022 annual town
Current Fiscal Year Needs meeting to fund supplemental appropriations to the
FY2022 current ear bud et.
Z Other Post-Employment $ 750,000 $ 1,179,721 $ 1,929,721 $750,000 from the tax levy made available by an
Benefits(OPEB) equal transfer from the Health Insurance Claims
Trust Fund to fund FY2023 Health Insurance.
3 Unallocated , �H,�r,I � �1�17N„�)�„$' � ,Ul�,�.Vl�d Set-aside for as yet to be identified FY2023
purposes.
�, ra�YQ:&„4:)�Ydy � :>QYQ6,�kQY�b
4 Cash Capital � a�„�1��„�1���,� $ 548,747 � a+,�,7��,r,.�1� Free Cash and other available funds to support
capital improvements.
� /„Q3Q14„�r°£;::.� ^� ! o-43,7;:��b
5 Appropriate into Capital $ 57,138 $ 3,085,296 $ 3,142,434 To meetfuture capital/debt service needs.
Stabilization Fund
6 Appropriate from Capital �N $ — Proposed use of Capital Stabilization Fund to hold
Stabilization Fund debt service increases to 5%annually.
'II"If:aN:1
7 Transition Free Cash out of s�: �,�u��VJ,�J�J�J� �� �,u�1�7,uatil�p 5-year plan to eliminate the use of Free Cash for
Operating Budget the Operating Budget.
'� !¢:84„&4e�84 � 1&�Gd��Q�QY
8 Street Improvement $ 2,669,767 $ 2,669,767 Consistent with long-term street maintenance plan.
Program
9 Municipal Building Envelope $ 219,540 $ 219,540 Initially funded in 2006 override;increases by 2.5%
and Systems per year.
10 Warrant Articles $ 90,000 $ 55,000 °� ;CD,c��R�J. �b �J'�,',�lG; Senior Tax Work-Off;Comprehensive Plan
Implementation;Climate Action Plan
g�________-��a�4�SYP�
11 Support of Recreation and $ 242,790 $ 242,790 Tax Levy support of Recreation and Community
Community Programs Dept.- Programs Enterprise��rrsi�,�,�fu;u ff�,Fuih;;ir�aln,°,�
4 r�ain,i�r l<r�,�i.N<:Rc���7y
. .
13 Revenue to Support $ — �� I"J�Y�Vy"J�Y $ — �u ✓�I�W,�G�I�G Free Cash to support the FY2023 operating budget.
Operating Budget
�; � ��.a�:�„�:��:;�.� °{; a r��:zd.r,�:�Q:��:�
14 Funding for New Pension $ 400,000 $ 400,000 Amount of incremental increase in the updated
Schedule Pension Funding schedule will be supported with
Free Cash in FY2023.
15 Retire Note for Land $ — $ — $ — To pay down notes issued for Pelham and Bedford
Purchases-Debt Service St.over 5 years(final payment in FY2022).
. • .
FY2023 Recommended Budget& Financing Plan February 28, 2022
II-6
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Section III: Program 1000: Education
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
education. It includes:
• 1100 Lexington Public Schools III-##
• 1200 Minuteman Regional High School III-18
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-1
Program: Education
1200 Minuteman Regional High School Town ofLexington, MA
Budget Overview: The Regional High School subprogram budget is for the assessment levied by the
Minuteman Regional Vocational Technical School District to support the operations of the School.
Minuteman is a regional high school, located in Lexington and Lincoln, which provides technical and
academic education for students in grades 9-12 from the Minuteman district, which includes 9 towns as
of July 1, 2020, as well as out-of-district students.
Minuteman Tech's programs include courses in Biotechnology, Environmental Science, Multi-media
Engineering, Design and Visual Communication, Engineering and Robotics Automation, Cosmetology,
Early Education and Teaching, Carpentry, Culinary Arts and Hospitality, Plumbing, Electrical, Health
Occupations, Horticulture, Programming and Web Development, Automotive Technology, Welding and
Metal Fabrication, Advanced manufacturing courses and a new Animal Science program, as well as
four-year academic and college preparatory programs. In addition, adult students can pursue a variety
of continuing education programs at Minuteman.
Lexington's historical enrollment at Minuteman is shown in the table below as of October ist of each
year, the date that enrollments from school districts throughout the Commonwealth are reported to the
Massachusetts Department of Elementary and Secondary Education.
10/1/2016 10/1/2017 10/1/2018 10/1/2019 10/1/2020 10/1/2021
High School Students 54 53.5 52 62 71 68
Post Graduate Students* 1 1 1 4 — —
e m .. .:
*Beginning in FY2021,Minuteman began offering Minuteman Technical Institute(MTI)for post-secondary students. MTI students pay
tuition directly to Minuteman; it had previously been included in the assessment. Two Lexington residents are enrolled in MTI in FY2022.
Appropriated/Authorized Staffing:
No Town staff are charged to this budget.
Budget Recommendations
The FY2023 recommended budget for the Minuteman Regional High School assessment is $3,223,898,
an increase $93,860 or 3.00% from the FY2022 budget. This is a preliminarx figure, as the district is
still developing its FY2023 budget, which will be presented to the Minuteman School Committee on
January 11, 2022.
Most of the increase is from debt service, much of which is from the new school building, which opened
in September 2019. Overall, the assessment incorporates $1,017,152 in debt service, an increase of
$89,260 or 9.6%. Since all debt for the new building has now been issued, Minuteman projects that
future debt requirements will gradually reduce as debt is paid down.
The annual assessment is broken out as follows -
Category FY2020 FY2021 FY2022 FY2023 $ Change %Change
Minimum Required Contribution $ 799,005 $1,057,954 $ 1,156,993 $ 1,158,939 $ 1,946 0.2%
Transportation Assessment $ 86,714 $ 83,516 $ 109,594 $ 78,524 $ (31,070) (28.4)%
Remaining Operating Assessment $ 962,102 $1,011,769 $ 935,559 $ 969,283 $ 33,724 3.6%
Capital/Debt Service $ 618,510 $ 709,909 $ 927,892 $ 1,017,152 $ 89,260 9.6%
Post-Graduate $ 3,800 $ — $ — —%
Total Assessment $2,470,131 $2,863,147 $3,130,038 $3,223,898 $ 93,860 3.0%
*Numbers may not add due to rounding.
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-18
Program: Education
1200 Minuteman Regional High School Town ofLexington, MA
C"�/c�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�F�l�
Budget Summary:
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. . �� - � � � : :.� ����
FY2020 FY2021 FY2022 FY2023
Appropriation Actual Actual Appropriation Ill����wur�uu�m�,urip�l�.��� Dollar Percent
Summary Increase Increase
���f�.�,�
Compensation $ — $ — $ — � — $ — —��o
Expenses $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. �� � :. � � ••• • :.� ��•
FY2020 FY2021 FY2022 FY2023
Level-Service p�ual Actual Appropriation III���°�ur�miuimm�urm���� Dollar Percent
Requests ` Increase Increase
��i�...��„�
Total 1200 Minuteman $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
. . �� � � � : :.� ����
FY2020 FY2021 FY2022 FY2023
Object Code p�ual Actual Appropriation III��^�,�uu�mui�m�urm��ur�� Dollar Percent
Summary Increase Increase
���4���,
Salaries&Wages $ — $ — $ — $ — $ — —%
Overtime $ — $ — $ — $ — $ — —%
Compensation $ — $ — $ — $ — $ — —%
Contractual Services $ 2,470,131 $ 2,863,147 $ 3,130,038 $ 3,223,898 $ 93,860 3.00%
UtIIIt12S � - � - � - � - � - -%
Supplies $ — $ — $ — $ — $ — —%
Small Capital $ — $ — $ — $ — $ — —%
Expenses $ 2,470,131 $ Z,863,147 $ 3,130,038 $ 3,Z23,898 $ 93,860 3.00%
• 11 1 :. 1 1 • :.1 11'
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-19
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Section IV: Prog ra m 2000: Sha red Expenses
This section includes detailed information about the FY2023 Operating Budget & Financing Plan
for shared expenses. It includes:
• 2100 Employee Benefits IV-3
• 2200 Property & Liability Insurance IV-10
• 2300 Solar Producer Payments IV-12
• 2400 Debt Service IV-15
• 2500 Reserve Fund IV-19
• 2600 Public Facilities IV-22
FY2023 Recommended Budget & Financing Plan February 28, 2022
IV-1
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Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Mission: To provide and manage a comprehensive benefits program for Town and School employees
and retirees.
Budget Overview: Included in the Employee Benefits and Insurance program are costs for the
Town's pension assessment, workers'compensation, unemployment insurance, health, dental and life
insurance benefits and the Medicare tax.
Employee Benefits is comprised of the following:
• Contributory Retirement Assessment: The assessment of the Lexington Contributory
Retirement System levied to the Town to finance a portion of retirement benefits of Town and
non-teaching School employees. This assessment is issued pursuant to Massachusetts General
Laws (MGL) Chapter 32 and is based on an actuarial valuation of the funding obligations of the
Lexington Contributory Retirement System. In addition to this assessment, employee
contributions - ranging from 5% to 11% depending on date of hire - provide the majority of
pension system funding.
• Non-Contributory Retirement: The cost of benefits for employees who retired prior to the
creation of the Lexington Contributory Retirement System.
• Employee/Retiree Benefits: The Town's annual contribution for health, dental and life insurance
for active Municipal and School Department employees and retirees, and the Town's 1.45%
share of Medicare tax for all employees hired after 1986.
• Unemployment Compensation: The cost of unemployment payments for eligible employees
separated from Municipal or School Department employment. The Town self-insures for this
expense.
• Workers'Compensation: The medical costs incurred by Municipal and School employees injured
on the job, and medical costs of former public safety employees who retired on accidental
disability. The Town largely self-insures for this expense, but purchases"stop loss" insurance
for extraordinary work-related medical claims. The premiums for that insurance are captured in
the Workers'Compensation budget.
Authorized/Appropriated Staffing:
Staff support is provided through the Town Manager's Office, Human Resources and the Finance
Department. Portions of the salaries of four employees are charged to the General Fund health
insurance budget.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-3
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Employee Benefits and Insurance budget is $41,891,886. This is
a $1,997,463 or 5.01% increase from the FY2022 budget. The recommended budget includes the
benefits costs (health, dental, life, Medicare and workers'compensation) for all municipal and school
staff and retirees as of November 1, 2021.
Chanaes Include:
1. A $741,750, or 10.00% increase in Contributory Retirement based on a revised funding
schedule based on the January 1, 2021 actuarial valuation of the Lexington Retirement System.
Of that amount, $400,000 is funded from Free Cash, which is the same level of Free Cash
funding as in FY2022. The revised schedule would result in full funding of the system's
unfunded liability by 2030, given the current actuarial assumptions.
2. A $450 or 2.76% increase in Non-Contributory Retirement costs for employees receiving
pensions awarded prior to the creation of the Contributory Retirement system.
3. A $72,524 or 3.66% increase in the Town's contribution for the Medicare Tax based on FY2021
actual costs, projected FY2022 and FY2023 salaries and wages, new municipal positions, and
historical rates of increase in this item.
4. A $1,284,346 or 4.54% increase in health insurance costs (General Fund). The FY2023 budget
is based on an increase of 5.0% in health insurance premiums across all plans at November
2021 enrollment levels, and the projected addition of eighty (80) subscribers (new enrollees to
health coverage, either from new retirees, active employees electing to begin or resume
coverage, and active employees switching from individual to family plans). The recommended
budget includes benefits for a newly benefited position at the Department of Public Facilities.
5. A $15,785 or 1.44% increase in dental insurance costs (General Fund) based on the anticipated
level-funding of premium rates for FY2023, updated to reflect November 2021 enrollment levels
and a newly benefited position at the Department of Public Facilities.
6. No increase in life insurance costs based on projected enrollments.
7. Level-funding of unemployment insurance based on the revised budget of $200,000, which
reflects recent claim activity.
8. A $(125,000) or (16.67)% decrease in workers'compensation costs to a total of$625,000. As
of June 30, 2021, this continuing appropriation account had a total balance of $2,455,662. In
light of the fund balance, staff recommend a gradual reduction in the appropriation through
FY2026, with a goal of maintaining a fund balance of $2 million.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-4
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $33,802,865 $35,228,913 $ 38,737,210 $ 40,533,981 $1,796,771 4.64%
Transfers from Enterprise Funds to General
Fund(Indirects) $ 708,643 $ 762,237 $ 611,775 $ 805,256 $ 193,481 31.63%
Free Cash for Updated Pension Schedule $ - $ - $ 400,000 $ 400,000 $ - -%
PEG Access Special Revenue Fund $ 4,976 $ 5,250 $ 5,575 $ 5,178 $ (397) -7.12%
. . �� .. - ��� .� � '
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised III����,µ��,,�.�uirormuirorma�„����umar��m:��� Increase Increase
Appropriation Summary(General Fund) N�s:�N�"x I�,�,
Compensation $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Expenses $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $1,983,891 5.00%
. �� .. ��� .� �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised Ill��.����ui�uum�i�.�um�lll���!���� Increase Increase
Level-Service Requests(General Fund) N�e�u•"�I���„
Total 2110 Contributory Retirement $ 6,334,436 $ 6,679,199 $ 7,417,500 $ 8,159,250 $ 741,750 10.00%
Total 2120 Non-Contributory Retirement 15 487 15 907 16 327 16 777 450 2.76%
Subtotal-Retirement $ 6,349,923 $ 6,695,106 $ 7,433,827 $ 8,176,027 $ 742,200 9.98%
Total 2130 Medicare $ 1,851,593 $ 1,907,961 $ 1,982,127 $ 2,054,651 $ 72,524 3.66%
Tota12130 Health Insurance $24,133,417 $25,448,028 $ 28,270,148 $ 29,554,494 $1,284,346 4.54%
Tota12130 DentalInsurance $ 1,072,635 $ 985,610 $ 1,093,458 $ 1,109,243 $ 15,785 1.44%
Total 2130 Life Insurance 21 571 20 384 25 000 25 000 - -
Subtotal-Hea/th/Life eene�ts $27,079,216 $28,36i,983 $ 31,370,733 $ 32,743,388 $i,372,655 4.38%
Total 2140 Unemployment $ 200,000 $ 64,311 $ 200,000 $ 200,000 $ - -%
Total 2150 Workers Compensation* $ 887,346 $ 875,000 $ 750,000 $ 625,000 $ 125,000 -16.67%
Subtotal-Other Employee Benefits $ 1,087,346 $ 939,3i1 $ 950,000 $ 825,000 $ (125,000) -13.16%
. �� .. ��� .� �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised Ill�,�,��;�uimuiuimuim:;u�ar:lllm::� Increase Increase
Object Code Summary(General Fund) N���r"�I���,
Salaries&Wages $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Overtime - - - - - -
Personal Services $ 80,546 $ iO3,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Contractual Services $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $1,983,891 5.00%
Utilities $ - $ - $ - $ - $ - -
Supplies $ - $ - $ - $ - $ - -
Small Capital - - - - - -
Expenses $34,435,938 $35,892,440 $ 39,639,477 $ 41,623,368 $1,983,891 5.00%
. �� �. -i� .� �
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Directed Funding(Revalving Funds) $ 119,250 $ 133,586 $ 139,863 $ 147,471 $ 7,608 5.44%
. �� �. � .�:
*Revo/ving Funds are authorized by Town MeeHng via Artide 9,and are not appropriated underArticle 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
N��u„"�
�III����m�muu�mi�^p�i
Level-Service Requests(Revolving Funds) Actual Actual Revised ���„aV Increase Increase
Total 2130 Health Insurance $ 117,343 $ 129,199 $ 135,729 $ 143,337 $ 7,608 5.61%
Total 2130 Dental Insurance $ 1,908 $ 4,387 $ 4,134 $ 4,134 $ - -%
. . �� .. - � .�•
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-5
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Budget Summary - All Funds ----------------------------------------------�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
N�e�u°"�
Il��lll�a��,�wmmmmm�mm.pm
Appropriation Summary Actual Actual Revised ���,� Increase Increase
Compensation $ 80,546 $ 103,959 $ 115,083 $ 121,047 $ 5,964 5.18%
Expenses $34,555,188 $36,026,026 $ 39,779,340 $ 41,770,839 $1,991,499 5.01%
. . �� .. - � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-6
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
Focus on: Health Benefits— Line Item 2130
While the cost of health insurance continues to be a concern for the Town of Lexington, as is the
case with all public and private organizations in this region and across the country, the Town was
successful in negotiating with the Employee Health Insurance Coalition to join the State's Group
Insurance Commission (GIC) health insurance program, which has helped to slow the growth of this
large cost driver.
The Town has an agreement with the Public Employees Committee (PEC) to remain in the GIC through
June 30, 2022, and will begin bargaining for a successor agreement this spring.
The table below displays an approximate distribution of health insurance costs for Municipal and School
employees and Retirees.
Table 1: Health Insurance Budget: FY2018 - FY2023
Increase
FY2018 FY2019 FY2020 FY2021 Budgeted Projected FY2022to
Actual Actual Actual Actual FY2022 FY2023 FY2023
Town�l� $ 3,445,544 $ 3,636,336 $ 3,903,453 $ 4,242,098 $ 4,874,424 $ 5,059,791 3.80%
School $11,232,098 $12,141,910 $13,170,788 $13,965,697 $15,502,288 $16,244,427 4.79%
Retirees $ 6,790,042 $ 6,725,482 $ 6,980,911 $ 7,165,298 $ 7,815,172 $ 8,175,329 4.61%
Total $21,467,685 $22,503,728 $24,055,153 $25,373,093 $28,191,883 $29,479,547 4.57%
Mitigation Fund�Z� $ 300,000 --- --- --- --- --- ---
Medicar��Part B � gg,628 $ 82,241 $ 78,264 $ 74,935 $ 78,264 $ 74,935 (4.25)%
Penalty
Net Budget Amount $Z1,856,313 $ZZ,585,970 $Z4,133,417 $Z5,448,028 $Z8,Z70,147 $29,554,481 4.54%
(1)Portion of salaries attributable to health insurance administration is inclusive in these figures.
(2)Payment made to the Public Employee Committee(PEC)HRA Mitigation Fund to offset increasing co-pays and deductibles.
(3)Medicare Part B Penalty is the penalty the Town must pay due to deferred migration of retirees from active plans to Medicare supplement plans.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-7
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
The table below shows the number of employees and retirees enrolled in the Town's health insurance
program.
Table 2: Health Insurance Enrollments �1�
FY2022 FY2023
Budget Budget
Based on Actual Subscribers,
plus Additional Projected Lives
Actual Subscribers shown below
Nov. 2017 Nov. 2018 Nov. 2019 Nov. 2020 Nov. 2021
Subscribers (�2018) (FY2019) (FY2020) (FY2021) (FY2022)
Municipal
Individual gl 96 107 98 110
Family 176 164 168 171 172
subtotal 257 260 275 269 282
School
Individual 336 356 350 358 376
Family 502 536 561 555 536
subtotal 838 892 911 913 912
Retirees 1,269 1,289 1,307 1,302 1,338
subtotal 2,364 2,441 2,493 2,484 2,532
Adtlitional pxaj�cted lives far budget purposes
Position Vacancies
Municipal ig 9
School 13 26
subtotal 31 35
Estimated Open Enrollment/ Qualifying Events�Z�
Individual 9 9
Family z7 Z7
Retirees 44 44
subtotal 80 80
total 2,364 2,441 2,493 2,595 2,647
Neuu Pasi#ions
School�3� 0 0
Municipal �3� 2 0
Facilities Dept. 0 1
subtotal 2 1
Estim�ted Fted��tian in Subscrib�rs
Retirees (34) (34)
total 2,364 2,441 2,493 2,563 2,614
(1)The subscriber counts above do not include COBRA subscribers, but include employees whose salaries and
benefits are funded either fully or partially from non-General Fund sources.
(2)The projection shown under open enrollment/qualifying events is based on an assumption of current employees
losing coverage on their spouse's plans,and changes in marital status or dependent status.
�-,b....N:#����#-a�r�4.,,...lr�u�¢�apaµG^�w���-irff:�n��� ,. .. �:N��u.��Cy�w�#ir���w��a%�r������rir.�....h�p.�ir�p.�=p�ir�E:�...r���u:�irffu� p...:�N���:....,.��lhr...�u:�
,,,,,,�� fl . �Ilu�^,��W,,,, _ . irw�� . ��, ....h.. . . ��" � ,�,,,,^�m . ; ,,,I�u�� �,,,,��„
�ir���ir�ii�ii,��all��u�a�ir�ir�a�ll r^�frirsv+IN4�n„���
(3)Based on the budgets as recommended by the School Committee and Select Board and assumes that each full-
time equivalent will subscribe to Town's insurance. The cost is estimated at a composite rate based on school and
munici al ersonnel enrollment.
............................�.........�...............................................................................................................................................................................................................................................................................................................................................................................................
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-8
Program: Shared Expenses
2100 Employee Benefits & Insurance Town ofLexington, MA
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-9
Program: Shared Expenses
2200 Property & Liability Insurance Town ofLexington, MA
Mission: To provide and manage a comprehensive property and liability management program for all
property and equipment in the Town.
Budget Overview: The properry and liability management program consists of the following
elements:
• Properry and Liability Insurance: The cost of premiums for policies that: (1) protect the Town
against property loss and damage; (2) insure the Town's vehicles; and (3) cover the Town against
liabiliry claims.
• Uninsured Losses: A continuing balance account for uninsured properry losses, settlements and
deductibles contained in various insurance policies.
Authorized/Appropriated Staffing:
A portion of the Deputy Town Manager's salary is charged to this line-item in recognition of the
ongoing support provided.
Budget Recommendations:
The FY2023 overall recommendation for Property and Liability Insurance is $1,095,000, which is a
level-funded from the FY2022 appropriation.
1. Properry and liability insurance is increasing by $50,000 or 5.92%. In FY2022, the
appropriation was level-funded due to savings realized from a new procurement. Premium
increases of approximately 5% were used to project the FY2023 funding level.
III 2• A�'!����9�DA�.����������� decrease in the budget for uninsured losses. The balance in this
continuing balance account as of June 30, 2021, is $1,563,470. In light of the fund balance,
staff recommend a gradual reduction in the appropriation, with a goal of maintaining a fund
balance of $1 million.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-10
Program: Shared Expenses
2200 Property & Liability Insurance Town ofLexington, MA
C"�/c�rr�r�z(�) �����a��� hidd�r� frarr� thi� t�l�l�
Budget Summary
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $1,022,643 $1,008,200 $ 1,069,961 $ 1,064,863 $ (5,098) (0.48)%
Transfers from Enterprise Funds
to General Fund(Indirects) $ 32,113 $ 33,096 $ 25,039 $ 30,137 $ 5,098 20.36 %
. . �� � ..- .. � �- �• ��� �• ���
FY2020 FY2021 FY2022 FY2023
AppropriationSummary 14"�I��^�- Dollar Percent
�
,,,I����iiiiii�iii�ii��„, Increase Increase
Actual Actual Appropriation uim�lll�,�lll
Compensation $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Expenses $1,019,666 $1,004,261 $ 1,058,662 $ 1,057,194 $ (1,468) (0.14)%
. . �� � ..- .. � �� �• ��� �• ���
FY2020 FY2021 FY2022 FY2023
Level-Service Requests ��ii�.^-�- Dollar Percent
.,:„�,Ill�,����ur�murum�� Increase Increase
Actual Actual Appropriation uim��,��
Total 2210 Property&Liability � g04,756 $ 791,296 $ 845,000 $ 895,000 $ 50,000 5.92 %
Insurance
Total 2220 Uninsured Losses $ 250,000 $ 250,000 $ 250,000 $ 200,000 $ (50,000) (20.00)
• . �� � ..- .� � �- •. �• ��� �• ���
FY2020 FY2021 FY2022 FY2023
Object Code Summary ��ii�.^��- Dollar Percent
�
,;I. „�„�,iiiii�,iiiii��, Increase Increase
Actual Actual Appropriation uim����III
Salaries&Wages $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Overtime — — — — — —
Compensation $ 35,090 $ 37,035 $ 36,338 $ 37,806 $ 1,468 4.04 %
Contractual Services $1,019,666 $1,004,261 $ 1,058,662 $ 1,057,194 $ (1,468) (0.14)%
Utilities $ — $ — $ — $ — $ — —
Supplies $ — $ — $ — $ — $ — —
Small Capital — — — — — —
Expenses $1,019,666 $1,004,261 $ i,058,662 $ i,057,194 $ (1,468) (0.14)%
. . �� � ..- .� � �- �• ��� �• ���
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-11
Program: Shared Expenses
2300 Solar Producer Payments Town ofLexington, MA
Mission: To provide obligated payments for the installation and operating costs of the solar array at
the Hartwell Avenue Compost Facility.
Budget Overview: For the solar arrays installed at the Hartwell Avenue Compost Facility, Eversource
elected to reimburse the Town for the solar power generated via monthly payments, rather than issue
a credit on the Town's electric bills. For the rooftop solar panels on Town and School buildings, that
energy is credited in the monthly bill, thereby reducing utility costs at the Department of Public
Facilities. As a means of separately tracking the Hartwell Avenue arrangement, this budget division
reflects:
• Net Metering Credits: The revenues received from Eversource in return for solar power
generated at Hartwell Avenue. Any excess revenues are deposited into the General Fund.
• Solar Producer Payments: The annual amount paid to Syncarpha, the current owner of the
solar panels, for the cost of construction and operating costs.
Authorized/Appropriated Staffing:
No direct staff is charged to this line-item. Staff support is provided through the Public Facilities, Town
Manager and Finance departments.
Budget Recommendations:
The FY2023 overall recommendation for Solar Producer Payments is $390,000, which is level-funded
from the FY2022 appropriation.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-12
Program: Shared Expenses
2300 Solar Producer Payments Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $(306,475) $(306,604) $ (280,000) $ (280,000) $ — — %
Net-Metering Credits $ 691,986 $ 674,298 $ 670,000 $ 670,000 $ — — %
• . �� . . • �� •� ��� •� ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary '. ,,,III"��II�"�
�
;^���uiu�uiu��^�
Actual Actual Appropriation mm���.�;� Increase Increase
Compensation $ — $ — $ — $ — $ — — %
Expenses $ 385,512 $ 367,694 $ 390,000 $ 390,000 $ — — %
• 11 . . ��
•1 111 •1 111
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests ��iii'"�-
��,III"��,��ui��ui���
Actual Actual Appropriation urm���.� Increase Increase
Total 2300 Solar Producer � 385,512 $ 367,694 $ 390,000 $ 390,000 $ — — %
Payments
• • �� • • �� . .•• •1 111 •1 111
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary ��ii�"�
�Il�.���w ur�cm ui�icm�ri;
Actual Actual Appropriation urm���I Increase Increase
Salaries&Wages $ — $ — $ — $ — $ — — %
Overtime $ — $ — $ — $ — $ — — %
Compensation $ — $ — $ — $ — $ — — %
Contractual Services $ — $ — $ — $ — $ — — °�o
Utilities $ 385,512 $ 367,694 $ 390,000 $ 390,000 $ — — %
Supplies $ — $ — $ — $ — $ — — %
Small Capital — — — — — — %
Expenses $ 385,512 $ 367,694 $ 390,000 $ 390,000 $ — — %
• �� . . �� •� ��� •� ���
Summary of Townwide Solar Credits and Expenses
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-13
Program: Shared Expenses
2300 Solar Producer Payments Town ofLexington, MA
FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023
Actual Actual** Actual Actual Actual Estimate Projection
Rooftop Solar Bill Credits $ 279,665 $ 303,696 $ 333,329 $ 326,421 $ 308,738 $ 291,500 $ 291,500
Rooftop PILOT* $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000 $ 30,000
Rooftop Solar Payments $ (162,343) $ (157,038) $ (159,033) $ (173,254) $ (164,249) $ (165,000) $ (165,000)
Net Revenue subtotal $ 147,322 $ 176,658 $ 204,296 $ 183,167 $ 174,489 $ 156,500 $ 156,500
Hartwell Solar Revenue $ 647,232 $ 720,493 $ 691,986 $ 674,298 $ 670,000 $ 670,000
Hartwell PILOT* $ 55,400 $ 55,400 $ 55,400 $ 55,400 $ 55,400 $ 55,400
Hartwell Annual Lease $ 1,000 $ 1,000 $ 1,000 $ 1,000 $ 1,000 $ 1,000
Hartwell Solar Payments $ (355,257) $ (351,839) $ (385,512) $ (367,694) $ (390,000) $ (390,000)
Net Revenue subtotal $ - $ 348,375 $ 425,054 $ 362,875 $ 363,004 $ 336,400 $ 336,400
Total Net Revenue $ 147,322 $ 525,033 $ 629,350 $ 546,042 $ 537,493 $ 492,900 $ 492,900
*Per MA DOR,solar PILOTs(Payments in Lieu of Taxes)are deposited as Personal Property taxes rather than under a PILOT category
of revenue.
**FY2018 costs/revenue for Hartwell are not representative of a full year of operations.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-14
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
Mission: To manage the issuance of Town debt in a manner which protects assets that are required to
deliver town services and yet limits large increases or decreases in annual debt service.
Budget Overview: Debt service includes General Fund principal and interest payments for levy-
supported (non-exempt) debt, both authorized by Town Meeting, as well as for capital projects being
proposed to the 2022 Annual Town Meeting.
Debt service on projects funded from the Compost Revolving Fund is shown in the DPW Budget
element 3420; and debt service for Water and Sewer Enterprise projects is shown in the DPW Budget
under elements 3610 and 3710, respectively.
Debt Service voted to be exempt from Proposition 2�/z, while not appropriated by Town Meeting, is
presented for informational purposes.
Authorized/Appropriated Staffing:
There is no direct staff charged to this line-item. Staff support for managing debt service is provided
through the Town Manager and Finance departments.
Budget Recommendations:
Total gross within-levy and Exempt debt service (before mitigation) is decreasing by
°�'�.����.���������,������„�, or�9-� �-��'���.� ��!'���% compared to FY2022. Within-Levy debt service of
.� � " �°�°� '�� ��'�au�V is decreasing by ��g ��r'!� '!�r�-��7��� �����'� '��m���, or� ��"���/ ����"�'� primarily due
to the bond anticipation notes issued for the land purchases on Pelham Road and Bedford Street being
retired in FY2022.
The Town's target increase for net within-levy debt service is 5% per year, and any amount over that is
recommended to be mitigated with a transfer from the Capital Stabilization Fund. For FY2023, net
`n, ,�^$� " I.�" II IC""� ' IY IY ..IY IY'�" ..n• n ,..,� ar n �'r. I�" a�°,�,�d���� �I�W.�V,�, �r
wit in-e„y e t is ��a�g�-...���,� �� �� ���.��, an ii����r��,��°�r �.��p°.�.�.�dw o �,:��$,��� r �
� �"r������ ���a%.� from FY2022 budgeted amounts; therefore, a transfer from the Capital Stabilization
fund is not needed to mitigate within-levy debt service in FY2023. Transfers may be needed in future
years to mitigate within levy debt service related to the Hartwell Avenue street improvements, or other
significant capital projects that may arise.
FY2022 gross exempt debt service as reported on the FY2022 Tax Rate Recap $16,747,991, which was
mitigated via a $2,800,000 transfer from the Capital Stabilization Fund. FY2023 gross exempt debt
service is projected at �Qrv��- ,"..... �fl-���"'� ������ �'���', a decrease of�° �����(l��l�������, or
�-11�����.��� '����'/�» compared to FY2022 gross exempt debt service. FY2023 exempt debt service
continues to be driven by the excluded debt projects approved by the voters in December 2017—the
Fire Station Replacement, Hastings Elementary School Replacement and the new Lexington Children's
Place (LCP) building. To mitigate the impact of this increase on Lexington taxpayers, it is proposed
that $800,000 of Capital Stabilization Funds be appropriated to offset exempt debt service in FY2023.
It is notable that the authorized debt for the capital projects noted above was mostly issued as of
June 30, 2020, and exempt debt service for these projects peaked in FY2021. The Police Station
reconstruction is proposed for the 2022 Annual Town Meeting and a debt exclusion vote is expected to
follow in June 2022. If approved, gross exempt debt service will increase over the next 2-3 years.
Despite this increase, significant draw-downs from the Capital Stabilization Fund are not expected for
this project as the Police Station debt will be partly offset by older exempt debt that will be retired over
the same period.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-15
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
The FY2023 proposed capital projects are described in greater detail in Section XI: Capital Investment
III in this �---�`�����-����---N�w��^N�-��°�u�-��R�-��Recommended Budget and Financing Plan.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-16
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
C'e�lcrrrrr�(s) h���f����a hicfcf�r� fr�c�rrt t�i� f��al�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources(All Funds) pctual Actual Estimate Projected Increase Increase
TdX LeVy ,���Vy�Pu�J�N,�",,,fs�1� $22�675�688 $ 24�293�ll0 s^ ?�,."rb"r r""'�r" �u(1,!utlj;y!„�1 G.rw1, ,�(,!,:3)"��W
�)�"dY,F�6J�,1��_ 1�____1�,sd�,l4F� � (!✓Q�y4J�+) Q��1!}�l
Fund Transfers
Capital Stab.Fund-Within Levy Debt $ — $ — $ — $ — $ — —
Capital Stab.Fund-Exempt Debt $ 5,200,000 $ 4,600,000 $ 2,800,000 $ 800,000 $(2,000,000) (71.43)%
Cemetery Sale of Lots Fund $ 64,380 $ 40,480 $ 51,933 $ 16,125 $ (35,808) (68.95)%
Betterments Fund $ 16,000 $ 6,200 $ — $ — $ — —%
Visitors Center Stabilization Fund $ — $ 200,000 $ — $ — $ — —%
. �-. �
FY202U FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary p�ual Actual Appropriation Ill���:�wuimuiuimui�.um�lll�� Increase Increase
(All Funds)
N�g�r°�III#;�„
Compensation $ — $ — $ — $ — $ — —%
EXpenses ,�,i z�4�i"us l„�1`fl. $27�522�368 $ 27�145�103 "; �i"uJ d„t�,�,�1 `��"���a�asr✓I� (�,���.�.'.r�`/��
$l,x,k��,a,1.:�s' "� 1�,;5�k£�,�Clp Q�(�{!!i&�,da�} �2GY&:,:x}°!e
� �-� 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Gross Within Levy Debt Service Actual Actual Appropriation Ill��a;a�ui�r�nui�r�na�.u�i„ar�,,��,,.;a'� Increase Increase
N�e�u^°�-0I�;�K:,
Total 2410 Within-Levy Long-Term Principal* $ 5,968,224 $ 6,292,000 $ 5,626,400 °; r,��'���u�,�Sp � ;�".�a�,�l�)"�!1 ���'�"�)r/r
°� us&"a/N,:i��k � �194,a.b41�Y C�.�S�V_nfr.�
Tota1 2420 Within-Levy Long-Term Interest $ 1,010,976 $ 1,101,675 $ 956,198 � G„��/a!p:�N � J,�;>I�","NG JI �:; r;",
°v____ 8 ?4,:�p�a)�il '� _.�c3�b,�+�C 3ED�f_nfn
Total Z430 Within-Levy Short-Term Principal $ 2,275,366 $ 2,712,350 $ 3,373,865 � �l�„"1; ��,'ui1ul,��:uJ� �i�N��)�/G�
1a R„Nr7fi„�7�� Q�(Sr2.dI,���k. (��I!';�+)`�Cr
Total 2430 Within-Levy Short-Term Interest $ 302,312 $ 131,513 $ 440,649 ;> Gll„G;�� u ;�CM',ry,d,1 (;ry°��;1�"/�
°� ?7£3,�9"'. � (��$77''rf (�fc�"r &1`��'Fir
� . � �-� . 1 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Net Within Levy Debt Service Actual Actual Appropriation Ill��µa�a�uim�uum�ia�um�lll�a:� Increase Increase
N��u�°�-III�;�,
Y 9' P * $ $ $ , " �buD � "'�;'„J,�1Gryop" r,JC, F
Tota 2410 Wit in-Lev Lon Term Princi a 5,968,224 6,292,000 5,626,400 °r "m„�I�N�uD„ , ); "c�,
1�— s,�yd N�4'� y� �N4�,�'� ���n
Total 2420 Within-Levy Long-Term Interest $ 1,010,976 $ 1,101,675 $ 956,198 t;w u,�II r"��,�� p �r,,1,3 9u� �J.�3 °!r�
�"p � �".�I'.`a„f"v)4V �' _�Y�4���Fi "iP1J!�/r.�
Total 2430 Within-Levy Short-Term Borrowing $ 2,577,678 $ 2,843,863 $ 3,814,514 , G�4'y,u4'y„4'y�Iua ,�J,r"fj�l„1�"wr,l �/�^�/)"/�
'� 8,�R7�I,�s6:&/ ��(�,;'k£S'�,�G?! (�'i��a�)"/r
Funding Set-aside to Retire Note for Land ��z�z34,614) $(2,403,450) $ (2,320,274) $ — $ 2,3Z0,274 (100.00)°
Purchases
Funding from Cemetery Sale of Lots/ � (g0,380) $ (246,680) $ (51,933) $ (16,125) $ 35,808 (68.95)%
Betterments/visitors Center
• . �-. ��• : � � •�
Use of Capital Stabilization Fund to hold debt service
increases(net of projects funded with new revenue � _ � _ � _ � — � — —%
and the retirement of notes for land purchases)to 5%
annually
� . �. -� �-� '1' : 1 ' •1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-17
Program: Shared Expenses
2400 Debt Service Town of Lexington, MA
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Exempt Debt Service Actual Actual Appropriation Ill��,,�,;�wmmmmmm�.u�i,�,�w�„�� Increase Increase
N�e�u•"�I�r��,
. . . �-. �
Use of Capital Stabilization Fund to mitigate impact of ��5,200,000) $(4,600,000) $ (2,800,000) $ (800,000) $ 2,000,000 (71.43)%
excluded debt service on property tax bills
� �-� 1
• . � �-� � 1
� . �"� � 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-18
Program: Shared Expenses
2500 Reserve Fund Town ofLexington, Massachusetts
Mission: To provide for extraordinary and unforeseen expenses.
Budget Overview: The Reserve Fund is under the jurisdiction of the Appropriation Committee.
Authorized/Appropriated Staffing:
There is no direct staff charged to this line-item. Staff support is provided through the Town Manager
and Finance departments.
Budget Recommendations:
The FYZ023 recommendation for the Reserve Fund is $750,000, which is level-funded from the FY2022
appropriation.
Notes: The FY2020 and FY2021 budgets for the Reserve Fund were $900,000 and $750,000,
respectively.
• In FY2020, $100,000 was transferred to the Fire Department to offset increases in spending
due to the Town's response to the COVID-19 pandemic.
• In FY2021, $15,000 was transferred to the Conservation Division to allow them to respond to a
Letter of Map Revision from the Town of Belmont.
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-19
Program: Shared Expenses
2500 Reserve Fund Town ofLexington, Massachusetts
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ — $ — $ 750,000 $ 750,000 $ — — %
. . �� • . � ��� � ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary IfS. --III'����
;��urm�iui�mm�
Actual Actual Appropriation urm��,� Increase Increase
Compensation $ — $ — $ — $ — $ — — %
Expenses $ — $ — $ 750,000 $ 750,000 $ — — %
. . 11 '- . 1 111 � 1 111 �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Level-Service Requests II��^�III'����
II�
M , .����u�°iuur�m�!��;
Actual Actual Appropriation urm����� Increase Increase
Total 2500 Reserve Fund $ — $ — $ 750,000 $ 750,000 $ — — %
. . �� • . � ��� � ���
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Il�a��-
�If��.�Ill������u��iui�iim�����
Actual Actual Appropriation urm�lll�� Increase Increase
Salaries&wages $ — $ — $ — $ — $ — — °�o
Overtime $ — $ — $ — $ — $ — — %
Compensation $ — .$ — .$ — $ — $ — — ��o
Contractual Services $ — $ — $ 750,000 $ 750,000 $ — — %
Utilities $ — $ — $ — $ — $ — — %
Supplies $ — $ — $ — $ — $ — — %
Small Capital — — — — — — %
Expenses $ — $ — $ 750,000 $ 750,000 $ — — %
. . �� . � ��� � ���
FY2023 Recommended Budget& Financing Plan February 28, 2022
III-20
This Page Intentionally Left Blank.
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���"���r"������'"'�
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Mission: The mission of the Department of Public Facilities is to manage the efficient operation and
maintenance of Town buildings, preserve the facility and equipment assets of the Town, and plan and
implement capital improvements. This mission is accomplished by establishing appropriate services in
support of building users, fostering continuous improvement in delivery of services, and by establishing
a five-year capital plan in collaboration with the Permanent Building Committee and other Town
committees.
Budget Overview: The Department of Public Facilities (DPF) is responsible for the coordination and
care of all Town-owned buildings inclusive of those under the control of the Town Manager, Library
Trustees and School Committee. The primary areas of service include custodial care and cleaning,
building maintenance and repair (including preventative maintenance), utilities, and landscaping and
grounds (school buildings only). The DPF administrative staff develops and implements the
maintenance programs that provide services for the Town buildings. In addition, the DPF Capital
Budget and the Building Rental Revolving Fund are managed by DPF staff.
Departmental Initiatives:
1. Continue renovations, additions and new construction at schools in support of increasing
enrollments.
2. Support implementation of Town Public Safety projects.
3. Review results of Master Plan survey and incorporate into future capital plans.
4. Implement other priority projects.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-22
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
�����i�������� ��atq����i�:
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I�i�r��l��:� Pala�nu���i�r ��1r�ri�ii�i��i��.�t�r
L�NI�I���ilit�r N9�iiu����i�r I�LH���s��a�lia�nua I���ili�y ���i��liiiim�t+�r
�u I��i°i r�t�irrr�#�im�.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-23
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
School Facilities 2610 Budget Budget Budget Request
Maintenance Staff* 11 12 12 12
Custodian 54 54 54 54
Subtotal FTE 65 66 66 66
Municipal Facilities 2620
Custodian** 10 12 12 12
Subtotal FTE 10 12 12 12
Shared Facilities 2630
Director of Public Facilities 1 1 1 1
Assistant Director of Public Facilities 1 1 1 1
Superintendent of Custodial Services 1 1 1 1
Project Manager 1 1 1 1
Facility Superintendent 1 1 1 1
Facility Engineer 1 1 1 1
Event Manager 1 1 1 1
LHS Facility Manager 1 1 1 1
Office Manager 1 1 1 1
Admin.Asst. - Facility Coordinator 1 1 1 1
Admin.Asst. -Clerical/Rental 1 1 1 1
Administrator
Municipal Assistant- Part time*** 0.5 0.5 0.5 1
Subtotal FTE 11.5 11.5 11.5 12.0
� • �
Notes:
* FY2021 includes 1.0 additional maintenance staff person to address an increasing work load due to
expanding the town's building footprint over the past decade.
** FY2021 includes 2.0 additional staff for municipal custodians to absorb the contracted custodial
expenses for the Town Office Building, Public Services Building, Cary Memorial Library and original Visitors
Center with in-house stafF, and expand coverage to include the Town Pool, Center Playground bathrooms
and the new Visitors Center.
*** In FY2023, a program improvement requests revising the Municipal Assistant's responsibilities to
reflect management of the 20-year capital plan database, and increasing the FTE from 0.5 to 1.0.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-24
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Department of Public Facilities budget inclusive of the General
Fund operating budget and the Building Rental Revolving Fund is $13,254,533. The recommended
budget is a $531,774, or 4.18% increase from the FY2022 budget.
The Department of Public Facilities FY2023 recommended General Fund operating budget, inclusive of
the Education Facilities, Municipal Facilities and Shared Facilities divisions, is $12,669,307, which is a
$515,942, or 4.25% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $6,461,256, and reflects a $282,542 or 4.57%
increase, which provides contractually obligated and projected step increases and cost of living
increases for the SEIU and AFSCME contracts that expired June 30, 2021. It also reflects a program
improvement to enhance the role of the Management Assistant to manage the 20-year capital
database, increasing the FTE from 0.5 to 1.0.
The General Fund operating budget for Expenses is $6,208,051 and reflects a $233,400, or 3.91%
increase. This reflects an overall increase in the cost of cleaning materials and other supplies, as well
as the cost of replacing two department vehicles with electric plugins.
For FY2023, Utilities are essentially level-funded. A project to add e�ensive solar panels to seven
school buildings is currently underway, followed by the addition of batteries. The timing of both project
phases is uncertain, as is the ultimate impact on electric bills. Staff recognize that there will be cost-
savings once each phase is implemented, but the extent of the savings is unclear due to numerous
unknown factors. There should be greater clarity during development of the FY2024 budget.
The FY2023 Facilities Department recommended Building Rental Revolving Fund budget is $585,226,
an increase of$15,832 or 2.78%, which is attributable to increases in wages, staff overtime and
benefits charged to this account.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in TOtal dnd (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Update Admin Role and Make � 27,000 $ 16,796 $ 43,796 $ 27,000 $ 16,796 $ 43,796 $ —
Full-time
Additional Maintenance � 30,700 $ — $ 30,700 $ — $ — $ — $ 30,700
Responsibilities
Maintenance of Empty Facilities $ 25,000 $ — $ 25,000 $ — $ — $ — $ 25,000
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-25
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $11,075,948 $11,120,623 $ 12,132,153 $ 12,647,022 $ 514,869 4.24 %
PEG Special Revenue Fund $ 19,466 $ 20,310 $ 21,212 $ 22,285 $ 1,073 5.06 %
. . .�� � �• -� • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary II���-
Appropriation �' IIP�����;,�umrmunrma��
Actual Actual uim���� Increase Increase
Compensation $ 5,672,548 $ 5,588,376 $ 6,178,714 $ 6,461,256 $ 282,542 4.57 %
Expenses $ 5,422,866 $ 5,552,557 $ 5,974,651 $ 6,208,051 $ 233,400 3.91 %
. .�� � �• �� . ..• �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary pppropr�ation ,;, ,III'���
- n�.��urnmurnm�r
Actual Actual uim�lll��� Increase Increase
2610-Education Facilities $ 7,938,774 $ 7,904,917 $ 8,534,697 $ 8,820,062 $ 285,365 3.34 %
2620-Municipal Facilities $ 1,987,953 $ 2,024,527 $ 2,388,449 $ 2,457,224 $ 68,775 2.88 %
2630-Shared Facilities $ 1,168,687 $ 1,211,489 $ 1,230,219 $ 1,392,021 $ 161,802 13.15 %
. . .�� � �• -� • �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary II���-
Appropriation '. ...,,,Il�.a�r�^�murnmurnm�!;�
Actual Actual ui���W�� Increase Increase
Salaries&Wages $ 5,378,169 $ 5,372,219 $ 5,845,430 $ 6,115,199 $ 269,769 4.62 %
Overtime $ 294,379 $ 216,157 $ 333,284 $ 346,057 $ 12,773 3.83 %
Personal Services $ 5,672,548 $ 5,588,376 $ 6,178,714 $ 6,461,256 $ 282,542 4.57 %
Contractual Services $ 1,509,275 $ 1,501,518 $ 1,527,440 $ 1,568,250 $ 40,810 2.67 %
Utllltles $ 3�122�259 $ 3�115�925 $ 3�503�751 $ 3�520�601 $ 16�850 0.48 %
Supplles $ 654,429 $ 809,520 $ 800,860 $ 868,700 $ 67,840 8.47 %
Small Ca ital 136 904 125 594 142 600 250 500 107 900 75.67 %
Expenses $ 5,42Z,866 $ 5,552,557 $ 5,974,651 $ 6,208,051 $ 233,400 3.91 %
• . .�� � �• �� • . ... � ..
Budget Summary - Non-General Funds
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Building Rental Revolving � 484,523 $ 32,591 $ 570,000 $ 586,000 $ 16,000 2.81 %
Fund
. . .�� • . � ��� . ��� . ���
*PEG revenues are tied to spending. For overall revenue,see Select Board budget presentation.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriations Summary II���-
Appropriation � IIP���,�w�;,�umrmunrmm;,u;
Actual Actual ui������;� Increase Increase
Building Rental
Revolving Fund $ 445,126 $ 8,458 $ 569,394 $ 585,226 $ 15,832 2.78 %
Personal Services $ 225,049 $ 2,333 $ 353,294 $ 368,054 $ 14,760 4.18 %
Expenses $ 205,350 $ 6,125 $ 198,000 $ 198,000 $ - - %
Benefits $ 14,728 $ - $ 18,100 $ 19,172 $ 1,072 5.92 %
. . .11 . .
Budget Summary - All Funds -------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary pppropriation --III°���
���;�u�mmur���;�
Actual Actual ui��91��� Increase Increase
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-26
Program: Shared Expenses
2600 Public Facilities Town ofLexington, MA
Compensation $ 5,897,596 $ 5,590,709 $ 6,532,008 $ 6,829,310 $ 297,302 4.55 %
Expenses $ 5,628,216 $ 5,558,682 $ 6,172,651 $ 6,406,051 $ 233,400 3.78 %
Benefits $ 14,728 $ — $ 18,100 $ 19,172 $ 1,072 5.9Z %
. . .�� � �� ��
FY2023 Recommended Budget& Financing Plan February 28, 2022
IV-27
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Section V: Program 3000: Public Works
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for the
Department of Public Works (DPW). It includes:
• 3000-3500 DPW Summary V-3
• 3100 DPW Administration & Engineering V-10
• 3200 Highway V-15
• 3300 Public Grounds V-19
• 3400 Environmental Services V-24
• 3600 Water Enterprise V-29
• 3700 Sewer Enterprise V-33
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-1
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���"���r"������'"'�
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Mission: The Department of Public Works is a professional team dedicated to enhancing the quality of
life in Lexington and supporting the Town's core values. We make every effort to maximize the
efficient, effective use of our resources in the support, maintenance and upkeep of the infrastructure,
public lands and programs. We are committed to public safety and providing prompt, courteous,
quality service to our customers and each other.
Budget Overview: The Public Works program contains all DPW divisions. The services provided by
Public Works include the maintenance, repair, and construction of the Town's infrastructure, roads,
equipment, and property. The Department of Public Works is responsible for 284 lane miles of road,
154 miles of water mains, 34 miles of trunk sewer lines, 119 miles of street sewer lines, 4,700 catch
basins, 160 pieces of equipment, 9 parks, 4 cemeteries, and the 5.5 mile-long Jack Eddison Memorial
Bikeway. Public Works supports Town functions through the maintenance and repair of facilities such
as playing fields, and the bikeway. This program also includes the Town's water and sewer operations,
which function as separate enterprise funds and are shown in separate enterprise budgets.
Along with the day-to-day duties of DPW staff, many are also actively involved or work with Town
committees. Those committees include the Permanent Building Committee, the Tree Committee, the
Center Committee, the Water and Sewer Abatement Board, the Capital Expenditures Committee, the
Appropriation Committee, the Transportation Safety Group, the Bicycle Advisory Committee, the
Commission on Disabilities, the Monuments and Memorials Committee, the Sustainability Committee,
the Noise Advisory Group and the Recreation Committee. These, and other staff, also work
collaboratively on internal committees and teams.
Departmental Initiatives:
1. Coordinate Administrative and Operations functions to maintain a functionally efficient
organization.
2. Continue working with Town committees to ensure sustained engagement of residents.
3. Ensure staff accessibility and participation for training and advancement opportunities.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-3
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
� - � . . � . �
Director of Public Works 1 1 1 1
Manager of Operations 1 1 1 1
Management Analyst* 0.6 0.6 0.6 1
Office Manager 1 1 1 1
Department Account Assistant** 2.6 2.6 2.6 2.6
Department Assistant- Pub Grounds/ 1 1 1 1
Cemetery
Department Lead Assistant 1 1 1 1
Town Engineer 1 1 1 1
Assistant Town Engineer 1 1 1 1
Senior Civil Engineer*** 2 3 3 3
Engineering Assistant*** 4 3 3 3
Engineering Aide 0.7 0.7 0.7 0.7
Supt. of Equipment, Highways& Drains 1 1 1 1
Highway Foreman 1 1 1 1
Crew Chief 6 6 6 6
Heavy Equipment Operators 16 16 16 16
Information Coordinator 1 1 1 1
Seasonal Laborer 1.7 1.7 1.7 1.1
Equipment Foreman 1 1 1 1
Mechanic 4 4 4 4
Superintendent of Public Grounds 1 1 1 1
Leadmen 7 7 7 7
Arborists 3 3 3 3
Cemetery Foreman 1 1 1 1
� - � . . � . . � • • . �
Superintendent of Environmental Services 1 1 1 1
Compost Facility Foreman 1 1 1 1
Leadman**** — — — 1
Heavy Equipment Operator**** 2 2 2 1
Seasonal Laborer 0.7 0.7 0.7 0.7
.
.
Explanatory Notes
*The FY2023 budget recommends transitioning the DPW Management Analyst to full-time as a program
improvement.
**Full-time Dept. Account Assistant shown as 0.6 from General Fund; 0.4 is charged to Water/Sewer Enterprise.
***A program improvement in FY2021 promoted an Engineering Assistant to Senior Engineer.
****The FY2023 budget recommends upgrading a Heavy Equipment Operator to a Leadman as a program
improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-4
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Public Works budget inclusive of the General Fund operating
budget and the Burial Containers, Compost Operations, Lexington Tree Fund, Minuteman Household
Hazardous Waste, and Regional Cache - Hartwell Avenue revolving funds is „:." ��D.� �'����„,"���'i�,������D.
The recommended budget is a ��r�-�'�'� �!������',, or ::�����f ��"%� increase from the FY2022 budget.
The FY2023 recommended Public Works General Fund operating budget is $11,968,145, which is a
$440,002, or 3.82% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $4,877,999, and reflects a $182,799 or 3.89%
increase, which is attributable to the cost of contractually obligated step increases and cost of living
adjustments, as well as the inclusion of a program improvement to expand the hours of the DPW
Management analyst.
The General Fund operating budget for Expenses is $7,090,146 and reflects a $257,203 or 3.76%
increase.
The combined FY2023 recommended Revolving Fund budgets (see page V-7) are
��������������� ���I��"�� which is a ������"'� ����� or�-.:... !�y/ ���"�"�� increase from the FY2022 budget,
which includes a position upgrade at the Hartwell Avenue compost site.
Please see the division sections on the following pages for a detailed explanation of the FY2023 budget
changes.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in Total dnd (reflected in NOt
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition PT Compost Site � 32,429 $ 16,874 $ 49,303 $ — $ — $ — $ 49,303
Attendant to FT
W-6 position upgrade $ 2,496 $ — $ 2,496 $ 2,496 $ — $ 2,496 $ —
Transition DPW Management � 24,121 $ 350 $ 24,471 $ 24,121 $ 350 $ 24,471 $ —
Analyst from PT to FT
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Public Grounds
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-5
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
Funding Sources(General FY2020 FY2021 FY2022 FY2023 Dollar Percent
Fund) Actual Actual Estimate Projected Increase Increase
Tax Levy $ 8,314,553 �°�.�8�"���I,,'��¢"�l $ 10,603,745 $ 10,981,494 $ 377,749 3.56 %
�,.....�g��'!�;43��.:p.....
Enterprise Funds(Indirects) $ 595,723 $ 624,564 $ 519,198 $ 614,351 $ 95,153 18.33 %
Fees,Charges and Available Funds
Parking Fund $ 72,900 $ 72,900 $ 72,900 $ - $ (72,900) -100.00 %
Cemetery Trust $ 90,038 $ 72,925 $ 50,000 $ 70,000 $ 20,000 40.00 %
Cemetery Prep Fees $ 272,443 $ 237,123 $ 230,000 $ 250,000 $ 20,000 8.70 %
Misc.Charges for Service $ 197 $ 114 $ 200 $ 200 $ - - %
Licenses&Permits $ 129,145 $ 143,175 $ 52,100 $ 52,100 $ - - %
. . 11 11 �• . ��1 11
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Actual Actual Appropriation Ill��m���urm�urm�i�urn���.�lll Dollar Percent
(GeneralFund) Increase Increase
NH�a�ur"�III��,
Compensation $ 4,165,247 $ 4,746,049 $ 4,695,200 $ 4,877,999 $ 182,799 3.89 %
Expenses $ 5,309,752 �°� "� ,'��w��"��s� $ 6,832,943 $ 7,090,146 $ 257,203 3J6 %
R'"......["..:...i•1,CL..711...�..�
,.�5 �1'g]-Jr.J�,.Y-.T
� . 11 11 �' � '1 11
FY2020 FY2021 FY2022 FY2023
Actual Actual Appropriation Ill����urmmurnm�;urm����,� Dollar Percent
Program Summary Increase Increase
(General Fund) Nh�a�ur"��N�:�;a�w,,,
Total 3110 Administration $ 655,805 $ 660,102 $ 693,469 $ 738,687 $ 45,218 6.52 %
Total 3120 Town Engineering $ 915,241 $ 930,378 $ 1,015,497 $ 1,080,193 $ 64,696 6.37 %
Total 3130 Street Lighting $ 237,224 $ 123,287 $ 228,200 $ 203,500 $ (24,700) -10.82 %
Total 3210 Highway $ 1,209,584 $ 1,305,787 $ 1,636,717 $ 1,695,756 $ 59,039 3.61 %
Total 3220 Equipment Maint. $ 731,408 $ 753,403 $ 840,179 $ 921,051 $ 80,872 9.63 %
Total 3230 Snow Removal $ 974,463 �� �,'��/,a-�Sa�� $ 1,522,967 $ 1,585,694 $ 62,727 4.12 %
�......:H:g�,�S�„��r�➢.....
Total 3310 Parks $ 1,261,614 $ 1,418,322 $ 1,436,075 $ 1,545,793 $ 109,718 7.64 %
Total 3320 Forestry $ 409,077 $ 525,200 $ 552,426 $ 523,391 $ (29,035) -5.26 %
Total 3330 Cemetery $ 299,721 $ 344,843 $ 393,778 $ 405,634 $ 11,856 3.01 %
Total 3410 Refuse Collection $ 924,683 $ 952,423 $ 980,996 $ 1,010,426 $ 29,430 3.00 %
Total 3420 Recycling $ 1,213,048 $ 1,265,853 $ 1,478,817 $ 1,468,095 $ (10,722) -0.73 %
Total 3430 Refuse Disposal $ 643,130 $ 767,750 $ 749,022 $ 789,925 $ 40,903 5.46 %
. . �� �� �• . �� ��
FY2020 FY2021 FY2022 FY2023
Actual Actual Appropriation II���„��ii��ii�,�i�,ii���,� Dollar Percent
Object Code Summary Increase Increase
(General Fund) N�fi�ur"�--N��a�
Salaries&Wages $ 3,811,785 $ 3,975,546 $ 4,254,374 $ 4,422,844 $ 168,470 3.96 %
Prior Year Retro Payments $ - $ 191,964 $ - $ - $ - - %
Overtime 353 462 578 539 440 826 455 155 14 329 3.25 %
Personal Services $ 4,165,247 $ 4,554,085 $ 4,695,200 $ 4,877,999 $ 182,799 3.89 %
Contractual Services $ 4,047,039 a �l,n/�,9>r�u $ 5,077,985 $ 5,189,746 $ 111,761 2.20 %
fi��l���i.....
Utilities $ 358,913 $ 399,893 $ 459,008 $ 516,400 $ 57,392 12.50 %
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-6
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Supplies $ 832,584 $ 939,898 $ 1,199,450 $ 1,280,500 $ 81,050 6.76 %
Small Ca ital 71 216 36 641 96 500 103 500 7 000 7.25 %
Expenses $5,309,752 ^^, ^"�„l��'1„�.�� $ 6,832,943 $ 7,090,146 $ 257,203 3.76 %
9'.....N.......t�.pAti 7IX�dll
�d Wr.�.,r.r
� . �� �� 1� ' � �� ��
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-7
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023
Funding Sources Actual Actual Appropriation II�,�,�„�ii�,ii���ii�,������ Dollar Percent
(Non-GeneralFund) � ` Increase Increase
N��ur"�-Ill�r,
Regional Cache-Hartwell � 10,659 $ 9,248 $ 50,000 $ 50,000 $ - - %
Avenue
Lexington Tree Fund $ 86,450 $ 54,120 $ 70,000 $ 75,000 $ 5,000 7.14 %
Burial Containers $ 44,705 $ 35,680 $ 50,000 $ 60,000 $ 10,000 20.00 %
Compost Operatlons $ 673,846 $ 804,309 $ 790,000 ^.(� �'�u�uaC4���p, �u �u!'�„,q;p�UV�� �;;$�"� °%a��
o.� ��^�.s�..... R��„9�1. �Y�&!!a-�rd�
Minuteman Household Hazardous � 153,800 $ 206,854 $ 260,000 $ 260,000 $ - - %
Waste
. . �� �� �• .,. .. � � ���
�
*Revolving Funds are authorized by Town Meeting via Article 9,and are not appropriated under Article 4.
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Actual Actual Appropriation Ill����,�ur�u��u�um�����:lll Dollar Percent
(Non-GeneralFund) Increase Increase
NH��pur"�-N�;.�
Regional Cache-Hartwell Avenue(3110)
Expenses $ 10,550 $ 1,883 $ 50,000 $ 50,000 $ - - %
Tree Revolving Fund(3320)
Expenses $ 887 $ 23,450 $ 70,000 $ 75,000 $ 5,000 7.14 %
Burial Containers Revolving Fund(3330)
Expenses $ 29,690 $ 21,815 $ 50,000 $ 60,000 $ 10,000 20.00 %
Compost Operations Rev.
Fund(3420) $ 824,841 �w �������P���� $ 786,155 �� ��"w�����"u. �� �������� ��U�'��/m�
,,�... ...v, ... ui... ...
,.�:��.... „" ...�C „ ;i�r-��..auA`«a
. �,. „ . . g,. , �
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10 %
Expenses $ 211,938 $ 245,515 $ 188,500 $ 194,000 $ 5,500 2.92 %
Benefits $ 70,246 ^.� r�"���,V„"� $ 77,487 � 9u'�,����G �a �,��,���� ��'�� '%u�
fiY.-�R3p�a��- ����:��Ra�� . �,,,,,.....�
Debt $ 217,303 $ 205,557 $ 163,001 °{> "�"/��/"a � �'��„�I J�I '���"�"� 'Y�
r� �.��p63��;�:..... _..........�
Minuteman Household Hazardous Waste(3420)
Expenses $ 133,954 $ 255,449 $ 260,000 $ 260,000 $ - - %
• . 11 11 �• . �
�
Budget Summary - All Funds-------------------------------------------------
FY2020 FY2021 FY2022 FY2023
Appropriation Summary pctual Actual Appropriation Il��,���ii��ii�,�i�,ii���,�� Dollar Percent
(AllFunds) Increase Increase
NH�a�ur"�-�dl':�„�
Compensation $ 4,490,600 $ 5,098,672 $ 5,052,367 $ 5,239,081 $ 186,714 3.70 %
Expenses $ 5,696,770 � �ls��a➢/,.w4/�p.... $ 7,451,443 $ 7,729,146 $ 277,703 3J3 %
���.�.....
Benefits(Revolving Funds) $ 70,246 �°� ��"�,l�,�l $ 77,487 °{> ��"k���� � �-u„�I'�u� ��'�� 'Ynp
fi� "��'.p.�",',;Y..... �� ?F"p'�4."A.�....... ..............QI'
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-8
3000-3500 DPW Summa Pro9ram: Public Works
1"y Town of Lexington, MA
Debt Service(Revolving Fund) $ 217,303 $ 205,557 $ 163,001 °� d�/,�H/"b �n �u�N�/�I 3��"r"� �ra„
�-B.�a;�p����.:.g..... , �,,,,,.....m.
• . 11 11 �' � � � 1 '
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-9
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Mission: This element of the budget provides executive direction and leadership to all aspects of the
Department of Public Works (DPW) by promoting best management practices, administering Town
policies and providing engineering support to other DPW divisions and Town departments.
Budget Overview:
DPW Administration includes Administration, Operations, Engineering and Street Lighting. DPW
Administration Management staff plan, supervise, coordinate, schedule and direct the department's
activities. Staff are responsible for preparing budgets, monitoring expenditures, developing bid
specifications for DPW procurements, responding to citizens' questions and concerns, evaluating work
performance, performing inspections, managing projects and scheduling work assignments.
Staff also support various committees including the Permanent Building Committee, the Center
Committee, the Capital Expenditures Committee, the Conservation Committee, the Energy Committee,
the Bicycle Advisory Committee, the Tree Committee, and Sustainable Lexington.
Division Initiatives:
1. Continue use of work order system to ensure efficient and effective customer response.
2. Collaborate across divisions to focus on reducing paper use throughout the organization and
look for digital options for use and storage.
1. Maintain and create a diverse and talented workforce by utilizing improved employee
recruitment processes and and continuing to promote professional growth and development of
staff.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-10
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3110: DPW Administration
Director of Public Works 1 1 1 1
Manager of Operations 1 1 1 1
Management Analyst* 0.6 0.6 0.6 1
Office Manager 1 1 1 1
Department Lead Assistant 1 1 1 1
Department Account Assistant*" 2.6 2.6 2.6 2.6
Subtotal FTE 7.2 7.2 7.2 7.6
Subtotal FT/PT 7 FT/1 PT 7 FT/1 PT 7 FT/1 PT 8 FT/0 PT
Element 3120: Engineering
Town Engineer 1 1 1 1
Assistant Town Engineer 1 1 1 1
Senior Civil Engineer*** 2 3 3 3
Engineering Assistant*** 4 3 3 3
Engineering Aide 0.7 0.7 0.7 0.7
Subtotal FTE 8.7 7.7 8.7 8.7
Subtotal FT/PT 8 FT/1 PT 8 FT/1 PT 8 FT/1 PT 8 FT/1 PT
.
. .
* 1 FT Assistant split betvueen DPW,Water&Sewer
** FY2021 reflects a program improvement request to promote an Engineering Assistant to Senior Engineer.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-11
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Administration and Engineering budget, inclusive of the General
Fund operating budgets for Administration, Engineering and Street Lighting, and the Regional Cache
Revolving Fund which funds the operation of the cache - a repository of emergency equipment at the
Hartwell Avenue compost facility for use by contributing member communities - is $2,072,380. The
recommended budget is a $85,214 or 4.29% increase from the FY2022 budget.
The recommended FY2023 Administration and Engineering General Fund operating budget is
$2,022,380 which is a $85,214, or 4.40% increase from FY2022. Of this amount, $1,581,480 is for
Compensation and reflects a $48,514 or 3.16% increase, which is attributable to the cost of
contractually obligated step increases, as well as a program improvement to make the DPW
Management Analyst full-time. Compensation does not include any estimate of prospective cost of
living increases for contracts expiring on or before June 30, 2022. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The recommended FY2023 Administration and Engineering General Fund operating budget for
Expenses is $440,900 and reflects a $36,700, or 9.08% increase. This is a net change, with increases
of $61,000 or 42.33% in Engineering to reflect the cost of developing the Stormwater enterprise
proposal among other projects, offset by decreases of $(24,700) or (11.32)% in the Street Lighting
budget, realizing savings in electricity and maintenance expenses due to the LED Street Light
conversion.
The FY2023 recommended Regional Cache Revolving Fund request is funded at $50,000, which is
level-funded from FY2022. The fund collects and spends fees paid by member towns for borrowing the
equipment.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Shcdries (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition DPW Management $ 24,121 $ 350 $ 24,471 $ 24,121 $ 350 $ 24,471 $ —
Analyst from PT to FT
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-12
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $1,260,500 $1,131,593 $ 1,440,202 $ 1,521,603 $ 81,401 5.65%
Enterprise Funds(Indirects) $ 416,727 $ 437,185 $ 442,964 $ 448,477 $ 5,513 1.24%
Fees&Charges
Charges for Service $ 197 $ 114 $ 200 $ 200 $ - -%
Licenses&Permits $ 129,145 $ 143,175 $ 52,100 $ 52,100 $ - -%
Parking Fund $ 1,700 $ 1,700 $ 1,700 $ - $ (1,700) -100.00%
. . �� . :�: � � � :� -��.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation IIf���.��muiurmiqiirm��uim�,III��.�V Increase Increase
II����
Compensation $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Expenses $ 394,815 $ 274,617 $ 404,200 $ 440,900 $ 36,700 9.08%
. . �� . :�: � � :� ����
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation III�a���mui�cmiq�icm�uim�;��TM�� Increase Increase
II����III��
Total 3110 DPW Administration $ 655,805 $ 660,102 $ 693,469 $ 738,687 $ 45,218 6.52%
Total 3120 Engineering $ 915,241 $ 930,378 $ 1,015,497 $ 1,080,193 $ 64,696 6.37%
Total 3130 Street Lighting $ 237,224 $ 123,287 $ 228,200 $ 203,500 $ (24,700) -10.82%
. . �� . :�: � � :� ���.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation II���a�,a�uiurmiqiirm�uim��u� Increase Increase
II����
Salaries&Wages $1,410,811 $1,428,923 $ 1,519,106 $ 1,567,491 $ 48,385 3.19%
Overtime 2 644 10 227 13 860 13 989 129 0.93%
Personal Services $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Contractual Services $ 246,370 $ 170,346 $ Z28,400 $ 285,300 $ 56,900 24.91%
Utilities $ 130,019 $ 95,096 $ 112,400 $ 102,400 $ (10,000) -8.90%
Supplies $ 18,165 $ 9,131 $ 62,400 $ 52,200 $ (10,200) -16.35%
Small Ca ital 261 44 1 000 1 000 - -%
Expenses $ 394,815 $ 274,617 $ 404,200 $ 440,900 $ 36,700 9.08%
. . �� . :�: � � :� ����
Budget Summary - Revolving Funds* ---------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Appropriation Ill��a,��uiurm„�:prm�ui,m,�,�;;;,',,�� Increase Increase
Il�i��-N�.��
Regional Cache-Hartwell Ave. $ 10,659 $ 9,248 $ 50,000 $ 50,000 $ - -%
. . �� . � . � . • � ��� � ���
*Revolving Funds are authorized by Town Meeting via Artide 9,and are not appropriated under Artide 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation Ill���u�;�uui�icm„�,�cm�uim,�,�?�^ro� Increase Increase
Il��i�-III���;,�
Regional Cache-Hartwell Ave.
Expenses $ 10,550 $ 1,883 $ 50,000 $ 50,000 $ - -%
• . 11 . � . 1 1 1 111 1 111
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-13
Program: Public Works
3100 DPW Administration & Engineering Town ofLexington, MA
Budget Summary - All Funds------------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation III�'ar�;��uiurmiqiirm�uim�ll��� Increase Increase
II���--III���
Compensation $1,413,455 $1,439,150 $ 1,532,966 $ 1,581,480 $ 48,514 3.16%
Expenses $ 405,365 $ 276,499 $ 454,200 $ 490,900 $ 36,700 8.08%
• . �� . : � . � �• .. � :� •'�
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-14
Program: Public Works
3200 Highway Town ofLexington, MA
Mission: The Highway Division maintains the town streets, sidewalks and stormwater infrastructure,
providing for the safe movement of vehicular and pedestrian traffic. The Highway Division performs
minor construction repairs, snow and ice operations for roadways and sidewalks, maintains all traffic
signage, traffic markings and supervises contractual service providers that perform repairs, cleaning
and maintenance work. In addition, the Equipment Maintenance Division ensures the Town's fleet is
operational and well maintained by performing repairs, preventive maintenance and managing the fuel
management program.
Budget Overview: The Highway Division includes Highway Maintenance, Equipment Maintenance
and Snow Removal.
• Highway Maintenance is responsible for all public streets, sidewalks, town parking lots, drainage
infrastructure and brooks, performing minor construction repairs, as well as maintaining all
traffic signage and traffic markings.
• Equipment Maintenance is responsible for the repair and preventive maintenance of 160
vehicles, rolling stock and equipment.
• Snow Removal is responsible for removing snow and treating 155 miles of roads and 62 miles of
sidewalks.
The Highway Division stafF works with and provides support to the Sidewalk and Center Committees.
Division Initiatives:
1. Continue with the repair and replacement of sidewalks based on the 2020 BETA sidewalk
assessment report.
2. Continue with MS4 permitting requirements including street sweeping, catch basin cleaning,
culvert cleaning and brook cleaning.
3. Take proactive measures to clean and repair catch basins townwide.
4. Provide timely and efFicient response to road hazards that arise on Town roads.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-15
Program: Public Works
3200 Highway Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3210: Highway Maintenance
Supt. of Equipment, Highways&Drains 1 1 1 1
Highway Foreman 1 1 1 1
Crew Chief 2 2 2 2
Leadman 2 Z 2 2
Shovel Operator 1 1 1 1
Heavy Equipment Operator 5 5 5 5
Information Coordinator 1 1 1 1
Seasonal Laborer 0.5 0.5 0.5 0.5
Subtotal FTE 13.5 13.5 13.5 13.5
Subtotal FT/PT 13 FT/1 PT 13 FT/1 PT 13 FT/1 PT 13 FT/1 PT
Element 3220: Equipment Maintenance
Equipment Foreman 1 1 1 1
Mechanic 4 4 4 4
Subtotal FTE 5 5 5 5
Subtotal FT/PT 5 FT/0 PT 5 FT/0 PT 5 FT/0 PT 5 FT/0 PT
�
�
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-16
Program: Public Works
3200 Highway Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Highway budget inclusive of the Highway Maintenance, Equipment
Maintenance and Snow Removal divisions is $4,202,501. The recommended budget is a $202,638, or
5.07%, increase from the FY2022 budget.
The budget for Compensation is $1,536,201, and reflects an increase of $41,046 or 2.75%, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $2,666,300 and reflects a $161,592 or 6.45% increase which includes an
anticipated $56,000 increase (23.4%) in the cost of gasoline and diesel fuel due to current market
conditions, as well as inflationary increases in supplies and materials across the division. The guardrail
replacement program started in FY2020, and the bicycle sharerow program initiated in FY2018, both
continue in FY2023.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-17
Program: Public Works
3200 Highway Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $2,756,367 .�"�,����'�i°G,� $ 3,852,429 $ 4,133,590 $281,161 7.30%
.4tD".':X'y':".3:'.N'.'p•....,,.
�
Enterprise Funds(Indirects) $ 87,888 $ 93,240 $ 76,234 $ 68,911 $ (7,323) -9.61%
Fees&Charges
Parking Fund $ 71,200 $ 71,200 $ 71,200 $ - $ (71,200) -100.00%
. 11 . • ••• :. 1 1 1 . 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation III��m�iir�rriuuimm�TMurm�l�:���1 Increase Increase
����...�,,,
Compensation $1,347,861 $1,601,662 $ 1,495,155 $ 1,536,201 $ 41,046 2.75%
Expenses $1,567,594 �s�,����'����1t�r� $ 2,504,708 $ 2,666,300 $161,592 6.45%
��'���.
, .,.._g.
. . �� . � � � � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation III��m�,�wiir�iuimma urnmlll�� Increase Increase
���....��,,
Total 3210 Highway Maintenance $1,209,584 $1,305,787 $ 1,636,717 $ 1,695,756 $ 59,039 3.61%
Total 3220 Equipment Maintenance $ 731,408 $ 753,403 $ 840,179 $ 921,051 $ 80,872 9.63%
Total 3230 Snow Removal $ 974,463 :�G,��!„�duyp $ 1,522,967 $ 1,585,694 $ 62,727 4.12%
a��.��...
• . 11 � • ••• :. 1 1 1 . : 1 '
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation III���„��iirmiuui���u�m�,lll�,�� Increase Increase
������
Salaries&Wages $1,099,287 $1,124,698 $ 1,191,917 $ 1,222,877 $ 30,960 2.60%
Prior Year Retro Payments $ - $ 84,899 $ - $ - $ - -%
Overtime $ 248,574 $ 392,064 $ 303,238 $ 313,324 $ 10,086 3.33%
Persona/Services $1,347,861 $1,60i,662 $ i,495,155 $ i,536,201 $ 4i,046 2.75%
Contractual Services $ 760,662 ^� ��"ua� /"�� $ 1,229,400 $ 1,256,000 $ 26,600 2.16%
�r �r�fl -n u:"'n
��v-r-rt-u.�..rz..
Utilities $ 181,248 $ 218,867 $ 269,908 $ 328,300 $ 58,392 21.63%
Supplies $ 563,623 $ 705,066 $ 920,400 $ 991,000 $ 70,600 7.67%
Small Ca ital $ 62,062 $ 30,804 $ 85,000 $ 91,000 $ 6,000 7.06%
Expenses $i,567,594 .�'����P�a,���"� $ 2,504,708 $ 2,666,300 $i6i,59Z 6.45%
�;��
. . �� . � � � � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-18
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Mission: The Public Grounds Division, working with other Town Departments, user groups and
concerned citizens, supports various Town services and recreational opportunities that help to preserve
the Town's green character and open spaces, and promote public safety. Through the Cemetery
Division, it also serves bereaved families and provides well-maintained cemetery grounds.
Budget Overview: The Public Grounds Division is comprised of the Parks, Forestry and Cemetery
functions.
• The Parks staff maintain 9 parks, 12 playgrounds, 28 conservation areas, 41 athletic fields, 12
school grounds, 4 tennis facilities, 3 historical sites, the pool and reservoir complexes as well as
the Town's bicycle, fitness and conservation trails totaling approximately 630 acres. Lexington's
athletic fields are used by many groups, which put excessive demands on these facilities. The
new turf program has continued to make a marked improvement in the safety and playability of
these fields.
• The Forestry staff maintain approximately 10,000 street trees, an undetermined number of
trees on Park and Conservation lands and numerous shrub bed plantings on park, cemetery,
school and conservation properties and along right-of-ways.
• The Cemetery staff is responsible for the administration and maintenance of four cemeteries
including 21.5 acres in Westview, 6.9 acres in Munroe, 1.28 in Colonial and 0.5 acres in
Robbins.
Staff support the Recreation, Tree and Bicycle Advisory Committees.
Division Initiatives:
1. Continue the implementation of a proactive park maintenance program to provide safe, well-
maintained, aesthetically pleasing parks, athletic fields and public ground areas.
2. Continue to improve two turf areas per year; the Center Complex baseball and football fields
are targeted for FY2023.
3. Continue to implement a proactive tree maintenance program to minimize hazard trees and
provide safe, well-maintained, aesthetically pleasing parks, athletic fields and public ground
areas.
4. Continue the GPS location of graves at Westview Cemetery and begin plans for the other
cemeteries.
5. Oversee construction of the new cemetery building.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-19
Program: Public Works
3300 Public Grounds Town ofLexington, MA
PuhVo�tNr.rrk�CYire�t�r '
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element 3310: Parks Division Budget Budget Budget Request
Superintendent of Public Grounds 1 1 1 1
Crew Chief 3 3 3 3
Leadman 4 4 4 4
Heavy Equipment Operator 8 8 8 8
Subtotal FTE 16 16 16 16
Subtotal FT/PT 16 FT/0 PT 16 FT/0 PT 16 FT/0 PT 16 FT/0 PT
Element 3320: Forestry Division
Crew Chief 1 1 1 1
Arborists 3 3 3 3
Heavy Equipment Operator 1 1 1 1
Seasonal Laborer 0.6 0.6 0.6 0.3
Subtotal FTE 5.6 5.6 5.6 5.3
Subtotal FT/PT 5 FT/2 PT 5 FT/2 PT 5 FT/2 PT 5 FT/2 PT
Element 3330: Cemetery Division
Cemetery Foreman 1 1 1 1
Leadman 1 1 1 1
Heavy Equipment Operator 1 1 1 1
Department Assistant 1 1 1 1
Seasonal Laborer 0.6 0.6 0.6 0.3
Subtotal FTE 4.6 4.6 4.6 4.3
Subtotal FT/PT 4 FT/2 PT 4 FT/2 PT 4 FT/2 PT 4 FT/1 PT
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-20
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Public Grounds budget inclusive of the General Fund operating
budgets for the Parks, Forestry and Cemetery divisions and the Burial Containers and Lexington Tree
Fund Revolving Funds is $2,609,818, which is a $107,539 or 4.30% increase over the FY2022 budget.
The combined Parks, Forestry and Cemetery FY2023 recommended General Fund operating budget is
$2,474,818 which is a $92,539 or 3.88% increase from the FY2022 General Fund budget.
The combined Parks, Forestry and Cemetery General Fund operating budget for Compensation is
$1,760,318 and reflects a $93,239 or 5.59% increase, which is attributable to the cost of contractually
obligated step increases and cost of living adjustments in the contract with Public Works staff.
The combined Parks, Forestry and Cemetery General Fund operating budget for Expenses is $714,500
and reflects a $(700) or (0.10)% decrease, which is a net change reflecting removal of a one-time
expense for $40,000, offset by inflationary increases in supplies and materials throughout the division.
The combined FY2023 revolving fund budgets are funded at $135,000, an increase of$15,000.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Public Grounds
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-21
Program: Public Works
3300 Public Grounds Town ofLexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $1,516,823 $1,884,177 $ 2,102,279 $ 2,057,855 $(44,424) -2.11%
Enterprise Funds(Indirects) $ 91,108 $ 94,139 $ - $ 96,963 $ 96,963 -%
Fees&Charges
Cemetery Prep Fees $ 272,443 $ 237,123 $ 230,000 $ 250,000 $ 20,000 8.70%
Directed Funding
Cemetery Trust $ 90,038 $ 72,925 $ 50,000 $ 70,000 $ 20,000 40.00%
. 11 . • 1 .• • • •
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation IIG�����uiurmiqiirm�.uim�llm�.ar� Increase Increase
II���III���
Compensation $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Expenses $ 566,482 $ 583,127 $ 715,200 $ 714,500 $ (700) -0.10%
• . 11 . . � . �. . . .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Appropriation 114���;��ui��iqum�uim�Y�.�:� Increase Increase
II���...�Na��
Total 3310 Parks Division $1,261,614 $1,418,322 $ 1,436,075 $ 1,545,793 $109,718 7.64%
Total 3320 Forestry $ 409,077 $ 525,200 $ 552,426 $ 523,391 $(29,035) -5.26%
Total 3330 Cemetery $ 299,721 $ 344,843 $ 393,778 $ 405,634 $ 11,856 3.01%
. . �� . • � -
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Appropriation III�����uimmiqurm��urm�H��� Increase Increase
II���...��
Salaries&Wages $1,301,688 $1,421,925 $ 1,543,351 $ 1,632,476 $ 89,125 5.77%
Prior Year Retro Payments $ - $ 107,o65 $ - $ - $ - -%
Overtime 102 243 176 248 123 728 1Z7 842 4 114 3.33%
Personal Services $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Contractual Services $ 284,660 $ 275,117 $ 447,600 $ 421,500 $(26,100) -5.83%
Utilities $ 47,646 $ 85,929 $ 76,700 $ 85,700 $ 9,000 11.73%
Supplies $ 225,283 $ 216,287 $ 180,400 $ 195,800 $ 15,400 8.54%
Small Ca ital 8 893 5 794 10 500 11 500 1 000 9.52%
Expenses $ 566,482 $ 583,127 $ 715,200 $ 714,500 $ (700) -0.10%
. . �� . • � �
Budget Summary - Revolving Funds*--�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Lexington Tree Fund $ 86,450 $ 54,120 $ 70,000 $ 75,000 $ 5,000 7.14%
Burial Containers $ 44,705 $ 35,680 $ 50,000 $ 60,000 $ 10,000 20.00%
. . 11 - . . . :• :11 1111 111 111 1'�
*Revolving Funds are authorized by Town Meeting via Artide 9,and are not appropriated under Artide 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation 114����vuiurmiqiirm�.uim���m�� Increase Increase
II����„
Lexington Tree Revolving Fund
Expenses $ 887 $ 23,450 $ 70,000 $ 75,000 $ 5,000 7.14%
Burial Container Revolving Fund
Expenses $ 29,690 $ 21,815 $ 50,000 $ 60,000 $ 10,000 20.00%
. . �� - . . . � � ��� ��� ��� ���
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-22
Program: Public Works
3300 Public Grounds Town ofLexington, MA
Budget Summary -�All Funds -�-�-�-�-�-�-�-�---�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-�-
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Appropriation III�'ar�;��uiurmiqiirm�uim�ll��� Increase Increase
II���--III���
Compensation $1,403,930 $1,705,237 $ 1,667,079 $ 1,760,318 $ 93,239 5.59%
Expenses $ 597,059 $ 628,392 $ 835,200 $ 849,500 $ 14,300 1.71%
• . �� � ��� •:• . � � • .�• : . � • ���
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-23
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Mission: The Environmental Services Division manages the solid waste, recyclables, yard waste and
household hazardous products generated by households and municipal facilities. The Division also
provides educational materials on ways to reduce solid waste, increase recycling and composting, and
reduce the toxicity of the waste stream.
Budget Overview: The Environmental Services Division includes Refuse Collection and Disposal,
Recycling, Yard Waste and Appliance/Electronic Waste.
Refuse collection is the curbside collection of non-recyclable residential solid waste and the separate
collection of large appliances and yard waste. Recycling is the curbside collection of recyclable
products, management of yard waste operations at the Hartwell Avenue Compost Facility, operation of
the Minuteman Household Hazardous Products regional facility and curbside collection of televisions,
computer monitors and other electronics (CRT's) and drop-off of corrugated cardboard.
The Town entered into a 5-year contract for the collection of trash and recyclables with E. L. Harvey &
Sons, Inc. beginning July 1, 2018 and running through June 30, 2023. The Town is currently under
contract with Wheelabrator in North Andover for refuse disposal through June 30, 2025.
Division Initiatives:
1. Work with E. L. Harvey & Sons to continue a manual refuse and manual single stream recycling
collection service. Oversee enforcement of mandatory recycling bylaw and State waste bans
regulations.
2. Continue to support programs to divert organics from residential trash. Since May 2018, DPW has
provided over 1,000 specialized green carts to residents participating in a food scraps program.
Lexington Public Schools divert approximately 100 tons of organics throughout the school year.
3. Continue to assess markets and pricing for compost, loam, leaf, bark mulch and yard waste
disposal permits.
4. Continue to support Zero Waste activities and programs, to promote waste reduction programs at
public events such as Discovery Day, community fairs and other events.
5. Complete implementation of DPW yard/compost facility operation's plan including gate installation,
security and conservation improvements.
6. Explore and implement new revenue opportunities.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-24
Program: Public Works
3400 Environmental Services Town ofLexington, MA
�"���u�� ��ir��� I���-����r
I�tt�i�����i��f
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� �:�i����� E,���I���:�
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i �i������E��u��rrf��ir�t �� ������s�i���,��t�in��n1��
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Element 3420: Recycling* (Compost Facility)
Superintendent of Environmental Services 1 1 1 1
Compost Facility Foreman 1 1 1 1
Leadman** — — — 1
Heavy Equipment Operator 2 2 2 1
Seasonal Attendant 0.7 0.7 0.7 0.7
Subtotal FTE 4.7 4.7 4.7 4.7
Subtotal FT/PT 4 FT/i PT* 4 FT/1 PT* 4 FT/1 PT* 4 FT/1 PT*
.
.
*The positions shown in Element 3420: Recycling are paid from the DPW Compost Revolving Fund.
**The FY2023 budget requests upgrading a Heavy Equipment Operator to a Leadman as a program
improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-25
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Environmental Services budget inclusive of the General Fund
operating budgets for the Refuse Collection, Recycling and Refuse Disposal divisions and the Compost
Operations and Minuteman Household Hazardous Waste Program Revolving Funds is
:����, ��1re �������� II,,, which is a net�`u� �. "".. �� �����"'��,, or �—�a�-�✓� � �����"�k increase from the FY2022
budget.
There is no Compensation in the Refuse Collection, Recycling and Refuse Disposal General Fund
operating budget as all staff are funded within the Compost Operations Revolving Fund budget.
The combined General Fund Refuse Collection, Recycling and Refuse Disposal operating budget for
Expenses is $3,268,446 and reflects a $59,611 or 1.86% increase. The Refuse Collection expense
budget is recommended at $1,010,426, a increase of$29,430 or 3.00%, and the Recycling expense
budget is recommended at $1,468,095 a decrease of $(10,722) or (0.73)%, both of which reflect the
Town's contracts for refuse and recycling collections. The Recycling decrease also reflects the current
market for disposal of recycled materials, which has recently begun to stabilize; and is anticipated to
decrease by $(78,000) or (19.60)%. The Refuse Disposal expense budget is recommended at
$789,925, an increase of$40,903 or 5.46%, attributable to a 3.24% or $2.61 increase in the Town's
tipping fee per ton. Total refuse disposal tonnage for FY2023 is projected to be 9,500 tons, an
increase of 200 tons due to higher usage while residents have been home during the pandemic.
The FY2023 revolving fund budgets are recommended at � , " " �"��9�� ��� ��,'�, a .���-�"��������m�!�� or
� .. ,�� G"��w'�/� net increase. The Minuteman Household Hazardous Waste Program Revolving Fund is
level-funded at $260,000. The Compost Operations Revolving Fund is recommended at
�'�d����F��������'�, a ���-� �������"��� or D�'f�.���� �',�'"�I� increase, which reflects actual expenses, as well
as a program improvement to upgrade a heavy equipment operator to a leadman.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total dnd (refleded in NOt
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Transition PT Compost Site $ 32,429 $ 16,874 $ 49,303 $ — $ — $ — $ 49,303
Attendant to FT
W-6 position upgrade $ 2,496 $ — $ 2,496 $ 2,496 $ — $ 2,496 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-26
Program: Public Works
3400 Environmental Services Town ofLexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $2,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
. . -�� . :� : . � . �: :
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Nh��ur"�-
Appropriation Summary Appropriation Ill���,�;��ui�i�ui�im�
(General Fund) Actual Actual urm�lll��� Increase Increase
Compensation $ - $ - $ - $ - $ - -��o
Expenses $2,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
. . -�� . :� :. :. � . �: .: --. • . :. �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
NW��;�ur"-�-
Program Summary(General Appropriation Ill���;�wuiurmuiurm�
Fund) Actual Actual urm���� Increase Increase
Total 3410 Refuse Collection $ 924,683 $ 952,423 $ 980,996 $ 1,010,426 $ 29,430 3.00%
Total 3420 Recycling $1,213,048 $1,265,853 $ 1,478,817 $ 1,468,095 $(10,722) -0.73%
Total 3430 Refuse Disposal $ 643,130 $ 767,750 $ 749,022 $ 789,925 $ 40,903 5.46%
. . -�� . :� : . � . �: :
FY2020 FY2021 FY2022 FY2023 Dollar Percent
�, °,.
ObjeCt COde Summdry Appropriation IIG��^,,�„�uui�imui�ima�;
(General Fund) Actual Actual urma��^� Increase Increase
Salaries&Wages $ - $ - $ - $ - $ - -%
Overtime $ - $ - $ - $ - $ - -%
Personal Services $ - $ - $ - $ - $ - -%
Contractual Services $2,755,348 $2,976,612 $ 3,172,585 $ 3,226,946 $ 54,361 1.71%
Utl IIt12S � - � - � - � - � - -%
SUpplles $ 25�514 $ 9�414 $ 36�250 $ 41�500 $ 5�250 14.48%
Small Ca ital - - - - - -%
Expenses $Z,780,861 $2,986,026 $ 3,208,835 $ 3,268,446 $ 59,611 1.86%
. . ��� . :� : . � . �: :
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Compost Operations Rev. Fund $ 673,846 $ 804,309 $ 790,000 �_ ���'`�,�l���a� �{� �'`�„��ti�u� ��,�"��1�u
�... ,q-
.'p P ...... ...�tl .6'$.... II:..
Minuteman Haz.Waste Rev. Fund $ 153,800 $ 206,854 $ 260,000 $ 260,000 $ - -%
. . ��� . . . � � � ���
*Revolving Funds are authorized by Town Meeting via Artic%9,and are not appropriated under Article 4.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Nh��ur"�-
Appropriation ;.
w„114"�.�u:��urmm urmm�
Appropriation Summary Actual Actual urna��,� Increase Increase
Compost Operations Rev.Fund $824,841 ����W��i�!� $ 786,155 � ��w�u��i^�"�. �����.��� ��V,,����/�»
�...�������,� �...........................r...,pi...����.... �u.........�Ug :.... ;�,,�:��"�a
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10%
Expenses $ 211,938 $ 245,515 $ 188,500 $ 194,000 $ 5,500 2.92%
Benefits $ 70�246 jn ����Ml�.�I: � 77�487 �+ 3�:"u�a)."u�� "�n �ro���u� d.�".�"�:�`�1ra
�-��p�,��- �; dpeq�y,d _.....�.
Debt $ 217,303 $ 205,557 $ 163,001 � ��"I,�NI"r � �u�,�/�h b�,"b"b"10,
"�-&����.............................._............. .............a�.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-27
Program: Public Works
3400 Environmental Services Town ofLexington, MA
Minuteman Haz.Waste Rev.Fund $133,954 $255,449 $ 260,000 $ 260,000 $ — —%
Expenses $ 133,954 $ 255,449 $ 260,000 $ 260,000 $ — —%
• �11 . � . • • 1�.
Budget Summary - All Funds-----------------------------------------------
FY2020 FY2021 FY2022 FY2023 Dollar Percent
�, ",.
Appropriation „...,,,Il��,u:��ui�imui�im�„
Appropriation Summary Actual Actual urm�l��lll Increase Increase
Compensation $ 325,354 $ 352,623 $ 357,167 $ 361,082 $ 3,915 1.10%
Expenses $3,126,753 $3,486,989 $ 3,657,335 $ 3,722,446 $ 65,111 1.78%
Benefits(Revolving Fund) $ 70,246 �� �u"� l�,.�: $ 77,487 "� ��,t7"&� �j� r��!'�� +i, a>"1u
�—�R;�p�'�°�- Y.� �r�, .... ," _.........c�:
Debt Service(Revolving Fund) $ 217,303 $ 205,557 $ 163,001 � J�/,�/u� �� a�u�,+N/�i ��,'`��"'l�
"�1�S-�:Y��:..... ,• _.........
• . ��� . � . � . ..�
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-28
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Mission: The Water/Sewer Division strives to enhance the quality of life in Lexington by providing
quality drinking water, and ensuring the proper and safe discharge of our wastewater and by
maintaining our commitment to improving the infrastructure.
Budget Overview: The Water Division budget is comprised of Water Operations, Massachusetts
Water Resources Authority (MWRA) purchases and indirect support from the General Fund.
The Water Operations maintains and repairs the water system that delivers water to Lexington homes
and businesses through 154 miles of water mains, 1,747 fire hydrants and two water towers that store
3.24 million gallons of water. The Town has a three-block inclining rate structure to encourage water
conservation. As a customer uses more water, the water rate for the additional units increases.
Customers are billed twice per year. The Town also sells water to the Town of Bedford at the MWRA
wholesale rate plus an administrative fee. The MWRA provides water to Lexington and greater Boston.
Indirect support from the General Fund reflects Water Enterprise Fund expenses (benefits, insurance
and engineering support) that are appropriated in the General Fund. The Water Enterprise Fund,
therefore, reimburses the General Fund for these expenses through an indirect cost transfer. In
FY2023, the Water Enterprise Fund will contribute to the Other Post-Employment Benefits (OPEB) Trust
Fund in a funding level that matches the contributions of the General Fund.
Departmental Initiatives:
1. Continue with the Hydrant Maintenance Program.
2. Continue working with the vendor implementing the Automatic Meter Reading System (AMR).
3. Implement a valve/hydrant maintenance and/or backflow/cross connection program.
4. Continue to evaluate water usage, to move towards conservation efforts.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-29
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
�"�.��r�n� '�'���� �te�r�����
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Cir���Fn�i�f �J'tiiillimt^�I�illirti� D�p�rti�r��rtit
N�1:�im,��e r ,�.�1 i���i��.
l�L���u�r�i�r,r'��r��,i�l�.�I���ea�i� ��a���I�qwi���i�r^��r7k L�a���r�ir�
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L�a�rm�ai� ha��t��R����i�r
��,�i��ta�
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Superintendent of Water&Sewer 0.5 0.5 0.5 0.5
Utility Billing Manager 0.5 0.5 0.5 0.5
Crew Chief 2 2 2 2
Grader-Shovel Operator 1 1 1 1
Leadman/Cross Connector Inspector 2 Z 2 2
Heavy Equipment Operator 4 4 4 4
Laborer-Meter Reader 1 1 1 1
Department Assistant 0.2 0.2 0.2 0.2
.
. � � � i
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-30
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended Water operating budget is . ... � ���-�����.���'�����, inclusive of indirect
costs. The recommended budget reflects a �-����� " ^�11,��W�/����� or�,,C��'l��,'���%� increase from the
FY2022 budget.
The budget for Compensation is $875,670, and reflects a $10,216 or 1.18% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $533,500 which is an increase of$19,200, or 3.73% from FY2022, and is
due to an increase in professional development to support training and licenses for several new staff
members, as well as inflationary increases in supplies and materials.
In FY2021, a new budget category of Cash Capital was initiated to begin to transition the ongoing
water main replacement program to being funded directly by user charges instead of debt financing.
This is the third year of an 11-year transition to move the entire $2,200,000 annual program to cash
financing. In doing so, rate payers will save a considerable amount on interest costs in the long-term.
The FY2023 recommendation for cash capital is $600,000.
III Debt service is recommended to increase by . " ��" ����i���'��, or�- ���� ����%�.
The preliminary MWRA Assessment is $9,618,303, which is a $874,391 or 10.00% increase from
FY2022. The final assessment will be issued in June 202Z.
In FY2023, it is recommended that the Water Enterprise Fund continue contributing to the Other Post-
Employment Benefits Trust Fund, which was initiated in FY2018.
Indirect payments to the General Fund for those costs borne by the General Fund in support of water
operations are projected at $977,093, an increase of $58,848 or 6.41%.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for � g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Water/Sewer
C°c�lc�rrara(,$) h�v�f���r� hictd�r� fr��r� t�ai,� ��bBe
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ — $ — $ — $ — $ — —%
Enterprise Funds
Retained Earnings $ — $ — $ — $ — $ — —%
User Charges $10,594,289 $13,560,393 $ 12,316,466 � II";,'!��'�1„��w/� �,;II,��UIN�su�,r uy,,��u�'�„
�—&�,�;��a„��:G.....,. �,...
......��'v ..., ','�„ ... @3
Meter Charges $ 44,896 $ 75,844 $ 35,000 $ 35,000 $ — —%
Investment Income $ 17,931 $ 6,399 $ 8,000 $ 8,000 $ — —%
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-31
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Fees&Charges $ 399,794 $ 265,633 $ 265,000 $ 265,000 $ - -%
. . .�� - - . - � . • � •�'
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised IIC�.�����ui�irmui�irm�^ui����� Increase Increase
Appropriation Summary II�N��-Ill�a�„,
Compensation $ 660,929 $ 834,114 $ 865,454 $ 875,670 $ 10,216 1.18%
Expenses $ 420,436 $ 467,078 $ 514,300 $ 533,500 $ 19,200 3.73%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
Debt $ 1,192,000 $ 965,096 $ 1,179,794 �(k �p���l,/1�u �� �f1�°�!'�� p,,���°I,
fl �..,.., n��a.� ..............��:..... �
°a�.;..�„�..�-�- , a�:.d�aQ- -,.. .
MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
OPEB $ 2,761 $ - $ Z,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
. . .�� - - . - � � �. ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised IIC�.�^���ui�irmui�rm��uim���� Increase Increase
Program Summary II�N��-III��,,
3610WaterOperations $ 2,273,365 $ 2,266,288 $ 2,559,548 �� ���u:�:����ll�u � /�Is";'�p� i',,��V°%r
�jA �t5�'iAp���`�-- „�o.............a. ,tl...... �,.... ��'�,". .
3620 MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
OPEB $ 2,761 $ - $ 2,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
. . .�� - . � - �. -�
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Revised 114"�,.��,���°�;mururmururm�;�;�urm�lll��� Increase Increase
Object Code Summary Il���,w--III��
Salaries&Wages $ 543,405 $ 598,162 $ 681,660 $ 689,487 $ 7,827 1.15%
Prior Year Retro Payments $ - $ 54,507 $ - $ - $ - -%
Overtime 117 523 181 445 183 794 186 183 2 389 1.30%
Personal Services $ 660,929 $ 834,114 $ 865,454 $ 875,670 $ 10,216 1.18%
Contractual Services $ 183,763 $ 247,112 $ 269,800 $ 279,800 $ 10,000 3.71%
utiiities � is,143 � ia,osz � v,000 � v,000 � - -�ro
Supplies $ 192,234 $ 198,018 $ 202,500 $ 211,700 $ 9,200 4.54%
Small Ca ital $ 26,296 $ 3,916 $ 25,000 $ 25,000 $ - -%
Expenses $ 420,436 $ 467,078 $ 5i4,300 $ 533,500 $ i9,200 3.73%
Cash Capital $ - $ 200,000 $ 400,000 $ 600,000 $ 200,000 50.00%
Debt $ 1,192,000 $ 965,096 $ 1,179,794 ',�� �,��^��/^��� "� �i�1,"➢!!;,I �,,,��G"%�,r
a�_�....���. ,,..... "�Q:.
MWRA $ 7,413,364 $ 8,006,399 $ 8,743,912 $ 9,618,303 $ 874,391 10.00%
OPEB $ 2,761 $ - $ 2,761 $ 2,761 $ - -%
Indirects $ 894,573 $ 930,001 $ 918,245 $ 977,093 $ 58,848 6.41%
. . .�� - . � � �. ��
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-32
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Mission: The Water/Sewer Division strives to enhance the quality of life in Lexington by providing
quality drinking water, by ensuring the proper and safe discharge of wastewater and by maintaining
our commitment to improving the infrastructure.
Budget Overview: The Sewer Division budget is comprised of Wastewater Operations,
Massachusetts Water Resources Authority (MWRA) purchases and indirect support from the General
Fund.
The Sewer Division maintains the wastewater system that serves 99 percent of Town residences and
businesses through 34 miles of trunk lines, 119 miles of street lines and 10,326 service connections.
There are also ten sewage-pumping stations operated by the Sewer Division. The Town has a three-
block inclining rate structure to encourage conservation. Customer sewer usage is determined based
on water usage over the same period, with the exception of ineters dedicated to outdoor irrigation.
The MWRA provides wastewater treatment to Lexington and greater Boston at the Deer Island
treatment facility.
Indirect support from the General Fund reflects Sewer Enterprise Fund expenses (benefits, insurance
and engineering support) that are appropriated in the General Fund. The Sewer Enterprise Fund,
therefore, reimburses the General Fund for these expenses through an indirect cost transfer.
In FY2023, the Sewer Enterprise Fund is recommended to contribute to the Other Post-Employment
Benefits (OPEB) Trust Fund in a funding level that matches the contributions of the General Fund.
Departmental Initiatives:
1. Continue the pipe flushing program and root removal in all areas.
2. Work with the Water Enterprise Division on the ongoing Automatic Meter Reading System
project. (AMR).
3. Continue to educate the public on the costs and problems created by Inflow & Infiltration.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-33
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
G��cel�lic 4e"��rrrM�.��&iir���re�r
h�fi�c����c�f
G'J�a����a��m�
S�w��ic,.
Stw�a�r�r�t�rra�ekxt
C;d'�w�r G:,IF�Ii�� U'tu���y+��llniio-��
P�aNro���m
l�e����E��a��pa��*�r� �, [kep�a�s�r�r��
�p�k���r I o���IRst��nt
L�I���er,F�"�u�k CDu�iw��r
���������������������������w
�ri���oiru�f'L�tlae���n.
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Supt. of Water&Sewer 0.5 0.5 0.5 0.5
Utility Billing Manager 0.5 0.5 0.5 0.5
Crew Chief 1 1 1 1
Heavy Equipment Operator 2 2 2 2
Department Assistant 0.2 0.2 0.2 0.2
Seasonal Assistant 0.4 0.4 0.4 0.4
Seasonal Laborer 0.3 0.3 0.3 0.3
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-34
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Sewer operating budget, inclusive of indirect costs, is
w� ° " ����� ��.,;W � ��� a �:.. .. � ` �� ������ ���� or � -,:..11���� ���'/p increase over the FY2022 budget.
� � � .. � , �. � ...... � .. �
The budget for Compensation is $399,848 and reflects a $10,069 or 2.58% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff.
The budget for Expenses is $458,400, an increase of $3,750 or 0.82%, which reflects anticipated
inflationary increases for electricity, supplies and materials.
In FY2021, a new budget category of Cash Capital was initiated to begin to transition the ongoing
sanitary sewer main replacement program to being funded directly by user charges instead of debt
financing. This is the third year of a 10-year transition to move the entire $1,000,000 annual program
to cash financing. In doing so, rate payers will save a considerable amount on interest costs in the
long-term. The FY2023 recommendation for cash capital is $300,000.
III Debt service is recommended to increase by : ���=d�-�}��!�������� or 4-11� ���,,.����/�.
The preliminary MWRA Assessment is $8,994,934, which is a $817,721 or 10.00% increase from
FY2022. The final assessment will be issued in June 202Z.
In FY2023, it is recommended that the Sewer Enterprise Fund continue contributing to the Other Post-
Employment Benefits Trust Fund, which was initiated in FY2018.
Indirect payments to the General Fund for those costs borne by the General Fund in support of sewer
operations are projected at $542,416, a increase of$28,305 or 5.51%.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Assistant Superintendent for $ g3,895 $ 17,621 $ 101,516 $ — $ — $ — $ 101,516
Water/Sewer
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-35
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2U20 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ - $ - $ - $ - $ - -%
Enterprise Funds
Retained Earnings $ - $ - $ - $ - $ - -°�o
UserCharges $ 9,885,948 $10,763,060 $ 10,841,270 �� � Il,r����,�ll�; all„�dD��„�U�"b ��1„��°/�
�;...................:�:;�:.gay.:d::�,.n �..;�:-n-�:��:�Z..v.rv..,.. ;�,���f.
Connection Fees $ 695 $ 773 $ - $ - $ - -%
Investment Income $ 14,259 $ 8,811 $ 8,000 $ 8,000 $ - -%
Fees&Charges $ 514,538 $ 388,599 $ 354,000 $ 354,000 $ - -%
. . �� . � � • � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Actual Actual Revised Ill��w�,�uui�irmui�irm�;ui��a�m� Increase Increase
II���-III���
Compensation $ 226,162 $ 315,205 $ 389,779 $ 399,848 $ 10,069 2.58%
Expenses $ 284,781 $ 325,634 $ 454,650 $ 458,400 $ 3,750 0.82%
Cash Capital $ - $ 100,000 $ 200,000 $ 300,000 $ 100,000 50.00%
Debt $ 1,200,863 $ 1,243,337 $ 1,464,513 "l� Il,�u�^�,�rIIJ '� �'!��p„�.�U� VV�1,,J�k°/a
tt'
,���(�,���� .. :n���:. �,;�.:p.u�
MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
OPEB $ 3,004 $ - $ 3,004 $ 3,004 $ - -%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
. . �� - . � �•- �- � - � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary Actual Actual Revised Ill���,�;�ui�icmui�icm��ui����^� Increase Increase
II���-III��
3710 Sewer Enterprise $ 1,711,806 $ 1,884,177 $ 2,308,942 �s ���Ps"1,���"n'.'n ^` ��o"»„":��"� /,1��°'r'�
"..., cy..'!r„-A:-:ffi��^-�;.......::a-i��m�: �,
3720-MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
Cash Capital $ - $ 100,000 $ 200,000 $ 300,000 $ 100,000 50.00%
OPEB $ 3,004 $ - $ 3,004 $ 3,004 $ - -%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
• . 11 - � 1 1•' 1' 1 ' 1 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary Actual Actual Revised Il����uui��mqi,�r��uim„�,����� Increase Increase
IP�p°.W W...�k�,�
Salaries&Wages $ 197,259 $ 252,732 $ 305,063 $ 314,031 $ 8,968 2.94%
Prior Year Retro Payments $ - $ 12,329 $ - $ - $ - -%
Overtime 28 903 50 144 84 716 85 817 1 101 1.30%
PersonalServices $ 2Z6,162 $ 315,205 $ 389,779 $ 399,848 $ 10,069 2.58%
Contractual Services $ 134,846 $ 131,011 $ 207,400 $ 207,400 $ - -%
Utilities $ 108,424 $ 111,977 $ 130,000 $ 131,000 $ 1,000 0.77%
Supplies $ 41,511 $ 81,788 $ 103,250 $ 105,900 $ 2,650 Z.57%
Small Ca ital - 858 14 000 14 100 100 0.71%
Expenses $ 284,781 $ 325,634 $ 454,650 $ 458,400 $ 3,750 0.82%
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-36
Program: Public Works
3700 Sewer Enterprise Town ofLexington, MA
Cash Capital $ — $ 100,000 $ Z00,000 $ 300,000 $ 100,000 50.00%
Debt $ 1,200,863 $ 1,243,337 $ 1,464,513 �, �,����q„�II�" K� �"u�� ���� V�1.��°'/�
o.�.� „.a��,�- �'�-;�= :. �-.,......
MWRA $ 7,837,139 $ 7,922,359 $ 8,177,213 $ 8,994,934 $ 817,721 10.00%
OPEB $ 3,004 $ — $ 3,004 $ 3,004 $ — —%
Indirects $ 532,094 $ 541,663 $ 514,111 $ 542,416 $ 28,305 5.51%
. . �� - � � �•- �- � - � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
V-37
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Section VI: Program 4000: Public Safety
This section includes detailed information about the FY2019 Operating Budget & Financing Plan for
public safety. It includes:
• 4100 Law Enforcement VI-3
• 4200 Fire & Rescue VI-8
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-1
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Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Mission: The Lexington Police Department provides public safety services to enhance the quality of
life in Lexington. A team of dedicated police ofFicers, detectives, dispatchers and support staff work in
a coordinated manner to effectively intervene in emergencies, promote traffic safety, suppress crime,
reduce fear and deliver services to the community through a variety of prevention, problem solving and
law enforcement programs.
Budget Overview: The Police Department is comprised of seven divisions: Administration, Patrol
and Enforcement, Traffic Bureau, Investigations, Dispatch, Animal Control and Crossing Guards. In
FY2021, the Police Department responded to 13,501 calls for service with 659 crimes investigated.
The Administration division is comprised of 11 full-time and 6 part-time employees including: the Chief
and two Captains who oversee administrative and operational functions including budget, planning,
training, personnel administration, public affairs and policy development; four Lieutenants who each
lead a workgroup consisting of patrol officers, dispatchers and a Sergeant providing 24/7 policing
services; an administrative Sergeant who tends to the accreditation program as well as detail
assignments and event planning; an office manager and clerk who handle records management,
accounting and payroll; 6 cadets who provide administrative support; and a mechanic who purchases,
equips and maintains the vehicle fleet and other specialized equipment.
The Patrol and Enforcement division is comprised of 34 officers (29 patrol officers and five sergeants)
responsible for responding to a variety of critical front-line services 24/7 including intervening in
emergencies, promoting crime prevention and traffic safety as well as suppressing crime.
The Traffic Bureau has one supervisor who oversees the Parking Enforcement Officer (PEO) and one
account clerk. Meter and parking enforcement in Lexington Center is done by the PEO. The Traffic
Bureau supervisor also manages the school crossing guard program.
The Investigations division is supervised by a Detective Lieutenant who is assisted by the Sergeant
Prosecutor and oversees six detectives responsible for investigation and prevention including: three
major case detectives, a family services detective, a Community Resource Officer (CRO) and a School
Resource Officer (SRO).
The Dispatch division is comprised of ten civilian dispatchers responsible for directing the proper
resources to nearly 14,000 service calls that require a police, fire or medical unit response.
The Animal Control division entered into an agreement to share a full-time Animal Control Officer (ACO)
with the Town of Bedford in October 2015, with 70%, or 27 hours per week allocated to Lexington.
The ACO is an employee of the Town of Bedford, but will continue to work collaboratively with the
Lexington Board of Health regarding animal related health issues.
The School Crossing guard program has 17 part-time civilian members who cover 15 school crossings
during the school year. A program improvement seeks to increase these numbers to 18 part-time
civilian members covering 16 crossings.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-3
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Departmental Initiatives:
1. Identify and schedule training surrounding Diversity, Equity and Inclusion (DEI), Fair and
Impartial Policing (FIP) and De-escalation Techniques. Explore ways to increase our community
engagement to ensure trust, accountability and transparency with the residents, work force and
visitors of Lexington.
2. Continue to support and work with the Facilities Department, the Permanent Building
Committee, Tecton Architects and input from citizen groups regarding the design and
construction of a new police station.
3. With the anticipated hiring of a Police Chief in early 2022, and potentially other members of the
command staff, continue the smooth transition plan and executive development practices that
will continue to identify and develop future leaders from within the Department.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-4
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Chief 1 1 1 1
Captain of Operations 1 1 1 1
Captain of Administration 1 1 1 1
Administrative Sergeant 1 1 1 1
Lieutenants(Patrol) 4 4 4 4
Sergeants(Patrol) 5 5 5 5
Police Officers 29 29 29 29
Lieutenant(Detective) 1 1 1 1
Sergeant(Detective-Prosecutor) 1 1 1 1
Detectives; Major Case 3 3 3 3
Family Services Detective 1 1 1 1
School Resource Officer 1 1 1 1
Community Resource OfFicer 1 1 1 1
Cadets-6 part-time 3.06 3.06 3.06 3.06
Parking Enforcement Officer 1 1 1 1
Dispatch Supervisor — 1 1 1
Dispatchers 9 9 9 9
Office Manager 1 1 1 1
Traffic Bureau Supervisor 1 1 1 1
Administrative Assistant 1 1 1 1
Department Account Assistant 1 1 1 1
Mechanic 1 1 1 1
Animal Control - 1 part-time — — — —
Parking Lot Attendants- 8 part-time 2.81 2.81 — —
Crossing Guards- 18 part-time 3.69 3.69 3.69 3.91
.
50 Officers 50 Officers 50 Officers 50 Officers
.
Overall staff changes from FY2020 to FY2023:
FY2021 - Dispatch Supervisor role reflects program improvement,funded via Enhanced 911 state
grant.
FY2022 - Parking Lot Attendants reflect a transition at the Depot Lot from an attended lot to a pay-
by-plate program
FY2023 -A program improvement requests an 18th crossing guard to cover a third location on
Marrett Rd. for the Hastings School.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-5
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Police Department budget is $8,265,377 which is a $121,230 or 1.49%
increase from the FY2022 budget.
The budget for Compensation is $7,169,307 and reflects an increase of $50,309 or 0.71%, which is a
net increase that reflects savings due to staff turnover offset by contractually obligated step increases,
a program improvement to support enhanced police training under the new state certification
requirements, a second program improvement which anticipates the need for staff to transport
detainees to another location once the police move to their temporary location, and a third program
improvement to fund a third crossing guard on Marrett Road for the Hastings Elementary School.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2022. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The budget for Expenses is $1,096,070 and reflects an increase of$70,921 or 6.92%. Nearly $30,000
is due to anticipated increases in the regional gasoline contract. The majority of the remaining
increase is due to the purchase of two Hybrid vehicles, increased costs associated with supplies and
ammunition, increased training and mileage costs, and an increase for the contract with the Town of
Bedford to fund the Animal Control Officer.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Administrative Lieutenant $ 141,661 $ 18,458 $ 160,119 $ — $ — $ — $ 160,119
Required Police Training $ 41,840 $ 607 $ 42,447 $ 41,840 $ 607 $ 42,447 $ —
Holding Cell Shifts $ 44,800 $ 650 $ 45,450 $ 44,800 $ 650 $ 45,450 $ —
Crossing Guard $ 7,921 $ 115 $ 8,036 $ 7,921 $ 115 $ 8,036 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-6
Program: Public Safety
4100 Law Enforcement Town ofLexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $7,073,419 $7,471,636 $ 7,613,247 $ 8,046,377 $433,130 5.69%
Fees&Charges
Fees $ 113,811 $ 88,026 $ 115,000 $ 115,000 $ - -%
Fines&Forfeitures $ 152,654 $ 59,820 $ 101,000 $ 101,000 $ - -%
Licenses&Permits $ 3,188 $ 5,100 $ 2,800 $ 3,000 $ 200 7.14%
Parking Fund� $ 312,100 $ 312,100 $ 312,100 $ - $(312,100 -100.00%
. . �� . • . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary III'����n�
�
, ....,, �:�ms�uimmui�icm��.
Actual Actual Revised urm����lll Increase Increase
Compensation $6,753,696 $7,002,993 $ 7,118,998 $ 7,169,307 $ 50,309 0.71%
Expenses $ 901,475 $ 933,689 $ 1,025,149 $ 1,096,070 $ 70,921 6.92%
. . �� . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary °••
� ,......,,�IIG�.�m�,�ui�mui�c�m��
Actual Actual Revised u�m���^� Increase Increase
Total 4110 Police Administration $ 1,799,212 $ 1,925,919 $ 1,804,589 $ 1,796,646 $ (7,943) -0.44%
Total 4120 Patrol&Enforcement $3,604,027 $3,743,861 $ 4,001,304 $ 4,150,368 $ 149,064 3.73%
Total 4130 Traffic Bureau $ 463,758 $ 428,958 $ 396,075 $ 399,256 $ 3,181 0.80%
Tota14140Investigations $ 870,040 $ 932,948 $ 958,461 $ 946,043 $ (12,418) -1.30%
Total 4150 Dispatch $ 699,122 $ 700,905 $ 738,222 $ 722,587 $ (15,635) -2.12%
Total 4160 Animal Control $ 65,812 $ 67,053 $ 69,888 $ 73,104 $ 3,216 4.60%
Total 4170 Crossing Guards $ 153,200 $ 137,039 $ 175,608 $ 177,373 $ 1,765 1.01%
. . �� . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary ,II4"��,��
, wuim�ui�rm�:�u
Actual Actual Revised urm��^� Increase Increase
Salaries&Wages $5,594,835 $5,754,440 $ 6,172,458 $ 6,142,708 $ (29,750) -0.48%
Prior Year Retro Payments $ - $ - $ - $ - $ - -%
Overtime $ 1 158 861 $ 1 248 553 $ 942 040 $ 1 022 999 $ 80 959 8.59%
Persona/Services $6,753,696 $7,002,993 $ 7,1i4,498 $ 7,165,707 $ 51,209 0.72%
Contractual Services $ 342,735 $ 287,089 $ 410,742 $ 419,324 $ 8,582 2.09%
Utilities $ 108,729 $ 112,457 $ 128,487 $ 164,747 $ 36,260 28.22%
Supplies $ 223,212 $ 264,008 $ 217,281 $ 219,623 $ 2,342 1.08%
Small Capital $ 226,799 $ 270,135 $ 268,639 $ 292,376 $ 23,737 8.84%
Expenses $ 901,475 $ 933,689 $ 1,025,149 $ 1,096,070 $ 70,921 6.92%
. . �� . - - � ���
*Reflects transfers from the Parking Fund to the General Fund rather than actua/revenue from parking permits,Depot Square/ot fees,
and Pay-by-Phone and meter revenue. The fund ba/ance is insu�cient to support a transfer to the Genera/Fund in FY20Z3 due to
effects from the pandemic as well as sizeab/e capital projects in FY2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-7
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Mission: The Lexington Fire Department protects the people, homes and businesses in our
community from fire, medical emergencies, hazardous material incidents and natural disasters. This is
accomplished through public education, safety code management and emergency response.
Budget Overview: The Fire Department is comprised of five divisions: Administration, Fire
Prevention, Fire Suppression, Emergency Medical Services and Emergency Management.
• Administration is responsible for developing policies and procedures, training, inventory control,
financial and budgetary oversight, and managing the day-to-day operations of the Department.
• Fire Prevention is responsible for fire code enforcement activities, public education, plan review,
permit application and approval, flammable/combustible liquid storage approval and regulatory
enforcement of blasting applications and permits.
• Fire Suppression is staffed 24/7, operating out of two stations and responding to emergency
calls including: fire suppression, motor vehicle accidents, medical emergencies, hazardous
material responses, and other emergency incidents.
• Emergency Medical Services operates in conjunction with the Fire Suppression division, staffing
two ambulances 24/7 at the Advanced Life Support (ALS) level. These vehicles respond to over
2,500 calls for assistance annually.
• Emergency Management is responsible for communications with the Federal Emergency
Management Agency (FEMA) and the Massachusetts Emergency Management Agency (MEMA),
as well as reviewing and commenting on numerous Townwide emergency operation plans. The
Chief serves as the Emergency Management Director and the department's administrative staff
support this division.
Departmental Initiatives:
1. Implement additional modules of the Public Safety Software and build out to department needs.
2. Role out online fire permitting process.
3. Develop an improved employee recruitment process to address diversity and retention.
4. Continue work on new fire headquarters as one year comes to an end and identify any needs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-8
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Fire Chief 1 1 1 1
Assistant Fire Chief 2 2 2 2
Office Manager 1 1 1 1
Fire Inspector 1 1 1 1
Fire Captains 4 4 4 4
Fire Lieutenants 12 12 12 12
Firefighters/Paramedics 44 44 44 44
Fire Prevention Assistant 0.86 0.86 0.86 0.86
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-9
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Fire Department budget is $8,068,468. The recommended budget is a
$99,158 or 1.24% increase from the FY2022 budget.
The recommended budget for Compensation is $7,269,665, and reflects an increase of $22,464 or
0.31% from the revised FY2022 budget, for contractually obligated step increases. Compensation does
not include any estimate of prospective cost of living increases for contracts expiring on or before June
30, 2022. Funds for prospective increases are captured in the Salary Adjustment account within the
Town Manager's budget.
The budget for Expenses is $798,803 and reflects a net increase of $76,694 or 10.62%, which includes
anticipated increases in diesel fuel costs ($12,400), increases in maintenance costs ($10,000) for fire
apparatus, ambulance and fleet vehicles; enhanced communications costs ($2,400) to house the
Emergency Command Center at fire headquarters, and a program improvement ($48,633) for a
training mannequin to allow stafF to practice their life support skills.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in (reflected in
Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Advanced Life Support Training � 48,633 $ — $ 48,633 $ 48,633 $ — $ 48,633 $ —
and Simulation Manikin
Medstat MS 500 EMS ATV and � g4,048 $ — $ 84,048 $ — $ — $ — $ 84,048
Trailer
Combination Wildfire Scout and � 55,280 $ — $ 55,280 $ — $ — $ — $ 55,280
Personnel Transporter AN
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-10
Program: Public Safety
4200 Fire & Rescue Town ofLexington, MA
Cc�l�rrrrt(�) ha�r�b���t hit�c��rt fr�c��r thi.� t�bl�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $5,840,461 $6,357,519 $ 6,550,635 $ 6,644,793 $ 94,158 1.44%
Fees&Charges
Ambulance Fees $1,321,540 $1,157,735 $ 1,340,000 $ 1,340,000 $ - -%
Fire Department Fees $ 32,850 $ 47,395 $ 33,675 $ 33,675 $ - -%
Licenses&Permits $ 55,480 $ 55,120 $ 45,000 $ 50,000 $ 5,000 11.11%
• . ' 11 1 • •• •.• 1 : 1.' •.. ••
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary ��iii'"�-
���n��llh"�I;a�u�;��ui�i�ui�i���.�
Actual Actual Revised urm�lll�� Increase Increase
Compensation $6,645,325 $6,987,078 $ 7,247,201 $ 7,269,665 $ 22,464 0.31%
Expenses $ 605,006 $ 630,691 $ 7Z2,109 $ 798,803 $ 76,694 10.6Z%
. . �� - - - � � : �.• .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary ��ii�"�
. ,.;,Ill��m����ui�mui�im�
Actual Actual Revised urm��a�� Increase Increase
Total 4210 Fire Administration $ 470,901 $ 550,049 $ 582,730 $ 608,685 $ 25,955 4.45%
Total 4220 Fire Prevention $ 228,785 $ 233,563 $ 240,605 $ 245,071 $ 4,466 1.86%
Total 4320 Fire Suppression $6,382,277 $6,625,477 $ 6,928,204 $ 6,945,138 $ 16,934 0.24%
Total 4240 Emergency Medical � 164,206 $ 204,780 $ 211,771 $ 261,174 $ 49,403 23.33%
Services
Total 4250 Emergency � 4,161 $ 3,900 $ 6,000 $ 8,400 $ 2,400 40.00%
Management
. . �� � .• •.• � : �.• . ..
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary ��ii�"�
�Ilf�'.�:�;�ur�rm ui�irm�:
Actual Actual Revised urm���TM�� Increase Increase
Salaries&Wages $5,624,935 $5,878,461 $ 6,075,937 $ 6,133,174 $ 57,237 0.94%
Overtime 1 020 390 1 108 616 1 171 264 1 136 491 34 773 -2.97%
Personal Services $6,645,325 $6,987,078 $ 7,247,201 $ 7,269,665 $ 22,464 0.3i%
Contractual Services $ Z87,580 $ 292,933 $ 336,304 $ 351,154 $ 14,850 4.42%
Utilities $ 52,053 $ 44,402 $ 67,890 $ 80,331 $ 12,441 18.33%
Supplies $ 263,943 $ 180,807 $ 217,415 $ 218,185 $ 770 0.35%
Small Ca ital $ 1,429 $ 112,549 $ 100,500 $ 149,133 $ 48,633 48.39%
Expenses $ 605,006 $ 630,691 $ 722,109 $ 798,803 $ 76,694 10.62%
• . ' 11 1 • •• •.• 1 : 1.• •.• ••
FY2023 Recommended Budget& Financing Plan February 28, 2022
VI-11
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Section VII: Program 5000: Culture & Recreation
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
culture & recreation services. It includes:
• 5100 Cary Memorial Library VII-3
• 5200 Recreation and Community Programs VII-9
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-1
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-2
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Mission: The Cary Memorial Library's mission is to ignite curiosity, engage minds, and connect our
community.
Budget Overview: Cary Memorial Library is comprised of three divisions: Administration and General
Services, Adult Services, and Youth Services.
• Administration and General Services includes administrative staff and webmaster salaries, as
well as the supply, equipment, and Minuteman Library Network membership costs.
• Adult Services includes all adult library, technology, and bibliographic services staff as well as
adult books and audiovisual materials.
• Youth Services includes all children's library staff and also includes library materials for children
and teens.
Departmental Initiatives: Our Guiding Principles
1. Books, information, and so much more: We continue our 150-year-long tradition of providing
books and other materials that reflect the needs and interests of Lexington residents. Though
much has changed since our doors first opened in 1869, our essential function remains the
same - to bring the world of information and ideas to you.
2. At the intersection of learning, making, and play: In recent years, educational research has
increasingly shown that we learn best through experience - by making mistakes and trying
again. In furthering this effort, we are expanding these types of learning opportunities, giving
you more chances to build, create and play.
3. A place that works for everyone: We value the rich diversity of our community, and our
commitment to equitable service for all is unwavering. Efforts to identify and remove barriers
to access are ongoing - we are a work in progress.
4. With opportunities for human connection: In a world where technology is ever-present, we are
committed to fostering human interactions. Sometimes that is as simple as providing
comfortable chairs for a serendipitous meeting between old friends. Other times it takes the
shape of an elaborate event with community partners and hundreds of guests. Large and
small, these moments, shared among neighbors, strengthen the social fabric of Lexington.
5. A future as vibrant as our past: With more than a half million visitors each year, Cary Library is
a cherished community asset and a source of civic pride. Stewardship of this resource requires
equal attention to preservation and transformation.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-3
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-4
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Library Director 1.0 1.0 1.0 1.0
Deputy Library Director* 1.0 1.0 1.0 1.0
Office Manager 1.0 1.0 1.0 1.0
Head of Adult Services 1.0 1.0 1.0 1.0
Head of Youth Services 1.0 1.0 1.0 1.0
Head of Technology &Training* - - 1.0 1.0
Librarian I*** 5.0 5.0 6.0 6.0
Librarian II* 5.0 5.0 4.0 4.0
Library Associates*** 7.0 7.0 8.0 8.0
Library Technicians**** 3.5 2.8 2.8 2.8
Library Technician II***,**** 7.0 8.0 6.0 6.0
Adult Pages***** 1.6 1.6 1.6 Z.2
Student Pages***** 0.7 0.7 0.7 -
Seasonal/Sunday Substitutes As Needed As Needed As Needed As Needed
. i
.
*In FV2022,due to staff turnover, the Head of Technology role was broken out from the Depury Library Director and re-
established as a Department Head position. A Librarian II was assigned to the ro%.
**In FY2022,Fall STM approved the transfer of the Library's dedicated webmaster from the Innovation&Technology
budget to the Library budget.
***In FY2022, two Library Technician IIs were reclassified to a LibraryAssociate and a Librarian I.
****A Program Improvement in FY2020 added hours to cover the Teen Room,resulting in an increase of 0.38 FTE. In
FY202i,a program improvement transitioned a part-time Technician Yo a full-time Technician II.
*****In FY2023 all Pages will be combined under Adult Pages.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-5
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended General Fund Library budget is $3,336,219, which is a $179,871 or 5.70%
increase from the FY2022 budget.
The General Fund operating budget for Compensation is $2,637,708, and reflects a $112,101 or 4.44%
increase, which incorporates contractually obligated step increases and cost of living increases.
The General Fund operating budget for Expenses is $698,511 and reflects a $67,770 or 10.74%
increase, which is primarily driven by inflationary increases for supplies and materials and contractual
services.
To retain certification by the Massachusetts Board of Library Commissioners, the Library must expend
the equivalent of 13 percent of its annual municipal appropriation on materials. Prior to FY2016, the
Town's appropriation had been less than one-half of this required amount, with the balance coming
from the Library Foundation and Friends of the Library. In FY2016, the Town approved a program
improvement request that substantially closed this funding gap. In FY2021, a program improvement
added funding to the materials budget to achieve 100% funding, which is continued in FY2023 at
13.7%. This was precipitated by a change in the Minuteman Library Network renewal policy, which
automatically renews overdue materials, if available, and has dramatically reduced revenues from fines
which were primarily used for materials costs.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Full-Time Youth Services � 69,456 $ 17,411 $ 86,867 $ — $ — $ — $ 86,867
Librarian
Library Fellowship $ 5,080 $ 74 $ 5,154 $ — $ — $ — $ 5,154
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-6
Program: Culture & Recreation
5100 Cary Memorial Library Town ofLexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 2,736,466 $ 2,725,127 $ 3,156,348 $ 3,336,219 $179,871 5.70%
. 11 . . '.. . . . . ��
FY2020 FY2021 FY2022 FY2023 Dollar Percent
A ro riation Summa III��III'�r���
pp p � �'Y
��u��ummum°iu���u;
Actual Actual Revised urm�m�a� Increase Increase
Compensation $ 2,265,546 $ 2,162,069 $ 2,525,607 $ 2,637,708 $112,101 4.44%
Expenses $ 470,920 $ 563,a57 $ 630,741 $ 698,511 $ 67,770 10.74%
. . �� . . ��.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary II'���-
III��,Il�.��:���ur�uirmtu�;�y
Actual Actual Revised ur���mm� Increase Increase
Total 5110 Admin.&General � 493,941 $ 522,196 $ 592,832 $ 654,704 $ 61,872 10.44%
Services
Total 5120 Adult Services $ 1,565,355 $ 1,492,243 $ 1,682,180 $ 1,776,326 $ 94,146 5.60%
Total 5130 Youth Services $ 677,170 $ 710,687 $ 881,336 $ 905,189 $ 23,853 2.71%
. . �� . . . �.. . . • • : ��.
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary II���-
III��°-Ilf��!:���uPm iu urm ui�
Actual Actual Revised ur������ Increase Increase
Salaries&Wages $ 2,223,069 $ 2,161,492 $ 2,462,578 $ 2,572,582 $110,004 4.47%
Prior Year Retro Payments $ - $ - $ - $ - $ - -%
Overtime Sunda Premium 42 477 578 63 029 65 126 2 097 3.33%
Persona/Services $ Z,265,546 $ 2,162,069 $ 2,525,607 $ Z,637,708 $IIZ101 4.44%
Contractual Services $ 1Z1,295 $ 124,486 $ 141,111 $ 160,752 $ 19,641 13.92%
Utilities $ 8,153 $ 7,353 $ 8,200 $ 5,000 $ (3,200) -39.02%
Supplies $ 313,613 $ 392,521 $ 441,430 $ 492,759 $ 51,329 11.63%
Small Ca ital Z7 859 38 697 40 000 40 000 - -%
Expenses $ 470,920 $ 563,057 $ 630,741 $ 698,511 $ 67,770 i0.74%
. . �� . . ��.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-7
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Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Mission: The Department of Recreation and Community Programs strives to provide affordable,
quality programs meeting the needs of the community. The Department is committed to providing
active and passive leisure opportunities that are educational, fun and life-enriching. The Department
promotes participation by all Lexington residents in safe, accessible and well-maintained facilities.
Budget Overview: The Department operates as an Enterprise Fund whereby program and facility
fees must cover the direct cost of operations including all full- and part-time staff and program,
services and facility expenses including supplies, equipment, utilities and wages/overhead. As such,
the operating budget may increase or decrease year to year to meet changes in enrollment and facility
use demands. The Director of Recreation and Community Programs, through the Recreation
Committee, sets program fees with the approval of the Select Board. The operating budget supports
staff who manage and deliver programs along with the supplies and equipment needed to operate
those programs and services in addition to seven full-time staff. The Enterprise Fund is comprised of
four divisions: Recreation, Pine Meadows Golf Club, Community Center and the Administrative Division.
The Administrative Division was created in FY2020 to centralize administrative support for the business
aspects within the Recreation, Pine Meadows and Community Center operations.
Program revenues (Recreation, Pine Meadows Golf Club and Community Center) also help fund Capital
Improvement Projects. In FY2023, the Department's contribution to the General Fund to cover the
costs of employee benefits and indirect services has been reintroduced. Staff will be working to
provide options for alternative funding models for the Department to the Fiscal Guideline Working
Group. That model may be implemented as soon as FY2024.
The Department offers a wide variety of leisure, socialization and recreational opportunities for
individuals of all ages and abilities. Staff plan, schedule and coordinate programs, activities and special
events at Outdoor Recreation Facilities such as, parks, playgrounds, athletic fields, tennis and
basketball courts, the Town Pool, Old Reservoir and Pine Meadows Golf Club. Other outdoor resources
include Conservation and Open Spaces. Additionally, the indoor facilities the department utilize include
the Community Center, the Public Schools, off-site and out-of-town venues.
Departmental Initiatives:
1. Implement the Key Findings of the 2020 Town of Lexington Community Needs Assessment
along with the recommendations from the 2017 Recreation Facilities ADA Compliance Study in
the development of the operational and capital improvement planning for the future needs of
the community.
2. Recommend and implement Key Findings of the 2021 Athletic Fields Feasibility Study.
3. Continue the growth and implementation of the department's therapeutic, adaptive and
inclusive recreation programming.
4. Explore alternative funding sources for the Recreation and Community Programs Department in
order to sustain the Recreation Enterprise Fund and operations.
5. Support Townwide cultural and historic events.
6. Support Townwide diversity equity and inclusion initiatives.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-9
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
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Note: Pine Meadows staffing is provided via contractual services.
Oversight is provided by the Director of Recreation and Community Programs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-10
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element: 5210 Administration Budget Budget Budget Request
Director of Recreation and Community Programs 1 1 1 1
Administrative Manager 1 1 1 1
Municipal Assistant* 0.68 — — —
Administrative Assistant** 2 1.8 1.8 1.8
Subtotal FTE 4.68 3.8 3.8 3.8
SubtotalFT/PT 4FT/2PT 4FT/2PT 3FT/iPT 3FT/1PT
FY2020 FY2021 FY2022 FY2023
Element: 5220 Recreation Budget Budget Budget Request
Assistant Director 1 1 1 1
Recreation Supervisor 1 1 1 1
Recreation Coordinator*** — — — 0.4
Certified Therapeutic Recreation Specialist**** 0.34 1 1 1
Seasonal (Part-time) 225+/- 225+/- 225+/- 225+/-
Subtotal FTE 2.34 3.0 3.0 3.4
SubtotalFT/PT 2FT/1PT 2FT/iPT 3FT/OPT 3FT/iPT
FY2020 FY2021 FY2022 FY2023
Element: 5240 Community Center Budget Budget Budget Request
Community Center Director 1 1 1 1
Youth &Family Coordinator 1 1 1 1
Department Assistant 1 1 1 1
Municipal Assistant(3, PT)* 1 — 1 1
Building Supervisor(2, PT)* 1 — 1 1
Seasonal (Part-time) 50+/- 50+/- 50+/- 50+/-
Subtotal FTE 5 3 5 5
Subtotal FT/PT 3 FT/4 PT 3 FT/0 PT 3 FT/5 PT 3 FT/5 PT
. . 1 • : :
• • 1 •' 1
• •
• • � •
*In FY2021,in light of the Community Center being closed,a number of staff were furloughed.
**The incumbent in the Administrative Assistant role has requested a 4-day schedule.
***A part-time Recreation Coordinator is requested as a program improvement in FY2023.
****In FY2019,a part-time Certified Therapeutic Recreation Specialist was added to staff for the full year. In FY2021,the
position was expanded to full-time.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-11
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended budget for the Department of Recreation and Community Programs -
comprised of four divisions: Pine Meadows Golf, Recreation, Community Center and Administrative - is
$3,425,097. The recommended budget is an increase of $835,161 or 32.25% from the FY2022
budget, which anticipated a slow resumption of pre-pandemic activity levels.
It should be noted that the Recreation and Community Programs Department operating budget has
historically been supported solely from program fees. In FY2016, with the opening of the Community
Center, the tax levy began to contribute the equivalent of the wages and benefits for the three full-time
employees who are most closely involved with managing the Community Center operations and
programming. This will continue in FY2023, with $242,790 being proposed in General Fund support of
Community Center wages.
The Community Center provides free drop-in programs and opportunities to promote social, emotional,
and cognitive well-being and wellness for residents of all ages and abilities. It provides residents with a
wide variety of programs that are fun, educational and life-enriching. The Community Center provides
opportunities and access to all residents that are generally not supported through fees, in addition to
many programs, activities and services that may require a fee. The customer service counter at the
Center supports the Community Center, including the operations of the Human Services and the
Recreation &Community Programs Departments, allowing for one-stop shopping for services and
programs.
The recommended budget for Compensation is $1,567,753, which is a $225,552 or 16.80% increase
from the FY2022 budget, and reflects a return to more comprehensive programming, as well as step
increases, cost-of-living adjustments, and a rate increase for Seasonal staff commensurate with the
January 2022 state minimum wage increase.
The recommended budget for Expenses is $1,571,240 and reflects a $323,505 or 25.93% increase
from the FY2022 budget, primarily due to the introduction of new programming and the ability to
resume offering a wide, diverse and accessible variety of in-person and virtual recreational
programming for the community, post-pandemic. The recommended budget for the operation of the
Pine Meadows Golf Course is $550,800 and reflects a net increase of $3,000 or 0.55%. The current
course management contract was awarded in December 2018 for a contract period of 3 years
beginning January 2019 through December 2021, with options for annual renewals through December
2023.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in (reflected in
Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Community Center Furniture $ 25,000 $ — $ 25,000 $ — $ — $ — $ 25,000
Communiry Center Generator $ — $ — $ — $ — $ — $ — $ —
Vehicle Replacement $ 47,000 $ — $ 47,000 $ 47,000 $ — $ 47,000 $ —
Part-time Recreation � Z5,000 $ 363 $ 25,363 $ 25,000 $ 363 $ Z5,363 $ —
Coordinator
Program Guide-Mailing& � 55,000 $ — $ 55,000 $ 55,000 $ — $ 55,000 $ —
Printing
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-12
Program: Culture &Recreation
5200 Recreation & Community Programs Town ofLexington, MA
C"c�lc�rrr�(.�) h����a��� hidd�rt fr�carrt thi.� �atal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 208,859 $ 618,916 $ 509,215 $ 242,790 $(266,425) -52.32%
Enterprise Funds
Retained Earnings $ 375,000 $ 375,000 $ - $ 375,000 $ 375,000 -%
Recreation User Charges $ 759,909 $1,062,285 $ 1,026,718 $ 1,461,752 $ 435,034 42.37%
Community Center User Charges $ 372,293 $ 252,313 $ 297,655 $ 445,555 $ 147,900 49.69%
Golf User Charges $ 759,738 $1,162,256 $ 756,348 $ 900,000 $ 143,652 18.99%
Investment Income $ 8,176 $ 3,206 $ - $ - $ - -%
. . �� • . . . . .. . . �• .
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary ' --II°���
�
, , �„�;�wui�irmurmm��
Actual Actual Appropriation uim��^�� Increase Increase
Compensation $1,246,075 $ 896,659 $ 1,342,201 $ 1,567,753 $ 225,55Z 16.80%
Expenses $1,048,005 $ 892,248 $ 1,247,735 $ 1,571,240 $ 323,505 25.93%
Debt Service $ - $ - $ - $ - $ - -%
Indirect Costs(Trans.to Gen. � Z69,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
Fund)
• . 11 ' . • • •1 1.• • i• • • 1• •
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Program Summary ���-
�'. :.,,�Ilh"�.��,�,�uui��umumm��,
Actual Actual Appropriation ui���.m� Increase Increase
Total 5210 Administration $ 422,614 $ 367,309 $ 413,114 $ 532,078 $ 118,964 28.80%
Total 5220 Recreation $ 862,440 $ 544,972 $ 1,100,745 $ 1,426,153 $ 325,408 29.56%
Total 5230 Pine Meadows $ 444,270 $ 526,933 $ 547,800 $ 550,800 $ 3,000 0.55%
Total 5240 Community Center $ 564,755 $ 349,692 $ 528,277 $ 629,962 $ 101,685 19.25%
Indirect Costs $ 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
. . �� •- - . .� �.. . �•
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary ����
�;,�II6�',.�m��ui°ur�unir��
Actual Actual Appropriation uim���m�� Increase Increase
Salaries&Wages $1,245,956 $ 896,567 $ 1,342,201 $ 1,567,753 $ 225,552 16.80%
Overtime 118 92 - - - -%
Personal Services $1,246,075 $ 896,659 $ 1,342,201 $ 1,567,753 $ 225,552 16.80%
Contractual Services $ 952,915 $ 802,222 $ 1,050,840 $ 1,278,350 $ 227,510 21.65%
Utilities $ 49,837 $ 39,636 $ 82,850 $ 95,385 $ 12,535 15.13%
Supplies $ 45,252 $ 50,389 $ 107,045 $ 133,505 $ 26,460 24.72%
Small Ca ital $ - $ - $ 7,000 $ 64,000 $ 57,000 814.29%
Expenses $i,048,005 $ 892,248 $ i,247,735 $ i,57i,240 $ 323,505 25.93%
Debt $ - $ - $ - $ - $ - -%
Indirect $ 269,681 $ 277,771 $ - $ 286,104 $ 286,104 -%
. . 11 • . .1 1.. . 1•
FY2023 Recommended Budget& Financing Plan February 28, 2022
VII-13
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Section VIII: Program 6000: Human Services
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
Human Services. It includes:
• 6100-6200 Administration; Veteran's Services; Youth and Family Services
and Community Programs; and Transportation Services VIII-2
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-1
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Mission: The Human Services Department connects Lexington residents across the lifespan to
information, support and services that promote health and well being; and is responsible for managing
the Lexpress bus system, Lex-Connect taxi, and other transportation initiatives. The department seeks
to identify the unmet needs of our community by providing outreach and prevention services to
families, seniors, veterans and youth.
Budget Overview: The Human Services Department is organized to provide services and support to
residents of all ages. Department Staff oversee the following divisions: Administration and Outreach,
Senior Services, Youth and Family Services, Veterans'Services and Transportation Services. Since
moving to the Lexington Community Center in 2015, attendance, walk-in visits, phone calls and
requests for information have increased significantly.
Staff from Senior Services and Youth and Family Services provide senior, youth and intergenerational
programming, assessments, information and referral, short-term counseling, financial assistance,
consultation on life changes, support and light case management. Veterans'services staff provide
veterans in Lexington, Bedford, and Carlisle with information, connection to State and Federal benefits,
and support, as well as work with colleagues to plan Town celebrations and special events that honor
Veterans. Transportation Staff manage the Lexpress bus and Lex-Connect taxi, as well as provide
travel consultation on other transit options.
Departmental Initiatives:
1. Continue to identify and implement programming specific to diversity, equity, and inclusion, as
well as participate in Town-sponsored racial justice initiatives.
2. Continue implementation of the CHNA 15 grant funded work of the Mental Health Task Force
that includes collaboration with Town, School, and community stakeholders to assess and
respond to community mental health needs and provide aligned approaches in regards to
prevention, intervention, and critical incident response services to the Lexington Community.
3. Continue implementation of action plan based on findings and recommendations from Age
Friendly needs assessment. Collaborate on Comprehensive Plan with continued participation in
an advisory and advocacy capacity.
4. Begin to implement transit regionalization plan, which includes viable steps towards
regionalizing transportation services as well as a funding plan. Regionalization of transit services
will enhance transportation through the network effect, create more coordinated services with
acceptable minimum services levels, and identify sustainable funding mechanisms to further
enhance transportation for all.
5. Continue to support and promote access to mental health services through direct therapeutic
services as well as through the William James INTERFACE Referral Service.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-2
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-3
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Authorized/Appropriated Staffing:
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Director of Human Services 1 1 1 1
Senior Services Director* 1 1 1 1
Assistant Director of Youth and Family 1 1 1 1
Services
Clinical &Community Outreach 1 1 1 1
Manager*
Senior Services Coordinator 1 1 1 1
Senior Services Nurse 0.57 0.57 0.57 0.57
Office Manager 1 1 1 1
Municipal Clerk(Part-time) 0.69 0.69 0.69 0.69
Veterans' Services District Director 1 1 1 1
Veterans' Services Officer 0.51 0.51 0.51 0.51
Transportation Services Manager** 0.80 1 1 1
Department Transportation Assistant 0.80 0.80 0.80 0.80
Registered Dietician*** PT PT PT PT
Volunteer Coordinator/Program pT PT PT PT
Assistant***
• . 1 1 1 1
• . ' ' : .' : .' : .'
Explanatory Notes:
*Two positions received title changes in FY2021 to better explain roles externally: Assistant Director of Senior
Services was changed to Senior Services Director. Outreach Coordinator was changed to Clinical &Community
Outreach Manager.
**The Transportation Services Manager position transitioned from Z8 hours to full-time(35 hours) in FY20Z1
through a program improvement.
***The part-time temporary positions of Registered Dietician and Volunteer Coordinator/Program Assistant are
fully funded by grants from the Executive Office of Elder Affairs.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-4
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Human Services budget is $1,847,930 which is a $251,997 or
15.79% increase from the revised FY2022 budget. The All Funds budget includes funding from a
Massachusetts Executive Office of Elder Affairs (EOEA) grant, the Massachusetts Bay Transportation
Authority (MBTA) Suburban Transportation grant, and the Senior Services Revolving Fund. In addition,
the Towns of Bedford and Carlisle fund a portion of the Veterans'Services budget through an
Intermunicipal Veterans' District agreement.
The Human Services FY2023 recommended General Fund operating budget request is $1,527,421 and
reflects a $249,956 or 19.57% increase from the revised FY2022 budget.
The General Fund operating budget for Compensation is $717,650, and reflects a $27,176 or 3.94%
increase, which reflects the cost of contractually obligated step increases. Compensation does not
include any estimate of prospective cost of living increases. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The General Fund operating budget for Expenses is $809,771 and reflects a $222,780 or 37.95%
increase, which is a net change that reflects an increase for contractually obligated Lexpress costs, as
well as $200,000 to restore a one-time diversion of funds to a Lexpress operating grant in FY2022. For
FY2023, funding for the William James Interface Mental Health Referral Service will be shared between
the municipal and school budgets.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-5
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
C°�lurrrrt(s) h�►��f���ra hicfd�rr frr�rrt this ��lal�
Budget Summary - General Fund
Funding Sources FY2020 FY2021 FY2022 FY2023 Dollar Percent
(GeneralFund) Actual Actual Estimate Projected Increase Increase
Tax Levy $1,034,317 $1,127,471 $ 1,130,298 � II„:���",�b�l'�� ���!'����a�J �I I�•��1�,
"" Q" :�Y,�','rro4�-:� .n.u: �.... �
Veteran Benefits Reimbursement $ 56,702 $ 61,498 $ 22,167 p ��,�I J^!"� .r �J„�S�V�) "�� I�V°"Jca
r�........................................:��...„�':�..... �,..............................._............ .............az/zr
TDM Allocation $ 95,000 $ 95,000 $ 95,000 $ 95,000 $ - -%
Fees
Lexpress Fares $ 56,642 $ 9,506 $ 30,000 $ 30,000 $ - -%
. . .��� . • .
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Il��ii..r� Dollar Percent
(General Fund) Revised , ,Il�.��;��ur�muur��; Increase Increase
Actual Actual ui�������
Compensation $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,176 3.94%
Expenses $ 610,696 $ 657,109 $ 586,991 $ 809,771 $222,780 37.95%
. .111 . .. . .� .. . � .
FY2020 FY2021 FY2022 FY2023
Pro ram Summar ° III"W� Dollar Percent
� ..... ��
(General Fund) Revised , ��'��ii�,ii�,ii,�,� Increase Increase
Actual Actual ui��;lll�m�
Total 6110 Administration $ 194,900 $ 211,492 $ 226,584 $ 237,334 $ 10,750 4.74%
Total 6140 Veterans'Services $ 85,548 $ 56,748 $ 90,048 $ 91,554 $ 1,506 1.67%
Total 6150 Youth&Family � 159,566 $ 184,651 $ 206,118 $ 212,253 $ 6,135 2.98%
Services
Total 6170 Senior Services& � 156,245 $ 146,415 $ 192,959 $ 198,454 $ 5,495 2.85%
Communiry Programs
Tota16210Transportation � 646,403 $ 694,168 $ 561,756 $ 787,826 $226,070 40.24%
Services
. . .��� .
FY2020 FY2021 FY2022 FY2023
� � ) Y Revised N��+;�II��� Dollar Percent
Ob'ect Code Summar
General Fund ,�;��,ii�ii�ii�� Increase Increase
Actual Actual uim����
Salaries&Wages $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,176 3.94%
Overtime $ - $ - $ - $ - $ - -%
PersonalServices $ 631,965 $ 636,367 $ 690,474 $ 717,650 $ 27,i76 3.94%
Contractual Services $ 583,248 $ 638,725 $ 548,561 $ 770,796 $222,235 40.51%
Utilities $ 3,168 $ 3,266 $ 3,240 $ 3,240 $ - -%
Supplies $ 21,389 $ 12,849 $ 31,690 $ 31,235 $ (455) -1.44%
Small Ca ital $ 2,891 $ 2,269 $ 3,500 $ 4,500 $ 1,000 28.57%
Expenses $ 610,696 $ 657,109 $ 586,991 $ 809,771 $222,780 37.95%
. .��� - - . •
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-6
Program: Human Services
6100-6200 Program Summary Town ofLexington, MA
Budget Summary - Revolving Funds* and Grants
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
EOEA Grant $ 94,762 $ 94,764 $ 94,764 $ 94,764 $ - -%
Veterans Services Regional � 58,293 $ 89,671 $ 92,461 $ 95,745 $ 3,284 3.55%
Funding
Senior Services Revolving Fund* $ 33,638 $ 8,151 $ 75,000 $ 75,000 $ - -%
MBTA Grant $ 54,080 $ 56,243 $ 56,243 $ 55,000 $ (1,243) -2.21%
. .��� . . -� � � �• �- �
*Revolving Funds are authorized by Town Meeting via Artic/e 9,and are not appropriated under Article 4.
FY2020 FY2021 FY2022 FY2023
Appropriations Summary �p �... Dollar Percent
(Non-General Fund) Revised ,. ^�,�II���ur��uur�lu� Increase Increase
Actual Actual uim����
EOEA Grant $ 89,721 $ 99,831 $ 94,764 $ 94,764 $ - -%
PersonalServices $ 62,628 $ 79,391 $ 67,346 $ 68,447 $ 1,101 1.63%
Expenses $ 27,093 $ 20,440 $ 27,418 $ 26,317 $ (1,101) -4.02%
Veterans'Services Regional
Funding $ 57,936 $ 94,177 $ 92,461 $ 95,745 $ 3,284 3.55%
Personal Services $ 55,670 $ 92,952 $ 90,116 $ 93,320 $ 3,204 3.56%
Expenses $ 2,266 $ 1,225 $ 2,345 $ 2,425 $ 80 3.41%
Senior Services Revolving Fund
Expenses $ 38,157 $ 6,469 $ 75,000 $ 75,000 $ - -%
MBTA Grant-Transportation Services
Expenses $ 54,080 $ 56,243 $ 56,243 $ 55,000 $ (1,243) -2.21%
• . .111 . . • •• . 1 '.: 1 1• 1' 1 .• ,
Budget Summary - All Funds ---------------------------------------------
FY2020 FY2021 FY2022 FY2023
A ro riation Summa All , 'll��� Dollar Percent
Funds) �� �,..� ��;�,ii�iiiii�;iii� Increase Increase
Actual Actual Revised ui����m�
Compensation $ 750,264 $ 808,710 $ 847,936 $ 879,417 $ 31,481 3.71%
Expenses $ 732,293 $ 741,486 $ 747,997 $ 968,513 $220,516 29.48%
. . .111 � � . . . . � .. . ,
�
FY2023 Recommended Budget& Financing Plan February 28, 2022
VIII-7
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Section IX: Program 7000: Land Use, Health and
Development Department
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for the
Land Use, Health and Development Department. It includes:
• 7100-7400 Summary IX-3
• 7110 Building and Zoning IX-10
• 7120 Administration IX-15
• 7130 Conservation IX-17
• 7140 Health IX-21
• 7200 Planning IX-26
• 7300 Economic Development IX-30
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-1
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Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
III Mission: The Land Use, Health and Development Department includes those��������°�������iu���r,�� that
manage and promote residential and commercial development in Lexington while protecting the health
and safety of residents through local bylaws, regulations, and best practices, as well as State statutes
and regulations, in the areas of public health, building code, zoning, economic development, wetland
protection, conservation and land-use. By consolidating these various operations under the
management of an Assistant Town Manager, the Town is able to further streamline code enforcement,
program and policy development, and outreach and educational activities related to commercial,
residential and public development.
Budget Overview: The Land Use, Health and Development Department is comprised of: Building
and Zoning, Conservation, Health, Planning and Economic Development.
• Building and Zoning is responsible for enforcing the State building, electrical, gas and plumbing
codes, the local zoning bylaw, and Architectural Access Board Regulations.
• Conservation is responsible for administering and enforcing the State and local wetland protection
codes and the State Stormwater Management Regulations, managing over 1,400 acres of Town-
owned conservation land, and providing outreach and education concerning natural and watershed
resources.
• Public Health is responsible for enforcing State and local health codes, administering health
screening and vaccination programs, evaluating community health needs and developing
intervention programs to prevent disease and disability.
• Planninq supports the Planning Board in the administration of the Subdivision Regulations, the
determination of adequacy of unaccepted streets, the granting of special permits for residential
development, site plan review and granting of special permits within the commercial manufacturing
district, and the review of planned development district proposals that go to Town Meeting. In
addition, the stafF engages in short- and long-term planning in regard to growth and development
issues in Lexington, being active participants in various committees dealing with issues of
transportation, affordable housing and economic development, as well as participating in regional
and statewide initiatives.
• Economic Development works to encourage new investment and support our local businesses. It
serves as a liaison for businesses and works to address business-related issues from Center parking
to updating land use policy. The Office also works to retain and expand local businesses by
providing information, conducting research, supporting a visitor-based economy, and leveraging
State economic development tools and resources designed to improve the business environment.
The Economic Development Office manages the Visitors Center and Tourism operations.
Departmental Initiatives:
1. Implement the Select Board's health and development-related goals associated with the work of
the Department.
2. Implement high priority and near-term action steps and recommendations of the
Comprehensive Plan Update.
3. Implement initiatives, policies and plans of the Board of Health, especially with respect to
completing the dispensing of the COVID vaccine to Lexington residents and others, as required.
4. With the Engineering Division, support the community input on the Bedford Street/Hartwell
Avenue 25% design development.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-3
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
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FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-4
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Assistant Town Manager 1 1 1 1
Administrative Assistant 1 1 1 1
Administration Dept Office Manager 1 1 1 1
Administration Dept Assistants 4 4 4 4
Economic Development Director 1 1 1 1
Economic Development Coordinator 1 1 1 1
Visitor Services Manager 1 1 1 1
Visitor Center Staff(6PT) 4.75 4.75 4.75 4.75
Visitor Center PT Assistant Manager 0.56 0.56 0.56 0.56
Battle Green Guides Seasonal Seasonal Seasonal Seasonal
Liberty Ride Coordinator 0.7 - - -
Liberry Ride Guides Seasonal Seasonal Seasonal Seasonal
Planning Director 1 1 1 1
Assistant Planning Director 1 1 1 1
Planner 1 1 1 1
Planning Dept. Assistant 1 1 1 1
Conservation Director 1 1 1 1
Conservation Coordinator 1 1 1 1
Land Use Ranger 0.25 0.25 0.25 0.25
Land Management Interns Seasonal Seasonal Seasonal Seasonal
Public Health Director 1 1 1 1
Assistant Public Health Director* - - 1 1
Public Health Agents* 1 2 1 1
Public Health Nurse** 0.6 0.6 0.6 1
Building Commissioner 1 1 1 1
Asst Building Commissioner 1 1 1 1
Building Inspectors 1 1 1 1
Plumbing and Gas Inspector 1 1 1 1
Zoning Enforcement Administrator 1 1 1 1
Electric Inspectors 1 1 1 1
Part-time Electric Inspector*** 0.24 0.24 0.24 0.24
Part-time Plumbing Inspector*** 0.14 0.14 0.14 0.14
Part-time Building Inspector*** 0.38 0.38 0.38 0.58
. . . . .
. . �. . �. ..
. . �
. . . .
Explanatory Notes:
*A second Health Agent was funded in FY2021 via a program improvement. They were later reclassified to an Assistant
Health Director.
**The full-time Public Health Nurse is shared between Lexington (.6)and Belmont(.4)per Nursing Services Agreement
executed in FY2009. A program improvement in FY2023 seeks to reassign the position to Lexington on a full-time
basis.
***The hours budgeted for part-time inspectors are filled by multiple individuals,as available. The FY2023 increase
supports expanded responsibilities of the�e�rr�irt�;w�u�uwu�pun�iim„ particularly for short-term rentals and expanded
commercial developments.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-5
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Land Use, Health and Development Department budget, inclusive
of the General Fund operating budget, the Liberty Ride, Visitor Center, Residential Engineering Review
and Health Program Revolving Funds, is $3,201,078, which is a $111,328 or 3.60% increase from the
FY2022 budget.
The FY2023 recommended Land Use, Health and Development General Fund operating budget is
$2,792,613 which is a $98,624, or 3.66% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $2,338,226 and reflects a $166,974 or 7.69%
increase, which funds contractually obligated step increases, as well as a program improvement to
make the public health nurse a full-time position in Lexington. Compensation also reflects the transfer
of the Visitors Center manager from the Visitors Center Revolving Fund to the General Fund, partially
offset by transferring the Battle Green Guides to the Visitors Center Revolving Fund, and more fully
offset by a reduction in expenses to support the Visitors Center. Compensation does not include any
estimate of prospective cost of living increases. Funds for prospective increases are captured in the
Salary Adjustment account within the Town Manager's budget.
The General Fund operating budget for Expenses is $454,387 and reflects a decrease of $(68,350) or
(13.08)%, which is a net change that reflects shifting $74,000 in ongoing support for the Visitors
Center to Compensation at Economic Development, removing $19,500 in scanning costs from the
Building and Zoning and Conservation budgets, and increasing support for professional development at
both Health ($7,000) and Economic Development ($7,000), as well as increasing Marketing ($5,000)
and Advertising ($2,000) at Economic Development to support the town's promotional efforts for the
250th celebration, and $5,000 for a program improvement to reprint brochures for ACROSS Lexington.
The FY2023 recommended budget for the Residential Engineering Review, Health Program, Liberry
Ride, and Visitor Center revolving funds is $506,065, an increase of$1Z,704 or 2.57%, which reflects
ongoing adjustments as the Visitors Center continues to adapt to pandemic operations in their
permanent location.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Salaries (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
ACROSS Lexington Brochures $ 5,000 $ — $ 5,000 $ 5,000 $ — $ 5,000 $ —
Increase Public Health Nurse to � 34,681 $ 1,503 $ 36,184 $ 34,681 $ 1,503 $ 36,184 $ —
Ful I-time
Senior Planner $ 90,000 $ 17,709 $ 107,709 $ — $ — $ — $ 107,709
Visitors Center Assistant � 57,538 $ 17,239 $ 74,777 $ — $ — $ — $ 74,777
Manager(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-6
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Cc�lc�rrr�(.�) h����a��ra hidd�r� frr�rrt t�ai.� ��L�l�
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ (709,547) $(1,084,948) $ 901,089 $ 564,513 $(336,576 -37.35 %
TDM Stabilization Fund $ 46,000 $ 46,000 $ 46,000 $ 46,000 $ - - %
Center Impr. District Stab. Fund $ 27,000 $ - $ - $ - $ - - %
Fees&Charges
Departmental Fees $ 80,873 $ 70,022 $ 49,200 $ 76,900 $ 27,700 56.30 %
Licenses&Permits $2,711,117 $3,213,684 $ 1,697,700 $ 2,105,200 $407,500 24.00 %
. . �� ��� .
FY2020 FY2021 FY2022 FY2023
(General Fund) Appropriation II���� Dollar Percent
A ro riation Summa
PP P rY _ II����II�II��� Increase Increase
Actual Actual uim���
Compensation $1,828,944 $1,903,721 $ 2,171,252 $ 2,338,226 $166,974 7.69 %
Expenses $ 326,499 $ 341,037 $ 522,737 $ 454,387 $(68,350) -13.08 %
. . �� -�� .
FY2020 FY2021 FY2022 FY2023
Q pp P . Il�a��� Dollar Percent
(Gene al Fu d)e uests p ro riation III��;;;,�^�urnmurnm� Increase Increase
Actual Actual urm����
Total 7110 Building&Zoning $ 609,689 $ 561,393 $ 640,862 $ 644,673 $ 3,811 0.59 %
Total 7120 Administration $ 429,696 $ 431,375 $ 553,500 $ 569,150 $ 15,650 2.83 %
Total 7130 Conservation $ 214,574 $ 197,387 $ 255,027 $ 253,882 $ (1,145) -0.45 %
Total 7140 Health $ 252,755 $ 301,634 $ 400,951 $ 457,870 $ 56,919 14.20 %
Total 7200 Planning $ 323,020 $ 375,185 $ 434,992 $ 446,240 $ 11,248 2.59 %
Total 7300 Economic � 325,708 $ 377,784 $ 408,657 $ 420,798 $ 12,141 2.97 %
Development
. . �� -�� .
FY2020 FY2021 FY2022 FY2023
Object Code Summary Il�,�ii"� Dollar Percent
(General Fund) Appropriation Ill�����urmmurm��;� Increase Increase
Actual Actual urm����:�
Salaries&Wages $1,816,122 $1,887,074 $ 2,136,687 $ 2,303,212 $166,525 7.79 %
Overtime 12 822 16 648 34 565 35 014 449 1.30 %
Personal Services $1,828,944 $i,903,72i $ 2,i71,252 $ 2,338,226 $166,974 7.69 %
Contractual Services $ 180,715 $ 239,506 $ 374,526 $ 378,676 $ 4,150 1.11 %
Utilities $ 10,062 $ 10,674 $ 13,111 $ 13,561 $ 450 3.43 %
Supplies $ 135,723 $ 90,856 $ 135,100 $ 62,150 $(72,950) -54.00 %
Small Ca ital $ - $ - $ - $ - $ - - %
Expenses $ 326,499 $ 34i,037 $ 522,737 $ 454,387 $(68,350) -i3.08 %
. . �� -�� .
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-7
Program: Land Use, Health and
Development Department
7100-7400 Program Summary Town ofLexington, MA
Budget Summary - Revolving Funds
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Residential Engineering Review � - � 57,600 $ 57,600 $ 57,600 $ - - %
Revolving Fund
Health Programs Revolving � 22,654 $ 21,342 $ 45,000 $ 45,000 $ - - %
Fund
Lab Animal Permits Revolving � _ � - � 40,000 $ 40,000 $ - - %
Fund
Liberty Ride Revolving Fund $ 125,800 $ 790 $ 104,000 $ 104,000 $ - - %
Visitor Center Revolving Fund $ 39,309 $ 74,242 $ 247,000 $ 260,000 $ 13,000 5.26 %
. . �� -�� . .�� �. .�� ���
*Revolving Funds are authorized by Town Meeting via Artide 9,and are not appropriated under Artide 4.
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Il,��ii � Dollar Percent
(Revolving Funds) Appropriation III��;;„��urmmurmm�� Increase Increase
Actual Actual urm��^�
7110-Residential Engineering Review
Expenses $ - $ - $ 57,600 $ 57,600 $ - - %
7140-Health Programs
Expenses $ 45,719 $ 27,352 $ 45,000 $ 45,000 $ - - %
7140-Lab Animal Permits
Expenses $ - $ - $ 40,000 $ 40,000 $ - - %
7320-Liberty Ride $ 139,510 $ - $ 104,000 $ 104,000 $ - -%
Compensation $ 41,715 $ - $ 14,000 $ 14,000 $ - - %
Expenses $ 97,795 $ - $ 90,000 $ 90,000 $ - - %
7340-Visitor Center $ 44,359 $ 59,470 $ 246,761 $ 259,465 $12,704 5.15%
Compensation $ 18,459 $ 26,501 $ 138,541 $ 114,750 $(23,791) (17.17)%
Expenses $ 25,899 $ 32,970 $ 108,220 $ 144,715 $ 36,495 33.72 %
. . �� ��� . �. �. ��
Budget Summary - All Funds ---------------------------------------------
FY2020 FY2021 FY2022 FY2023
Appropriation Summary(All „,II�'��°W"� Incrlease Increa e
FundS) Appropriation , �„���ii�ii�^,h�
Actual Actual uim����
Compensation $1,889,118 $1,930,222 $ 2,323,793 $ 2,466,976 $143,183 6.16 %
Expenses $ 495,913 $ 401,359 $ 765,957 $ 734,102 $(31,855) -4.16 %
. �� -�� � � � �: � � � .�
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-8
This Page Intentionally Left Blank.
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Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
III Mission: The Building and Zoning D������:ii��u�u�u�ru� is a regulatory function with the goal of
protecting the health and safety of residents. This role is fulfilled through the enforcement of building,
zoning and land use regulations.
III Budget Overview: The Building and Zoning D�°��«��r���-�u�cu��u��u� enforces state building, electrical,
plumbing, gas and mechanical codes, Architectural Access Board Regulations and local zoning bylaws.
Staff, comprised of the Building Commissioner, Assistant Building Commissioner, Building Inspectors,
Electrical Inspector, Plumbing & Gas Inspector and Zoning Enforcement Administrator, review
construction drawings and specifications, issue permits, inspect new construction, conduct periodic
inspections of restaurants, day care centers, schools, religious institutions, museums, places of public
assembly and multi-family housing, and levy fines or prosecute when necessary to maintain code
compliance.
Division Initiatives:
1. Continue the efforts to improve and administer the online permitting system, helping applicants
obtain their permits. The ViewPoint Cloud permit system requires all building, zoning, electrical,
plumbing and gas permits to be applied for electronically. This permitting system allows applicants
to do much of their work from their office or home, thereby saving time and money from having to
visit the Town offices.
2. Scan all the historical building, wiring, plumbing and gas permit records.
3. Permit, inspect, monitor and ensure code compliance for the first high-rise building constructed in
Lexington at 440 Bedford Street. This building is 120 feet tall and will be a major construction
project in a highly visible and congested area of town.
4. Add capacity to perform more inspections to the current work load of the Building Inspectors. This
will be for the review, permitting, inspection and enforcement of the new Short-Term Rental zoning
bylaw; the proposed fence/wall zoning bylaw; as well as the recently approved noise construction
limits. This is supported by the addition of 52 days of funding for per diem inspectors.
5. Assist the planning office in amending the zoning bylaw to address heights and setbacks of walls
and fences in residential districts.
6. Support the Town's efforts to Increase the building permit fees for commercial construction from
$12 per thousand to $15 per thousand. If increased, the high-rise building at 440 Bedford street
alone, would increase revenue about $100,000.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-10
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
�����t�r�� ���^r�u �1�,rm�,��r�'
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Building Commissioner 1 1 1 1
Asst. Bldg. Commissioner 1 1 1 1
Building Inspectors 1 1 1 1
Plumbing and Gas Inspector 1 1 1 1
Zoning Enforcement Administrator 1 1 1 1
Electric Inspector 1 1 1 1
Part-time Electric Inspector* 0.24 0.24 0.24 0.24
Part-time Plumbing Inspector* 0.14 0.14 0.14 0.14
Part-time Building Inspector* 0.38 0.38 0.38 0.58
. . . . . . . . •.
• . ' . ' . ' . ' . '
*The hours budgeted for part-time inspectors are filled by multiple individuals,as available. The FY2023 increase
supports expanded responsibilities of the�N��r�����G.,�u��ii,�u�uum,, particularly for short-term rentals and expanded
commercial developments.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-11
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended All Funds Building and Zoning budget is $702,273 a $3,811 or 0.55%
increase from the FY2022 budget.
The FY2023 recommended General Fund Building and Zoning budget is $644,673 a $3,811 or 0.59%
increase from the FY2022 budget.
The recommended budget for Compensation is $610,583 and reflects a $18,311, or 3.09% increase,
which is due to contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The recommended budget for Expenses is $34,090 and reflects a decrease of$(14,500) or (29.84)%
from FY2022, due to removal of a scanning budget item that will be undertaken via other available
funds.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-12
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
C'c�lc�rrrr�(s) h�►��1���ra hidcf�r� frc�rrt t�ai� ��1�1�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $(2,096,778) $(2,616,550) $ (1,046,838) $ (1,443,027) $ (396,189) 37.85%
Directed Funding
Departmental Fees $ 12,210 $ 16,170 $ 12,500 $ 12,500 $ - -%
Licenses and Permits $ 2,694,257 $ 3,161,772 $ 1,675,200 $ 2,075,200 $ 400,000 23.88%
. . � : � . . . . � .�• �� : �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary Il�fi���-
III�,II��M��un��iur�i�
Actual Actual Appropriation ur����:�lll Increase Increase
Compensation $ 582,335 $ 537,920 $ 592,27Z $ 610,583 $ 18,311 3.09%
Expenses $ 27,355 $ 23,473 $ 48,590 $ 34,090 $ (14,500) -29.84%
. . � : � . . . . . .�• �� : �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary �����
III��114�.a;�;�u�murm�i��
Actual Actual Appropriation um���a� Increase Increase
Salaries&Wages $ 577,238 $ 532,287 $ 585,933 $ 604,161 $ 18,228 3.11%
Overtime $ 5,096 $ 5,633 $ 6,339 $ 6,422 $ 83 1.31%
Personal Services $ 582,335 $ 537,920 $ 592,272 $ 610,583 $ 18,311 3.09%
Contractual Services $ 5,444 $ 15,329 $ 36,640 $ 22,140 $ (14,500) -39.57%
Utilities $ 5,635 $ 5,983 $ 6,800 $ 6,800 $ - -%
Supplies $ 16,275 $ 2,161 $ 5,150 $ 5,150 $ - -%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ Z7,355 $ 23,473 $ 48,590 $ 34,090 $ (14,500) -Z9.84%
. . � : � . . . . . .�• �� : �
Budget Summary - Revolving Funds*
Funding Sources �z020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Residential Engineering Review $ - $ 57,600 $ 57,600 $ 57,600 $ - -%
. � :: . .�� .�� .��
*Revolving Funds are authorized by Town Mee6ng via A�tic%9,and are not appropriated unde�A�ticle 4.
FY2020 FY2021 FY2022 FY2023
Appropriation Summary ��,�,�.� Dollar Percent
(Revolving Funds) III I@���^+�°�ur�um�����^ Increase Increase
Actual Actual Appropriation mm���u�
7110-Residential Engineering Review Revolving Fund
Expenses $ - $ - $ 57,600 $ 57,600 $ - -%
. � . .�� .��
Budget Summary - All Funds ----------------------------------------------�
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Dollar Percent
(All Funds) III�. ^-II���� Increase Increase
, .�^�w��ur�mur�i���,
Actual Actual Appropriation ur�����
Compensation $ 582,335 $ 537,920 $ 592,272 $ 610,583 $ 18,311 3.09%
Expenses $ 27,355 $ 23,473 $ 106,190 $ 91,690 $ (14,500) -13.65%
. . � : � � .�• . � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-13
Program: Land Use, Health and Development
Department
7110 Building & Zoning Town ofLexington, MA
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-14
Program: Land Use, Health and Development Department
7120 Administration Town ofLexington, MA
Mission: To develop comprehensive regulatory and technical assistance services to town residents
and commercial entities transacting development business with the Town.
Budget Overview: Administration provides management oversight and administrative support to the
III Building and Zoning, Health, Conservation, Planning and Economic Development Il���ii���°���������li����
and to the numerous boards and commissions, including the Zoning Board of Appeals and Historic
Districts Commission, and coordinates their daily operations. The staff, comprised of an Assistant Town
Manager, an Office Manager, Administrative Assistant and four Department Assistants, schedules and
coordinates hearings, prepares legal notices, sets agendas, processes applications and permits, inputs
data into Access databases, maintains files, circulates petitions among Town boards and officials,
prepares meeting notices, agendas and minutes, determines and notifies abutters, communicates with
the public, attends meetings, performs payroll and accounts payable functions, makes daily deposits,
and files all final documentation. The Assistant Town Manager for Development position oversees all
operations of the six divisions within the Land Use, Health and Development Department.
Division Initiatives:
1. Direct the Department in support of the Select Board goals specifically focused on public health,
land and real property, housing and economic development and planning, as assigned by the Town
Manager.
2. Improve online information on Department initiatives and boards and committees supported by the
Department.
3. Improve the availability of information about Department initiatives, permit processes, and
opportunities for public engagement.
�� �M
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��ar ����U��rrm�iu�t
.��ra�iir�i��tra�i���
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Assistant Town Manager 1 1 1 1
Administrative Assistant 1 1 1 1
Office Manager 1 1 1 1
Department Assistants 4 4 4 4
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-15
Program: Land Use, Health and Development Department
7120 Administration Town ofLexington, MA
Budget Recommendations:
The recommended FY2023 General Fund budget for the OfFice of Administration is $569,150, an
increase of$15,650 or 2.83% from the FY2022 budget.
The General Fund operating budget for Compensation is $514,050 and reflects an increase of$10,850
or 2.16% for contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The General Fund operating budget for Expenses is $55,100 and reflects a net increase of $4,800 or
9.54%, which incorporates adjustments to reflect actual expenditures as $5,000 for a program
improvement to reprint ACROSS Lexington brochures.
Program Improvement Requests:
Request Recommended
Salaries Benefits Benefits
(reflected in Salaries (reflected in
and Shared Total and Shared NOt
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
ACROSS Lexington Brochures $ 5,000 $ - $ 5,000 $ 5,000 $ - $ 5,000 $ -
C'c�lc�rrrra��) h�v�fae�r� hidd�r� fr�r� thf.� ��taBe
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ 418,496 $ 423,275 $ 539,800 $ 547,750 $ 7,950 1.47%
Directed Funding
Departmental Fees $ 11,200 $ 8,100 $ 13,700 $ 21,400 $ 7,700 56.20%
• . 1 �. . . • .•. 11 .• 1 . 1
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation Summary "••w
N�. ...,,,114�'.�µm:u��ui�n�ui�rm����
Actual Actual Appropriation un��lll��:�� Increase Increase
Compensation $ 415,527 $ 414,009 $ 503,200 $ 514,050 $ 10,850 2.16%
Expenses $ 14,169 $ 17,366 $ 50,300 $ 55,100 $ 4,800 9.54%
• � �. . • .•. �� .• � . �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code Summary „III"�a"�.�
ui�mui°urm�^;
Actual Actual Appropriation unua���,�,�� Increase Increase
Salaries&Wages $ 410,923 $ 406,987 $ 490,539 $ 501,225 $ 10,686 2.18%
Overtime $ 4,604 $ 7,022 $ 12,661 $ 12,825 $ 164 1.30%
PersonalServices $ 415,527 $ 414,009 $ 503,200 $ 514,050 $ i0,850 2.16%
Contractual Services $ 8,746 $ 11,165 $ 43,200 $ 46,700 $ 3,500 8.10%
Utilities $ 614 $ 940 $ 600 $ 900 $ 300 50.00%
Supplies $ 4,809 $ 5,261 $ 6,500 $ 7,500 $ 1,000 15.38%
Small Ca ital - - - - - -%
Expenses $ 14,169 $ 17,366 $ 50,300 $ 55,100 $ 4,800 9.54%
• . 1 �. . . ' • .•. 11 .• 1 . 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-16
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
Mission: To protect the health and safety of Town residents through education about and regulation
of and management of natural areas and wetlands.
III Budget Overview: The Conservation C������II�u�u�u�„„rq� provides administration, interpretation and
enforcement of all applicable State laws and Local codes; counsel, guidance and education to the public
on environmental issues; research and reports on relevant issues for the Conservation Commission
meetings to aid the Commission in key decision making; enforcement of permit conditions through
construction inspections; management of conservation areas and the Land and Watershed Stewardship
Program. The Conservation Director manages and supervises the Conservation staff and operations
and, along with the Conservation Stewardship Coordinator, performs administrative, supervisory,
professional and technical work in connection with managing and directing comprehensive
environmental programs.
Division Initiatives:
1. Continue efforts to provide for a comprehensive online records management program for
conservation historical records via the Laserfiche Document Imaging Software.
2. Plan for and implement enhanced public outreach and programming to protect, preserve, and
promote Lexington's natural resources.
3. Complete the Open Space and Recreation Plan Update (FY2022 CPA) and implement goals,
objectives and priorities established in Year 1 of the Seven Year Action Plan.
4. Onboard a new community garden coordinator volunteer and provide a comprehensive orientation
and training program.
5. Finalize and record Conservation Restrictions for all CPA conservation land acquisitions.
6. Plan for and acquire open space parcels as prioritized by the Conservation Commission.
7. Implement the numerous conservation land management and stewardship prioritized projects,
including Daisy, Willard's Woods,and West Farm meadows preservation, Parker Meadow Universal
Accessible Trail Construction (FY2021 and FY2022 Supplemental CPA), Wright Farm Conceptual Site
Access Design and Parking (FY2021 CPA), and Willard's Woods Accessible Improvements Design
and Engineering (FY2020 CPA).
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-17
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
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�o�o�r�im��r Rar���r
�M,,.�M,,,,�m��,.,����„�.�m��„�.�,��,����„�.�m..,���,��„��„��„��ua �,,�.�m��„�.�m��,.,����„�.�m��„�.���„�.�m��„�.�m�m�„�.��-
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Conservation Director 1 1 1 1
Conservation Coordinator 1 1 1 1
Land Use Ranger 0.26 0.26 0.26 0.26
Seasonal Land Management Interns Seasonal Seasonal Seasonal Seasonal
• . . . . .
. . . .
• . �
• • • •
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-18
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
Budget Recommendations:
The recommended FY2023 General Fund Conservation budget is $253,882, a decrease of$(1,145) or
(0.45)% from the FY2022 budget.
This includes a $3,855 or 1.75% increase in compensation to reflect contractually obligated step
increases. Compensation does not include any estimate of prospective cost of living increases for
contracts expiring on or before June 30, 2022. Funds for prospective increases are captured in the
Salary Adjustment account within the Town Manager's budget.
Expenses reflect a decrease of$(5,000), or (14.19)%, due to removal of a scanning budget item that
will be undertaken via other available funds.
Program Improvement Requests:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-19
Program: Land Use, Health and Development Department
7130 Conservation Town of Lexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary:
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ 211,274 $ 184,635 $ 252,027 $ 250,882 $ (1,145) -0.45 %
Directed Funding
Fees $ 3,300 $ 12,752 $ 3,000 $ 3,000 $ - - %
• . � . . � � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Appropriation ��ii�.r�
Summary NI+��III'�����urmmui°mm�r
Actual Actual Appropriation urm���,� Increase Increase
Compensation $ 192,861 $ 171,404 $ 219,780 $ 223,635 $ 3,855 1.75 %
Expenses $ 21,713 $ 25,983 $ 35,247 $ 30,247 $ (5,000) (14.19)%
. � . . � �
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Object Code ��ii�.r.,�
Summary N��„Ilf���.�;�u�ur�rmuitirm�
Actual Actual Appropriation urm��m�� Increase Increase
Salaries&Wages $ 191,510 $ 169,673 $ 216,701 $ 220,516 $ 3,815 1.76 %
Overtime 1 351 1 731 3 079 3 119 40 1.30 %
Personal Services $ 192,861 $ i71,404 $ 219,780 $ 223,635 $ 3,855 1.75%
Contractual Services $ 11,309 $ 19,972 $ 26,636 $ 21,436 $ (5,200) -19.52 %
Utilities $ 2,389 $ 2,191 $ 2,911 $ 3,061 $ 150 5.15 %
Supplies $ 8,015 $ 3,820 $ 5,700 $ 5,750 $ 50 0.88 %
Small Ca ital $ - $ - $ - $ - $ - - %
Expenses $ 21,713 $ 25,983 $ 35,247 $ 30,247 $ (5,000) -14.19 %
• 1 . . 1 1
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-20
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
Mission: Under the direction of the Lexington Board of Health, the mission of the Lexington Health
II������: ��w���ii�w�:� is to prevent disease and promote wellness in order to protect and improve the
health and quality of life of its residents, visitors and workforce.
III Budget Overview: The Health ���������rm��ii������ui�..�; manages disease prevention and surveillance
programs designed to protect the health of the community. Programs include but are not limited to
public health education, infectious disease surveillance and case investigation activities, oversight and
enforcement of all state and local community health and environmental health regulations, mosquito-
borne disease prevention efforts, public vaccination clinics, and public health emergency planning and
III response efforts. The Health II��W{�� -������S��G��� staff is comprised of the Health Director, an Assistant
Health Director, a Health Agent, and a part-time Public Health Nurse.
Division Initiatives:
1. Continue to perform all required activities regarding Covid-19 and to offer services such as
testing, tracing, education, data collection and analysis, and vaccine.
2. Review local Board of Health regulations, and update as necessary, to coincide with current
State and Federal regulations,standards and best practices, including tobacco, body art and
food. Research and finalize local regulations regarding the care and use of laboratory animals.
3. Continue to enhance customer service satisfaction and improve staff efficiency by updating
Board of Health permit applications in ViewPoint Cloud, with particular focus on the following
record types: retail food, temporary food, mobile food, food plan review, public swimming pool,
rDNA, Animal Keeping and Recreational Camps for Children. Begin to implement field
inspection capacity with a new software system.
4. Continue to respond to all inquiries, complaints, and concerns from the public and staff in a
timely fashion. Perform routine inspections to ensure compliance with state and local
regulations.
5. Continue to work with Region 4AB to improve regional collaboration for Preparedness and with
Region 4A to strengthen the Medical Reserve Corps. (MRC) in volunteer recruitment, training,
deployment and retention.
6. Continue to update and exercise shelter plans, develop shelter intake and medical triage forms,
and develop a checklist for environmental health risk management in shelters.
7. Engage and convene community partners to broaden public health preparedness planning
efforts to include people with disabilities and considerations for access and functional needs in
the scope of EDS and shelter plans in accordance with Massachusetts Department of Public
Health (MDPH) guidance.
8. Continue to serve as a local resource for public health education and outreach on the impacts of
climate change on health. Collaborate with the Sustainability Director.
9. Continue to provide flu shots to the pubic utilizing the most reasonable and safe methods
including drive through clinics and at various locations. Evaluate and implement ways to expand
our vaccine program to include all recommended adult and pediatric vaccines.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-21
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Public Health Director 1 1 1 1
Public Asst. Health _ — 1 1
Director*
Public Health Agent* 1 2 1 1
Public Health Nurse** 0.6 0.6 0.6 1.0
. . . . . � �
� . . . . . �.
*In FY2021,a second Health Agent was funded via a program improvement. During that year,one
of the Health Agents was reclassified to Assistant Health Director.
**The full-time Public Health Nurse is shared between Lexington (.6)and Belmont(.4) per Nursing
Services Agreement executed in FY2009. A program improvement in FY2023 seeks to reassign the
position to Lexington on a full-time basis.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-22
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
Budget Recommendations:
The recommended FY2023 All Funds Health budget inclusive of the General Fund operating budget and
the Health Program Revolving Fund, which funds health clinics, is $542,870. The recommended
budget is a $56,919 or 11.71% increase from the FY2022 budget.
The FY2023 recommended Health General Fund operating budget is $457,870, which is a $56,919 or
14.20% increase from the FY2022 General Fund budget.
The General Fund operating budget for Compensation is $359,570 and reflects a $48,169 or 15.47%
increase, which funds the cost of contractually obligated step increases and salary increases.
The General Fund operating budget for Expenses is $98,300 and reflects a $8,750 or 9.77% increase,
which reflects a $1,500 decrease in staff mileage and travel expenses.
The FY2023 Health Programs Revolving Fund is recommended at $45,000 which is level-funded from
the FY2022 authorization. First authorized in FY2021, a revolving fund for Lab Animal Permits is
recommended at $40,000 to handle inspections for an increasing number of lab animals in the
commercial and industrial properties in town.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Increase Public Health Nurse to � 34,681 $ 1,503 $ 36,184 $ 34,681 $ 1,503 $ 36,184 $ —
Ful I-time
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-23
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $ 235,895 $ 249,721 $ 378,451 $ 427,870 $ 49,419 13.06%
Directed Funding
Permits $ 16,860 $ 51,912 $ 22,500 $ 30,000 $ 7,500 33.33%
• '1 1 . 'll • 1 . • • 1'
FY2020 FY2021 FY2022 FY2023
A ro riation Summa �.�... Dollar Percent
(General Fund) � III���IIP����:�au��u���iu���� Increase Increase
Actual Actual Appropriation m���.a�
Compensation $ 207,852 $ 267,494 $ 311,401 $ 359,570 $ 48,169 15.47%
Expenses $ 44,903 $ 34,140 $ 89,550 $ 98,300 $ 8,750 9.77%
. . �� - � ��� • : � ��.
FY2020 FY2021 FY2022 FY2023
Object Code Summary ����.� Dollar Percent
(General Fund) dll..,:;�,�II4�.�.��:����urm�uurm�u�������� Increase Increase
Actual Actual Appropriation ur����.��
Salaries&Wages $ 206,941 $ 267,144 $ 309,631 $ 357,777 $ 48,146 15.55%
Overtime 910 350 $ 1,770 $ 1,793 $ 23 1.30%
Personal Services $ 207,852 $ 267,494 $ 3i1,401 $ 359,570 $ 48,i69 15.47%
Contractual Services $ 43,273 $ 32,526 $ 80,500 $ 89,250 $ 8,750 10.87%
Utilities $ 1,102 $ 960 $ 2,800 $ 2,800 $ - -%
Supplies $ 529 $ 654 $ 6,250 $ 6,250 $ - -%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 44,903 $ 34,i4a $ 89,550 $ 98,300 $ 8,750 9.77%
. -� � -�� � ��
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Health Programs Revolving � 2Z,654 $ 21,342 $ 45,000 $ 45,000 $ - -%
Fund
Lab Animal Permits Revolving � _ � - � 40,000 $ 40,000 $ - -%
Fund
. -� ��� ���
*Revolving Funds are authorized by Town Meeting via Ar6de 9,and are not appropriated under Article 4.
FY2020 FY2021 FY2U22 FY2023
Appropriation Summary ��w��,�.�;,,.. Dollar Percent
(Revolvmg Funds) �III'�. ����,�IIP"��W���m��;��.�ur�iurn�i� Increase Increase
Actual Actual Appropriation ur��lll�,�,lll
7140-Health Programs Revolving Fund
Expenses $ 45,719 $ 27,352 $ 45,000 $ 45,000 $ - -%
7140-Lab Animal Permits Revolving Fund
Expenses $ - $ - $ 40,000 $ 40,000 $ - -%
. -� ��� ���
Budget Summary - All Funds --------------------------------------------
FY2020 FY2021 FY2022 FY2023
Appropriation Summary ���,�.�... Dollar Percent
(All Funds) III'. ,114�.��;�;��urm�uurm����; Increase Increase
Actual Actual Appropriation ur���mm�
Compensation $ 207,852 $ 267,494 $ 311,401 $ 359,570 $ 48,169 15.47%
Expenses $ 90,622 $ 61,492 $ 174,550 $ 183,300 $ 8,750 5.01%
. . -� � � �
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-24
Program: Land Use, Health and Development Department
7140 Health Town of Lexington, MA
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-25
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
Mission: The Planning Office helps residents envision and work toward a community that serves the
needs of all its citizens and to manage growth and change. The Planning Office provides staff
assistance to the Planning Board, helps to administer the Zoning Bylaw and reviews development
permit applications for residential and commercial projects.
Budget Overview: The Planning Office supports the Planning Board in the administration of the
Subdivision Regulations, the adequacy determinations of unaccepted streets, the granting of special
permits for residential development, site plan review and granting of special permits, as well as
reviewing zoning amendments and planned development district proposals that go to Town Meeting.
In addition, the staff engages in short- and long-term planning regarding growth and development
issues in Lexington, actively participants in various committees dealing with transportation, affordable
housing, economic development, as well as regional and statewide initiatives.
The planning staff participates on the Development Review Team, the Economic Development Advisory
Committee, the Housing Partnership Board, the Transportation Safety Group, Parking Management
Group, Transportation Forum, the HOME Consortium, and the Boston Metropolitan Planning
Organization.
Division Initiatives:
1. Implement Lexington's updated Comprehensive Plan (LexingtonNext), which will guide future
land development and preservation activities over the next 2, 5, 10-years, and beyond.
2. Assemble and support the Planning Board's Annual Work Plan to ensure alignment with
Lexi ngton Next.
3. Establish an expedited, transparent, and engaging permitting process that is clear and
consistent for all projects.
4. Collaborate with members of the Land Use, Health, and Development (LUHD) Department and
other staff members to plan and execute short- and long-term planning initiatives.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-26
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
����s���t�c�w�n �^l�r����r
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Planning Director 1 1 1 1
Assistant Planning Director 1 1 1 1
Planner 1 1 1 1
Administrative Assistant 1 1 1 1
� . . .
� . .
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-27
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
Budget Recommendations:
III The FY2023 recommended General Fund Planning I:: ,��um i���';��ii�.�� budget is $446,240, which is an
increase of$11,248 or 2.59% from the FY2022 budget.
The General Fund operating budget for Compensation is $368,890 and reflects a $11,248 or 3.15%
increase from the FY2022 budget, due to contractually obligated step increases. Compensation does
not include any estimate of prospective cost of living increases for contracts expiring on or before June
30, 2022. Funds for prospective increases are captured in the Salary Adjustment account within the
Town Manager's budget.
The recommended budget for Expenses is $77,350 and is level-funded from FY2022. A warrant article
requests $75,000 for implementation of LexingtonNEXT, the long-term plan which is due to be
completed early in 2022.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
dnd (reflected in TOtal dnd (reflected in NOt
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Senior Planner $ 90,000 $ 17,709 $ 107,709 $ — $ — $ — $ 107,709
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-28
Program: Land Use, Health and Development Department
7200 Planning Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
Funding Sources �2020 FY2021 FY2022 FY2023 Dollar Percent
Actual Actual Estimate Projected Increase Increase
Tax Levy $ 268,858 $ 342,185 $ 414,992 $ 406,240 $ (8,752) -2.11%
Directed Funding
Fees $ 54,163 $ 33,000 $ 20,000 $ 40,000 $ 20,000 100.00%
. . �� � . � � ��
FY2020 FY2021 FY2022 FY2023
A ro riation ' ii�� Dollar Percent
Summa �� �` Increase Increase
rY 114�".��;��urmmui°mm�
Actual Actual Appropriation urmm���,�
Compensation $ 291,624 $ 339,806 $ 357,642 $ 368,890 $ 11,248 3.15%
Expenses $ 31,396 $ 35,379 $ 77,350 $ 77,350 $ - -%
• . 11 � 1 1 •• •� •� ••
FY2020 FY2021 FY2022 FY2023
Object Code Summary ��iii�.^;�- Dollar Percent
N� :;,Il��.�:�wui�rmui�rm� Increase Increase
Actual Actual Appropriation urm���r�
Salaries&Wages $ Z91,017 $ 339,028 $ 349,848 $ 360,995 $ 11,147 3.19%
Overtime $ 608 $ 778 $ 7,794 $ 7,895 $ 101 1.30%
Persona/Services $ 291,624 $ 339,806 $ 357,642 $ 368,890 $ 1i,248 3.15%
Contractual Services $ 29,643 $ 33,283 $ 72,850 $ 72,850 $ - -%
Utilities $ 322 $ 600 $ - $ - $ - -%
Supplies $ 1,431 $ 1,497 $ 4,500 $ 4,500 $ - -%
Small Ca ital $ - $ - $ - $ - $ - -%
Expenses $ 31,396 $ 35,379 $ 77,350 $ 77,350 $ %
. �� � � � .. .� .�
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-29
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
Mission: The Economic Development Office works to encourage new investment and support for our
local businesses - big and small. A strong local business environment is a critical component of a
healthy and sustainable community, creating places to eat and shop, as well as opportunities for
employment and added revenue to support local services. To that end, the Economic Development
Office serves as a liaison for businesses and works to address business-related issues from parking to
updating land use policy. The Office also works to retain and expand local businesses by providing
information, conducting research, and leveraging State economic development resources. The
Economic Development Office also cultivates and maintains relationships with State-level partners for
business development, tourism, and infrastructure investment opportunities. The Economic
Development Office works to leverage economic opportunities from tourism through the operations of
the Visitors Center, the Liberty Ride Trolley Tour, and the Battle Green Guides program. Sharing our
role in American history attracts many thousands of visitors to Lexington each year. These visitors help
to support our local businesses which contributes to our community's overall economic sustainability.
Budget Overview: The Economic Development budget is divided into three elements: the Economic
Development Office, the Liberty Ride Trolley Tour Program, and the Visitors Center Operations.
The Economic Development OfFice is tasked with strengthening the commercial tax base, providing
services to existing and prospective businesses, and overseeing tourism functions and staff. The
Economic Development Office works on initiatives with input from the Economic Development Advisory
Committee, the Lexington Center Committee, and the Tourism Committee.
The Liberty Ride is a trolley tour of Lexington and Concord which also serves as the only transportation
link to the area's historic sites. As a revolving fund, the Liberty Ride is self-funded through ticket sales.
Due to the pandemic, the Liberry Ride did not operate during 2020, and operated a limited schedule in
2021. Since the current trolley contract expires in March 2022, operations will need to adapt to a new
contract.
The Visitors Center serves as gateway for over 120,000 people who come to visit Lexington every year.
As a revolving fund, the Visitors Center operates with revenue generated from gift shop retail sales to
offset costs. The construction of the new Visitors Center was completed and opened to the public in
Spring 2020. Unfortunately, operations in 2020 and 2021 were hampered due to the pandemic.
Division Initiatives:
Economic Development Office
1. Ensure long-term viability of Lexington businesses in light of the COVID-19 Pandemic and changing
retail environment.
2. Implement next steps from the Local Rapid Recovery Plan recommendation to improve East
Lexington Business Corridor.
3. Launch a new Tourism Website.
Tourism/Visitor Activities
1. Expand programs & retail operations in the Visitors Center.
2. Develop additional materials for non-English speaking visitors and implement the Freedoms Way
Grant.
3. Identify other funding opportunities to augment revenue for the tourism revolving funds.
4. Increase the use of social media and target online advertising to increase visits to Lexington.
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-30
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
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far���relc�{am�efl�t
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�'fisGt,�o;C�o�ti�r;Y.�fF IL[kn�rty Ric{e�w¢fia��,
E�attVe��een��u�i�ex
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Economic Development Director 1 1 1 1
Economic Development Coordinator 1 1 1 1
Economic Development Intern Seasonal Seasonal Seasonal Seasonal
Visitor Center Manager 1 1 1 1
Visitor Center Staff (6PT) 4.75 4.75 4.75 4.75
Visitor Center Assistant Manager 0.56 0.56 0.56 0.56
Battle Green Guides Seasonal Seasonal Seasonal Seasonal
Tour Services Coordinator 0.70 — — —
Liberty Ride Guides Seasonal Seasonal Seasonal Seasonal
• . • 1 : : :
. . .. ..
• .
� . .
• • • •
Note: Visitor Center staffing is included above as this function was transferred from Chamber of
Commerce in FY2015. There are 7 Visitor Center staff(1 works full-time and 6 work part-time) and 30
seasonal workers from April to October
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-31
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
Budget Recommendations:
The FY2023 recommended All Funds Economic Development budget, inclusive of the General Fund
operating budget and the Liberty Ride and Visitors Center Revolving Funds, is $784,263, which is a
$24,845 or 3.27% increase from the FY2022 budget.
The FY2023 recommended General Fund Economic Development operating budget is $420,798, which
is a $12,141 or 2.97% increase from the FY2022 General Fund budget. The recommended General
Fund operating budget for Compensation is $261,498, and reflects a $74,541 or 39.87% increase,
which is a net change, and captures contractually obligated step increases, the transfer of the Visitors
Center manager from the Visitors Center Revolving Fund to the General Fund, partially offset by
transferring the Battle Green Guides to the Visitors Center Revolving Fund, and more fully offset by a
reduction in expenses to support the Visitors Center. Compensation does not include any estimate of
prospective cost of living increases. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The recommended General Fund operating budget for Expenses is $159,300, a decrease of$(62,400)
or (28.15)%. This is a net-change that reflects reducing ongoing support for the Visitors Center by
$74,000; offset by increasing Marketing ($5,000) and Advertising ($2,000) to support the town's
promotional efForts for the 250th celebration.
Contractual costs include expenses associated with the REV Shuttle, a business-serving shuttle that
runs between the Hartwell Avenue corridor and the Alewife Red Line Station, funded via a transfer from
the Transportation Demand Management (TDM) Stabilization Fund.
The recommended FY2023 Liberty Ride Revolving Fund request is level-funded at $104,000. COVID-19
travel restrictions affected the travel and tourism industry overall; the Liberty Ride tour was suspended
in Summer 2020, and operated on a limited schedule in Summer 2021. Since the current trolley
contract expires in March 2022, operations will need to adapt to a new contract. If new proposals will
not be self-sustaining, staff may seek alternative transportation options, including potentially a bus.
The recommended FY2023 Visitor Center Revolving Fund request is $259,465 which is essentially level-
funded from FY2022. In an efFort to provide greater stability for the operation going forward, the
salary for the Visitors Center manager is being moved to the General Fund. A small amount of support
remains in the General Fund budget ($20,000) in the event that sales do not adequately fund the
remaining operating expenses. Staff anticipate that this level of support will allow the Visitors Center
to remain open year-round.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
(reflected in (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Visitors Center Assistant � 57,538 $ 17,239 $ 74,777 $ — $ — $ — $ 74,777
Manager(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-32
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
C'c�lc�rrrr�(s) h�►��1���ra hidcf�r� frc�rrt t�ai� ��1�1�
Budget Summary - General Fund
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 252,708 $ 331,784 $ 362,657 $ 374,798 $ 12,141 3.35%
TDM Stabilization Fund $ 46,000 $ 46,000 $ 46,000 $ 46,000 $ - -%
Center Impr. District Stab. Fund $ 27,000 $ - $ - $ - $ - -%
. �� � �: ��: . � •: �
FY2020 FY2021 FY2022 FY2023
Appropriation Summary �,.�...
� ) N��a^,II�� �„.
General Fund ���mui�irmur�� Dollar Percent
Actual Actual Appropriation ui����,� Increase Increase
Compensation $ 138,745 $ 173,089 $ 186,957 $ 261,498 $ 74,541 39.87%
Expenses $ 186,964 $ 204,696 $ 221,700 $ 159,300 $(62,400) -28.15%
. �� � �: ��: �
FY2020 FY2021 FYZOZ2 FY2023
Program Summary ��ii�r�...
(General Fund) !'�;�IIC�.�:u,�;�a�ui�rmu�m� Dollar Percent
Actual Actual Appropriation uim��� Increase Increase
7310 Economic Development Office $ 325,708 $ 377,784 $ 408,657 $ 420,798 $ 12,141 2.97%
. . �� � �: ��: . �
FY2020 FY2021 FY2022 FY2023
Object Code Summary ���....
(General Fund) �;,;,III'�,�;^,���ui�uuuu�rui�� Dollar Percent
Actual Actual Appropriation ui���:.� Increase Increase
Salaries&Wages $ 138,492 $ 171,955 $ 184,035 $ 258,538 $ 74,503 40.48%
Overtime $ 252 $ 1 134 $ 2 922 $ 2 960 $ 38 1.30%
Personal Services $ 138,745 $ 173,089 $ 186,957 $ 261,498 $ 74,54i 39.87%
Contractual Services $ 82,299 $ 127,231 $ 114,700 $ 126,300 $ 11,600 10.11%
UtI�ItIeS � - � - � - � - � - -%
Supplies $ 104,665 $ 77,464 $ 107,000 $ 33,000 $(74,000) -69.16%
Small Ca ital - - - - - -%
Expenses $ 186,964 $ 204,696 $ 221,700 $ 159,300 $(62,400) -28.15%
. 11 � 1: '1: . 1 •: '
Budget Summary - Revolving Funds*
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Liberty Ride Rev. Fund $ 125,800 $ 790 $ 104,000 $ 104,000 $ - -%
Visitors Center Rev. Fund $ 39,309 $ 74,242 $ 247,000 $ 260,000 $ 13,000 5.26%
. . �� - . � � �• � ��� � ��� ��� � �
*Revolving Funds are authorized by Town Meeting via Artic/e 9,and are not appropriated unde�A�tic/e 4.
FY2020 FY2021 FY2022 FY2023
Appropriation Summary ���...
(Revolving Funds) N�=,II��:���uui��mmmm�u, Dollar Percent
Actual Actual Appropriation uim��TM� Increase Increase
7320 Liberty Ride Rev. Fund $139,510 $ - $ 104,000 $ 104,000 $ - -%
Compensation $ 41,715 $ - $ 14,000 $ 14,000 $ - -%
Expenses $ 97,795 $ - $ 90,000 $ 90,000 $ - -%
7340 Visitors Center Rev. Fund $ 44,359 $ 59,470 $ 246,761 $ 259,465 $12,704 5.15%
Compensation $ 18,459 $ 26,501 $ 138,541 $ 114,750 $(23,791) -17.17%
Expenses $ 25,899 $ 32,970 $ 108,220 $ 144,715 $ 36,495 33.72%
. . �� - . . � � � ��
Budget Summary - All Funds ----------------------------------------------
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-33
Program: Land Use, Health and Development
Department
7300 Economic Development Town of�exington, MA
FY2020 FY2021 FY2022 FY2023
Appropriations Summary ,II6�',��
�
,.,,.,� .���„�uui���m�mu���� Dollar Percent
Actual Actual Appropriation uim���,�� Increase Increase
Compensation $ 198,919 $ 199,589 $ 339,498 $ 390,248 $ 50,750 14.95%
Expenses $ 310,658 $ 237,665 $ 419,920 $ 394,015 $(25,905) -6.17%
. . �� . �•
FY2023 Recommended Budget& Financing Plan February 28, 2022
IX-34
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Section X: Program 8000: General Government
This section includes detailed information about the FY2023 Operating Budget & Financing Plan for
General Government. It includes:
• 8100 Select Board X-2
• 8200 Town Manager X-6
• 8300 Town Committees X-10
• 8400 Finance X-13
• 8500 Town Clerk X-18
• 8600 Innovation &Technology X-22
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-1
Program: General Government
8100 Select Board Town ofLexington, MA
Mission: The Select Board, together with the Town Manager, represents the executive branch of the
Town government. The Board consists of five members, elected for three-year terms. Select Board
members serve without compensation. The Board acts as the Town's primary policy-making body for a
wide variety of issues affecting service delivery, finance and Town infrastructure. They provide
oversight in matters of litigation, act as the licensing authority, enact rules and regulations regarding
traffic control and are responsible for calling Town Meetings and approving the Town Meeting Warrant.
Budget Overview: This budget includes funding for the Select Board's Office, Town Counsel, the
Annual Town Report, and the Public, Education, Governmental (PEG) programming budget.
Day-to-day operation of the Select Board's Office is under the direction of the Office Manager/Executive
Clerk and the Department Assistant who assist the Select Board members and coordinate activities with
the Town Manager's Office. The staff prepare the Annual and Special Town Meeting Warrants and
assist the Select Board members in responding to questions and inquiries from the public. They also
receive all contributions to Select Board gift accounts, the Fund for Lexington, the PTA Council
Scholarship, the Lexington Education Fund and all other Trustees of Public Trusts funds.
Staff manage the licensing and permitting process for the Board (the licensing authority). These
licenses include alcoholic beverage, auctioneer, cable television, common victualler, entertainment,
flammable storage, innkeeper, lodging house, theater, Class I, II and III for the sale of used cars,
vehicles for hire such as common carrier, limousine and taxi cab and automatic amusement machines.
Staff maintain approximately 320 Select Board appointments to more than 50 committees. In addition,
the Select Board's Office notifies Lexington residents of all national, state and local elections.
Town Counsel represents the Town, through the Select Board and Town Manager, on all legal matters
including litigation, contracts, drafting of Town bylaws and enforcement of bylaws through the Court
system.
The Town Report is the official proceeding and activities of Town Government. It is required to be
prepared annually under State law.
The PEG budget funds activities related to the Town's cable television programming. Under
Massachusetts law, municipalities may receive up to 5% of the basic cable bill for PEG programming
activities. These funds are largely used, under the guidance of the Communications Advisory
Committee, to fund the LexMedia contract.
Departmental Initiatives:
1. Develop enhanced recruitment and onboarding processes for Select Board appointments to
Boards and Committees.
2. Improve methods of Communication between the Select Board and residents.
3. Continue to work with the IT Department to automate the remaining Permitting and Licensing
workflows for Select Board Permits.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-2
Program: General Government
8100 Select Board Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Office Manager/Executive Clerk 1 1 1 1
Department Assistant 1 1 1 1
Recording Secretary 0.22 0.25 0.25 0.25
� , . . . . .
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-3
Program: General Government
8100 Select Board Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended General Fund operating budget for the Select Board is $1,298,802, which is
a $38,994 or 3.10% increase from the FY2022 General Fund budget.
The Compensation budget is $145,163, which is a $9,381 or 6.91% increase, which reflects step
increases. Compensation does not include any estimate of prospective cost of living increases. Funds
for prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The overall Expenses operating budget is $1,153,639, which is an increase of $29,613 or 2.63%, which
is primarily due to a program improvement for $20,000 to fund the goal-setting process for the Select
Board. In addition, there are increases in the annual audit ($2,000) and PEG Access ($7,613) budgets.
The recommended FY2023 budget for legal expenses is level-funded from FY2022 at $395,000. The
recommended FY2023 budget for the annual Town Report is unchanged from FY2022 at $13,688.
The FY2023 recommended budget for the Town's annual contract with LexMedia for broadcasting
public meetings and events is $610,113 which is a $7,613 or 1.26% increase from FY2022, and reflects
contractual commitments to LexMedia. This budget item is fully funded from the PEG Access Special
Revenue Fund.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Goal Setting $ — $ 20,000 $ 20,000 $ 20,000 $ — $ 20,000 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-4
Program: General Government
8100 Select Board Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Lery $ 376,874 $ 542,450 $ 588,144 $ 609,018 $ 20,874 3.55%
Transfers from Enterprise Funds � 1,118 $ 1,071 $ 664 $ 1,171 $ 507 76.36%
to General Fund(Indirects)
PEG Access Special Revenue Fund $ 602,500 $ 610,113 $ 7,613 1.26%
Fees
Licenses&Permits $ 76,258 $ 74,525 $ 68,500 $ 78,500 $ 10,000 14.60%
. . : �� � �.• :�• :� ���
FY2020 FY2021 FY2022 FY2023
Appropriation Summary ���,����- Dollar Percent
If ;,,II4"�.���� Increase Increase
Actual Actual Appropriation urm�uirmm��urm���a�l
Compensation $ 118,280 $ 128,668 $ 135,782 $ 145,163 $ 9,381 6.91%
Expenses $ 950,446 $1,084,528 $ 1,124,026 $1,153,639 $ 29,613 Z.63%
• �� � �.: . � • :�: •: :� ... ��
FY2020 FY2021 FY2022 FY2023
Program Summary ��a����... Dollar Percent
df. �.,�,�II4�.����µa���u�u Increase Increase
Actual Actual Appropriation urmmurm�i�u�m���,���
Total 8110 Select Board's Office $ 204,629 $ 205,805 $ 248,620 $ 280,001 $ 31,381 12.62%
Total 8120 Legal $ 241,617 $ 399,245 $ 395,000 $ 395,000 $ - -%
Total 8130 Town Report $ 11,004 $ 10,445 $ 13,688 $ 13,688 $ - -%
Total 8140 PEG Access $ 611,477 $ 597,702 $ 602,500 $ 610,113 $ 7,613 1.26%
• . 11 � 1.• :1: :1 1'�
FY2020 FY2021 FY2022 FY2023
Object Code Summary Il��u~"��-
df��.��Ilh"���.��� Dollar Percent
Actual Actual Appropriation m�rrmm�rripar mmm�a�,�� Increase Increase
Salaries&Wages $ 118,280 $ 128,668 $ 135,782 $ 145,163 $ 9,381 6.91%
Overtime - - - - - -%
Pe�sonal Services $ 118,280 $ 128,668 $ 135,782 $ 145,163 $ 9,381 6.91%
Contractual Services $ 930,639 $1,069,616 $ 1,103,513 $1,133,126 $ 29,613 Z.68%
Utilities $ - $ - $ - $ - $ - -%
Supplies $ 19,807 $ 14,913 $ 20,513 $ 20,513 $ - -%
Small Ca ital - - - - - -%
Expenses $ 950,446 $1,084,528 $ 1,124,026 $1,153,639 $ 29,613 2.63%
• . : 11 � 1.• . . . ;�. .. :1 : ... ��,
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-5
Program: General Government
8200 Town Manager Town ofLexington, MA
Mission: The Select Board appoints the Town Manager who oversees the daily operations of all
general government departments, implements the policies of the Select Board, proposes an annual
operating and capital budget, and enforces Town bylaws and regulations. The Town Manager's
authority and responsibilities are established in the Select Board-Town Manager Act of 1968. The
Town Manager's Office is also responsible for Human Resources and benefit administration, as well as
risk management.
Budget Overview: The Town Manager's Office budget is comprised of the following elements:
Organizational Direction and Administration, Human Resources, Sustainability, Pubic Outreach and
Communication, and Diversity, Equity and Inclusion. Organizational Direction and Administration
includes day-to-day oversight for all Town departments, townwide staff training and professional
development, and special projects. This function also implements all decisions of the Select Board and
provides staff support to various Town committees. The Sustainability and Resilience Officer, Public
Information Officer and Chief Equity Officer positions are in the Town Manager's Office to support and
further the goals and priorities of the Town. In addition, the Town Manager's OfFice, through the
Human Resources function, is responsible for personnel administration, benefits administration,
collective bargaining negotiations, workers compensation and unemployment benefits.
Departmental Initiatives:
1. Continue to support the Racial Diversity, Inclusion, and Equity Transformation plan and other social
equity initiatives in coordination with the Select Board.
1. Work to support the organization's high-performance culture by providing directed team building to
the Middle and Senior Management Team.
1. Develop new revenue sources to support the budget, particularly the capital budget, by developing
long-term debt management strategies to mitigate the impact of large project debt service.
1. Continue the initiative to develop organizational sustainability by passing on institutional knowledge,
engaging mid-level managers in organization decision-making and selecting and training qualified
individuals.
1. Finalize new fiscal policies, specifically the development of a sustainable funding model for the
Capital Stabilization Fund and updating strategies for funding the Town's OPEB Liability. The next
policy review will evaluate the funding model for the Recreation Enterprise Fund.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-6
Program: General Government
8200 Town Manager Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Town Manager 1 1 1 1
Deputy Town Manager 1 1 1 1
Public Information Officer 1 1 1 1
Sustainability and Resilience Officer 1 1 1 1
Chief Equity Officer* — — 1 1
Office Manager/Special Events Coordinator 1 1 1 1
Management Fellow/Analyst** 1 1 2 2
Hearing Officers*** 0.12 0.12 0.12 0.12
Human Resources Director 1 1 1 1
Human Resources Associate 1 1 1 1
Benefits Coordinator 1 1 1 1
Municipal Assistant**** — 0.54 0.54 0.54
.
.
*A Chief Equity Officer was added in FY2022 via a program improvement in response to community organizing around racial
justice and equiry.
**A second Management Analyst role was added via 2021 Fall STM,in part to help manage the American Recovery Plan Act
(ARPA)projects. A portion of their salary is funded from ARPA.
***Two hearing officers hear appeals for parking fines;one municipal hearing officer hears appeals for fines issued by the Fire
Department(regional position,shared with Winchester and Woburn)
****A part-time Municipal Assistant was add via a program improvement in FYZ021 to support benefits processing for Human
Resources.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-7
Program: General Government
8200 Town Manager Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended budget inclusive of the Town Manager's Office and Human Resources is
$1,245,753, which is a $30,039 or 2.47% increase from the revised FY2022 budget. Fall 2021 Special
Town Meeting approved an increase in compensation to hire a Management analyst to assist with ARPA
project management.
The recommended FY2023 budget for Compensation is $956,568, and reflects a $23,889 or 2.56%
increase, which captures step increases. Compensation does not include any estimate of prospective
cost of living increases. Funds for prospective increases are captured in the Salary Adjustment account
within the Town Manager's budget.
The recommended FY2023 budget for Expenses is $289,185, which reflects an increase of$6,150 or
2.17% from FYZ022, which is a net increase to support the growth in department personnel.
The department's budget includes a Salary Adjustment Account, which reflects anticipated FYZ023
collective bargaining settlements, other wage increases, and compensated leave payments due certain
employees at retirement. Once contractual settlements are reached, funds are transferred from this
account to the appropriate departmental budget upon a vote of the Select Board. Nine contracts expire
at the end of FY2022 or earlier, including those with the Lexington Police Supervisors and Patrol
Officers, Dispatchers, Firefighters, Town Custodians, Crossing Guards, Municipal Managers and
Municipal Clerks.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
(reflected in (reflected in
and Shared Total and Shared Not
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Full-time HR Administrative Assistant � 26,609 $ 16,790 $ 43,399 $ — $ — $ — $ 43,399
(PT to FT)
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-8
Program: General Government
8200 Town Manager Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 393,690 $ 487,168 $ 784,136 $ 847,175 $ 63,039 8.04%
Enterprise Funds(Indirect) $ 51,406 $ 42,193 $ 36,728 $ 36,728 $ - -%
Available Funds
Rentals* $ 431,498 $ 473,201 $ 394,850 $ 361,850 $ (33,000) -8.36%
. �� . ..- �� � �
FY2020 FY2021 FY2022 FY2023
Appropriation Summary {p�.�... Dollar Percent
III' .,::,,IIG�.���.�m�rrmm�rrm� Increase Increase
Actual Actual Revised urm�����1
Compensation $ 714,544 $ 826,080 $ 932,679 $ 956,568 $ 23,889 2.56%
Expenses $ 162,050 $ 176,481 $ 283,035 $ 289,185 $ 6,150 2.17%
. 11 . ..- . •' 11 . 1 1 •
FY2020 FY2021 FY2022 FY2023
Dollar Percent
Program Summary III'..,:;,III"��^I��urm�iur��m� Increase Increase
Actual Actual Revised ur�n���w.�
Total 8210 Organizational o
Dir. &Admin. $ 624,321 $ 753,077 $ 904,789 $ 929,103 $ 24,314 2.69/o
Total 8220 Human Resources $ 252,274 $ 249,485 $ 310,925 $ 316,650 $ 5,725 1.84%
. �� . ..- �� � �
FY2020 FY2021 FY2022 FY2023
Object Code Summary Il�ff~"*�-
III�..�:,,,114�.�:�d���m�nm�m�d Dollar Percent
Actual Actual Revised urm����lll Increase Increase
Salaries&Wages $ 714,544 $ 826,080 $ 932,679 $ 956,568 $ 23,889 2.56%
Overtime $ - $ - $ - $ - $ - -%
Personal Services $ 714,544 $ 8�6,080 $ 93Z,679 $ 956,568 $ 23,889 Z.56%
Contractual Services $ 143,342 $ 155,818 $ 244,550 $ 250,050 $ 5,500 2.25%
utiiities � i6s � i,io� � - � i,400 � i,400 -�ro
Supplies $ 15,981 $ 16,217 $ 31,985 $ 31,235 $ (750) -2.34%
Small Ca ital 2 559 3 339 6 500 6 500 - -%
Expenses $ 162,050 $ 176,481 $ 283,035 $ 289,185 $ 6,150 2.17%
. �� . ..- �� � �
*Rentals are comprised of rental receipts from the Waldorf School,Bertucci's Italian Restaurant,LexFarm and PeeYs Coffee&Tea
sidewalk rentals,cell tower lease revenue and the sublease of Kline Hall to LexMedia.
Budget Summary - Salary Adjustment (8230)
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources p�ual Actual Estimate Projected Increase Increase
Tax Levy $ 477,222 $ 408,732 $ 313,529 $ 826,422 $512,893 163.59%
. � �. - ��:
FY2020 FY2021 FY2022 FY2023
Program Summary III��II�Mrr�W Dollar Percent
II
���ii���,ii��ii,�, Increase Increase
Actual Actual Revised ur�����m�
Total 8230 Salary Adjustment $ 477,222 $ 408,732 $ 313,529 $ 826,422 $512,893 163.59%
. . 1 �. '1: . � . ;. � .�
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-9
Program: General Government
8300 Town Committees Town ofLexington, MA
Mission: Town Committees includes the Appropriation Committee, Capital Expenditures Committee,
Public Celebrations Committee and various boards and committees appointed by the Select Board,
Moderator and the Town Manager.
Budget Overview: The Town Committees budget provides funding for a variety of statutory and
advisory committees that are an integral part of the operation of local government in Lexington. The
financial committees - the Appropriation Committee and the Capital Expenditures Committee - provide
detailed financial review and analysis to Town Meeting. The Town Celebrations Committee, appointed
by the Select Board, plans the Town's annual celebrations, including the Martin Luther King Day
celebration, and parades on Veterans' Day, Patriots' Day, and Memorial Day.
...................................................................................... ......................................................................................... .......................................................................................
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Authorized/Appropriated Staffing
Limited staff support is provided through the Town Manager's Office and Finance Department, and a
part-time Recording Secretary takes meeting minutes.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-10
Program: General Government
8300 Town Committees Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Town Committees budget is $70,160, which is an increase of$4,927 or
7.55% from FY2022.
Compensation will increase by $135 or 2%, which reflects a cost of living adjustment. Expenses are
funded at $63,263, which is an increase of $4,792 or 8.20%. This reflects a $925 or 2.5% increase in
supplies for the Town Celebrations Committee for increasing costs for Patriots' Day, and an additional
$4,000 ($5,000 total) for the Dance Around the World event that was postponed in FY2020, FY2021,
and FY2022 due to the pandemic.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Lexington Human Rights Committee � 6,000 $ — $ 6,000 $ — $ — $ — $ 6,000
Budget
Lexington Council for the Arts � 4,000 $ — $ 4,000 $ — $ — $ — $ 4,000
Expanded Programming
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-11
Program: General Government
8300 Town Committees Town ofLexington, MA
C°�lurrrrt(s) h�►��l���ra hicfd�rr frr�rrt this ���al�
Budget Summary
FY2020 FY2021 FY2U22 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 10,102 $ 24,890 $ 65,233 $ 70,160 $ 4,927 7.55 %
• �� • . � � :•� . � .� •
FY2020 FY2021 FY2022 FY2023
Appropriation Summary Ill�a�ll���� Dollar Percent
„ �,��ii��iii���m, Increase Increase
Actual Actual Appropriation iu�a���lll
Compensation $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 2.00 %
Expenses $ 6,148 $ 19,085 $ 58,471 $ 63,263 $ 4,792 8.20 %
. �� . . � � •� � .�
FY2020 FY2021 FY2022 FY2023
Program Summary III'. --III'�M��� Dollar Percent
II�
m�;�ii�ii�� Increase Increase
Actual Actual Appropriation urm����
Total 8310 Financial Committees $ 4,299 $ 6,329 $ 8,262 $ 8,397 135 1.63 %
Total 8320 Misc. Boards& � 103 $ 6,005 $ 10,500 $ 10,500 $ - - %
Committees
Total 8330 Town Celebrations $ 5,700 $ 12,557 $ 46,471 $ 51,263 $ 4,792 10.31 %
. �� . . � � •� � .�
FY2020 FY2021 FY2022 FY2023
Object Code Summary Il�u°"�-
III��III�.�^��urnoiur����; Dollar Percent
Actual Actual Appropriation urm��mlll Increase Increase
Salaries&Wages $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 2.00 %
Overtime $ - $ - $ - $ - $ - - %
Compensation $ 3,954 $ 5,805 $ 6,762 $ 6,897 $ 135 Z.00 %
Contractual Services $ 38 $ 6,183 $ 10,000 $ 10,000 $ - - %
Utilities $ - $ - $ - $ - $ - - %
Supplies $ 6,110 $ 12,902 $ 48,471 $ 53,263 $ 4,792 9.89 %
Small Ca ital - - - - - - %
Expenses $ 6,148 $ 19,085 $ 58,471 $ 63,263 $ 4,792 8.20 %
. 11 . . 1 1 :•1 . 1 .1 •
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-12
Program: General Government
8400 Finance Town ofLexington, MA
Mission: The Finance Department is responsible for: (1) maintaining timely and accurate records on
all financial activities of the Town; (2) administering internal financial controls; (3) facilitating the
evaluation of the Town's financial condition; (4) ensuring that the delivery of Town services is done in
compliance with Massachusetts General Laws that govern municipal finance; (5) providing timely and
accurate financial information to managers of Town services to facilitate the evaluation of the cost
effectiveness and efficiency of Town programs; (6) providing timely and accurate financial information
to Town boards and committees to facilitate policy deliberation and formulation; and (7) safeguarding
the financial assets of the Town.
Budget Overview: The Finance Department is comprised of the following divisions: the Comptroller's
Office, the Treasurer/Collector's Office and the Assessing Office.
• The Comptroller's Office is responsible for maintaining the Town's general ledger (accounting),
accounts payable, payroll and centralized purchasing. The Comptroller's budget is also inclusive
of funding for the Assistant Town Manager for Finance, who oversees all financial operations of
the Town, and the Budget OfFicer who in concert with the Assistant Town Manager for Finance
and the Town Manager, develops and monitors the annual capital and operating budgets.
• The Treasurer/Collector's Office has three primary responsibilities: the collection and deposit of
all Town taxes, fees and charges including property taxes, motor vehicle excise, utility billing
and other local receipts (permit and license fees, fines, etc.); the management and investment
of all revenues collected; and the issuance and servicing of debt.
• The Assessor's Office's primary function is the development of assessed values of real and
personal property.
Staff also support various boards and committees including the Appropriation Committee, Capital
Expenditures Committee, Retirement Board, Water and Sewer Abatement Board and other ad-hoc
committees as assigned.
Departmental Initiatives:
Comptroller:
1. The Employee Self Service (ESS) module went live in FY2021 and employees now have view
access to their own information in the online portal. The Comptroller's office continues to work
on implementing Tyler Content Manager (TCM) in conjunction with the IT department. This
module is an integrated document management and archiving system that will further expand
functionality for ESS and move the department closer to paperless processing.
2. Over the last year the Federal Government has appropriated billions of dollars for pandemic
relief through FEMA, the CARES Act, and the American Rescue Plan Act (ARPA). The Town of
Lexington has been allocated millions of dollars through these programs and the Comptroller's
office has taken on tracking, accounting, documentation and reporting of these funds. This
initiative will continue for several more years and we will continue to maximize the amount of
funding available to Lexington.
3. Partner with the Treasurer/Collector to implement electronic Accounts Payable as requested by
vendors to decrease the overall number of printed and mailed checks.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-13
Program: General Government
8400 Finance Town ofLexington, MA
Treasurer/Collector:
1. Implement an online portal for accepting gifts and donations for the Town's trust and gift
accounts. Staff believes our existing payment vendor UniPay can be used for this purpose and
will be working to design and implement this online payment option in the coming year.
2. Explore online access to individual properry tax accounts.
3. The Water and Sewer department recently implemented the tracking of miscellaneous
receivables (backflow billing) in Munis. The Finance department expects to add supplemental
tax billing, PILOTS and TDM payments to this process in the coming year.
Assessor:
1. Enhance productivity through adoption of new technology to support data collection and input
activity, including income and expense data.
2. Archive and electronically store all historical property record cards currently residing in the
Assessor's Office.
3. Develop procedures for addressing and resolving commercial abatements without litigation.
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FY2023 Recommended Budget& Financing Plan February 28, 2022
X-14
Program: General Government
8400 Finance Town ofLexington, MA
Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Element 8410: Comptroller Budget Budget Budget Request
Asst. Town Manager for Finance/Comptroller 1 1 1 1
Town Accountant 1 1 1 1
Staff Accountant 1 1 1 1
Procurement Officer 0.91 0.91 0.91 0.91
Financial Clerk 1 1 1 1
Payroll Manager* — — 1 1
Budget Officer 1 1 1 1
Administrative Assistant 0.40 0.40 0.40 0.40
Subtotal FTE 6.31 6.31 7.31 7.31
SubtotalFT/PT 5FT/2PT 5FT/2PT 6FT/2PT 6FT/2PT
Element 8420: Treasurer/Collector
Treasurer/Collector 1 1 1 1
Assistant Tax Collector 1 1 1 1
Treasury Assistant 1 1 1 1
Account Clerk 1 1 1 1
Municipal Clerk 0.46 0.46 0.46 0.46
Subtotal FTE 4.46 4.46 4.46 4.46
SubtotalFT/PT 4FT/iPT 4FT/iPT 4FT/iPT 4FT/iPT
Element 8430: Assessor
Director of Assessing 1 1 1 1
Residential Field Manager 1 1 1 1
Residential Analyst/Inspector 2 2 2 2
Office Manager 1 1 1 1
Municipal Clerk 1 1 1 1
Subtotal FTE 6.0 6.0 6.0 6.0
Subtotal Ff/PT 6FT/OPT 6FT/OPT 6Ff/OPT 6FT/OPT
.
*In FY2022,a payroll manager was added via a a program improvement.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-15
Program: General Government
8400 Finance Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Finance Department budget is $2,048,151, which represents a $43,543, or
2.17% increase from the FY2022 budget.
The operating budget for Compensation is $1,549,316, and reflects an increase of$38,343 or 2.54%,
which captures contractually obligated step increases. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2022. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget.
The recommended budget for Expenses is $498,835, and reflects an increase of $5,200 or 1.05%,
which reflects a small number of inflationary increases.
Program Improvement Request:
None requested.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-16
Program: General Government
8400 Finance Town ofLexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources pctual Actual Estimate Projected Increase Increase
Tax Levy $1,500,102 $1,555,492 $ 1,822,694 $ 1,837,725 $ 15,031 0.82%
Enterprise Funds(Indirects) $ 163,526 $ 166,750 $ 149,914 $ 178,426 $ 28,512 19.02%
Fees&Charges
Charges for Services $ 34,229 $ 42,645 $ 32,000 $ 32,000 $ - -%
• -�� .• .� ��� .�: ��
FY2020 FY2021 FY2022 FY2023
Appropriation Summary III --II��� Dollar Percent
, ,, �,�,�ii�iii��� Increase Increase
Actual Actual Appropriation ur����.��
Compensation $1,3Z8,134 $1,393,047 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Expenses $ 369,723 $ 371,841 $ 493,635 $ 498,835 $ 5,200 1.05%
. . :��� ��� .�• ��:
FY2020 FY2021 FY2022 FY2023
II�,;� Dollar Percent
Program Summary III 116��,��mu�mum�i������ Increase Increase
Actual Actual Appropriation ur����.�
Total 8410 Comptroller $ 632,386 $ 630,442 $ 767,639 $ 797,386 $ 29,747 3.88%
Total 8420 Treasurer/Collector $ 413,231 $ 433,903 $ 459,243 $ 465,201 $ 5,958 1.30%
Total 8430 Assessing $ 652,240 $ 700,543 $ 777,726 $ 785,564 $ 7,838 1.01%
. . -�� ��� .�• �-:
FY2020 FY2021 FY2022 FY2023
Object Code Summary II���-
III' . ,114"�'.�.�:.�aiurv�murmm��; Dollar Percent
Actual Actual Appropriation ur������ Increase Increase
Salaries&Wages $1,325,306 $1,393,252 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Overtime 2 827 205 - - - -%
Personal Services $1,328,134 $1,393,047 $ 1,510,973 $ 1,549,316 $ 38,343 2.54%
Contractual Services $ 344,683 $ 349,997 $ 449,345 $ 453,745 $ 4,400 0.98%
Utilities $ (4,641) $ (1,980) $ 1,950 $ 2,750 $ 800 41.03%
Supplies $ 29,681 $ 23,823 $ 42,340 $ 42,340 $ - -%
Small Ca ital - - - - - -%
Expenses $ 369,723 $ 371,841 $ 493,635 $ 498,835 $ 5,200 1.05%
. -�� ��� .�: �-
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-17
Program: General Government
8500 Town Clerk Town of Lexington, MA
Mission: The Office of the Town Clerk is the primary repository of official documents for the Town,
and the custodian of and recording office for official Town and vital records. Responsibilities include
issuing marriage licenses, recording vital statistics, issuing dog licenses, registering businesses, fulfilling
public records requests, and conducting the annual Town Census. The Town Clerk's Office conducts
elections in conformance with State and local laws and, with the Board of Registrars, processes voter
registrations and certifications. The Town Clerk reports to the Deputy Town Manager.
Budget Overview: The four elements comprising the Office of the Town Clerk include Town Clerk
Administration, Registration, Elections, and Archives & Records Management.
Town Clerk Administration: The Town Clerk acts as the Town's recording officer, registrar of vital
statistics, and chief election official. The Town Clerk is the official record-keeper of Town Meeting,
certifies bylaws, Town Meeting appropriations, filings with the Department of Revenue, signs notes for
borrowing, and certifies official documents. The Town Clerk also registers all vital events within
Lexington, recording births, marriages and deaths in accordance with State law. The Town Clerk is
keeper of the seal, administers the oath of office to elected and appointed members of boards and
committees, maintains records of adopted municipal codes, regulations, bylaws, oaths of office,
resignations, appointments, and submits general bylaws and zoning bylaws to the Attorney General for
approval. The Town Clerk's Office issues licenses and permits and serves as a central information point
for residents.
Board of Registrars: Registrars, appointed by the Select Board, are responsible for promoting voter
registration, overseeing voter records and ruling on voter eligibility. Stipends for the Board of
Registrars remain level-funded. Annual voter confirmations are conducted in accordance with State
statute. The Annual Town Census and the publishing of the List of Residents is funded in this element.
Elections: This element includes administration of local, state and federal elections in accordance
with election laws, most recently including Early Voting for State biennial Elections and the Presidential
Primary, pre-registration of 16 and 17 year-olds, and automatic voter registration. Staff provide
information on candidate certifications, referenda, initiative petitions, campaign finance laws, election
procedures, ballot initiatives and voter information. Over 110 Election Workers staff Lexington's polling
locations, and site preparations are coordinated with Public Works, Public Facilities, Police and
Lexington Public Schools.
Records Management: This element addresses inventory and retention of historic and current
records and documents, including proper maintenance and storage, preservation, management of
electronic documents, and public access to public records and information. A part-time Archivist/
Records Manager is responsible for this work and oversees the conservation and preservation of
Lexington's historic documents.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-18
Program: General Government
8500 Town Clerk Town of Lexington, MA
Departmental Initiatives:
1. Ongoing administration of town/state/federal elections in conformance with statutory
requirements to provide legal and accessible elections to Lexington voters. Emphasis on goal of
utilizing municipal buildings for polling locations rather than schools.
2. Continued development of Archives & Records Management Program, including the
management of the Town's electronic documents;
3. Continued use of Laserfiche Document Imaging System for records retention, electronic access,
and archives/records portal, as well as for office use.
4. Continued use of Commonwealth of Massachusetts Electronic Vital Records Systems for births,
deaths and burial permits.
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Town Clerk 1 1 1 1
Assistant Town Clerk 1 1 1 1
Administrative Assistant 1 1 1 1
Municipal Assistant 1.23 1.23 1.23 1.23
Archivist/Records Manager 0.46 0.46 0.46 0.46
.
.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-19
Program: General Government
8500 Town Clerk Town of Lexington, MA
Budget Recommendations:
The FY2023 recommended Town Clerk budget is $627,297 which is a $124,866 or 24.85% increase
from the FY2022 budget. In FY2022, only one local election was budgeted, whereas in FY2023 there
will also be a state primary in September 2022 and a state general election in November 2022.
The budget for Compensation is $470,247 and reflects a $66,066 or 16.35% increase, which is
primarily driven by a larger number of elections in FY2023. The increase in FY2023 compensation is
inclusive of contractually obligated step increases and an increased need for poll workers.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2022. Funds for prospective increases are captured in the Salary
Adjustment account within the Town Manager's budget.
The budget for Expenses is $157,050, which is an increase of $58,800 or 59.85%, and reflects a higher
number of anticipated elections in FY2023, as well as a program improvement for $30,500 to purchase
electronic poll pads for each precinct in Lexington, increasing efFiciency and reducing the need for
paper reports.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (reflected in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Municipal Clerk Position- � 10,351 $ 16,554 $ 26,905 $ — $ — $ — $ 26,905
additional hours
Archivist/Records Manager- � 20,606 $ 16,703 $ 37,309 $ — $ — $ — $ 37,309
Additional Hours
Election Modernization-Poll Pads $ 30,500 $ — $ 30,500 $ 30,500 $ — $ 30,500 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-20
Program: General Government
8500 Town Clerk Town of Lexington, MA
C"�lc�rrr�z(�) h���f���r� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $ 406,463 $ 438,936 $ 426,531 $ 546,397 $119,866 28.10%
Directed Funding
Departmental Fees $ 36,361 $ 36,943 $ 35,900 $ 35,900 $ - -%
Licenses and Permits $ 42,255 $ 46,366 $ 40,000 $ 45,000 $ 5,000 12.50%
• 11 . 1 • 1 . • :..
FY2020 FY2021 FY2022 FY2023
Dollar Percent
III' .-III'��Wn�µ Increase Increase
II�
!!';,�~��um�m urm�i�.
Appropriation Summary Actual Actual Appropriation uim�����
Compensation $ 391,457 $ 427,766 $ 404,181 $ 470,247 $ 66,066 16.35%
Expenses $ 93,622 $ 94,479 $ 98,250 $ 157,050 $ 58,800 59.85%
. . : �� . � • �
FY2020 FY2021 FY2022 FY2023
II���- Dollar Percent
III. „Il�.��d�m��m��i� Increase Increase
Program Summary Actual Actual Appropriation uim����m�
Total 8510 Town Clerk Admin. $ 332,542 $ 338,717 $ 351,389 $ 347,595 $ (3,794) -1.08%
Total 8520 Board of Registrars $ 20,128 $ 16,906 $ 18,525 $ 19,825 $ 1,300 7.02%
Total 8530 Elections $ 92,889 $ 121,755 $ 79,800 $ 204,875 $125,075 156.74%
Total 8540 Records Management $ 39,519 $ 44,867 $ 52,717 $ 55,002 $ 2,285 4.33%
. . �� . � �
FY2020 FY2021 FY2022 FY2023
II���-
III�k��;�l14��;���iummiu�roi�; Dollar Percent
Object Code Summary Actual Actual Appropriation uim���ri� Increase Increase
Salaries&Wages $ 373,302 $ 406,539 $ 395,881 $ 457,622 $ 61,741 15.60%
Overtime 18 155 21 226 8 300 12 625 4 325 52.11%
Personal Services $ 391,457 $ 427,766 $ 404,181 $ 470,247 $ 66,066 16.35%
Contractual Services $ 77,589 $ 89,770 $ 86,150 $ 113,600 $ 27,450 31.86%
utiiities � s,oso � z,400 � z,000 � z,000 � - -�ro
Supplies $ 1Z,982 $ 2,309 $ 10,000 $ 10,850 $ 850 8.50%
Small Ca ital - - 100 30 600 30 500 30 500.00
Expenses $ 93,622 $ 94,479 $ 98,250 $ 157,050 $ 58,800 59.85%
. . : �� . � • �
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-21
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
Mission: The Innovation &Technology (IT) Department's mission is to provide high-quality, cost-
effective technology and services to Town administration and staff so that they can best serve the
citizens of the Town of Lexington; and, to provide effective web services to employees and residents to
facilitate both the dissemination and collection of information by town government.
Budget Overview: The IT department supports, maintains and manages Townwide business-related
technology (e.g. technology that serves both the School and Municipal staff or environments). IT
maintains the technology serving all Municipal departments. The department supports townwide core
services including the financial system (MUNIS), time keeping (NovaTime), document management
(Laserfiche), facilities maintenance and management technology, emergency management websites
and services, and VoIP telephone systems. IT maintains the infrastructure and security of the network
core and co-manages the townwide area network for municipal and school departments. The
department manages municipal technology purchases and performs the installations and maintenance
of Town information technology equipment and services. IT staff also provide support and training for
end-users.
Departmental Initiatives:
1. Maximize the value of current systems
a. Laserfiche
b. ViewPoint Cloud
c. MUNIS
d. VISION
e. BlueBeam
f. ProPhoenix
g. SeamlessDocs
2. Continue to invest in the Town's IT infrastructure and security posture
a. Implement recommendations from the network assessment
b. Implement recommendations from the cybersecurity assessment
c. Investigate additional cybersecurity/security measures and services
3. Increase Customer Service Quality
a. Emphasis on a customer-centric approach to working with the departments and staff
4. Focus on future visioning for IT
a. Mobile work initiatives
b. Hosting and replatforming of core systems
c. Unified communication
d. Disaster Recovery (DR) planning and expansion of capabilities
e. Network redundancy planning and implementation
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-22
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
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Authorized/Appropriated Staffing
FY2020 FY2021 FY2022 FY2023
Budget Budget Budget Request
Innovation &Technology Director* 1 1 1 1
Information Technology Director 1 1 1 1
Municipal Assistant** 0.43 0.43 0.43 0.54
Business Analyst/Project Manager 2 2 2 2
Network Administrator 1 1 1 1
GIS/Database Administrator 1 1 1 1
Support Technician 1 1 1 1
Applications &Systems Administrator 1 1 1 1
Webmaster*** 2 2 1 1
Part-time Intern 0.25 0.25 0.25 0.25
• . 1 .: 1 .: • .: . .
• . . � . � . . . . .
*In FY2021,the Information Technology Department was renamed the Department of Innovation&Technology,
which resulted in a title change for the department head.
**In FY2023,a program improvement requests an increase in hours for the Municipal Assistant from 15 to 19 per
week.
***In FY2022,a webmaster was reassigned to Cary Library at Fall 2021 Special Town Meeting.
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-23
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
Budget Recommendations:
The FY2023 recommended Innovation &Technology budget is $2,727,727, which is a $(61,565) or
(2.21)% decrease from the FY2022 budget.
The recommended budget for Compensation is $867,192, and reflects a $(27,600) or (3.08)%
decrease, which is a net change that reflects contractually obligated step increases and a program
improvement to increase the hours for an administrative assistant, offset by the transfer of a
webmaster to Cary Library. Compensation does not include any estimate of prospective cost of living
increases for contracts expiring on or before June 30, 2022. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The recommended budget for Expenses is $1,860,535 and reflects a $(33,965) or (1.79)% decrease,
which incorporates the following adjustments:
• An increase in Communications and Network Support ($75,000) to cover costs associated with
the replacement of the Network Core, including a $5,000 program improvement to maintain a
redundant network anticipated to be installed in FY2023 using either capital or ARPA funding;
• A decrease in Contract Services ($62,000) due to fewer projects requiring contracted services
during FY2023;
• A decrease in PC Hardware ($30,000) due to the large deployment of laptops during the
pandemic and FY2022 budgeting;
• An increase in overall Software Maintenance ($29,035) to reflect annual increases in software
maintenance in applications like MUNIS and ProPhoenix as well as new software installations,
offset by a reduction in the number of licenses for many other applications, especially under IT
Software Support.
• A decrease in LAN Hardware ($17,000) due to reduced server replacement needs.
• An increase in LAN Peripherals ($12,000) for replacing the network switches at the Community
Center.
• A decrease in various items ($35,000) relating to office supplies, mobile phones and
professional development to reflect actual expenses.
Program Improvement Requests:
Request Recommended
Salaries Benefits Salaries Benefits
and (reflected in Total and (refleded in Not
Shared Shared
Description Expenses Expenses) Requested Expenses Expenses) Total Recommended
Administrative Assistant(PT to FT) $ 34,197 $ 16,900 $ 51,097 $ 6,838 $ 99 $ 6,937 $ 44,160
Applications Administrator $ 66,895 $ 17,374 $ 84,269 $ — $ — $ — $ 84,269
Fiber Maintenance and Repair $ 5,000 $ — $ 5,000 $ 5,000 $ — $ 5,000 $ —
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-24
Program: General Government
8600 Innovation & Technology Town ofLexington, MA
C�lc�rrr�z(�) h���f���� hidd�rt fr�rrt t�ai� t�Lal�
Budget Summary
FY2020 FY2021 FY2022 FY2023 Dollar Percent
Funding Sources Actual Actual Estimate Projected Increase Increase
Tax Levy $1,792,874 $2,109,853 $ 2,700,253 $ 2,604,272 $ (95,981) -3.55%
Enterprise Funds(Indirects) $ 142,966 $ 119,524 $ 89,039 $ 123,455 $ 34,416 38.65%
. . :.�� . . . :-�
FY2020 FY2021 FY2022 FY2023
�II���n�� Dollar Percent
� , ���a��;�uui��ucmui��ucm��� Increase Increase
Appropriation Summary Actual Actual Appropriation un����.�
Compensation $ 860,292 $ 836,010 $ 894,792 $ 867,192 $ (27,600) -3.08%
Expenses $1,075,548 $1,393,367 $ 1,894,500 $ 1,860,535 $ (33,965) -1.79%
. . :.�� . . . .��
FY2020 FY2021 FY2022 FY2023
��ii�.",� Dollar Percent
!��114"���;�;��ur�mur�m���, Increase Increase
Program Summary Actual Actual Appropriation urm��,��
8610 IT Administration $1,935,840 $2,229,377 $ 2,789,292 $ 2,727,727 $ (61,565) -2.21%
• . :.11 � . � ' :'1 • :• ' . .
FY2020 FY2021 FY2022 FY2023
Ob'ect Code Summa ��kii�"�-
] �'Y ,
.�Ilh"�.���u;�����ui��u�mui��um�, Dollar Percent
Actual Actual Appropriation um������ Increase Increase
Salaries&Wages $ 855,562 $ 831,717 $ 890,374 $ 862,716 $ (27,658) -3.11%
Overtime $ 4 729 $ 4 293 $ 4 418 $ 4 476 $ 58 1.31%
Personal Services $ 860,292 $ 836,010 $ 894,792 $ 867,192 $(27,600) -3.08%
Contractual Services $ 891,561 $1,179,015 $ 1,542,000 $ 1,552,035 $ 10,035 0.65%
Utllltles $ 82�381 $ 95�684 $ 129�000 $ 127�500 $ (1�500) -1.16%
Supplies $ (4,401) $ 7,560 $ 29,500 $ 17,000 $ (12,500) -42.37%
Small Ca ital 106 007 111 108 194 000 164 000 30 000 -15.46%
Expenses $1,075,548 $1,393,367 $ 1,894,500 $ 1,860,535 $(33,965) -i.79%
. . :.�� . . . :��
FY2023 Recommended Budget& Financing Plan February 28, 2022
X-25
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Section XI: Capital Investment
FY2023 Capital Improvement Budget & Financing Plan
INTRODUCTION
A crucial aspect of the Town's operations, from providing services to its residents and businesses to
equipping employees to effectively perform their jobs, requires the existence of certain basic physical
assets. These assets include streets, water mains, parks, buildings, large equipment and technology.
They must be purchased, maintained and replaced on a timely basis or their usefulness in providing
public services will diminish. The Town's five-year Capital Improvements Program and annual Capital
Budget are developed to ensure adequate capital investment in the Town's assets.
Definition of Capital Projects
A capital project is defined as a major, non-recurring expenditure that generally meets the following
criteria:
• Massachusetts General Law permits the Town to issue bonds to finance the expenditure;
• The expenditure is $25,000 or more;
• The expenditure will have a useful life of 10 years or more for buildings or building components
and 5 years for vehicles and equipment; and
• Planning, engineering, or design services may be considered capital when such services are
integral to a construction, renewal or replacement project that meets the criteria for a capital
expenditure.
CAPITAL POLICY FRAMEWORK
The FY2023 Capital Budget was developed within the capital policy framework initially adopted by the
Select Board in 1991, and subsequently amended in 2006 and 2009 to ensure adequate planning and
funding for capital investment, particularly cash capital projects within the General Fund. This capital
investment strategy includes the following major elements:
• Multi-year planning for capital investment;
• Debt exclusions for major capital projects; and
• Ensuring sufficient operating budget resources for maintaining capital assets.
FIVE-YEAR CAPITAL PROGRAM
Five-year capital improvement planning has been part of Lexington's budget development process for
many years. Multi-year planning allows proper staging and sequencing of capital projects to smooth
financing plans and to make funding needs more predictable. Capital investment requirements can
vary, involving unique large projects such as a fire vehicle or a school building. Other capital
investment needs are recurring such as the annual program to resurface roadways.
The five-year Capital Improvement Program includes all anticipated capital projects identified by school
and municipal departments over the next five years.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-1
The following are potential funding sources for financing the Town's capital investments:
• Cash Financing - The Town regularly appropriates available funds (i.e., cash financing) from the
general and enterprise funds to finance certain capital investment projects. Examples of available
funds are unreserved fund balance (free cash), tax levy, enterprise fund retained earnings,
specialized stabilization funds, premiums received when issuing bond anticipation notes, and,
when available, unexpended balances of prior years' capital articles.
• Debt - The Town has traditionally financed large dollar value capital projects with debt.
Depending upon the project, the debt service resulting from debt-funded capital projects can be
financed from a variety of sources including the General Fund (either within the Levy Limit or
from a voter approved Proposition 21h debt exclusion), Enterprise and Revolving Funds or the
Community Preservation Fund (see discussion of the CPA below).
In 2019, the Town's management, Select Board and finance committees reviewed the Town's
finance policies and will be implementing new strategies for funding the Town's capital plan. This
includes increasing cash financing of projects, particularly the items that are part of a continuing
capital program, and reducing the Town's overall reliance on debt financing.
• Other Sources - The Town uses dedicated state aid and grant funding to finance capital
investment when these funds are available.
• Community Preservation Act (CPA) Funds - Beginning in FY2007, following voter approval,
the Town began to assess a Community Preservation Surcharge of 3% of the property tax levied
against all taxable real property. For owners of residential properry, the assessed value used to
calculate the surcharge is net of a $100,000 residential exemption. Community Preservation
funds can be used for those purposes defined by the Community Preservation Act, MGL Ch. 44B.
Such purposes include the acquisition and preservation of open space, the creation and support
of community (afFordable) housing, the acquisition and preservation of historic resources, and the
creation and support of recreational facilities.
Beginning in FY2008, the Town began to receive State matching funds to supplement the local
surcharge. Over time, as additional communities in the Commonwealth adopted the CPA
surcharge, the annual percentage of state matching funds gradually decreased. In 2019, the
state enacted new legislation to increase funding to the Community Preservation budget, and
Lexington's annual match is expected to increase significantly. This new legislation became
effective beginning in January 2020, and in November 2020, Lexington received a State match of
$1.5 million, or 29.7% of its surcharge revenue. In FY2022 the State match further increased to
at total of 40.9%, or $2.2 million. Receipts for FY2023 from the surcharge and state matching
funds are preliminarily estimated at $8.1 million, reflecting an estimated match of $2.2 million, or
38%.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-2
FY2023 CAPITAL FINANCING STRATEGY
The proposed financing plan for the recommended FY2023 capital budget is shown in the table below.
, e
Other
Free Cash/ Funding
Tax Levy Sources Debt Total Other**
General Fund m� ��.���"�/����.... $ — � ���� �„'������!.... $ 18,882,290 $ —
�........�::, ���-..�� �":...�- ." ��-� g '
Excluded Debt Projects $ — $ — $ 32,800,000 $ 32,800,000 $ —
Other Funding &Chapter 90 $ — $ 548,747 $ — $ 548,747 $ 982,231
Water Enterprise $ — $ 2,420,000 $ — $ 2,420,000 $ —
Sewer Enterprise $ — $ 945,000 $ 2,220,000 $ 3,165,000 $ —
Recreation Enterprise $ — $ 95,000 $ — $ 95,000 $ —
Community Preservation Act* $ — $ 11,322,556 $ — $ 11,322,556 $ —
• A. . �;
*Includes both Town and non-Town CPA funded projects.
**Other represents Chapter 90 Aid for street improvements. This item does not require a Town Meeting appropriation.
The following table, FY2023 Recommended Capital Budaet, lists all FY2023 projects recommended by the
i�-IF�-����� ��III� �� IC�����ii��� for consideration and their estimated costs by program area and funding
: � �- �
source. The Capital Expenditures Committee has also been evaluating these requests and will issue a
report and recommendations to Town Meeting.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-3
FY2023 Recommended Capital Budget
-e - �e e e
��ee ° e � �� e s � s ee s e
Conservation West Farm Meadow Preservation $ 28,ll5 CPA 10
Conservation Wright Farm Barn Stabilization and Preservation $ 155,000 CPA 10
Economic Development Hartwell District Signage $ 65,000 TMOD Stabilization Fund 12
Land Use Townwide Pedestrian&Bicycle Plan $ 65,000 Traffic Stabilization Fund 12
Planning South Lexington and Forbes-Marrett Traffic Mitigation Plans $ 175,000 Traffic Stabilization Fund 12
Planning/Engineering Transportation Mitigation $ 6,824 TNC Spec. Revenue Fund 12
Total Land Use, Health and Development $ 494,999
Fire Replace Pumper Truck $ 650,000 Free Cash 12
Total Public Safety $ 650,000
Recreation&Comm. Pgms. Pine Meadows Improvements $ 95,000 Recreation RE il
Recreation&Comm. Pgms. Park and Playground Improvements $ 200,000 CPA 10
Recreation&Comm. Pgms. Park Improvements-Athletic Fields $ 250,000 CPA 10
Recreation&Comm. Pgms. Park Improvements- Hard Court Surfaces $ 2,500,000 CPA 10
Recreation&Comm. Pgms. Community Park Master Plan-Lincoln Park $ 100,000 CPA 10
Total Culture and Recreation $ 3,145,000
Public Facilities Public Facilities Bid Documents $ 100,000 Free Cash 16
Public Facilities Building Flooring $ 150,000 Free Cash 16
Public Facilities School Paving and Sidewalks $ 145,000 Free Cash 16
Public Facilities Mechanical/Electrical Systems Replacements $ 787,000 Free Cash 16
Public Facilities Municipal Building Envelopes and Associated Systems $ 219,540 Tax Levy 16
Public Facilities Townwide Roofing $ 428,000 ��II'-N�Ily�ll u a��,��,��,Il,mi� 16
Public Facilities School Building Envelopes and Associated Systems $ 251,400 Free Cash 16
Public Facilities Playground Enhancements-Pour-in-Place Surfaces $ 1,459,591 CPA 10
Public Facilities Center Recreation Complex Bathrooms&Maintenance � 915,000 CPA 10
Building Renovation
Public Facilities Lexington Police Station Construction $ 32,800,000 Exempt Debt STM
Public Facilities LHS Feasibility Study $ 1,825,000 GF Debt TBD
Public Facilities High School Equipment Emergency Funds $ 500,000 GF Debt 16
Public Facilities Town Pool Water Heater Replacement $ 31,000 Free Cash 16
Total Public Facilities Department $ 39,611,531
Public Works Townwide Culvert Replacement $ 390,000 Free Cash 12
Public Works Equipment Replacement $ 1,536,000 Water-Sewer RE/Free Cash 12
�::plf Il�e.��/���ell u�.�,Cash/
Public Works Sidewalk Improvements $ 800,000 Prior Bond Auth. 12
Public Works Townwide Signalization Improvements $ 125,000 Free Cash 12
Public Works Storm Drainage Improvements and NPDES Compliance $ 570,000 Free Cash 12
Public Works Comprehensive Watershed Stormwater Management $ 390,000 Free Cash 12
Public Works Street Improvements $ 2,669,767 Tax Levy 12
Public Works Pump Station Upgrades $ 2,000,000 Wastewater RE/Debt 14
Public Works Sanitary Sewer System Investigation and Improvements $ 1,020,000 wastewater Debt/user charges 14
Public Works Water Distribution System Improvements $ 2,200,000 Water RE/User Charges 13
Public Works Hydrant Replacement Program $ 150,000 Water RE/Free Cash 12
Public Works Battle Green Streetscape Improvements $ 4,975,000 4:pll II u��:�r;',���Hll����ull'!Debt 12
Public Works Municipal Parking Lot Improvements $ 60,000 Free Cash 12
Public Works Public Parking Lot Improvement Program $ 100,000 Free Cash 12
Public Works New Sidewalk Installations $ 75,OD0 Free Cash 12
Total Public Works Department $ 17,060,767
Lexington Public Schools LPS Technology Program $ 1,343,006 Free Cash 15
Total Lexington Public Schools $ 1,343,006
Innovation&Techno%gy Application Implementation $ 158,500 Free Cash 12
Innovation&Techno%gy Network Redundancy&Improvement Plan $ 945,000 Free Cash 12
Innovation&Techno%gy Scanning- Electronic Document Management $ 110,000 Free Cash 12
Town Clerk Archives&Records Management $ 20,000 CPA 10
Total General Government $ 1,233,500
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-4
Lexington Housing Authority Vynebrooke Village ModPHASE Modernization Project $ 160,790 CPA 10
Lexhab 116 Vine Street Affordable Housing Construction $ 5,300,000 CPA 10
Lexhab Affordable Housing Unit Renewal $ 234,000 CPA 10
Total Non-Governmental Projects $ 5,694,790
e 6 e e „ e e
CAPITAL PLAN BY FINANCING SOURCE
The following pages include tables that show the recommended FY2023 capital projects by financing
source: General Fund debt; Water Fund debt; Wastewater Fund debt; Recreation and Community
Programs Fund debt; Proposition 2�/2 excluded debt; Community Preservation Fund debt; Compost
Revolving Fund debt; and cash capital (i.e., current revenue).
Each debt-related table includes the projected debt service impact of recommended projects, actual
debt service on debt authorized and issued, and projected debt service on debt authorized and
unissued. Finally, each table is accompanied by a written description of each recommended project.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-5
FY2023 RECOMMENDED PRO)ECTS - GENERAL FUND DEBT (Table I)
TABLE I: FY2023 RECOMMENDED PRO7ECTS-GENERAL FUND DEBT
Amount PROJECTED DEBT SERVICE
Interest
FindnCed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
MUNICIPAL PRO]ECTS
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' Im rovements".a^�,�1 a�SutpSl�,
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FACILITIES PRO]ECTS
Within-Levy Projects
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� High School Equipment Emergency � 500,000 5 4% $ — $ 120,000 $ 116,000 $ 112,000 $ 108,000
" Funds
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Subtotal ;� 'uu1VA,V,ulu� `h r> �?u`�,u'�VYu`�. �� G I�a�.C1C1C1 > 1 p7,.VI�e1Vl� `lr �u`U�t��Yu`UeY
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Project that is a potential candidate for debt exclusion
1 LHS Feasibility Study $ 1,825,000 5 4% $ — $ 73,000 $ 438,000 $ 423,400 $ 408,800
Subtotal $ 1,825,000 $ — $ 73,000 $ 438,000 $ 423,400 $ 408,800
TOTALPRO]ECTCOSTS ����»�''�"���W�W�ll � ����,�W"��" � �������w�'. � ���������W "� .�»����"'�"� ^� �����„��a"
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AUTHORIZED LEVY SUPPORTEiiDiiiiDiiEiiBiTiiiSiiEiiRiiVICE FY2022 iiiiiiiiiiiiiii�ilioili3iiiiiiiiiiiiiiiiiiiiiiiiii�iliQiili4iiiiiiiiiiuiiiiiiiiiiiFiYZiOilisiiiiiiiiiiiiiiiiiiiiiiiii�ilioilifiiiiiiiiiiiiiiiiiiiiiiiiii�Zioili�iiiiiiiii
A ApprovedandIssued ,^(t ��s�N�7�,!��^� � j�i,^M1ll,lol3�. �, �,u^1���.�u�s > �����'J�l�;� ��^���„��a�
!� ":pVY�a�p„�&F� a� 1,�://,I4Ya� $ �„!�B£idCha�x !� 1:FaIS,>'a�.- E„N!?:1„�4a7.
�"
a� r c , � M�D�u� � ��1"J"i„Y4ua� � 7sG�l,,li�,��
15 Projecte Approve an Unissue „, �IGI���/� �?; ��C�,��Cb, „N �,��p�'U„
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N:�
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Tota Debt Service on Authorized Debt l��P�I�;
�. �
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N:::
II� Projected New Levy Supported Debt Service(above) � tl��a�.�lo",J � ��?�",J�l. }� "7J�7�„;���f! � s��Ns�,r.'t�; � �i��Y�"��IJ
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TOTAL-PRO]ECTED LEVY SUPPORTED DEBT SERVICE $10,397,112 �o��'"ro�,�,"'��� �x �',���� �'!'w'!'ro �N.����p��.�� ���u�'��"'�����i �"'w��l����'���J�
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¢s
F!!'' Plus:Projected Debt Service on Future Capital Projects $ 155,133 $ 1,442,735 $ 2,755,935 $ 4,096,011
Nf
�(� Less:Debt Service Funded from Special Revenue Accounts $ (51,933) $ (16,125) $ (132,023) $ (124,148) $ (124,148) $ (124,148)
r
Ih l Less:Revenue Set Aside for Paydown of Land Purchases-(�I�ev+�y $ (2,320,274) $ — $ — $ — $ — $ —
BII; Less:Proposed Use of Stabilization Fund $ — �, $ — $ — $ — $ —
`� (`.:r�NPQ1�bC:D}
K Total Offsets to Projected Levy Supported Debt Service
V (N-NN-II t-b;��o f II II w N;,J $ (2,372,207) .j� (�ti�ifpJ af. $ (13Z,023) $ (124,148) $ (124,148) $ (124,148)
� ��&}P&�',�:'n`�.
� �� LEVY SUPPORTED DEBT SERVICE $8 024 905 "��'"��'"�°q''"�'"� ^� ��"'z� ��w"'u. "�r���'&���i!":w�1� '�W�'������ �a��l"'��',��rv�
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FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-6
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,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,, , , ,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,
II���'� II�,�",�',� II�...,,,, ',�� II�-��',� II�,�, ' 11���6, II�,,, , ,,, ,,,
,,,,�,,,,,,,,,,,,,,,,,�,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,�,,,, ���g�� ���� �����-,,,^���,��,,,,,,,,,,,,,,,4������ � �:���g���.
,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,�,,,,,,
1. �II��'��N� �ir�� � ������:^���, ° ������r���ii��� ° �R��w����1114���,�Jlll� �uu�������uu� ���,iq����������� IIIII;�iii�m�iulll4�uir����uiriu�iu��uii�,��,-
��� °° �� , �����'�"�'���� � (^��4��������� General Fund Debt�...���°°������ Ill�iiir��� ����IIII��): This
request will fund the remaining design, construction and project management for the roadways
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-7
around the Lexington Battle Green, which currently includes a preferred roundabout alternative
for the intersection with Hancock Street and Massachusetts Avenue. Prior authorizations from
FY2013 and FY2016 funded a review of the pedestrian and vehicular safety and flow in and
around the Battle Green, ways to enhance the access and visibility of the historical sites and
how it relates to the overall Center Streetscape Project. A conceptual plan has been developed
and will be further refined through the remaining design phase and public outreach process.
The funding for both final design and construction is being requested for this Town Meeting to
allow for the work to be completed in advance of the 250th anniversary of the Battle of
Lexington.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-8
Facilities Projects
In 2020, the Department of Public Facilities conducted an evaluation of all the Town's building-related
capital assets. This study produced a detailed report on the current condition of DPF assets, including a
20-year Master Plan for renovations and replacements of all town buildings and systems. Due to timing of
receipt of the report, and DPF's focus on ensuring ongoing operations and town and school buildings
during the pandemic, recommendations from the report have not been incorporated into this budget.
Initial conversations with policy makers on insights gleaned from the report data will begin in early 2022,
and we expect that staff will further update and prioritize the long-term capital plan in a way that is
financially feasible and and best protects the Town's capital assets.
1. ... �.
��.... ...
. �
,.��........... . ..� $ :� ���i. ����.�u..��i... ,,, , ��.. ���, : • ,.NM....:� �......... ...! ..... i�a�... ����-
ir�^:����u�, ,
II ..�� �ii,����� ���� � �ll�n�°-��wr�-Vir�N-��'���'�.���a��� �:�'HN�'��-�11��;��li-���Il�-ir�ral��tll��� ��
i� .°.����-V.:�=�-ry�i �i�������-i��G:ir��ii����
High School Equipment Emergency Funds - $500,000 (General Fund Debt): The
Lexington High School is a building with many needs, both in terms of the ability to house a
high performing educational program and the physical facility itself. The facility continues to age
and some systems have exceeded their useful life. The Facilities department continues to
perform regular preventative maintenance, however some systems are still in danger of failing.
The Town has begun planning for a significant construction project in the coming years, and the
Lexington School Committee has submitted a Statement of Interest to the MSBA for
consideration of a new or refurbished high school. While waiting on that invitation, and the
construction that will follow, this request would provide a funding authorization to repair or
replace a major mechanical system in an emergency situation only. This debt authorization will
remain open and available for expenditure until a new or refurbished facility is operational, and
at that time any unused portion would be rescinded.
Potential Candidate for Debt Exclusion
1. LHS Feasibility Study- $1,825,000 (General Fund Debt): Lexington High School (LHS)
was renovated in 2000 to a capacity of 1,842 students. In 2014 and 2015, pre-fabricated
buildings were added to the campus, increasing the number of classrooms. The January 28,
2015 Symmes Maini & McKee Associates (SMMA) Lexington Public Schools Master Plan Report
identified the "classroom" capacity of LHS to be 2,270 students, though also identifying that
core areas would still be overcrowded. This existing capacity was projected to provide sufficient
classroom space for the next five years. From the SMMA Master Plan, a School Building Project
Consensus Plan was developed that identified adding capacity to the middle schools, elementary
schools, and pre-Kindergarten, as the priorities over the next five years. School Committee
submitted a Statement of Interest (SOI) to the Massachusetts School Building Authority (MSBA)
to evaluate LHS for insufficient educational capacity and system upgrades. Should the MSBA
select the Lexington SOI, funding would be required for the Feasibility Study. The SOIs
submitted to the MSBA in 2019 and 2020 were not selected to move forward. In February
2021, the School Committee again submitted an SOI to the MSBA and expect to hear if the LHS
project is selected in the Spring of 2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-9
FY2023 RECOMMENDED PRO)ECTS - WATER FUND DEBT (Table II)
TABLE II: FY2023 RECOMMENDED PROJECTS-WATER DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None proposed. $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO)ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED WATER DEBT SERVICE FY2022 FY2023 FY2024 FY2Q25 FY2026 FY2027
A Subtotal:Authorized and Issued � ��Q)tlIR�,,�,1°� � �b�1C)ru'3��,. .n +rp�J;��iea8� �„ �,�,d��7u'U�a. '� Qr:3��,�uD��u
^�� �&:�,4�& �(� lrr,:���!:> '� �+C:D:�,1&8� g� r✓�+,�'.r�i �+ >`.rd:D,�Fi','r
B Subtotal:Approved and Unissued(short and long-term) ;r �"da�,���ul � �p�"�'u,�A�1�1� �b +�G"s'�f,�7 � �,ul��„JJ�1 � !'�°1:m�;rV7uuD
^� ��:�F„d�;� �� f�(1„�N4't41 � 1�:���;ar.3 �N d&1:a„:'��d �� _�+�u'�,���GY
C Totdl:Debt Servite on Authorized Debt ^��p�����*��ro ^��,�,W"!��'"��'"� ^����W������� ��,'�.+���m���� "����"�"�'���"'�
/ �����'laq�nA1 ��.g��n"°ad��-ua ��.M�Y�:�a�A�� ��.�'�Y�����•��' ��u�.���•�U��.�•u,»
D Subtotal: Projected Debt Service on Proposed Capital Projects — — —
E TOTAL PRO]ECTED WATER DEBT SERVICE $1,179,794 p��y����'���� "����,�"'w'"rv"�'"� �»� "�W������ ���������ro '������'���"'�
�1�7„�'N'R�."��'fl "��.��fla�G!!u�'�c�E!� �p�.a��:�a�Jl�.�. ��.a����.��b'�;k '�u�.�������.���
No recommendations for debt financing.
FY2023 RECOMMENDED PRO)ECTS - WASTEWATER FUND DEBT (Table III)
TABLE III: FY2023 RECOMMENDED PRO]ECTS-WASTEWATER DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 Pump Station Upgrades $1,500,000 10 4% / $ 40,000 $ 210,000 $ 204,000 $ 198,000 $ 192,000
($2,000,000)
Sanitary Sewer System
2 Investigation and Improvements $720,�00 10 4% � $ 19,200 $ 100,800 $ 97,920 $ 95,040 $ 92,160
($1,020,000)
TOTAL PRO]ECT COSTS $2,220,000 $ 59,200 $ 310,800 $ 301,920 $ 293,040 $ 284,160
AUTHORIZED SEWER DEBT SERVICE FY2022 FYZOZ3 FY2024 FY2025 FY2026 FY2027
� . N� ° ?rdJ4'Ns�G�I ,, ��fl�,s�"��
A SubCota:Authol'IZed and IssUed Debt N° I,ir"a;�.�/ O�C�u3'r��"�Jf1 "1� I,QU�^i,'�'„��, y � ���Cu�,.
� k,]�&��4r�7'� °{� �7°�nf�J4�_ p� �'�41,�I�I q� !'�i&�P�ISd_ '� ���Yn:n41,38a
B Subtotal:Approved and Unissued Debt(short and long-term) 5 ;�C7VI�,VI�e1�� <(� "„"rJ�u�y1 �G, "r�ArV aYJu� � 'u�N�,��`��, �I, "p:,G G�,�Y
"� 3°�(z,u�G1 Q� l�l�„ti$Eia � 0�?�,a�u��. "?. B�bp`)dJ_ '.{v !2�€�r„&H.�'a
C Total:DebtServiceonAuthorizedDebt "dw" ��",'�".'�",'���,';�/" "�w1���"m�"���� "y���"'��w��"�"��I m�z�A�,��wp��� �����N�w��,�,'."'�
D Subtotal:Projected Debt Service on Proposed Capital Projects
� $��I�y59 200 $���3 0 00 $� ��0 9�0 $���'�3 040 $m �284,60
E TOTAL PROJECTED SEWER DEBT SERVICE $1,464,513 ,°�S���w I����i,',;�i Qo-Ill���,�w�����,,,,,,;�u���,�W�„�„.,���I �y'ro���,������a".....,�»���wAw���,'p„�'�
����'�����$�II �"u�.����gPro��u ��.����.M���" "�"v.�:�"�'��'a�IV�� ���&"a'��g��.6R
1. Pump Station Upgrades - $2,000,000 ($1,500,000 Wastewater Debt, $500,000
Wastewater Retained Earnings): This is an ongoing program to upgrade Lexington's ten
sewer pumping stations. A 2013 evaluation and capital plan was developed for the Town with
the assistance of Wright-Pierce, including a detailed engineering survey of the pump stations.
The survey helped determine current and future needs, timetable and probable costs for the
proposed work. Construction has been completed on the pump stations at Worthen Road,
Marshall Road and Constitution Road. Design has been finalized for construction at the Hayden
Avenue pump station and the recent bid process resulted in significant cost increases over
original projections. Design is underway and near completion for the North Street pump
station, and given the recent bid results the construction cost for the North Street pump station
has increased significantly to reflect current market prices. The goal of this program is to
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-10
upgrade all of the pumps and support systems to enable better energy efficiency and avoid
emergency expenditures.
2. Sanitary Sewer System Investigation and Improvements - $1,020,000 ($720,000
Wastewater Debt, $300,000 Wastewater User Charges): This is an annual program that
provides for rehabilitation of sanitary sewer infrastructure. Work will include replacement or
repair of deteriorated sewers, force mains and manholes in order to improve flow and reduce
inflow and infiltration into the system. Engineering investigation and evaluation will continue on
sewers throughout town, including those in remote, hard to access areas. These capital
investments improve the operation of the sewer system, reduce backups and potential
overflows, prevent system malfunctions and reduce the measured flows through the MWRA
meter.
Beginning in FY2021, the funding source for this ongoing capital replacement program has been
gradually shifting to Wastewater user charges, with the ultimate goal of transitioning the entire
program to cash funding over 10 years. While rate payers may pay slightly higher wastewater
rates in the short-term, significant debt service savings will be realized, resulting in lower overall
costs in the long-term.
FY2023 RECOMMENDED PRO)ECTS - RECREATION FUND DEBT (Table IV)
TABLE IV: FY2023 RECOMMENDED PROJECTS-RECREATION and COMMUNITY PROGRAMS DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED RECREATION REVENUE DEBT SERVICE FYZ022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt Service $ — $ — $ — $ — $ —
6 Subtotal: Approved and Unissued Debt Service $ — $ — $ — $ — $ —
C Total: Approved Debt Service $ — $ — $ — $ — $ —
D Subtotal: Projected Debt Service on Proposed Capital Projects , $ — $ — $ — $ — $ —
E TOTAL PROJECTED DEBT SERVICE $ — $ — $ — $ — $ — $ —
No recommendations for debt financing,
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-11
FY2023 RECOMMENDED PRO7ECTS - FUNDING THROUGH PROPOSITION 2�/z DEBT
EXCLUSION (Table V)
TABLE V: FY2023 RECOMMENDED PROJECTS- FUNDING THROUGH PROPOSITION 2�/z DEBT EXCLUSION
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
Lexington Police Station $32,800,000 30 — $ — $ 2,405,333 $ 2,361,600 $ 2,317,867 $ 2,274,133
Construction
Total Project Cost $32,800,000 $ — $ 2,405,333 $ 2,361,600 $ 2,317,867 $ 2,274,133
APPROVED AND PROPOSED EXCLUDED DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
Subtotal: Approved and Issued Debt ; 1'up�;✓N'upo"]'��r, $ 14,023,382 $ 13,629,861 $ 13,229,441 $ 12,681,295
.�� 1�ieQY 1:�p�r�r.r
Subtotal: Approved and Unissued Debt $ 34,606 $ 1,018,557 $ 989,311 $ 960,066 $ 930,820
Total: Approved Exduded Debt Service ^, I'up�1k�S��"�V1,!, $ 15,041,939 $ 14,619,172 $ 14,189,507 $ 13,612,115
g�y 1:&seS;�e'p�?:�&:
Subtotal: Subtotal-Projected Exempt Debt Service(above) �$ — $ 2,405,333 $ 2,361,600 $ 2,3ll,867 $ 2,274,133
Total Approved and Proposed Excluded Debt Service $16,747,991 ��„"'����mll��mll!'� $17,447,272 $16,980,772 $16,507,374 $15,886,248
�"»"�.�„��&ld��;:�.
Less:use of Capital Stabilization Fund to Mitigate Debt Service � �z�gp0,000) $ (800,000) $ (700,000) $ — $ — $ —
Impacts on Properry Tax Bills
Net Excluded DebtService $13�947�991 �m�.!'!���k��UR��Vi'�, $16�747�272 $16�980�772 $16�507�374 $15�886�248
,,�.�'���'�''��,�.
1. Lexington Police Station Construction - $32,800,000 (Exempt Debt): The existing
police station opened in 1956 and lacks many basic amenities of a modern police facility. The
building does not have an elevator or a sally port for prisoner access to the cell block. It also
lacks a fire sprinkler system. The indoor firing range, locker rooms, garage and office spaces
are inadequate. Bathrooms on the basement and second floor levels are not ADA compliant.
The heating and cooling systems are inefficient and the building is served by two separate
electrical systems which cause problems during outages.
In FY2017, the Town appropriated $65,000 for a feasibility study to consider locations for
constructing a new Police Station. In FY2019, the Town funded the design and engineering of a
new Police Station at its current location, 1575 Massachusetts Avenue. The funding request for
the demolition and reconstruction of the Police Station, and temporary relocation space, was
originally planned for the 2021 Annual Town Meeting, but was postponed to allow the
community to engage in conversations regarding race, social justice and the future of policing.
After public engagement and reaffirming the conceptual design, final design funds were
appropriated at the Fall 2021 Special Town Meeting. The request for construction funding,
currently estimated at $32,800,000, will come to the 2022 Annual Town Meeting, with a debt
III exclusion vote to follow in June �2022.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-12
FY2023 RECOMMENDED PRO)ECTS - Community Preservation Act Debt (Table VI)
TABLE VI: FY2023 RECOMMENDED PROJECTS-COMMUNITY PRESERVATION ACT DEBT
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED CPA REVENUE DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt $ 1,866,600 $ 1,788,900 $ 681,200 $ — $ —
B Subtotal: Approved and Unissued Debt
� �,�N,�''��° $ — $ — $ — $ —
�; ikdr�k'aQY
C Total: Approved Debt Service ��,�"�"'���w�� $1,788,900 $ 681,200 $ — $ —
�'u�.��3�nA�����
D Subtotal: Projected Debt Seroice on Proposed Capital Projects � — � — � — � — � —
E TOTAL PRO]ECTED DEBT SERVICE $2,989,550 ��,��"!���u��!;. $1,788,900 $ 681,200 $ — $ —
�'u&�.��A���N!h��
No recommendations for debt financing,
FY2023 RECOMMENDED PRO)ECTS - Compost Revolving Fund (Table VII)
TABLE VII: FY2023 RECOMMENDED PROJECTS-Compost Revolving Fund
Amount Interest
Project Financed Term Rate FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
1 None Proposed $ — --- --- $ — $ — $ — $ — $ —
TOTAL PRO]ECT COSTS $ — $ — $ — $ — $ — $ —
AUTHORIZED REVENUE SUPPORTED DEBT SERVICE FY2022 FY2023 FY2024 FY2025 FY2026 FY2027
A Subtotal: Approved and Issued Debt '� �"�"�^�I"� ";r II�aD��l��'u 5,C u@�,u,,u"��pi "; 11+I�^^^?�y, $ 102,200
� I,�Ol,Qk32 � &�erp&f3C; t� N�?�.d�iP� � 2��,J4V�
B Subtotal: Approved and Unissued Debt �� e � ��
s
!� _r�t,�s:$d �{, xrfr„Frl�"_ 'y u�,/7� °{� u>d,7E:'r� s�A i'''r6:h;Y�1�1
C Total: Approved Revenue Supported Debt Service �� �"ll,�I z � ��u"��,�4 N¢i �� dC�u��r��u � I J�1,�4°��? "� G�J�J„J�I�c�
'�, 7&!'r,�ZFa$ `}� 8�,8„¢��a9- �, �:✓6a,��ky �:____ If>"b,'afl'r � &',:r:o„EYk�I
D Subtotal: Projected Debt Service on Proposed Capital Projects $ — $ — $ — $ — $ —
E TOTALPROJECTEDDEBTSERVICE $ 163,001 �» ��'���.�"'w �w ��m���"��w "� 1���1:�.�1D�� �n �������w "�n ���,����
� ��.�,��:� � �.��a���. � �.��'���.��a � �a'����.� �� �.�����:�.�i.
No recommendations for debt financing.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-13
FY2023 RECOMMENDED PRO7ECTS - CASH CAPITAL (Table VIII)
TABLE VIII: FY2023 RECOMMENDED FUNDING FROM REVENUES(Cash by Source)
Waterl
Sewer Recr. Enterprise
Retained Retained Operating Other
Project Free Cash Tax Levy Earnings Earnings Funds CPA* Funds�* Total Cost Other**'
SCHOOLPROJECTS
1 LPS Technology Program $1,343,006 $ - $1,343,006 $ -
• eea ees
FACI LITIES
2 Public Facilities Bid Documents $ 100,000 $ - $ 100,000
3 Building Flooring $ 150,000 $ - $ 150,000
4 School Paving and Sidewalks $ 145,000 $ - $ 145,000
5 Mechanical/Electrical Systems Replacements $ 787,000 $ - $ 787,000
6 Municipal Building Envelopes and Associated $ 219,540 $ - $ 219,540
Systems
�. Townwide Roofing m �N��,"IG1Cl $ - � �r`wG„�lu�C)
.....................................................................................................................................................................................................................................................................................................................................................................................................................................................::�r::::::::::::::::: :..................................
7a School Building Envelopes and Associated $ 251,400 $ - $ 251,400
` Systems
d
,� Playground Enhancements-Pour-in-Place
�'"' Surfaces $1,459,591 $ - $1,459,591
�3
Center Recreation Complex Bathrooms&
��] Maintenance Building Renovation $ 915,000 $ - $ 915,000
�1
1� Town Pool Water Heater Replacement $ 31,000 $ - $ 31,000
1-�
s �m
MUNICIPAL PROJECTS
1�: West Farm Meadow Preservation $ 28,175 $ - $ 28,175
q_R
1� Wright Farm Barn Stabilization and Preservation $ 155,000 $ - $ 155,000
I;�
I�i Hartwell District Signage $ 65,000 $ 65,000
1.3
1.a Townwide Pedestrian&Bicycle Plan $ 65,000 $ 65,000
1�R
South Lexington and Forbes-Marrett Traffic
����'� Mitigation Plans $175,000 $ 175,000
1-�r
�.+" Transportation Mitigation $ 6,824 $ 6,824
1-�
�,.�� Replace Pumper Truck $ 650,000 $ - $ 650,000
1-?
14'� Pine Meadows Improvements $ 95,000 $ - $ 95,000
1-rk
��l Park and Playground Improvements $ 200,000 $ - $ 20Q000
��k
:�'� Park Improvements-Athletic Fields $ 250,000 $ - $ 25Q000
���1
���: Park Improvements-Hard Court Surfaces $2,500,000 $ - $2,500,000
��
�'� Community Park Master Plan-Lincoln Park $ 10Q000 $ - $ 100,000
��
�':� Townwide Culvert Replacement $ 39Q000 $ - $ 39Q000
III �:�
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-14
��� Equipment Replacement $1,246,000 $ 29Q000 $ — $1,536,000
��k
�J'� Sidewalklmprovements ` ,�,"�,�J�I $236923 �> s;�7(Y,�J�1C7
�"s � ,,,QY�d �� l�l@,¢�&:dFk
�.+' Townwide Signalization Improvements $ 125,000 $ — $ 125,000
?�S
Storm Drainage Improvements and NPDES
J�S $ 57Q000 $ — $ 570,000
Compliance
��
��� Comprehensive Watershed Stormwater $ 390,000 $ — $ 390,000
` Management
:aff3
�Q1 Street Improvements"" $2,669,767 $ — $2,669,767 $982,231
��
:+"tl Pump Station Upgrades $ 500,000 $ — $ 500,000
.:C�1
Sanitary Sewer System Investigation and
'��' Improvements $ 30Q000 $ — $ 30Q000
��
'�s Water Distribution System Improvements $1,60Q000 $ 600,000 $ — $2,200,000
,J>
"�� Hydrant Replacement Program $ 75,000 $ 75,000 $ — $ 150,000
1J
�`? Battle Green Streetscape Improvements , Ixr�t�„�:1t1C) $ — 'q, rxr,"��„4)u7C)
......................................................................................................................................................................................................................................................................................................................................................................................................................................................�r,:::::::::::::::::::::::..................................
"a�S Municipal Parking Lot Improvements $ 6Q000 $ — $ 60,000
;:5�
<9r` Public Parking Lot Improvement Program $ 100,000 $ — $ 10Q000
rS."X
','s�s New Sidewalk Installations $ 75,000 $ — $ 75,000
;��a
��> Application Implementation $ 158,500 $ — $ 158,500
��
�1:�� Network Redundancy&Improvement Plan $ 945,000 $ — $ 945,000
�g�
�?:q Scanning-Electronic Document Management $ 110,000 $ — $ 110,000
��
�1�: Archives&Records Management $ 20,000 $ — $ 2Q000
�I Q5
s ee� ere eem 'ee
OTHER CPA FUNDED PROJECTS
�,+ Vynebrooke Village ModPHASE Modernization $ 16Q790 $ 160,790
` Project
q1
n� 116 Vine Street Affordable Housing Construction $5,300,000 $5,300,000
��
�"> Affordable Housing Unit Renewal $ 234,000 $ 234,000
�>
• •e °�
• e eee eee ^es see
*CPA totals do not include proposed FY2023 administrative budget of$150,000 and�N„^�r^�;�a rf�fr II x°�x'�sC,�1,for debt service.
**Other Funds include the Parking Fund,TDM Stabilization Fund,Transportation Network Company(TNC)Special Revenue Fund,and Prior Bond Authorizations.
***Other includes$982,231 in Chapter 90 Aid for street improvements.
****Proposed funding for the annual street resurfacing program is comprised of$2,669,767 of tax levy dollars and an anticipated distribution of$982,231 of Chapter
90 funds. This level of funding is intended to maintain the Town's roadway surface rating(RSR)in the mid-80s.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-15
School Department Projects
1. LPS Technology Program - $1,343,006 (Free Cash): This request addresses the District's
strategic goal for enhancing the capacity to utilize technology as an instructional and administrative
tool. The request will continue to support student access to devices to allow for innovative learning
methods that integrate supportive technologies, problem-based approaches and higher order
thinking skills. It also maintains and improves, when needed, current infrastructure such as
networks, access points and servers.
The capital improvement request for FY2023 would provide funding for the following:
Tech Workstations - $173,400 to replace Unit A (all classroom teachers, counselors, librarians and
staff working under the teacher contract; Unit A) workstations and peripheral devices (laptops,
desktops, printers and monitors). Staff workstations were primarily replaced from FY2020 funds,
thus minimal replacements are budgeted for this cycle. (150 laptops @ $1,075 each, 5 laptops/
workstations @ $1,000 each, 10 printers @ $440 each, and 10 monitors @ $275 each)
PreK-5 Mobile Devices - $105,300 to replace 260 Grade 1 iPads across all district Grade 1 classes
due to current devices having reached their end of life. (260 iPads @ $405 each)
1:1 Middle School Pro_qram - $212,610 to purchase 570 Chromebooks for 6th graders entering
Diamond and Clark Middle Schools. All middle school students have 1:1 devices and the devices
follow them through middle school (three-year life span). Generally, by the end of middle school,
many devices have reached their end of life due to use. (570 Chromebooks @ $373 each)
1:1 at Lexington High School - $180,480 to purchase 640 Chromebooks for 9th graders. All high
school students, once provided a device in 9th grade or upon entering the high school, have the
device through their senior year (four-year life span). (640 Chromebooks @ $282 each)
Science/Technology/Enaineering/(Art)/Math (STEM/STEAM)/Computer Science- $80,800 to update
district computer labs at either the Middle School/High School level and purchase STEM/STEAM
based curricular materials. (two labs @ $37,400 each, $6,000 for STEM/STEAM Materials)
Interactive Projectors/Whiteboard Units and Document Cameras - $240,416 to replace 48
interactive projectors districtwide. This equips buildings with a touch-activated interactive system
with a new ceramic whiteboard and soundbar. The replacements will begin with the oldest model
per school until all systems are within a 5-year window with all of the same functionality. The
request will also replace 28 document cameras at middle schools, with remaining schools planned
in future years. As part of new school construction, some schools have newer document cameras
and other schools have had document cameras replaced prior to this year. (48 projectors @ $4,640
each, 28 document cameras @ $632 each)
District and Building Network Infrastructure - $330,000 to replace switches at the high school that
control internet and internal connections ($40,000), replace switches districtwide that support
internal connections in schools ($90,000), and replace the electronic devices that support the
schools' virtual networks ($200,000).
Server/Storage Infrastructure - $20,000 to maintain and upgrade any server-related hardware.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-16
Department of Public Facilities Projects
2. Public Facilities Bid Documents - $100,000 (Free Cash): This is an annual request for
funding professional services to produce design development, construction documents and/or bid
administration services for smaller projects in anticipation of requests for construction funding at
town meeting that have a high probability of approval. This will ensure that both municipal and
school projects can be completed in the then-current construction season, which is particularly
important for the timely completion of school building projects given the short window between the
end of school in June and the end of summer.
3. Building Flooring - $150,000 (Free Cash): Initiated in FY2011, this is an annual request for
funds to be used for the replacement of flooring systems in municipal and school buildings. The
goal of this annual program is to ensure failing floor surfaces are replaced and are safe for all
users. The FY2023 request will begin a systematic replacement of classroom flooring from Vinyl
Composite Tile to Linoleum Vinyl Tile at Bowman, Bridge, Clarke, Fiske and Harrington schools. In
FY2022, second floor hallway floors at Fiske Elementary School were replaced, as were floors in
four classrooms at the high school, the field house basketball court and the Town Office Building.
4. School Paving and Sidewalks - $145,000 (Free Cash): This capital request provides�as
needed' replacement of sidewalks, bus loops and parking areas on school grounds. Extraordinary
repairs for school paving areas are necessary to maintain parking and pedestrian surfaces in a
condition suitable for public safety and highlights the Safe Routes to School. The FY2023 request
will specifically fund sidewalk panel replacements and parking and roadway improvements at Clarke
Middle School which are currently in poor condition.
5. Mechanical/Electrical Systems Replacements - $787,000 (Free Cash): This request is part
of an annual replacement of HVAC and electrical systems that have exceeded their useful lives and
require replacement before excessive failures occur. This appropriation will address items identified
in the 20-year Master Plan.
6. Municipal Building Envelopes and Associated Systems - $219,540 (Tax Levy): This
ongoing capital request, originally approved for funding in the 2006 Proposition 2�/z Override,
includes repair and replacement projects for the maintenance and upgrade of municipal buildings
and systems. The FY2023 request seeks funding to begin a window replacement project at the
Lexington Community Center. Windows in the mansion section of the building are single pane,
difficult to open and have significant air leaks, and this funding will replace them with a safer and
more energy efficient option.
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8.
School Building Envelopes and Associated Systems- $251,400 (Free Cash): The purpose
of this ongoing capital request is to perform annual prioritized extraordinary repairs and
modifications to school buildings and systems. Specifically, the FY2023 request will be used to
address water and air infiltration issues at the Central Administration Building by repairing or
replacing gaskets, caulking, doors and windows.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-17
9. Playground Enhancements - Pour-in-Place Surfaces- $1,459,591 (CPA): Older
playgrounds use bark mulch as their safety surfacing, which is not stable and is regularly washed
out or kicked out by students using the play equipment. When this occurs, the 12-inch impact
absorbent surfacing requirement is no longer being met, which could result in serious injuries if or
when a student falls. Pour In Place (PIP) safety surfacing is a rubber/urethane product being used
in all new playground installations. Benefits include better drainage, consistent safety surface, and
faster snow melt, enabling use of the playground during colder months. Replacement of the
playground surfaces at the Bowman, Bridge and Estabrook elementary schools is proposed during
the summer of 2022, as well as a completely new playground at the Fiske elementary school.
10. Center Recreation Complex Bathrooms & Maintenance Building Renovation - $915,000
(CPA): This request is for construction costs associated with renovation of the bathrooms and
maintenance building at the Center Recreation Complex. The project will renovate the bathrooms,
repair the plumbing system, and install new fixtures. In addition, the storage area currently used
by DPW staff to maintain the athletic fields in the area, will be renovated to better support those
efforts.
11. Town Pool Water Heater Replacement - $31,000 (Free Cash): This request will replace the
water heater at the town pool complex which provides hot water to the 11 sinks and 18 showers at
the complex, located in both locker rooms, the family bathroom/locker room and the outdoor
showers on the pool deck. The existing ��plll Il������ water heater was installed in 2013 and is
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Municipal Projects
12. West Farm Meadow Preservation - $28,175 (CPA): This request is to preserve approximately
10 acres of ineadow at West Farm to improve passive recreation opportunities, enhance wildlife
and plant habitat, and create a renewed connection to Lexington's history through the recovery of
stone walls and scenic vistas.
13. Wright Farm Barn Stabilization and Preservation - $155,000 (CPA): This is a first phase
request to stabilize the shell of the Barn structure at Wright Farm to prevent weather and water
damage by fixing or replacing the windows, gutters, down spouts, and roof shingles. In addition,
ponding water in the lowest level below grade needs to be addressed.
14. Hartwell District Signage - $65,000 (Hartwell Transportation Management Overlay
District (TMOD) Stabilization Fund): This is a request to add new signage on Hartwell Avenue
and the jughandle on Bedford street to address safety issues as well as to support economic vitality
by drawing attention to the commercial corridor - Hartwell Innovation Park.
15. Townwide Pedestrian & Bicycle Plan - $65,000 (Traffic Stabilization Fund): This request
is to develop a Townwide Pedestrian and Bicycle Plan, which will compile existing conditions data,
identify and prioritize future improvements to the streets, sidewalks, shared use paths to more
safely accommodate pedestrians, rollers and bicyclists and provide meaningful connections to the
region's active transportation network. The plan will provide a framework for the Transportation
Safety Group (TSG) to address safety requests, prioritize sidewalk requests and inform capital plan
budget decisions. The Plan will update the sidewalk prioritization plan and sidewalk request
process to address locations with the most need and those that will create the most community
benefit.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-18
16. South Lexington and Forbes-Marrett Traffic Mitigation Plans - $175,000 (Traffic
Stabilization Fund): This request is to develop two Traffic Mitigation Plans: one for the South
Lexington Transportation Management Overlay District (TMOD) and the second for Forbes-Marrett
TMOD. The South Lexington TMOD encompasses the intersection of Spring Street and Hayden
Avenue and most of Hayden Avenue. The Forbes-Marrett TMOD encompasses the Marrett Road
and Forbes Street intersection. Traffic Mitigation Plans are a critical part of justifying mitigation
payments from private development in the area and are required for proper implementation of the
TMODs. In addition, the Plans outline projects and strategies to use mitigation funds to reduce
single occupancy vehicle trips, increase safety and reduce traffic congestion.
17. Transportation Mitigation - $6,823.50 (Transportation Network Company (TNC) Special
Revenue Fund): This annual capital request is to support the ongoing work of the Transportation
Safety Group (TSG). The TSG is staffed by the Planning, Engineering, School and Police
Departments. Between FY2008 and FY2011, Town Meeting appropriated funds to collect data,
perform analysis, review citizen requests and recommendations for various townwide transportation
improvements in support of the Traffic Mitigation Group (dissolved in 2012 and later reconstituted
as the TSG). Anticipated projects for the FY2023 funds include study and creation of school zones;
on-call engineering services to quickly address safety requests and address road design to reduce
speeds where needed; and to apply to MassDOT to reduce certain regulatory speed limits.
18. Replace Pumper Truck - $650,000 (Free Cash): This request will replace the fire
department's 2004 pumper truck that is currently being used as a mechanical reserve. In general,
fire equipment has an anticipated useful life of 20 years. Lexington typically uses a truck in the
front-lines for 10-years, followed by 10-years as a mechanical reserve. The 2004 pumper saw
extensive front-line use when a previous pump had mechanical issues, which caused additional
wear and tear to this piece.
19. Pine Meadows Improvements - $95,000 (Recreation Retained Earnings): This request
will fund installation of new fairway bunkers on the 2nd and 7th holes as well as a greenside
bunker at the 8th hole, reconstruction of the bunker on the 9th green, expansion of the tee at the
9th hole, reconstruction of the middle tee on the 8th hole, and completion of the design and
engineering work associated with the cart path restoration and renovation on the 5th hole.
20. Park and Playground Improvements - $200,000 (CPA): This request will update and replace
playground equipment, safety surfacing and various other amenities at Kinneens Park. The existing
playground equipment was last replaced in 2004. The proposed improvements will result in the
park being in compliance with the Consumer Product Safety Commission (CPSC), the American
Society for Testing and Materials (ASTM) and the American with Disabilities Act (ADA).
21. Park Improvements - Athletic Fields - $250,000 (CPA): This ongoing multi-year capital
program is to address safety and playability concerns as well as provide adequate and safe field
conditions. This program funds improvements to athletic fields, including renovations to natural
turf, drainage, new irrigation systems, and site amenities including benches and backstops. The
FY2023 funds will be used for such improvements to the Fiske School Fields. Based on
recommendations from a 2017 ADA Compliance Study, additional walkways will be installed to
provide accessibility to the various ball field team areas as well as to the share outfields. If
approved, renovations will begin in the Fall of 2022.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-19
22. Park Improvements - Hard Court Surfaces - $2,500,000 (CPA): This request will renovate
the Farias Basketball Courts and Gallagher Tennis Courts. The project will include the construction
of post tension court surfaces for basketball and tennis/pickleball. In addition to new courts, the
project will provide new fencing, athletic equipment, storage shed, shelter, site amenities, tennis
practice backboards, and signage. Due to the extensive use that they receive, a complete
reconstruction of the the courts and installation of new practice boards will be needed.
23. Community Park Master Plan - Lincoln Park- $100,000 (CPA): This request is to complete
a master plan for Lincoln Park to provide a strategic road map for implementing improvements,
enhancements, and upgrades at Lincoln Park in upcoming years. Significant investments are
planned in the coming 5 years, including field replacements and upgrades to the playground and
fitness stations. The master plan will incorporate feedback from the Lincoln Park-Sub Committee,
Recreation Committee, Conservation Commission, and community stakeholders, and result in a
coordinated, holistic approach when implementing planned capital improvement projects at Lincoln
Pa rk.
24. Townwide Culvert Replacement - $390,000 (Free Cash): This request is part of an ongoing
program to proactively replace culverts prior to catastrophic failure, which will allow for proper
design considerations and funding while also minimizing the impact to residents through
unexpected road closures and flooding. A comprehensive Culvert Asset Management Plan guides
the work to replace culverts in town; which is a companion effort with the ongoing Watershed
Management Plan. Final design has been completed for culverts at Constitution Road and the
Valleyfield area. Construction is underway for phase 1 of Constitution Road; Valleyfield/Waltham
Street will be bid soon.
25. Equipment Replacement- $1,536,000 ($1,246,000 Free Cash, $145,000 Water
Retained Earnings, $145,000 Sewer Retained Earnings): This is an annual request to
replace equipment that is beyond its useful life and whose mechanical condition no longer meets
the requirements of the Department of Public Works (DPW). The DPW has an inventory of 146
pieces of equipment including sedans, hybrid SUVs, construction vehicles and specialized equipment
used to mow parks, plow snow, repair streets and complete a variety of other projects. Without
regular equipment replacement, the efficiency and cost effectiveness of the DPW's operations
would be handicapped due to equipment down time and excessive repair costs.
Each piece of equipment is inventoried with original and current replacement cost, state of
condition and replacement time interval. Replacement intervals vary from 5 to 20 years and are
based on manufacturer recommendations and use (type and duration).
The selection of vehicles to be replaced begins with the proposed replacement date. Then each
vehicle is assessed as to its mechanical condition and work requirements. The systematic
replacement program defines what equipment is expected to need replacement during the next five
years with the intent of preventing any unexpected emergency purchases. Annual updates are
conducted by the Equipment Maintenance Division, Division Superintendents and reviewed by the
Manager of Operations and Director of Public Works.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-20
The FY2023 request, by funding source, is shown in the table below.
Equipment Free Cash Sewer RE Water RE Total
6 Wheel Dump with Snow Plow $ 50,000 $ 87,500 $ 87,500 $ 225,000
Utility Service Truck $ 57,500 $ 57,500 $ 115,000
Drain Flushing &Vacuum Truck $ 500,000 $ 500,000
Boom Flail Mower $ 45,000 $ 45,000
Autonomous Paint Striping Machine $ 52,000 $ 52,000
Wheeled Excavator $ 230,000 $ 230,000
Loader Mounted Snow Blower $ 170,000 $ 170,000
Sign Machine $ 63,000 $ 63,000
Toro Workman $ 40,000 $ 40,000
Small Front End Loader $ 96,000 $ 96,000
Total $1,246,000 $145,000 $145,000 $1,536,000
26. Sidewalk Improvements ($800,000) - $800,000 ( !'"�� � � °'�ui����ui����-Ilf�����i��i�-Ilf�����
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FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-21
27. Townwide Signalization Improvements - $125,000 (Free Cash): This is an annual request
for funds to update trafFic and pedestrian signals in Lexington. A signal inventory and compliance
study has been completed, which includes ADA compliance, condition assessment, signal timing,
delays and prioritization recommendations. Most work has been completed at the intersection of
Massachusetts Avenue and Worthen Road; once pole relocations are complete the final course of
asphalt will be placed and final pavement markings painted to complete the project. The FY2023
request is anticipated to address the Lowell Street intersections with North Street and East Street.
28. Storm Drainage Improvements and NPDES Compliance - $570,000 (Free Cash): This is
an annual request to replace and supplement existing drainage structures, issues typically
uncovered during roadway related construction activity. Funds will also be used for continued
compliance with the Environmental Protection Agency (EPA) Phase II regulations which help
improve the water quality of Lexington's streams and ponds. Approximately $300,000 of this
funding request is for compliance with the construction-related portions of the National Pollutant
Discharge and Elimination System (NPDES) minimum control measures as mandated by the EPA in
the stormwater general permit. The permit also requires the Town to comply with requirements for
illicit discharge detection and elimination (IDDE), best management practices (BMP), installation,
and retrofits. The remaining $270,000 will be used to repair/replace drainage structures
encountered during road construction, repair other drainage areas of concern in the Town and
improve stormwater issues discovered during NPDES investigation work. Current drainage
improvements are being performed throughout the Oakland Street neighborhood. The IDDE
program has continued with two summer interns and work is underway on the design of numerous
BMPs, as well as drainage improvements in other areas of town. The preemptive repair of existing
drainage structures will reduce damage to structures themselves, existing pavement, and private
and public property.
29. Comprehensive Watershed Stormwater Management- $390,000 (Free Cash): DPW,
Engineering and Conservation collaborate on this annual capital request which addresses drainage/
brook management issues. The request funds the continuing design and implementation of
watershed plans and the construction of priorities established in those plans. Staff has reviewed
three watershed plans already completed (Charles River, Shawsheen River and Mystic River) and
developed a prioritization schedule with built-in flexibility pending unforeseen changes. Requested
funding will be used to move forward with those prioritized areas. Oxbow/Constitution phase 1 is
currently under construction, and the first phase of Valleyfield/Waltham Street will be bid soon.
Long-term benefits of the program include prevention of property damage, reduction in liability and
overall improvement to the health of Lexington's waterways.
30. Street Improvements- $3,651,998 ($2,669,767 Tax Levy, $982,231 Chapter 90
funding): This is an annual request for the street resurfacing and maintenance program. In
addition to the $2,669,767 appropriated from the tax levy, $982,231 of Chapter 90 funds will be
utilized. (Chapter 90 funding is based on Lexington's most recent allocation and on the current
state allocation of $200 million statewide.) Funds will be used for design, inspections, planning,
repair, patching, crack sealing and construction of roadways and roadway related infrastructure
including repair and installation of sidewalks. A preliminary list of the streets to be repaired under
this article is currently being developed. A pavement management system is utilized to assist in
analyzing the road network and selecting roadways for repairs. This funding will allow for the
proper improvements and repair of Lexington's streets and sidewalks, increasing their quality and
safety.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-22
Street Improvements - Financing Components
FY2023
2001 Override Increased by 2.5% per year $ 741,812
Maintenance of unallocated revenue from FY2012 Revenue Allocation Model $ 281,234
Maintenance of unallocated revenue from FY2013 Revenue Allocation Model $ 164,850
FY2014 Health Insurance Savings $ 1,100,000
Additional Tax Levy Funding $ 381,871
Estimated Chapter 90 Aid $ 982,231
Total $ 3,651,998
Without Chapter 90 $ 2,669,767
31. Pump Station Upgrades - $2,000,000 ($1,500,000 Wastewater Debt, $500,000
Wastewater Retained Earnings): See detailed description under Table III: Wastewater Fund
Debt.
32. Sanitary Sewer System Investigation and Improvements - $1,020,000 ($720,000
Wastewater Debt, $300,000 Wastewater User Charges): See detailed description under
Table III: Wastewater Fund Debt.
33. Water Distribution System Improvements - $2,200,000 ($1,600,000 Water Retained
Earnings, $600,000 Water User Charges): This is an annual program that replaces unlined,
inadequate, aged and vulnerable water mains, deteriorated service connections and eliminates
dead ends in the water mains. Water mains were recently replaced on Vaille Avenue, significant
portions of Hartwell Avenue, Peacock Farm Road, Eldred Street and White Pine Lane. Additionally,
a sustaining valve was installed on Grove Street to ensure that proper pressures are maintained.
Water main replacements are anticipated in the Parker Road neighborhood, and on Vine Street,
Hayden Avenue, Marshall Road, and Lowell Street from Maple Street to and including Summer
Street. A booster pump is planned for the low-pressure area along Fairfield Street.
The Town has also completed a hydraulic model for the entire distribution network and an asset
management plan for replacing the Town's aging water infrastructure that will ensure a proactive
approach for keeping Lexington's water both safe and reliable. The model identifies areas of
vulnerability, water main aging, and those areas with low volumes and pressures. The asset
management plan recommends the replacing 1% of our water mains on an annual basis.
Beginning in FY2021, the funding source for this ongoing capital replacement program has been
gradually shifting to Water user charges, with the ultimate goal of transitioning the entire program
to cash funding over 11 years. While rate payers may pay slightly higher water rates in the short-
term, significant debt service savings will be realized, resulting in lower overall costs in the long-
term.
34. Hydrant Replacement Program - $150,000 ($75,000 Free Cash &$75,000 Water
Retained Earnings): This is an ongoing replacement program designed to maintain the integrity
of the fire protection system throughout town. Faulty hydrants need to be replaced to meet safety
requirements. A list of hydrants needing replacement is generated each year during the annual
inspection and flushing of hydrants by the Water and Fire Departments. Based on discussions
between the two departments, the target goal is to replace approximately 60 hydrants per year at a
cost of $2,500 per hydrant. The Town of Lexington has 1,747 fire hydrants in its fire protection
system; a total of 57 hydrants were replaced in FY2021, and 12 were repaired.
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-23
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36. Municipal Parking Lot Improvements - $60,000 (Free Cash): This request is for the survey
and design of the parking lot that extends from Fletcher Avenue on the most easterly side to the
limits of the Town Office Building parcel on the most westerly side. Funds for construction/
reconstruction will be requested in FY2024. The project includes reconstruction of the existing
asphalt parking areas as well as new construction and reconfiguration of parking in the area
nearest the Hosmer House and Police Station. This will provide for improved flow through the
parking area as well as the potential for additional parking spaces pending the impacts of the Police
Station design and Hosmer house move. The design and construction of the parking lot will be
coordinated with the Police Station reconstruction since that project will significantly impact the
existing parking lot.
37. Public Parking Lot Improvement Program - $100,000 (Free Cash): This request is for the
redesign of the public parking lots located in downtown Lexington, including the Depot lot, the lot
between Edison Way and the Depot (CVS lot), and the lot between Waltham Street and Muzzey
Street (Michelson lot). These lots are currently in fair to poor condition with inefficient circulation
and parking layouts. This redesign work will include surveys and a conceptual plan development
design, with the anticipated results of improved efficiency, circulation and aesthetics. More detail is
needed in order to get solid estimates on the cost of construction.
38. New Sidewalk Installations - $75,000 (Free Cash): This request is to fund the survey and
design work for a new sidewalk along Cedar Street. This design work and public outreach will
inform a future request for construction funding.
39. Application Implementation - $158,500 (Free Cash): This capital program is for large
application migrations and implementations. The FY2023 request covers a number of initiatives -
1) the purchase and installation of a cemetery management system to facilitate cemetery
operations; 2) the purchase, installation and configuration of a scheduling and time tracking
system(s) for the police and fire departments; and 3) the purchase and installation of permitting
and inspections software for the Board of Health.
40. Network Redundancy & Improvement Plan - $945,000 (Free Cash): This request is to
build a stand alone fiber network for town computing and communications in an effort to achieve
redundancy and vendor-independent capability. This will protect communication (both data and
voice) between sites that are assessed as critical to the daily function and safety of the Town, and
support greater use of paperless processes. Design for the network has been completed, and if
approved, installation would begin in Summer 2022.
41. Scanning - Electronic Document Management- $110,000 (Free Cash): This request is to
scan existing physical documentation into the Town's document management systems (Laserfiche
and Tyler Content Manager). This effort will support continued efforts to migrate to paperless
workflows. Once workflows have been established and no additional paper records are being
created, historical records are scanned to ensure a complete repository and to allow departments to
reclaim the physical space previously occupied by their records.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-24
42. Archives & Records Management - $20,000 (CPA): This is an ongoing request to fund the
conservation and preservation of historic municipal documents and records and to make them
available on the Town's digital archives. This FY2023 request will include the 1927 blueprints for
the Cary Memorial Building; Tax Warrants and Acts of Massachusetts, 1778-1823; and Police
Department Journals 1874-1909. Significant progress has been made in preserving Lexington's
historic documents but there remains a continuing need to preserve records from the early 1900s
and make them accessible. It is projected that this will be a yearly request for treatment/
digitization/microfilming of records. The preservation and conservation of permanent records for
archiving creates the basis for documenting Lexington's history for the future.
43. Vynebrooke Village ModPHASE Modernization Project- $160,790 (CPA): This request is
for fire and other safety system upgrades to supplement state funding for a large-scale
modernization project at Vynebrooke Village, operated by the Lexington Housing Authority. The
overall project cost is currently estimated to be $4,434,550.
44. 116 Vine Street Affordable Housing Construction - $5,300,000 (CPA): This request is to
construct affordable housing at 116 Vine Street. LexHAB proposes to build six units of affordable
housing that are expected to achieve near net zero energy consumption due to the use of solar
panels and extensive energy conservation measures in the design of the buildings. The
construction funds are the final phase in a three-phase approach that will enable the creation of six
units of affordable housing that will promote economic diversity and provide much needed housing
within Lexington.
45. Affordable Housing Unit Renewal - $234,000 (CPA): This request is for preservation,
rehabilitation and restoration of 18 LexHAB units. Nine of the units were purchased with CPA
funds, and rehabilitation and preservation work is anticipated, including kitchen and bath
renovations, new appliances, electrical upgrades, installation of a new doors and exterior painting
to prevent failure. For the remaining nine LexHAB-operated units not secured with CPA funds, the
projects will include re-roofing or roof replacement as well as exterior painting to prevent damage
and failure of the structure.
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-25
.� ' �' ' '� 1 � ' •�• '� 1 1 .� '�
Ongoing Capital Programs-General Fund
Deferred
Dept. Project Name FY2023 FY2024 FY2025 FY2026 FY2027 Total
Innovation&Techno%gy
Application Implementation $ - $ 200,000 $ 100,000 $ 100,000 $ 100,000 $ 500,000
Network Core Equipment Replacement $ - $ 8Q000 $ 19Q000 $ - $ 26Q000 $ 530,000
Municipal Technology Improvement Program $ - $ 100,000 $ 100,000 $ 100,000 $ 100,000 $ 400,000
Network Redundancy&Improvement Plan $ - $ 450,000 $ 220,000 $ 110,000 $ - $ 780,000
Phone Systems&Unified Communications $ - $ - $ 90,000 $ 80,000 $ 60,000 $ 230,000
: � ��� �� ��� •� ��� � ��� ��� ���
Land Use,Hea/th and Development
Transportation Mitigation $ - $ 40,000 $ 60,000 $ 100,000 $ 100,000 $ 300,000
�� ��� .� ��� �� ��� �� ��� �� ���
Public Facilities
Public Facilities Bid Documents $ - $ 100,000 $ 100,000 $ 100,000 $ 100,000 $ 400,000
Building Flooring $ - $ 156,000 $ 162,000 $ 169,000 $ 176,000 $ 663,000
School Paving and Sidewalks $ - $ 218,000 $ 125,000 $ 125,000 $ 125,000 $ 593,000
Mechanical/Electrical Systems Replacements $ - $ 850,000 $ 917,000 $ 984,000 $ 1,053,000 $ 3,804,000
Municipal Building Envelopes and Associated Systems $ - $ 225,029 $ 230,655 $ 236,421 $ 242,332 $ 934,437
Townwide Roofing $ - $ 652,000 $ 1,269,000 $ 244,000 $ - $ 2,165,000
School Building Envelopes and Associated Systems $ - $ 257,684 $ 264,127 $ 270,600 $ 277,365 $ 1,069,776
�. • �
Public Works
' Townwide Culvert Replacement $ - $ 390,000 $ 390,000 $ 390,000 $ 390,000 $ 1,560,000
Equipment Replacement $ - $ 1,585,000 $ 1,575,000 $ 1,465,000 $ 1,52q000 $ 6,145,000
Sidewalk Improvements $ - $ 800,000 $ 800,000 $ 800,000 $ 800,000 $ 3,200,000
Townwide Signalization Improvements $ - $ 50,000 $ 55,000 $ - $ - $ 105,000
* Storm Drainage Improvements and NPDES Compliance $ - $ 570,000 $ 570,000 $ 570,000 $ 570,000 $ 2,280,000
* Comprehensive Watershed Stormwater Management $ - $ 390,000 $ 390,000 $ 390,000 $ 390,000 $ 1,560,000
Street Improvements $ - $ 2,688,312 $ 2,707,321 $ 2,726,806 $ 2,746,777 $ 10,869,216
Hydrant Replacement Program $ - $ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 300,000
- - - - - :�. . �
Schools
LPS Technology Program $ - $ 1,391,303 $1,312,551 $ 1,411,961 $ 1,389,538 $ 5,505,353
1 1
• . .• �� � 1 1� 1 � 1
Ongoing Capital Programs-Enterprise Funds
Deferred
Dept. Project Name FY2023 FY2024 FY2025 FY2026 FY2027 Total
Public Works
Pump Station Upgrades $ - $ 75,000 $ - $ - $ - $ 75,000
Sanitary Sewer System Investigation and Improvements $ - $ 1,040,404 $ 1,061,210 $ 1,082,431 $ 1,104,080 $ 4,288,125
Water Distribution System Improvements $ - $ 2,244,000 $ 2,288,900 $ 2,334,670 $ 2,381,360 $ 9,248,930
Hydrant Replacement Program $ - $ 75,000 $ 75,000 $ 75,000 $ 75,000 $ 300,000
WaterTower(s)replacement $ - $ - $ 2,156,250 $ 9,803,750 $ - $ 11,960,000
��� .� .� ��� �
Recreation&Community Programs
Pine Meadows Improvements $ - $ - $ 250,000 $ - $ 60,000 $ 310,000
Pine Meadows Equipment $ - $ 95,000 $ - $ 75,000 $ 30,000 $ 200,000
��� � ��� ��� •� ��� � ���
. . .� .. . ��� .� � . � ��� �
FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-26
.� ' �' ' '� 1 � ' •�• "� 1 1 .• '�
Ongoing and One-time Capital Projects-CPA Fund
Deferred
Dept. ProjectName FY2023 FY2024 FY2025 FY2026 FY2027 Total
Land Use,Health and Willard's Woods Site Improvements $ - $ 597,114 $ - $ - $ - $ 597,114
Development
Public Works Public Grounds Irrigation Improvements $ - $ 80,000 $ - $ - $ - $ 80,000
Park and Playground Improvements $ - $ 15Q000 $ 80Q000 $ 835,000 $ 25Q000 $ 2,035,000
Park Improvements-Athletic Fields $ - $ 285,000 $ 480,000 $ - $ - $ 765,000
Recreation&Community Park Improvements-Site Amenities $ - $ 30,000 $ - $ 30,000 $ - $ 60,000
Programs Cricket Field Construction $ - $ - $ - $ 200,000 $ - $ 200,000
Lincoln Park Fitness Stations Equipment $ - $ - $ - $ - $ 50,000 $ 50,000
Lincoln Park Field Improvements $ - $ 25,000 $ 425,000 $ 442,000 $ 460,000 $ 1,352,000
Town Clerk Archives&Records Management $ - $ 20,000 $ 20,000 $ 20,000 $ 20,000 $ 80,000
. .. ��� ��� :� ���
One-Time Capital Projects-General Fund
Deferred
Dept. ProjectName FY2023 FY2024 FY2025 FY2026 FY2027 Total
Replace Pumper Truck $ - $ - $ - $ 700,000 $ - $ 700,000
Fire
Ambulance Replacement $ - $ 335,000 $ - $ - $ 375,000 $ 710,000
LHS Feasibility Study $ - $ - $ - TBD $ - $ -
Public Facilities LHS Science Classroom Space Mining $ - $ 200,000 $ - $ - $ - $ 200,000
Cary Library Children's Room Renovation � - $ 5,58q000 $ - $ - $ - $ 5,580,000
Project
Hartwell Ave.Compost Site Improvements $ - $ - $ 200,000 $ - $ - $ 200,000
Municipal Parking Lot Improvements $ - $ 460,000 $ - $ - $ - $ 460,000
Public Parking Lot Improvement Program $ - $ 663,000 $ 619,000 $ - $ - $ 1,282,000
New Sidewalk Installations $ - $ 865,000 $ 250,000 $ - $ 3,000,000 $ 4,115,000
Public Works Bedford St.and Hartwell Ave.Long-Range
Transportation Improvements $ - $ 1,580,000 $ - $ - $ - $ 1,580,000
StreetAcceptance $ - TBD TBD TBD TBD $ -
Public Grounds Irrigation Improvements $ - $ 120,000 $ - $ - $ - $ 120,000
Cemetery Columbarium $ - $ - $ 450,000 $ - $ - $ 450,000
Recreation&Community Pine Meadows Clubhouse Renovation $ - $ 120,000 $ - $ 1,680,000 $ - $ 1,800,000
Programs Lincoln Park Field Improvements $ - $ - $ 775,000 $ 806,000 $ 838,000 $ 2,419,000
��� � .. ��� ' . ��i ��� ' . ���
FY2023 Recommended Budget & Financing Plan February 28, 2022
XI-27
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FY2023 Recommended Budget& Financing Plan February 28, 2022
XI-28
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Approve E�tension Request for Commercial Use of Town Property Post-COVID
ITEM
PRESENTER: NUMSER:
Jun Malloy, Town Manager
I.8
S UM MARY:
This is a discussion seelcing approval to continue the licensing procedw•e that has been used during the
pandemic for outdoor dining and alcohol licensing that delegates authority to the Town Manager to approve
applications. As the Board is aware, for the past two years, the authority the Town has had was under an
emergency act that allowed outdoor dining with only local approval. That authority expires this spring and
there does not appear to be a move to extend this authoriry to be local approval only. Therefore this may be a
two-part approval request of the Board.
The first approval request is to authorize the Town Manager to approve outdoor dming/alcohol service.
The second approval request would be to authorize the Town Manager to serve as the Deputy Liquor
Licensing Authority for outdoor dining/alcohol service.
SUGGESTED MOTION:
Move to authority the Town Manager to approve outdoor dining/alcohol service and further to authorize the
Town Manager to serve as the Deputy Liquor Licensing Authoriry for outdoor dining/alcohol service..
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 9:15pm
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Review and Approve the Creation of the Le�ngton Cultural District
PRESENTER: ITEM
NUMBER:
Sandhya Iyer, Du-ector of Economic
Development I.9
SUMMARY:
The Board had a presentation (public meeting)on creating a Cultural District on 9/27/21 and the Economic
Development Department is asking the Board to continue moving this forward. Other communities in our area
have developed a Cultural District which has assisted those communities in tourism development and this
would provide an additional tool in the Economic Development tool kit to attract visitors.
SUGGESTED MOTION:
Move to approve the resolution as attached.
FOLLOW-UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 9:25pm
ATTACHMENTS:
Description Type
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DRAFT
Lexington Cultural District Managing Partnership Agreement
The Town of Lexington and the Lexington Cultural District Managing Partnership have
partnered to establish the Lexington Cultural District. The Town supports this effort through a
Resolution approved by the Select Board on , _2022 and has designated a Town
Representative to worlc with the Managing Partnership.
I. PURPOSE OF THE AGREEMENT
This is a voluntary agreement("Agreement")between members of the Lexington Cultural
District Managing Partnership ("MP") setting out the responsibilities of each party in pursuing
the mission and management of the cultural district as designated by the Massachusetts Cultural
Council.
The mission of the Lexington Cultural District("LCD") is to support the artistic, creative and
cultural assets located within the designated district and the town, and to promote the same to
surrounding communities and the region. The goals of the district per the Select Board
Resolution:
1) Attract artists and cultw-al enterprises
2) Encourage business and job development
3) Establish tourist destinations
4) Preserve and reuse historic buildings
5) Enhance property values
6) Foster local cultural development
Upon recognition by the Commonwealth of Massachusetts as a designated cultural district, the
MP becomes the management entity of the LCD. The MP will be accountable to the Town of
Lexington as the governing authority of the LCD.
II. MANAGING PARTNERSHIP
Each managing partner represents one organization or business within the LCD. For a full list of
partners, see the final page of this Agreement. Any of the existing managing partners will have
the opportunity to recommend new managing partners at each quarterly meeting. A majority vote
of all managing partners present may establish new members or terminate members. Only one
vote is allowed per managing partner entity. Any member of this partnership may withdraw at
any time.
Each partner shall name an individual authorized to represent them in participating in LCD
decision-making and activities. Each partner agrees to respond to email communications from
the Coordinator and access materials distributed via the Lexington Cultural District directory in
Google drive (or a similar cloud storage method to be determined by the Coordinator). There will
be a quarterly meeting of the MP in October, January, April and July. All partners ar their
designee(s) are expected to attend.
Core Managing Partners:
There shall be a minimum of nine(9) Core Managing Partners (CMPs) in the MP consisting of
representatives of the following organizations:
• Lexington Economic Development Office
� Cary Memorial Library
• Lexington Council for the Arts
• Lexington Tourism Committee
• Lexington Chamber of Commerce
• Munroe Center far the Arts
• Lexington Arts and Crafts Society
• Lexington Symphony
• Lexington Historical Society
CMPs are the executive committee within the MP and may make decisions on behalf of the MP
regarding allocation of funds, choosing which initiatives the MP will pursue, creating andlor
dissolving task groups, and defining roles of officers within the MP.
The following officers of the MP will be members of the CMP and chosen by majority vote of
the MP at the January meeting for a term of one year, which can be renewed annually by
maj ority vote of the MP.
Coordinator:responsible for scheduling and giving notice of ineetings, creating and
disseminating agendas, designating a minutes-taker at meetings, distributing minutes,
establishing communications methods and keeping the LCD duectory up to date, and assembling
and submitting the LCD Annual Report.
Treasurer:responsible for keeping track of finances, managing the MP budget, and acting as
liaison with the Town Treasurer's office.
In addition to officer roles carried out by members of CMI', each task group established by the
CMP, including standing task groups, shall have at least one CMP who serves as a liaison to that
group.
Standing Task Groups:
• Marketing/Communications Task Group
• Impact Analysis Task Group
• Fundraising Taslc Group
III. FINANCES
Funds raised and disbursed by the LCD shall be managed by the Town's Treasurer's office in
coordination with the MP Treasurer. A financial report will be given by the MP Treasurer at
quarterly MP meetings.
The Town of Lexington is not obligated to expend any public funds by entering into this
agreement. No member of this partnership shall be bound to any financial obligation without
approval of the appropriate body within their organization and for expenditure of funds for their
appropriated purposes.
IV. AGREEMENT
The Town of LeXington agrees to participate in efForts to create,promote and sustain the LCD
by:
1. Endarsing the submission of the cultural district application to the Massachusetts Cultural
Council.
2. Endorsing the cultural district goals: attracting artists and cultural enterprises,
encouraging business and job development, establishing tourist destinations,preserving
and reusing historic buildings, enhancing property values, and fostering local cultural
development.
3. Appointing town officials to represent the town within the managing partnership of said
cultural district.
4. Encouraging all who own property or businesses within said cultural district to involve
themselves and participate in the development and advancement of the cultural district.
5. Directing town agencies to identify programs, cultivate resources, and provide services
that support and enhance the development and advancement of the cultural district and
ensuring that those programs, resources, and services are made accessible throughout the
cultural district.
6. Making the services of the Town Treasurer's office available to manage funds raised and
disbursed by the LCD.
The MP agrees to lead the efforts to create,promote and sustain the LCD by:
1. Participating in the governance and activities of the MP and being available for task
group work.
2. Encouraging local artists, makers, creative businesses and cultural organizations to
identify themselves as being part of the LCD.
3. Cooperating in marketing initiatives that are identified and endorsed by the MP.
4. Representing the LCD and its goals at appropriate Town committees and civic meetings
as identified by the MP.
5. Supporting efforts to achieve consistency of identity through a variety of inethods (i.e.
signage, logo, colors).
6. Fostering partnerships and opportunities between local entities and individual artists.
7. Providing advice and stewardship of the economic sustainability of the LCD.
EFFECTIVE DATE AND DURATION OF AGREEMENT
This agreement shall talce effect immediately upon its endorsement and may be amended at any
time by a majority vote of the CMPs.
AGREED TO BY:
CORE MANAGING PARTNERS:
Name:
Office: Lexington Economic Development Office
Email:
Signature:
Date:
Name:
Office: Cary Memorial Library
Email:
Signature:
Date:
Name:
Office: Lexington Council for the Arts
Email:
Signature:
Date:
Name:
Office: Lexington Tourism Committee
Email:
Signature:
Date:
Name:
Office: Lexington Chamber of Commerce
Email:
Signature:
Date:
Name:
Office: Munroe Center for the Arts
Email:
Signature:
Date:
Name:
Office: Lexington Arts and Crafts Society
Email:
Signature:
Date:
Name:
Office: Lexington Symphony
EmaiL•
Signature:
Date:
Name:
Office: Lexington Historical Society
Email:
Signature:
Date:
MANAGING PARTNERS AT-LARGE
Lexington Retailer's Association
Scottish Rite Masonic Museum&Library
Lexington Community Center
Gallery Twist
Cary Lecture Committee
Lexington Bicycle Advisory Committee
Special Needs Arts Program
Chinese American Association of Lexington
[Lexington Select Board Letterhead]
DRAFT
A resolution by the Town of Lexington's Select Board to create a state-authorized cultural
district for at least five (5) years to be named the Lexington Cultural District.
WHEREAS: The Town of Lexington wishes to pursue a state-authorized cultural district through
the enabling legislation(M.G.L. Chapter 10, Section 58A); and
WHEREAS: The Town has a mixed-use geographical area that has a concentration of cultural
facilities and assets; and
WHEREAS: The Town has held a public hearing in which town citizens expressed support for
establishing a state-authorized cultural district; and
WHEREAS: The Town has created a broad and diverse Managing Partnership of stakeholders
committed to cultural, community, and economic development to provide oversight of the
district; and
WHEREAS: The Massachusetts Cultural Council will be petitioned in accordance with its
guidelines and criteria to designate said cultural district.
NOW, THEREFORE, BE IT RESOLVED that we, the members of the Lexington Select Board:
Article 1. Endorse the subinission of this application and agree to foster the development of a
cultural district.
Article 2. Endorse the state-sponsored ciiltural district goals of attracting artists and cultural
enterprises, encouraging business and job development, establishing tourist destinations,
preserving and reusing historic buildings, enhancing property values, and fostering local cultural
development.
Article 3. Shall appoint a Town of�cial(s) to represent the Town within the Managing
Partnership of the said cultural district.
Article 4. Encourage all who own property or businesses within the said cultural district to
involve themselves and participate in the full development of the cultural district.
Article 5. Request Town agencies to identify programs and services that could support and
enhance the development of the cultural district and ensure that those programs and services are
accessible to the cultural district.
Article 6. Make the services of the Town Treasurer's office available to manage funds raised and
disbursed by the cultural district.
Adopted on this_day of , 2022
SELECT BOARD OF THE TOWN OF LEXINGTON:
A true record.
ATTEST:
By
Board Administrator
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Conflict of Interest Determination: Pamela Shadley - Le�ngton Center Committee
ITEM
PRESENTER: NUMBER:
Board Discussion
1.10
SUMMARY:
Ms. Pamela Shadley was asked by an engineering team to participate in the Lexington Parking Lots project as
a paid landscape architect, to which she intends to accept the position. She would be providing landscape
architectural services to Jacobs Engineering and, would be asked to present designs/plans regarding this
Lexington Parking Lots project to the Lexington Center Committee.
Ms. Shadley is a current member of the Lexington Center Committee. In accordance with G.L. c. 268A, § 19,
she has submitted a disclosure to the Select Board that she will have a financial interest in the Lexington
Parking Lots project that would be l�kely come before the Lexington Center Committee. The Massachusetts
Ethics Cornrnission notes that if not seeking authorization to participate as a municipal employee, that municipal
employee must at least infonn the appointing authority they cannot perform their committee duties on this
manner. As such, Ms. Shadley has affn-med that she will recuse herself as a Lexington Center Committee
Meinber on the subject of Lexington Parldng Lots project.
Tonight, Ms. Shadley comes before the Board to ask clarification if she can, upon recusing herself as a
Lexington Center Committee Member,participate in the LeXington Center Cominittee meeting in her capacity
as paid consultant of Jacobs Engineering regarding Lexington Parking Lots project. She would be looking to
be able to present to the LeXington Center Committee and/or answer any questions from the Committee in her
capacity as a paid consultant of Jacobs Engineering.
SUGGESTED MOTION:
Move to ( approve / not approve) allowing Pam Shadley to participate, as a guest presenter in a Lexington
Center Committee meeting in her capacity as paid consultant of Jacobs Engineering to present project
information to the Lexington Center Committee and/or answer any questions asked by the Lexington Center
Committee of Jacobs Engineering regarding Lexington Parking Lots project contingent upon her properly
recusing herself as a Lexington Center Committee Member.
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 9:40pm
ATTACHMENTS:
Description Type
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Shadley Associates, P.C.
Landscape Architects and Site Planning Consultants T. 781- 652-8809
1730 Massachusetts Avenue F. 781-862-2687
Lexington, Massachusetts 02420-5301
)anuary 6, 2022
Mr. James J. Malloy
Town Manager
Town of Lexington
Lexington, MA 02420
Re: Request for a Waiver relative to Conflict of Interest
Dear Mr. Malloy,
I am a Lexington resident and business owner and have been serving as a volunteer on the
Center Committee for many years. I have participated in the Lexington Streetscape Ad Hoc
Committee and most recently on the Working Group, working with the Town and the
streetscape consultant on the plans. I care very much about the Center of our Town.
I have recently been asked to participate as a paid consultant on a team that is being
formulated to prepare design drawings and bid documents for improvements to the three
center parking lots (informally called the Depot Lot, CVS Lot and Michelson's Lot). Because
this appears to be a conflict of interest relative to being a "municipal employee" (as a
volunteer on the Center Committee), I am formally requesting a waiver, so I can participate on
this team and provide landscape architectural services.
It is my understanding that if this waiver is approved and the parking lot work is presented to
the Center Committee, which it inevitably will be, that I would announce my participation on
the consultant team, would be able to make the presentation, and would recuse myself from
any Center Committee votes on the project.
I would very much appreciate your review and response on this situation and, hopefully, your
approval of a waiver of the conflict-of-interest laws relative to this specific situation.
Thank you very much for your consideration.
Sincerely,
��� �
Pamela F. Shadley, FASLA
Principal
AGENDA ITEM SUMMARY
LEXINGTON SELECT BOARD MEETING
AGENDA ITEM TITLE:
Discussion on Parlcing Meters
ITEM
PRESENTER NUMBER:
Jim Malloy, Town Manager
I.11
SUMMARY:
This is a discussion on the parking�neters that need to be upgraded to 4G. We have estiinates for the total
cost, due to other issues with the meters that make them hard to read(we have complaints from business
groups)we need to ha�e new globes and other repairs done to 32] of the meters to malce them usable. We
ha�e sufficient funds to address these issues since we did not move forward with the more expensive kiosks.
However, we ha�e had internal discussions about whether there is a value to considering having
casl�/paybyphone as the two options for paying for parking as opposed to casl�/credit cards. The
cash/paybyphone option would negate the need to update to 4G (although we are working to make sure there
aren't other reasons to maintain 4G, such as notification when a meter is not operable). The other change staff
is recommending is that the cost of PaybyPhone is passed on to the consumer(15%)however, this is not the
case with the credit card users and this should be consistent and staff is recommending that we adjust the ineter
costs for credit cards (should the Board prefer to retain credit cards at parking meters)to be consistent with
the PaybyPhone app. Attached is a cost analysis of the options for the 4G issue discussesd above.
SUGGESTED MOTION:
No motion is required, this is a discussion to obtain the consensus of the Board before staff moves forward.
FOLLOW UP:
DATE AND APPROXIMATE TIME ON AGENDA:
2/7/2022 9:45pm
ATTACHMENTS:
Description Type
❑ 4��aJ�r��•�u4:9c�hr�b rhur�llg 4;ur� 4:'ao�c,r t`�a.zn�;�
Cost Each uantit Total Cost
4G Upgrade Only $ 205 208 $ 42,640
Repair+4G Upgrade $ 300 321 $ 96,300
Total: $ 138,940
Repair Only+ PaybyPhone for Meters $ 115 321 $ 36,915
Original Appropriations: Available Expended Remaining
2016 $ 106,762 $ 20,500 $ 86,262
2021 $ 343,237 $ - $ 343,237
Total Remaining: $ 429,499