HomeMy WebLinkAbout2024-01-25 FY2025 Financial Summit III Packet - Released FY2025 Financial Summit III
S elect Board, S chool C ommittee,Appropriation C ommittee,
C apital E xpe nditure s C o mmitte e
January 25, 2024
7:00 PM
Conducted by Remote Participation�
AGENDA
ITEMS FOR INDIVIDUAL CONSIDERATION
1. F Y2025 F inancial S ummit III 7:OOpm
• F Y2025 P reliminary Budget and F inanc ing P lan
• Capital Expenditures Committee- Preliminary Report: FY2025 Proposed
Capital Projects
• Review 2024 Annual Town Meeting Articles
ADJOURN
1. Anticipated Adjournment 8:30pm
Meeting Packet:https://lexington.novusagenda.com/agendapublic/
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AGENDA ITEM SUMMARY
LEXINGTON BOARD OF SELECTMEN MEETING
AGENDAITEM TITLE:
FY2025 Financial Summit III
PRESENTER: ITEM
NUMBER:
C arolyn Ko sno ff,As sistant Town
Manager for Finance I.1
Sub Item:
• FY2025 Preliminary Budget and Financing Plan
• Capital Expenditures Committee - Preliminary Report: FY2025 Proposed Capital
Proj ects
• Review 2024 Annual Town Meeting Articles
S UMMARY:
SUGGESTED MOTION:
FOLLOW-UP:
DATE AND APPROXIMATE TIME ON AGENDA:
1/25/2024 7:OOpm
ATTACHMENTS:
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Ca ital Ex end itu res Com m ittee Com ments
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to the Third Summit Re ardin
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FY2025 Ca ital Im rovement Pro'ects, Januar 25, 2024
p p J y
General
• Kudos for continued funding of programs with cash capital
Lexington High School Project
• Uncertainty around this project's cost casts a shadow over all other major projects in
Town. We need a plan for what happens if the cost is in excess of what we're currently
carrying. [Consider creating an alternative model of the CSF/LHS debt service
spreadsheet to see the potential taxpayer impact?].
• Any Article 97 swap needs to be firmed up with actual swap specifications before any
Town Meeting vote, even if that means delaying an Article 97 Article to an STM.
Old Harrington School, LPS Central Office, Athletic Fields, 173 Bedford St
Easily the second biggest thing keeping CEC awake at night is the disposition of Old Harrington
• SB has discussed a potential change in direction. A firm decision needs to be made
soon — it affects multiple CIPs.
• Potential loss of swing space for a future school construction project.
• Concerns about voter perception of the overall size of LHS project if the CO moves to
the future LHS and whether there would still be enough space for future expansion,
parking, etc. [We recognize that it probably "makes sense" to put the CO at LHS and that
it is included in current cost estimates.]
• Codify the costs (pros and cons) of using 173 Bedford St for the CO vs Affordable
Housing. [This was mentioned at the previous summit, but it would be good to have it on
paper.]
Community Preservation Fund
We have general overall concerns about:
• The number of large projects seeking CPF funding (Stone Building, Recreation, AH
Trust, Library, etc.)
• The ability of the CPF to fund all of those large projects
o $48m of anticipated (known) requests
o $40m of anticipated revenues
• The potential/probable impact on the general fund of those projects if the CPF can't fund
them.
• The potential for CPF debt.
East Lexington Fire Station
This is a large uncertainty. Are there fallback positions? Or are we really comfortable that we
can use the Mason's land on Marrett Rd?
Other Monsters U nder The Bed
• Stormwater (phosphorus)
• The ability to pass future DEs after LHS (ELFS, Library part 2, TOB)
• Ability to continue increasing cash funding for Capital Programs
• Water Tank uncertainty
Other Concerns
• Density vs School overcrowding. Enrollment Working Group and School Master Planning
Committees should be active during LHS process.
• Are we missing grant opportunities? Should we have an on-stafF grant writer?
• Ambulance Replacement (CIP Fire-25-4) out-year cost (FY2028, $525,000, only 4.6%
increase after 3 years)was suspiciously low. Fire Chief Sencabaugh checked a source
last Friday and they suggested a cost increase of 5%/year was likely. The Chief will
replace the FY2028 entry to a rounded $580,000 after 5% increases for each of the 3
years.
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Table of Contents ��
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The budget document outlines the Town s financial plan as recommended by the
Select Board. Both the operating and capital budgets are contained in this �
document. The effective period of this budget is from July 1, 2024 to _d -
June 30, 2025. ��"�
B u d et-I n-B ri ef
g
Report of the Town Manager
The Budget Message is a letter to the Select Board from the Town Manager in support of the
enclosed budget recommendations. The letter provides an overview of the operating and
capital budget, identifies significant budget issues, and explains the Town Manager's rationale
for budget recommendations.
Section I: Budget Overview
The Budget Overview contains several summary tables, which display the schedule of the
FY2025 budget process, expenditure and revenue history, and a detailed summary of
proposed appropriations for the coming fiscal year.
Budget Process
Summary of Revenues and Expenditures I-1
Program Summary I-2
S e ct i o n I I: Reve n u es
The Revenue section contains a narrative description of revenue sources followed by a series
of tables that displays a detailed summary of actual and projected revenues.
Description of Revenues II-3
Detailed Budget Information
Section III: Program 1000: Education
1000 Education Program III-1
1100 Lexington Public Schools III-2
1200 Minuteman Regional High School III-18
Section IV: Program 2000: Shared Expenses
2000 Sha red Expenses IV-1
2100 Employee Benefits IV-3
2200 Property & Liability Insurance IV-8
2300 Sola r Prod ucer Payments IV-10
2400 Debt Service IV-12
2500 Reserve Fund IV-14
2600 Public Facilities IV-17
FY2025 Preliminary Budget& Financing Plan January 18, 2024
1
Section V: Pro ram 3000: Pu bl ic Works
g
3000 Pu bl ic Works V-1
3000 - 3500 DPW Su m ma ry V-2
3100 DPW Administration and Engineering V-7
3200 Highway V-12
3300 Public Grounds V-16
3400 Environmental Services V-20
3600 Water Enterprise V-25
3700 Sewer Enterprise V-29
Section VI: Pro ram 4000: Pu bl ic Safet
g y
4000 Pu bl ic Safety VI-1
4100 Law Enforcement VI-3
4200 Fi re & Rescue VI-10
Section VII: Pro ram 5000: Culture and Recreation
g
5000 Culture and Recreation VII-1
5100 Cary Memorial Library VII-3
5200 Recreation and Community Programs VII-9
Section VIII: Program 6000: Human Services and Health
6000 Human Services and Health VIII-1
6100 - 6200 Administration, Veterans' Services, Youth and Family VIII-2
Services, Senior Services and Community Programs, and
Transportation Services
6500 Health VIII-8
Section IX: Program 7000: Land Use, Housing and
Development Department
7000 Land Use, Housing and Development Department IX-1
7100 - 7400 Summary IX-3
7110 Building and Zoning IX-10
7120 Administration IX-14
7130 Conservation IX-17
7200 Planning IX-21
7300 Economic Development IX-25
FY2025 Preliminary Budget& Financing Plan January 18, 2024
2
Section X: Pro ram 8000: General Government
g
8000 General Government X-1
8100 Select Boa rd X-1
8200 Town Manager X-6
8300 Town Com m ittees X-11
8400 Fi na nce X-13
8500 Town Clerk X-18
8600 Innovation &Technology X-22
FY2025 Capital Improvement Budget & Financing Plan
Section XI: Capital I nvestment
FY2025 Capital Improvement Budget & Financing Plan XI-1
Acknowledgments
Preparing a budget document with this level of detail is a significant undertaking. I would like to
express my appreciation to Superintendent of Schools Julie Hackett, Assistant Superintendent for
Finance and Administration David Coelho, as well as the Senior Management Team and board and
committee members who contributed to the development of this budget. I would like to specifically
acknowledge Town Accountant Krista Murphy, Director of Assessing Robert Lent, Management Fellow
James Robinson, Human Resources Director Anne Kostos, and Deputy Town Manager Kelly Axtell for
their work in preparing the many facets of this document. In addition, the completion of the
Preliminary Budget and Financing Plan is due directly to the analysis and extraordinary efforts of
Assistant Town Manager for Finance/Comptroller Carolyn Kosnoff and Budget Officer Rosalyn Impink.
�ames ]. Malloy, Town Manager
FY2025 Preliminary Budget& Financing Plan January 18, 2024
3
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]ames �. Malloy, Town Manager Tel: (781) 698-4540
Kelly E. Axtell, Deputy Town Manager Fax: (781) 861-2921
January 18, 2024
The Honorable Select Board, Appropriation Committee and Capital Expenditures
Committee:
I am hereby submitting the FY2025 Town Manager's Preliminary Budget and Financing Plan for your
review. Our primary goal has been to develop a budget and financing plan that maintains a high level
of municipal and school services while remaining sustainable for the community in the long term. We
strive to articulate this plan in a transparent manner through the leadership actions, behaviors and
visions of the Select Board and various policy and advisory committees.
A Sustainable Budget: Budgets are about priorities and should be strategic in explaining what we
do, why we do it, when we do it, and how we propose to invest the resources of our taxpayers to
achieve the results our community desires. While focusing on long-term priorities sometimes takes a
back seat to the immediate demands placed on Town officials, it is important to strike a balance among
competing demands. We hope this document is helpful in this regard.
We expect the Town will maintain a sound financial position leading up to and throughout FY2025 due
to conservative budgeting and strong fiscal management. For FY2025 we expect a modest amount of
revenue growth that is sufficient to maintain contractual obligations and current levels of service.
Importantly, new commercial growth will allow the Town to pursue financial policies and goals that
address long-term liabilities and capital needs.
This Preliminary Budget is balanced and based on a 4.3% increase in revenue as projected in the
Town's Revenue Allocation Model that has been used by the Town for the past two decades to ensure
a fair distribution of new revenues to the School and Municipal sides of Town government. This
projected revenue is up from the 3.7% increase that was presented at Summit II in November 2023.
The updated allocation of revenue provides funding for the School Department at $140,508,367 for
FY2025, an increase of $5,778,123 over the FY2024 budget. The Municipal budget is $49,423,073, an
increase of $2,032,424 over the FY2024 budget.
In addition to the budget presented here, the Town continues to utilize $9.9 million in federal funds
that were directly allocated to Lexington via the American Rescue Plan Act (ARPA). This federal grant
funding is allocated by the Lexington Select Board; these funds must be obligated by end of calendar
year 2024 and fully expended by the end of calendar year 2026. The Board has made it a priority to
utilize this funding to support economic recovery, maintain public health and safety, and assist those
residents and businesses disproportionately impacted by the pandemic.
i
A Transparent Budget: The operating and capital budget the Board recommends to Town Meeting
is the single most important policy document considered each year, as the budget is the one-year
spending plan based on the Board's strategic priorities. The best way to explain Town operations, in
depth and for the critical eye, is for Town officials to be transparent in everything we do.
In preparing this Preliminary Budget, Town and School department staff strived to create a document
that presents the budget in a manner that meets the requirements and expectations of our boards,
committees, Town Meeting members and residents. It reflects many competing interests, but in the
end has been, and should continue to be, a reflection on what is best for the Town as a whole. This
FY2025 Preliminary Budget proposes $290 million in General Fund spending, $36 million in Enterprise
Fund spending, $4 million in Revolving Fund spending and $49 million in capital projects.
As always, the Senior Management Team and I remain committed to working with the Select Board,
School Department and financial committees in striking a balance in the allocation of projected
revenues for Town services, educational programs and capital improvements to ensure that we
continue to meet the needs and expectations of Lexington's residents. We believe this document is
comprehensive enough so that readers understand where Town revenue comes from and what they
are spent on, yet succinct enough that the details are not overwhelming. Staff and I will continue to
endeavor to improve not only this document, but the budgeting process and will continue to strive to
provide improvements and welcome comments and suggestions in order to provide a better
communicated budget in the future.
I want to acknowledge and thank the work and effort that Carolyn Kosnoff, Assistant Town Manager
for Finance and Rosalyn Impink, Budget Officer have contributed to this document and the entire
budget process, along with the entire Senior Management Team and other staff of the Town.
Very tru ly you rs,
James J. Malloy
Town Manager
ii
Prel i m i na Bud et - I n Su m ma
rY J rY
This budget, as submitted, is balanced given the revenue assumptions shown in Section II of this
document. FY2025 revenue was presented in detail at Financial Summit II and was subsequently
updated to reflect increases in certain line items as staff refined projections.
Town Manager's Overall Recommendations
In light of the goals and priorities of the Select Board and the discussions at Financial Summits I & II,
this preliminary budget includes the following key recommendations:
• Municipal and School Department Revenue Allocations - At Financial Summit II, a
Revenue Allocation Formula was presented which projected an available funding increase of
3.7%. This figure was recently refined and the allocation to both Town and School increased to
4.3%. The Town Manager's recommended budget, including recommended program
improvements, fully expends the allocation for municipal services. The Superintendent of
Schools' recommended budget fully expends the allocation for the schools.
• Municipal Program Improvement Requests (PIRs) - Senior managers submitted a total of
$1,521,232 in municipal program improvement requests for the FY2025 General Fund budget.
While FY2025 revenues are expected to increase modestly, several large collective bargaining
agreements recently settled, and new compensation rates are reflected in the FY2025 budget.
This originally resulted in little to no funding for discretionary program improvements in FY2025.
In order to fund some of the Board's top priorities, the Town Manager and Senior Management
Team reviewed and reduced targeted line items in the municipal budget to allow for $441,427
in recommended General Fund program improvements for FY2025. This detailed review was to
identify areas where historic spending was lower than budget, and therefore these targeted
reductions are not expected to have a negative impact on existing service levels. Additional
program improvements are recommended if they are outside the General Fund and will be
covered with Enterprise, Revolving Fund or other available revenues, including American Rescue
Plan Act (ARPA) funds.
• Capital Budget - This Preliminary Budget includes recommendations for $49.4 million in
capital projects, including those identified as priorities by the Select Board, as well as the typical
capital programs included in the capital plan in order to maintain the Town's infrastructure. Of
this amount, $28.1 million is sourced from available funding sources, such as the tax levy, user
charges, Free Cash, Enterprise retained earnings, the Community Preservation Act (CPA), and
other funds. The remaining $21.3 million is proposed to be debt financed. Debt financing will
be within the limits of Proposition 2�/z, with the potential exception of the $10 million request
for design funds for Lexington High School which is expected to be included in a future
Proposition 2 1/2 debt exclusion referendum.
• Dedicated Tax Levy for Capital Stabilization Fund (CSF) - The Town has utilized the CSF
over the last several years to create stability in the Town's obligated debt service, and has
reaffirmed the intention to continue this practice in the coming years. The FY2025 budget
continues the fiscal guideline adopted in 2022 to dedicate new tax l evy growth from specific
properties (PSDUP & Hartwell Redevelopment) to increase reserves for future capital projects,
specifically, the Lexington High School construction project. In FY2024, $4,036,373 was
transferred to the CSF from the tax levy under this new guideline. That amount continues into
FY2025 and is anticipated to grow once new l evy growth for the targeted properties is
calculated for FY2025. The Fall 2024 Special Town Meeting will be asked to transfer that further
amount to the CSF. This funding will provide a sustainable funding source that will mitigate a
portion of the new high school debt service costs.
iii
• Reduced Reliance on Free Cash for Operating Budget - In FY2023, the Town completed a
5-year transition of eliminating the use of Free Cash to support the operating budget.
Implementation of this fiscal guideline has begun showing results by increasing funds available
for cash capital, thereby reducing within levy debt service resulting in greatly reduced interest
costs. The Town does not intend to use Free Cash for operations in FY2025.
• Unallocated Revenues - In planning the proposed operating and capital budget, there are
unknowns in revenue projections (e.g., State Aid), proposed operating budgets (e.g., employee
benefits/health insurance), certain capital project estimates, as well as potentially competing
priorities of the Select Board, School Committee and the financial committees. This preliminary
budget provides $1,000,000 in unallocated funds (Free Cash) that can be directed towards any
of these pu rposes d u ri ng the review a nd vetti ng process.
Select Board Priorities
This preliminary FY2025 budget is responsive to many of the priorities identified by the Select Board
during its annual goal-setting meetings, and in response to needs arising throughout the year,
including:
• Staffing to Support Recent Town Meeting Actions: The 2023 Annual Town Meeting
passed new Tree bylaws, and the 2021 Special Town Meeting and subsequent 2022 townwide
referendum passed a more stringent noise bylaw and imposed a ban on gas powered leaf
blowers. This budget proposes new positions for an Assistant Superintendent of Public Grounds
and a Code Enforcement Officer to address the additional workload that have resulted from the
increase in operational demands. This budget also proposes one full-time and one part-time
position for fire and mechanical inspectors, respectively, to keep up with the increase in
development that has resulted from changes in zoning bylaws.
• Funding for the Semiquincentennial Celebration: The FY2025 budget proposed to
appropriate $500,000 for planning and coordinating the events for the yearlong celebration of
the 250th Anniversary of the Battle of Lexington which will take place in 2025. The time frame
for events is anticipated to be Fall of 2024 through Fall of 2025.
• Sustainability: Departments have continued to implement the Select Board's electric vehicle
policy, and have factored increased costs into the General Fund for the planned replacement of
fossil fuel municipal vehicles with electric models.
The Select Board has expressed desire to expand the Town's food waste collection and
composting program from 2,000 households in FY2024 to 4,000 households in FY2025. The
recommendation of the Town Manager is to fund this expanded program with ARPA funds in
FY2025, with the expectation for this to become part of the General Fund operating budget in
FY2026.
Lastly, this budget includes funding of a program improvement for sustainability in the
operating budget, and capital requests for electric vehicle chargers and a feasibility study for a
new solar canopy over the parking lot at Lincoln Field.
• Capital Improvement Planning: The FY2025 capital budget continues to plan for a large-
scale reconstruction or renovation of Lexington High School (LHS) with a request for $10 million
in design funds to advance the project through schematic design. The FY2025 budget also
proposes funding to begin a multi-phased reorganization of Town assets including:
• A $6 million renovation of the swing space building at 173 Bedford Street in FY2025 to
allow the Superintendent of Schools and School Administration to occupy the building in
the coming years as LHS is under construction.
iv
• The FY2026 capital plan is expected to include funding to demolish the existing School
Administration Building at 146 Maple Street and additional funding for site work and
installation of recreation fields at that site. These fields will help address field loss at the
LHS site in future years while that project is under construction.
• The FY2026 capital plan is expected to include construction funding for LHS. Office
space for the School Administration will be included in the new LHS building.
• In a future fiscal year the 173 Bedford Street building may be used as swing space for
the Cary Memorial Library and/or the Town Office Building as additional capital
improvements are implemented in those buildings.
• Maintain Public Access Television: This budget includes a partial funding of the LexMedia
contract from the tax levy at a level equal with FY2024. As local subscriptions to cable television
continue to decline, revenues to the Town's PEG Access Fund have declined. Projections
indicate that continuation of Public Access Television will no longer be possible without General
Fund support. This budget allocates $100,000 of tax levy support to maintain current levels of
service. This amount of General Fund support is expected to increase in future budget cycles.
• Pedestrian, Bicycle and Vehicle Safety on Town Roads: Overall, $3,902,321 is
recommended for the construction of new Sidewalks; existing Sidewalk Improvements; Street
Improvements and traffic safety.
• Fiscal Stability: This budget implements fiscal guidelines discussed above to dedicate a
portion of the tax levy to the Capital Stabilization Fund to align with long-term capital spending,
and to the Retirement Fund to continue to address the Town's unfunded liabilities. This budget
also appropriates available funds to continue to address the Town's long-term liability for Other
Post-Employment Benefits (OPEB).
v
Budget H ig hl ig hts
This document includes General Fund operating budgets, the Capital budget, Enterprise Fund budgets
and proposed Community Preservation Act funded projects.
A comparison of the FY2024 appropriated budget to the FY2025 recommended General Fund budget is
shown below.
Table 1 FY2025
FY2024 Recommended %
Appropriated Budget $ Change Change
Lexington Public Schools $ 134,730,244 $ 140,508,367 $ 5,778,123 4.3 %
Minuteman High School* $ 3,501,977 $ 3,482,747 $ (19,230) (0.5) %
Shared Expenses $ 68,868,939 $ 72,296,815 $ 3,427,876 5.0 %
Municipal Departments $ 47,117,941 $ 49,056,323 $ 1,938,382 4.1 %
Cash Capital-Tax Levy and � 16,342,464 $ 16,243,759 $ (98,705) (0.6) %
Ava�lable Funds
Other** $ 8,106,841 $ 8,053,802 $ 53,039 0.7 %
Total - General Fund Only $278,668,406 $ 289,641,812 $10,973,40 3.9 %
*The FY2024 Appropriations for Minuteman Regional High School has been adjusted to reflect the actual
assessmen ts for tha t year.
**Other captures Unallocated revenue,contributions to the Capital Stabilization and OPEB Trust Funds,and
various other expenses.
Prel i m i na Bud et a nd Fi na nci n Pla n
rY J J
To facilitate review of this document, some of the salient aspects of this budget are highlighted below:
1. FY2025 Projected Revenues
• Revenue Projections(Section Il) - General Fund operating revenues are projected to
increase by $10,555,996 or 3.8% over FY2024 estimated revenues. Lexington's projected and
actual revenue growth for prior years is shown below:
Proiected Actual Proiected Actual
� �
FY2025 3.8% FY2019 3.6% 3.6%
FY2024 4.7% FY2018 4.6% 6.6%
FY2023 3.9% 7.8% FY2017 2.8% 3.3%
FY2022 7.0% 7.2% FY2016 4.2% 6.8%
FY2021 3.6% 2.5% FY2015 3.6% 2.6%
FY2020 3.5% 3.4% FY2014 6.9% 9.4%
• Revenue A/location Mode/- Each year, the Town Manager recommends the allocation of
projected revenues that can be applied to fund the operating budget in the next fiscal year.
This model was developed in 2006 by the Town Manager, Assistant Town Manager for
Finance, and Superintendent of Schools, and is reviewed annually. The FY2025 model was
reviewed by the Select Board, financial committees and School Committee at Financial Summit
II, and was subsequently updated for Summit III in ]anuary 2024 to allocate an additional
$1.05 million in revenue between the Town and School. The final model projected $7.82
million in net new revenue to be allocated, which represents a 4.3% increase compared to
budgeted amounts from the prior year.
vi
For FY2025 the final Revenue Allocation reflects a minor change in methodology related to
Shared Expenses. The Town Manager and Superintendent of Schools have agreed to share
the cost of the Town's contracted Refuse and Recycling collection and disposal costs for
Municipal and School buildings. Previously this cost was fully covered in the Department of
Public Works - Environmental Services expense budget. This Preliminary Budget and Financing
Plan presents the estimated cost of $104,838 as a Shared Expense beginning in FY2025.
The amounts shown in this Preliminary Budget and Financing Plan represent the Town
Manager's recommended FY2025 budget for municipal operations and Superintendent of
School's recommended FY2025 budget, inclusive of benefits for new employees. The
Superintendent's budget is pending review and adoption by the School Committee. All
budgets are pending review and adoption by the Select Board.
Other Revenue Considerations
• In FY2024 the Town Manager recommended, and Town Meeting voted, to create a Refuse
Collection Revolving Fund which was intended to generate a fee for collection and disposal
of bulky items and white goods. After further discussion and consideration the Select Board
chose not to implement a fee for this service during FY2024. The cost for collection and
disposal of these large items remains in the Town's Refuse Collection budget at no additional
cost to the user. Management has not proposed reauthorization or budget for the Refuse
Collection Revolving Fund in FY2025. Additional information about the Towns Refuse
Collection and Recycling programs can be found in Section V: Program 3400 - Environmental
Services.
• Over the last several years Town management has explored creating a Stormwater
Enterprise Fund to be funded by a Stormwater Management Fee. Stormwater management
is an important local, state and national concern. The Town is expending approximately
$2,500,000 annually as part of the capital and operating budgets to improve and maintain
drainage townwide, to comply with Environmental Protection Agency (EPA)'s stormwater
regulations including the National Pollution Discharge Elimination system (NPDES) permit.
The establishment of this new Enterprise fund has been put on hold as the EPA's regulations
evolve and until they issue the town a new Municipal Separated Storm Sewer System (MS4)
permit, which is expected in 2024. Once issued Town staff will assess requirements of the
permit and whether or not Stormwater capital requirements can be managed within the
existing budget. If the new permit requirements result in an expansion of the Town's
Stormwater management program, costs may increase rapidly and the Town may reconsider
the proposal for a Stormwater Enterprise Fund.
vi i
2. Departmental Budget Summary
a. Section III of this document reflects the School Department operating budget proposed by
the Superintendent of Schools summarized in the table shown below:
FY2025 �
Su peri ntendent s
FY2024 Recommended
Lexington Public Schools Appropriation Budget $ Change % Change
Compensation/Expenses $ 134,730,244 $ 140,508,367 $ 5,778,123 4.29%
The Superintendent's proposed budget, presented to the School Committee on
]anuary 9, 2024, can be found on the School Department Website at •
.
. . . - - - - - ,
b. Section IV of this document includes all Shared Expenses. Overall, Shared Expenses are
increasing by $3,427,876 or 5.0%. Beginning in FY2025, Refuse and Recycling collection and
processing expenses for School and Municipal buildings are included with Shared Expenses.
A summary table of Shared Expenses is shown below:
FY2025
FY2024 Recommended
Shared Expenses Appropriated Budget $ Change % Change
Contributory Retirement $ 9,984,800 $ 10,743,076 $ 758,276 7.59 %
Employee Benefits $ 34,937,635 $ 37,478,895 $ 2,541,260 7.27 %
Unemployment $ 200,000 $ 200,000 $ — — %
Workers Compensation $ 500,000 $ 500,000 $ — — %
Property& Liability Insurance $ 992,000 $ 1,140,800 $ 148,800 15.00 %
U n i nsu red Losses $ 200,000 $ 200,000 $ — — %
Solar Producer Payments $ 390,000 $ 390,000 $ — — %
Within-Levy Debt Service* $ 6,854,101 $ 6,123,352 $ (730,749) (10.66) %
Reserve Fund $ 750,000 $ 850,000 $ 100,000 13.33 %
Facilities Department $ 14,060,403 $ 14,565,854 $ 505,451 3.59 %
Refuse & Recycle (School & Muni) $ — $ 104,838 $ 104,838 100.00 %
Total $ 68,868,939 $ 72,296,815 $ 3,427,876 4.98 %
*This is gross within-levy debt service,excluding any use of the Capital Stabilization Fund and other reserve accounts.
c. Sections V to X of this document include the recommended budgets for each municipal
department. Municipal department managers initially submit level-service budget requests. A
level-service budget is defined as the funds necessary to replicate the current level of services
provided and to meet all legal requirements, including collective bargaining requirements and
state or federal mandates. Any increases proposed beyond level-service are shown in each
departmental budget as Program Improvement Requests (PIRs) submitted by the Department
manager for evaluation by the Town Manager. A table of requested Program Improvements
Requests can be found in the Appendix, located in Section XII of this document.
In FY2025 a total of$1,672,305 in General Fund Program Improvements were requested by
Senior Managers, of which the Town Manager is recommending to fund $441,427 from
General Fund revenues. The following list highlights key program improvements for the
FY2025 budget as recommended by the Town Manager:
viii
1. Hiring a full-time Lieutenant Fire Inspector; $112,733 for salary and benefits. The
increased inspections, licensing, permitting and oversight due to growth in the town's
residential, commercial, lab, flammables, oil, propane photovoltaic and energy storage
systems on private and municipal projects pushed the current staffing model to its limit.
This position will ensure timely inspections that are required for licensing, permitting,
occupancy and public safety.
2. Hiring an Assistant Superintendent for Public Grounds; $102,747 for salary and
benefits. Changes in the Tree by-law, increases in oversight and maintenance
responsibilities, special event coordination, Capital projects, and stakeholder requests
have stretched the effective time the Superintendent can work on these tasks. The
assistant will allow the Public Grounds Superintendent to concentrate on the most
pressing issues, deliver more timely and effective service and help meet the needs of the
stakeholders and the community.
3. Hiring a part-time Code Enforcement Officer; $16,232 in wages, non-benefitted. This
part-time seasonal position is requested to allow for proper enforcement of changes in
the Noise by-law approved at the 2021 Special Town Meeting that banned the use of
gas powered leaf blowers in the Town of Lexington.
4. Hiring a part-time Mechanical Inspector; $68,279 for salary and benefits. New energy
codes, changing building sciences, and new technology for HVAC and controls has
created the need for a staff position with experience and expertise in the mechanical
codes, equipment and installations to perform building inspections and enforce the
Town's building codes.
5. Adding $35,000 to the Sustainability & Resilience Officer's budget expand
programs for energy procurement and planning; the Lexington Heat Smart program, the
LexElectrify Community Educational Campaign, building decarbonization roadmap and
public outreach and events. Of this amount, $10,000 is reserved to continue the Town's
partnership with Power Options and utilize their professional Energy Intelligence
Dashboard to better track and monitor electricity and gas usage and solar production at
all town-owned buildings.
6. Creating an annual budget for the Chief Equity Officer; $25,000 to allow for volunteer
trainings and community oriented programming. This request may also provide matching
funds in grant applications.
7. Hiring an Assistant Superintendent for Water/Sewer; $102,844 for salary and
benefits. The responsi bil ities of the Water/Sewer Su peri ntendent conti nue to g row a nd
program improvements are needed to keep up with regulations and Department of
Environmental Protection mandates. This position will ensure we continue to meet
critical reporting timelines, maintain compliance, perform critical maintenance and
manage the staff in an effective manner.This position will be split funded between the
Water and Wastewater Enterprise Funds.
8. Ongoing license and maintenance fees for Tyler ERP Cashiering Module and
Customer Self Service; $40,000. This module will modernize revenue collections in
the Treasurer Collector's Office and improve the online payment experience for all
customers paying tax bills, utility bills and other fees in the Town Offices. A related
request for a one-time implementation cost of this program is requested from ARPA.
As noted in the Town Manager's Report, in addition to program improvement requests, this budget
reflects targeted reductions to department budgets in other areas to allow for funding critical PIRs.
These reductions are reflected in the Manager's Add/Delete column. The reductions presented are not
expected to have a negative impact on existing service levels.
ix
The following table provides a summary of the FY2024 to FY2025 municipal department budget
requests, as adjusted and recommended by the Town Manager:
FY2025
FY2024 Recommended
Municipal Budgets* Appropriated Budget $ Change % Change
Public Works $ 12,717,509 $ 13,015,106 $ 297,597 2.3%
Police $ 9,042,530 $ 9,536,323 $ 493,793 5.5%
Fire $ 8,102,071 $ 9,289,900 $ 1,187,829 14.7%
Library $ 3,385,820 $ 3,460,565 $ 74,745 2.2%
Human Services $ 1,701,698 $ 1,513,939 $ (187,759) (11.0)%
�����������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������„,,,�����������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������,,,,���������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������,,,������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������„��������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������,
Health $ 527,313 $ 545,148 $ 17,835 3.4%
Land Use Department $ 2,399,116 $ 2,442,606 $ 43,490 1.8%
Select Board $ 1,334,327 $ 1,388,634 $ 54,307 4.1%
Town Manager $ 1,484,952 $ 1,519,840 $ 34,888 2.3%
Salary Adjustment Account $ 725,300 $ 279,179 $ (446,121) (61.5)%
Town Committees $ 66,208 $ 72,910 $ 6,702 10.1%
Finance $ 2,115,172 $ 2,187,178 $ 72,006 3.4%
Town Clerk $ 597,360 $ 680,819 $ 83,459 14.0%
Innovation &Technolo $ 2,918,565 $ 3,124,175 $ 205,610 7.0%
Total $ 47,117,941 $ 49,056,323 $1,938,382 4.1%
The Town Manager's Preliminary Recommended budget reflects contractual salaries for recently settled
collective bargaining agreements for the Fire Department, Lexington Municipal Employee Association
and Lexington Municipal Management Association, as well as other units that are under contract
through FY2025.
The following table present the status of the town's bargaining units:
Contract
Title of Union Contract Department Expiration Date�1�
Library Staff Association Library 6/30/2023
AFSCME (Building Maintenance) Facilities 6/30/2024
AFSCME (DPW) Public Works 6/30/2024
IBPO Pol ice Su periors Pol ice (Su periors) 6/30/2025
IAFF (Fi re) Fi re 6/30/2025
Lexington Municipal Management Association Town Staff 6/30/2025
Lexington Municipal Employees Association Town Staff 6/30/2025
SEIU - School Crossing Guards Police Police 6/30/2025
AFSCME (Dispatch) Public Safety 6/30/2026
Lexington Police Association Patrol Officers 6/30/2026
Lexington Educational Association (Unit D) Schools 6/30/2023
Lexington Education Association Technology Unit Schools 6/30/2024
Lexington Educational Association (Unit C) Schools 8/31/2024
Local 888 SEIU (Custodians &Tradesmen) Schools 6/30/2025
Association of Lexington Administrators Schools 6/30/2026
Lexington Education Association (Unit A) Schools 8/31/2026
�1� Expired contracts are currently in negotiations.
x
Recent contract negotiations have resulted in new policies and competitive compensation programs to
ensure the Town of Lexington can recruit and retain highly qualified employees. Beginning in FY2025
budget request for the Town Manager's Salary Reserve Account has set-aside funding to cover a new
Town Policy for Paid Parental Leave that will go into effect as of July 1, 2024. This policy was
implemented through contract negotiations and is therefore included in the initial budget request by
the Town Manager.
The recently settled Police union contracts included a Police Career Incentive Pay Program, also known
as the Quinn Bill, to encourage police officers to earn degrees in law enforcement and criminal justice.
A similar Career Educational Incentive Pay Program was included in the recently settled bargaining
agreement with the Fire Department.
Proposed America n Rescue Pla n Act Fu nd i ng
In addition to the Program Improvement Requests noted above, the Town Manager has proposed
funding $701,000 of other FY2025 Program Improvement Requests through the American Rescue Plan
Act. The Town's total federal grant of ARPA funds was $9.9 million, which may be allocated by the
Lexington Select Board. ARPA funds must be obligated by end of calendar year 2024 and fully
expended by the end of calendar year 2026.
The following FY2025 program improvement requests, which are mostly one-time expenses, have been
proposed to be funded by ARPA:
Amou nt
Program Improvement Requests: Department Requested
Insurance Consulting Services (Casualty and Property
Insurance) Town Manager $ 25,000
ADA Town Building Self Evaluation/Transition Plan Town Manager $ 75,000
Health Department Vehicle (EV) Health $ 50,000
Water/Sewer Rate Study Finance $ 50,000
Tyler ERP Cashiering Module Finance/IT $ 105,000
Ex anded Food Waste Collection Public Works $ 396,000
Total Program Improvements Requested from ARPA $ 701,000
The Tyler ERP Cashiering Module consists of an one-time cost of $105,000 for implementation, and a
$40,000 annual software cost which is included as a PIR in the General Fund budget. The Expanded
Food Waste Collection program will need to be calculated into the FY2026 General Fund budget as this
is proposed to be an ongoing annual expense.
xi
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Pro osed A ro riations Into Reserves/Trust Funds
p pp p
The Town maintains a variety of reserve funds. This includes stabilization funds that can be used to
balance the budget in times of economic downturn or volatility (General Stabilization Fund, SPED
Stabilization Fund); Specialized Stabilization funds that can be used for specific purposes (Capital
Stabilization Fund); OPEB and Pension funds to cover future liabilities, and a General Fund reserve
($850,000) which is set aside in the operating budget for extraordinary and unforeseen expenses
within the fiscal year and can be allocated at the recommendation of the Appropriation Committee.
As in prior years, the proposed budget includes recommendations to increase certain reserves/trusts
that are for targeted purposes. The table below presents the current balance of our larger reserve
funds:
Special Special Other Post
General Education Education Employment Capital
Reserve Fund Stabilization Stabilization Reserve Fund Benefits(OPEB) Stabilization
Balance as of �10 373 342 $683 122 750 000 29 811 364
December 31, 2023 � � � � � $ , , $31,763,404
Special Education Reserve Fund - In FY2024 Town Meeting created a new Special Education
Reserve Fund and set aside $750,000 for unexpected expenses related to special education, out-of-
district tuition or transportation. This funding can be allocated at the recommendation of the School
Committee and the Select Board at any point during the fiscal year. Unspent funds will carry forward
into future fiscal years. As of publication none of this reserve has been spent in FY2024 and therefore
no additional appropriations are recommended to this reserve in FY2025.
OPEB Trust Fund - The purpose of this Trust fund is to continue to fund the Town's Retiree Health
Insurance Liability. The Town's most recent actuarial valuation calculated the net OPEB liability to be
approximately $242 million.
Recent Appropriations into the Other Post Employment Benefits (OPEB) Trust Fund
FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 FY2025
Appropriated Appropriated Appropriated Appropriated Appropriated Appropriated Recommended
$1,842,895 $1,885,486 $750,000 $1,885,486 $1,935,486 $1,985,486 $2,033,375
Capital Stabilization Fund (CSF) - Over the last five years the Town completed a significant number
of capital projects, including a new Hastings Elementary School, a new facility for the Lexington
Children's Place (LCP), a new Fire Station Headquarters, a new Visitors Center, new Cemetery building
and the Center Streetscape project. In addition, construction is nearly complete on the new Police
Station and Battle Green Streetscape. Finally, Town Meeting approved funding for a feasibility study
for renovating or reconstructing Lexington High School at the 2022-2 Special Town Meeting. An
additional $10 million in design funds for LHS is included in this FY2025 budget, and construction
funding is anticipated in FY2026.
A key aspect for funding these projects has been to set aside one-time revenues to build the Capital
Stabilization Fund (CSF) and then use a portion of the CSF in future budgets to materially reduce the
property tax impact of these projects on taxpayers. This approach has generated healthy balances in
the CSF, which have been successfully used to mitigate the impact of the Hastings School, LCP, Fire
Headquarters, and Police Station. A Fiscal Guideline Working Group was formed to review this
approach and propose updates, which resulted in a new fiscal framework for the CSF.
At the fiscal summits in 2021, policy makers endorsed a new fiscal framework to dedicate to the CSF
the new tax levy growth generated from projects approved at Town Meeting for a Preliminary Site
Development and Use Plan (PSDUP), as well as for many of the new projects approved under the
revised zoning on Hartwell Avenue. The amounts dedicated to the CSF are expected to grow
significantly over the next few years. The initial FY2025 set aside of$4,036,373 can be found in Table
1A of the Revenue section. That amount is expected to increase once FY2025 new levy growth is
calculated; Fall 2024 Special Town Meeting will be asked to transfer that further amount to the CSF.
The accumulated CSF balance will be available to either mitigate annual increases in debt service, or
fund projects with cash. Once new exempt debt for the high school comes due, the ongoing annual
revenue stream can be diverted to cover part of the debt service payments. Each of those approaches
allows for flexibility in capital planning and reduces dramatic impacts to taxpayers anticipated from the
high school construction project. In addition, one-time revenues will continue to be dedicated to the
CSF, as available during the annual budget process.
Below is a history use of the Capital Stabilization Fund to mitigate the property tax impact of the
projects noted above, as well as the two middle school additions/renovations and the elementary
school modular classrooms approved by the voters in May 2016.
FY2025
FY2021 FY2022 FY2024 Proposed
Capital Stabilization Fund (CSF) Appropriated Appropriated FY2023 Actual Appropriated Allocation
Appropriated One-Time Sources for CSF $ — $ 3,730,836 $ 3,784,689 $ — $ —
Dedicated Tax Levy Growth for CSF $ — $ 57,138 $ 1,733,137 $ 4,036,373 $ 4,036,373
Prior Year Balance $ 25,229,254 $ 20,674,058 $ 21,730,961 $ 26,784,070 $ 30,320,443
Investment Income $ 44,804 $ 68,929 $ 335,283 TBD TBD
Subtotal -Available for Appropriation $ 25,274,058 $ 24,530,961 $ 27,584,070 $ 30,820,443 $ 34,356,816
Appropriation From Stabilization Fund
Excluded Debt Service Tax Relief $ 4,600,000 $ 2,800,000 $ 800,000 $ 500,000 $ —
Within Levy Debt Service $ — $ — $ — $ — $ —
Subtotal $ 4,600,000 $ 2,800,000 $ 800,000 $ 500,000 $ —
Projected Balance of Fund $ 20,674,058 $ 21,730,961 $ 26,784,070 $ 30,320,443 $ 34,356,816
Ca i ta I B u d et Sect i o n XI
p J
The proposed capital budget continues to make important progress in addressing the Town's list of
planned capital projects. The capital budget recommendations include $49 million for a variety of
capital projects for FY2025.
.
. � . � .
Other
Free Cash/ Funding
Tax Levy Sou rces Debt Tota I Other**
General Fund $ 16,075,525 $ — $ 20,442,977 $ 36,518,502 $ —
Excluded Debt Projects $ — $ — $ — $ — $ —
Other Funding &Chapter 90 $ — $ 168,234 $ — $ 168,234 $ 974,012
Water Enterprise $ — $ 2,488,900 $ — $ 2,488,900 $ —
Sewer Enterprise $ — $ 810,000 $ 561,210 $ 1,371,210 $ —
Recreation Enterprise $ — $ 110,000 $ — $ 110,000 $ —
Compost Revolving Fund $ — $ — $ 320,000 $ 320,000 $ —
Community Preservation Act* $ — $ 8,444,365 $ — $ 8,444,365 $ —
. , , , i� • , �� ' I•• �� I : �� I • I �� • I ,
*Includes both Town and non-Town CPA funded projects. In FY2025 a total of$3,782,365.00 of non-Town projects are requested.
**Other represents Chapter 90 Aid for street improvements. This item does not require a Town Meeting appropriation.
Planning for Lexington High School
The Town continues to plan for a large-scale reconstruction or renovation of Lexington High School.
Special Town Meeting 2022-2 appropriated $1,825,000 for a Feasibility Phase of this project. The
FY2025 request includes a second-phase request for $10,000,000 in design funds to advance the
project through the Schematic Design Phase and determine construction cost estimates for a
construction appropriation in the FY2026 budget. This request is included in the General Fund Debt
column of the table above, however the Town anticipates the future debt service for this project may
be excl uded from the I i m its of Proposition 2 1/2 i n the futu re. A townwide debt excl usion vote is
a ntici pated to occu r i n late 2025.
Additional information about the Lexington High School Construction project and other related projects
can be found in the Preliminary Budget - In Summary section of this Town Manager's Report, and in
Section XI: Capital Investment of this Preliminary Budget.
New Capital Programs for FY2025
This budget proposes to create two new capital programs beginning in FY2025.
• Stormwater Management Program - This new capital program is combining three existing
capital programs (Townwide Culvert Replacement, Storm Drain Improvements and NPDES
Compliance, and Comprehensive Stormwater Management) into one funding request. The
aggregated funding will continue to be utilized for supporting the National Pollutant Discharge
and Elimination System (NPDES) program with an emphasis on Illicit Discharge Detection and
Elimination (IDDE) and nutrient removal which are both required by the Environmental
Protection Agency (EPA) Municipal Separated Storm Sewer System (MS4) permit. Combining
these programs into one request recognizes the natural overlap that occurs between the three
separate programs and will create more flexibility and agility for the Department of Public Works
tin planning, bidding and implementing stormwater improvements throughout Lexington.
• Sustainable Capital Initiatives - This new program will provide an ongoing source of
funding for the design, purchase and installation of electric vehicle chargers, rooftop solar
panels and solar canopies, battery storage and other sustainable equipment or capital
improvements. This program will be coordinated by the Town's Sustainability and Resilience
Officer who may allocate funding to matching grants and other opportunities that arise during
the year. This program will be included in the Town's 5-year capital plan and may incorporate
requests initiated by other municipal departments.
Other large or notable projects included in the FY2025 Capital Budget are highlighted below.
• Cary Memorial Library Renovation Project - Construction - This request for $4,000,000
in CPA funds and General Fund Debt will support the renovation of the Large Meeting Room and
Children's Room. Approximately half of the project cost will go towards the installation of a new
green energy HVAC system for the lower level of the library.
• Pine Meadows Clubhouse Renovation - Construction - This request for $2,575,000 is to
renovate the clubhouse at Pine Meadows Golf Club to bring the building into ADA compliance
and ensure a functional user space.
• 173 Bedford Street Renovation - $6,000,000 - This request is part of a multi-phased plan to
reorganize the Town's assets in preparation for the Lexington High School construction project.
This phase will allow for the renovation of 173 Bedford Street in order to house the School
Administration staff for several years during the Lexington High School construction project and
may also be used to house Cary Library operations during the planned HVAC project and a future
renovation of the Town Office Building.
• Lincoln Park Field Improvements - This request for $1,810,000 will fund an end-of-life
synthetic turf replacement at Lincoln Field #2 including restoration of the walkways, guardrails,
and plantings surrounding the field.
• Affordable Housing Trust (AHT) Pre-funding - This request for $3,200,000 is to fund the
Lexington Affordable Housing Trust (AHT) by providing Community Preservation Act (CPA) seed
money for affordable housing and to allow the AHT greater flexibility in purchasing property and
competing with for-profit developers in the real estate market.
The Town's full FY2025 Capital Plan and additional information on these projects may be found in
Section XI: Capital Investment of this Preliminary Budget.
Pol ic Issues
y
The Town has set aggressive guidelines for addressing our long-term capital needs and funding of the
Town's long-term liabilities. The following policy items are to be reaffirmed or addressed by the Select
Board in finalizing this preliminary budget:
• Dedicate New Tax Levy Growth to the Capital Stabilization Fund (CSF) - Whether to
support the future transfers of new tax levy growth into the CSF. The FY2025 recommended
transfer is $4,036,373. This amount is expected to grow in future years as new projects are
completed. The contributions and future dedicated revenues are anticipated to be applied in
future budgets to offset the debt service from the renovation or reconstruction of Lexington
H ig h School.
• Expand Use of Cash Capital (Free Cash and Tax Levy) - For FY2025, a total of $12,387,549
in Free Cash is recommended to fund capital items with cash rather than by issuing debt,
thereby reducing future debt service expenses. Further, this budget proposes to allocate
$750,000 of tax levy to support ongoing capital programs. This amount is available due to the
decreasing amount of debt service in FY2025 compared to FY2024. Funding some part of the
Town's ongoing capital programs with tax levy will allow the town to maintain its assets if lower
amounts of Free Cash are available in future years.
• Appropriate into the Other Post-Employment Benefits (OPEB) Trust Fund - Whether to
support the appropriation of $2,033,375 into the OPEB Trust Fund. The most recent actuarial
valuation calculated Town's total OPEB liability to be approximately $242 million. Continuing to
fund this liability will help ensure the Town is able to meet its future financial obligations related
to post-employment health insurance.
• Confirm the proposed multi-phased reorganization of Town assets - This
recommended budget includes a $6 million renovation of the swing space building at 173
Bedford Street in FY2025 to allow the Superintendent of Schools and School Administration to
occupy the building in the coming years as LHS is under construction. This is the first request
of a multi-phased project that includes demolition of the School Administration Building at 146
Maple Street and construction of new fields. Confirmation of the 5-year capital plan and future
use of the Town's assets including plans for the 173 Bedford Street building must be confirmed
in the final FY2025 Recommended Budget.
• Unallocated Revenues for Contingencies - The recommended budget includes $1,000,000
in unallocated revenues sourced from Free Cash which is a one-time revenue source and can be
allocated if needed for three primary purposes:
1. To balance the budget if State Aid is less than projected. The Legislature will likely not
approve the FY2025 State budget until after the conclusion of Town Meeting;
2. To fund programs, services, capital projects or reserves not currently proposed in this
Preliminary Budget; and/or
3. To balance the budget if the GIC health insurance premiums are greater than estimated.
The Town's health insurance rates, as established by the Group Insurance Commission
(GIC), will not be known until early March.
• Reduce/Eliminate the Use of Free Cash to Balance the General Fund Operating
Budget - The Government Finance Officers Association (GFOA) recommends against using
non-recurring revenues to balance the operating budget. The Town had used Free Cash to
support operations for many years, and in FY2019 the Town Manager implemented a phase-out
of this practice over a 5-year period which was subsequently completed in FY2023. As currently
proposed, the FY2025 budget i ncl udes no fu nd i ng from free cash to su pport operations.
Additional policy considerations to be discussed either during finalization of the FY2025 budget, or in
anticipation of future budgets, include the following:
• Appropriate from the Capital Stabilization Fund - As of]une 30, 2023 the Capital
Stabilization Fund had a balance of$26.78 million which has been set-aside to mitigate the
impact of excluded debt projects on the taxpayer. For FY2025 there is no request to draw from
the Capital Stabilization Fund to mitigate excluded debt service.
In future years the Town will need to revisit the use of this fund to determine the best strategy
for offsetting the cost of the Lexington High School construction project. Funds may continue to
be drawn down over a period of years to offset debt service, or they may be drawn down in
lump-sum amounts to fund parts of the project with cash. Town Staff will continue to model the
impact of this project and potential mitigation options as the design and cost projections are
refined.
• Food Waste Collection and Composting Program - This proposed budget does not include
the expansion of the $396,000 food waste collection and composting program in the Town's
General Fund. Alternatively it is recommended to be financed with ARPA funds in FY2025, at no
cost to residents. If the Town intends to continue this program in future years it will be
necessary to fund this within the General Fund budget. The Town may need to consider
implementing a fee for this service or other changes to the Town's refuse and recycling policies
in order to balance the budget in future years.
Bud et Schedule
9
This is a comprehensive budget, including both the Town Manager's recommendations and the
Superintendent of School's proposed budget. In keeping with the schedule established by the Select
Board, the remaining FY2025 budget dates are proposed to be the following:
• �anuary 25, 2024 - Summit III to review this Preliminary budget;
• February 12, 2024 - Select Board to vote recommended FY2025 budget as outlined in the
Program Summary;
• On or before February 23, 2024 - The recommended budget will be forwarded,
electronically, to the Appropriation Committee, Capital Expenditures Committee and Town
Meeting Members (printed copies to follow);
• March 18, 2024 - Town Meeting begins;
• On or before March 23, 2024 - Town Meeting may consider financial articles.
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Section I Bud et Overview Town of Lexin ton MA
J 9 ,
Summary of Revenues and Expenditures
The summary below shows revenues & expenditures for the Town of Lexington for FY2022-FY2025. It
reflects actual results of FY2022 and FY2023, FY2024 estimated revenues and budgeted expenditures
submitted to the Department of Revenue for the certification of the FY2024 tax rate, and the budget
recommendations of the Town Manager and School Superintendent for FY2025 budget and projected
revenues to support those recommendations.
FY2022 FY2023 FY2024 FY2025
Revenue Summary Actual Actual Recap Projected
Tax Levy $ 204,228,740 $ 216,187,221 $ 227,334,427 $ 236,032,572
State Aid $ 16,677,318 $ 17,095,119 $ 19,633,417 $ 20,078,825
Local Receipts $ 16,714,478 $ 23,992,007 $ 14,771,452 $ 16,115,992
Available Funds $ 17,825,379 $ 17,643,279 $ 17,328,585 $ 17,941,718
Revenue Offsets $ (2,002,403) $ (1,831,259) $ (1,890,555) $ (2,362,772)
Enterprise Funds (Indirect) $ 1,432,356 $ 1,805,613 $ 1,894,067 $ 1,835,478
Total General Fund $ 254,875,869 $ 274,891,981 $ 279,071,393 $ 289,641,813
General Fund Expenditure Summary
Education
Lexington Public Schools $ 120,636,545 $ 128,254,447 $ 134,730,244 $ 140,508,367
Minuteman Regional School $ 3,130,038 $ 2,820,911 $ 3,904,964 $ 3,482,747
Sub to tal Educa tion � 123,766,583 $ 131,075,358 � 138,635,208 $ 143,991,114
Municipal Departments $ 41,023,558 $ 43,996,639 $ 47,117,941 $ 49,056,323
Shared Expenses
Benefits &Insurance $ 37,832,472 $ 40,827,320 $ 45,622,435 $ 48,921,971
Property Insurance &Solar $ 1,440,965 $ 1,513,156 $ 1,582,000 $ 1,730,800
Debt (within-levy) $ 10,364,264 $ 7,168,480 $ 6,854,101 $ 6,123,352
Reserve Fund $ — $ — $ 750,000 $ 850,000
Facilities $ 12,183,930 $ 12,834,332 $ 14,060,403 $ 14,565,854
Refuse & Recycle (School & Muni) $ — $ — $ — $ 104,838
Sub to tal Shared Expenses $ 61,821,631 $ 62,343,287 $ 68,868,939 $ 72,296,815
Capital
Cash Capital (designated) $ 10,136,491 $ 14,251,037 $ 16,342,464 $ 16,243,759
Subtotal Capital � 10,136,491 $ 14,251,037 � 16,342,464 $ 16,243,759
Other
Other (allocated) $ 6,541,910 $ 8,282,271 $ 8,106,841 $ 7,053,802
Other (unallocated) $ — $ — $ — $ 1,000,000
Subtotal Other � 6,541,910 $ 8,282,271 $ 8,106,841 $ 8,053,802
Total General Fund $ 243,290,172 $ 259,948,591 $ 279,071,393 $ 289,641,813
General Fund Surplus/(Deficit) $ 11,585,697 $ 14,943,390 $ — $ —
FY2025 Preliminary Budget & Financing Plan January 18, 2024
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Section II: Revenues
This section includes detailed information about FY2025 Projected Revenues. It includes:
• General Fund Revenue Description II-3
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-1
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FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-2
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Secti o n I I Reve n u es Town of Lexin ton, Massachusetts
9
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 FY2025.
• Total General Fund Operating Revenues are from annually recurring and non-recurring sources,
including transfers from special revenue funds and Specialized Stabilization Funds.
• Net General Fund Revenues are Total General Fund Revenues less revenues recommended to
be set-aside to fund designated expenses such as capital programs and reserves. Set-asides are
predominately designated from non-recurring revenue sources, but may also be partly from the
tax l evy.
In FY2025, Total General Fund Operating Revenues are projected to increase by approximately $10.56
million, or 3.8%. Net General Fund Revenues, those available to support school and municipal
operating budgets, are projected to increase by $10.79 million, or 4.2%, as proposed set-aside
revenues are slightly less than FYZ024.
FY2022 FY2023 FY2024 FY2025 �2024-25 Change
General Fund Revenue Summary Actual Actual Recap Projected $ %
Property Tax Levy(Table 1) $ 204,228,741 $ 216,187,221 $ 227,348,851 $ 236,032,572 $ 8,683,721 3.82%
State Aid (Table 2) $ 16,677,318 $ 17,095,119 $ 19,633,417 $ 20,078,824 $ 445,407 2.27%
Local Receipts(Table 3) $ 16,714,478 $ 23,992,007 $ 14,771,452 $ 16,115,992 $ 1,344,541 9.10%
Available Funds(Table 4) $ 17,825,379 $ 17,643,279 $ 17,328,585 $ 17,941,718 $ 613,133 3.54%
Revenue Offsets(Table 5) $ (2,002,403) $ (1,831,259) $ (1,890,555) $ (2,362,772) $ (472,217) 24.98%
Enterprise Receipts(Table 6) $ 1,432,356 $ 1,805,613 $ 1,894,067 $ 1,835,478 $ (58,589) (3.09)%
Total General Fund Operating �254,875,869 $274,891,981 $279,085,817 $289,641,813 $10,555,996 3.78%
Revenues
Less-Tax Levy Dedicated to Capital � 57,138 $ 1,733,137 $ 4,036,373 $ 4,036,373 $ — —%
Stabilization Fund
Less-Revenues Set-Aside for Other � 16,621,263 $ 19,450,814 $ 20,225,005 $ 19,988,480 $ (236,525) (1.17)%
Designated Purposes
Net General Fund Revenues $238,197,468 $253,708,031 $254,824,439 $265,616,960 $10,792,521 4.24%
Detailed Description:
Property Tax Levy: The FY2025 property tax levy is projected to increase approximately $8.66
million, or 3.9%. The projected levy is a function of the FY2024 levy limit increased by 2.5% per
Proposition 21/z, plus an increment for new growth. FY2025 new growth will be a function of
construction activity for the period July 1, 2023 to June 30, 2024. FY2025 new growth is estimated at
$3,000,000 based on a review of historical data on new growth.
State Aid: The majority of the Town's State Aid is attributable to Chapter 70 School Aid, but also
includes Unrestricted General Government Aid (UGGA). The amount of State Aid received by the Town
will vary annually due to the amount of projected State revenues. Chapter 70 School Aid is further
allocated according to a formula defined by the Massachusetts Department of Elementary and
Secondary Education (DESE).
For FY2025 the Town expects to receive the minimum increase in Chapter 70 State Aid, or $60 per
student, which is in line with the minimum per student Aid in the State's FY2024 allocation. FY2025
initial State Aid estimates project an overall increase of$445,407 or 2.27% compared to FY2024. Final
State Aid figures are likely to be known in ]une 2024 when the Legislature adopts, and the Governor
sig ns, the FY2025 State budget.
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-3
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Secti o n I I Reve n u es Town of Lexin ton, Massachusetts
9
Local Receipts: FY2025 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 due to other
local trends such as increases in fees, local development activity, and current interest rates. FY2025
local receipts are estimated to increase by approximately $1,344,541 or 9.10% over FY2024 estimates.
Available Funds: Available Funds are projected to increase $613,133, or 3.54%. The increase in
available funds is primarily due to a projected increase in Free Cash, estimated at $16,500,000 as of
]une 30, 2023, and increases in transfers from the Parking Fund. Free Cash has not been certified by
the Department of Revenue as of this publication, but is expected prior to Town Meeting. The available
balance of the Parking Meter Fund decreased significantly from FY2021-2023 due to the temporary
suspension of parking meter enforcement during the pandemic and Center Streetscape project in order
to to support businesses. The Town has recently started to enforce parking fees which will rebuild the
balance in the Parking Fund. A transfer of $250,000 from the Parking Fund has been included in the
FY2025 budget to support parking operations.
The transfer from the PEG Access Fund is increasing due to the estimated cost of proving Public Access
television. The transfer from the PEG Access fund is equal to the total estimated budget for that
service, less $100,000 which represents a general fund subsidy. This FY2025 subsidy is level with
FY2024, but projected to increase in future years due to a decline in cable franchise fees as residents
move from cable to streaming platforms. The Select Board has committed to funding Public Access
television and providing General Fund support for this service in future budget cycles if necessary to
maintain the service.
Revenue Offsets: Revenue Offsets are projected to increase by approximately $472,217 or 24.98%.
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 FY2025 increase in total Revenue Offsets is driven by the set-aside of$400,000 in estimated
FY2025 revenue to cover a potential snow and ice deficit at the end of FY2024.
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. Overall Enterprise Receipts are decreasing
by (3.1)%, or $(58,589), primarily due to staff turnover, and changes in benefits costs as supported by
a detailed indirect analysis completed by the Finance department.
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-4
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Secti o n I I Reve n u es Town of Lexin ton, Massachusetts
9
.
.
.
Tax Levy $ 194,415,314 $ 204,256,773 $ 216,2Z0,071 $ 227,348,851 $ 11,1Z8,780 5.15%
Prop.2.5% $ 4,860,383 $ 5,106,419 $ 5,405,502 $ 5,683,721 $ 278,219 5.15%
New Growth $ 4,981,076 $ 6,856,879 $ 5,723,278 $ 3,000,000 $ (2,723,278) (47.58)%
Override/Excess Levy Capacity $ (28,032) $ (32,849) $ (14,424) NA
Subtotal $ 204,228,740 $ 216,187,221 $ 227,334,427 $ 236,032,572 $ 8,698,145 3.83%
:
Chapter 70 $ 14,647,494 $ 15,063,127 $ 17,609,131 $ 18,014,611 $ 405,480 2.30%
Charter School Reimbursement $ 101,651 $ 60,734 $ 9,736 $ 9,736 $ - -%
Unrestricted General Government Aid $ 1,769,494 $ 1,775,314 $ 1,832,124 $ 1,868,766 $ 36,642 2.00%
Veterans'Benefits&Exemptions $ 105,119 $ 118,316 $ 99,284 $ 99,659 $ 375 0.38%
Offsets Libra $ 53,560 $ 77,628 $ 83,142 $ 86,052 $ 2,910 3.50%
r r r r r r r r r •
Table 3:Lacal Receipts
Motor Vehicle Excise Tax $ 5,330,281 $ 5,846,393 $ 5,457,417 $ 5,508,000 $ 50,583 0.93%
Other Excise $ 1,351,204 $ 1,683,396 $ 1,373,000 $ 1,528,000 $ 155,000 11.29%
Penalties&Interest $ 590,842 $ 413,104 $ 380,500 $ 380,500 $ - -%
PILOTs $ 682,107 $ 709,774 $ 811,000 $ 744,000 $ (67,000) (8.26)%
Rentals $ 394,624 $ 319,837 $ 325,299 $ 338,184 $ 12,885 3.96%
Departmental-Schools $ 1,169,058 $ 550,130 $ 297,500 $ 348,500 $ 51,000 17.14%
Departmental-Municipal $ 2,742,233 $ 3,245,975 $ 2,705,525 $ 2,965,525 $ 260,000 9.61%
Licenses&Permits $ 3,171,808 $ 5,840,007 $ 2,824,850 $ 3,194,850 $ 370,000 13.10%
Special Assessments $ 18,165 $ 13,531 $ 10,433 $ 10,433 $ - -%
Fines&Forfeits $ 79,398 $ 111,594 $ 98,000 $ 98,000 $ - -%
Investment Income $ 281,726 $ 4,401,414 $ 300,000 $ 1,000,000 $ 700,000 233.33%
Miscellaneous Non-Recurrin $ 903,030 $ 856,853 $ 187,927 $ - $ (187,927) (100.00)%
r r r r r r r r r r •
Table 4:Available Funds
Parking Fund $ 828,237 $ - $ 100,000 $ 250,000 $ 150,000 150.00%
Cemetery Sale of Lots Fund $ 51,933 $ 16,125 $ 50,408 $ 123,000 $ 72,592 144.01%
Free Cash $ 14,638,059 $ 15,519,832 $ 15,919,159 $ 16,500,000 $ 580,841 3.65%
Health Claims Trust Fund $ 750,000 $ 750,000 $ 240,000 $ 32,270 $ (207,730) (86.55)%
Transportation Demand Management Stab. � 141,000 $ 141,000 $ 171,000 $ 171,000 $ - -%
Fund
Traffic Mitigation Stabilization Fund $ - $ 240,000 $ 80,000 $ - $ (80,000) (100.00)%
Transportation Management Overlay District � - � 65,000 $ 42,000 $ - $ (42,000) (100.00)%
(TMOD)Stabilization Fund
Center Improvement District Stabilization Fund $ - $ - $ - $ - $ - -%
PEG Access Special Revenue Fund $ 629,287 $ 637,576 $ 586,833 $ 646,214 $ 59,381 10.12%
Transportation Network Company(TNC) � 20,889 $ 6,824 $ 7,685 $ 13,234 $ 5,549 72.21%
Special Revenue Fund
Betterments Fund $ - $ - $ 11,500 $ 1,000 $ (10,500) (91.30)%
Visitors Center Stabilization Fund $ - $ - $ 50,000 $ 50,000 $ - -
Special Education Stabilization Fund $ 500,000 $ - $ - $ - $ - -%
Special Education Reserve Fund $ - $ - $ - $ - $ - -%
Balances from Prior Yr.Capital Articles $ 155,974 $ 266,923 $ - $ - $ - -%
Use of BAN Premiums $ 110,000 $ - $ 70,000 $ 30,000 $ (40,000) (57.14)%
r r r r r r r r r •
:
Ca ital Stabilization Fund $ - $ - $ - $ - $ - -
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-5
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Secti o n I I Reve n u es Town of Lexin ton, Massachusetts
9
:
Cherry Sheet Assessments $ (1,048,843) $ (1,003,631) $ (1,057,413) $ (1,126,720) $ (69,307) 6.55%
Cherry Sheet Offsets-Public Libraries $ (53,560) $ (77,628) $ (83,142) $ (86,052) $ (2,910) 3.50%
Overlay(abatements) $ (900,000) $ (750,000) $ (750,000) $ (750,000) $ — —%
Snow Deficit $ — $ — $ — $ 400,000 $ 400,000 —
r r r r r r r r r •
Table 6:Enterprise Receipts
Water $ 918,245 $ 977,093 $ 1,011,340 $ 958,131 $ (53,209) (5.26)%
Wastewater(Sewer) $ 514,111 $ 542,416 $ 588,040 $ 586,499 $ (1,541) (0.26)%
Recreation&Communi Pro rams — 286 104 294 687 290 848 3 839 1.30%
r r r r r r r r r •
Gross General Fund Revenues $ 254,875,869 $ 274,891,981 $ 279,071,393 $ 289,641,813 $10,570,420 3.79%
Less:Property Tax Levy Dedicated to the Capital Stabilization Fund
1050 Waltham St. $ — $ 1,252,291 $ 2,353,956 $ 2,353,956 $ — —%
186 Bedford St. $ 21,451 $ 45,939 $ 55,824 $ 55,824 $ — —%
55 Watertown St. $ 35,687 $ 434,907 $ 604,804 $ 604,804 $ — —%
440 Bedford St. $ — $ — $ 164,207 $ 164,207 $ — —%
20 Ma uire Rd. $ — $ — $ 857 58Z $ 857 582 $ — —%
Subtotal $ 57,138 $ 1,733,137 $ 4,036,373 $ 4,036,373 $ — —%
Less:Other Revenues Set Aside for � 16,621,263 $ 19,450,814 $ 20,225,005 $ 19,988,480 $ (236,525) (1.17)%
Designated Expenses
Total Revenues Set Aside for Designated � 16,678,401 $ 21,183,951 $ 24,261,378 $ 24,024,853 $ (236,525) (0.97)%
Expenses
Net General Fund Revenues Available for � 238,197,468 $ 253,708,031 $ 254,810,015 $ 265,616,960 $10,806,945 4.24%
Appropriation
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 eligible for development due to new
zoning changes on Hartwell Ave. This framework will reserve levy capacity to absorb a sudden
increase in debt service for large capital projects such as a high school construction project 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 listed in the table
above.
Revenues Set Aside for Other Designated Expenses: This represents components of Gross
General Fund Revenues that are set aside for designated purposes. Set-asides are predominately
designated from non-recurring revenue sources, such as Free Cash, but may also include set-asides
from the tax levy. The proposed set-aside purposes are shown in the table below.
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-6
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Secti o n I I Reve n u es Town of Lexin ton, Massachusetts
9
Financing Sources
Tax Levy Free Cash Other Total Notes
Reserve for appropriation at the 2024 Annual
Set-Aside for Unanticipated Town Meeting to fund supplemental
1 Current Fiscal Year Needs � — $ 200,000 $ — $ 200,000 appropriations to the FY2024(current year)
budget.
2 Other Post-Employment � 32,270 $1,997,451 $ — $2,029,721 Appropriate to OPEB Trust.
Benefits(OPEB)
3 Unallocated $ — $1,000,000 $ — $1,000,000 Set aside for yet-to-be identified one-time
needs in the FY2025 budget.
4 Cash Capital $ 750,000 $12,387,549 $ 168,234 $13,305,783 Free Cash,Tax Levy and other available
funds to support capital improvements.
5 Appropriate into Capital �4,036,373 $ — $ — $4,036,373 To meet future capital/debt service needs.
Stabilization Fund
6 Street Improvement Program $2,707,321 $ — $ — $2,707,321 Tax Levy designated for long-term street
maintenance plan.
Municipal Building Envelope Initially funded in 2006 override; increases by
� and Systems $ 230,655 $ — $ — $ 230,655 2,5%per year.
8 Warrant Articles $ — $ 515,000 $ — $ 515,000 Senior Tax Work-Off($15K); Lex250($500K)
• � • . ', • • • ', • 11 111 ', •: ' ', ' 1 ' :
Amount of incremental increase in the
10 Funding for New Pension � — � 400,000 $ — $ 400,000 updated Pension Funding schedule will
Schedule continue to be supported with Free Cash in
FY2025.
• / � � �� • • � �i • /1 //1 �� •� I �� I I I :
FY2025 Preliminary Budget& Financing Plan January 18, 2024
II-7
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This section includes detailed information about the FY2025 Operating Budget & Financing Plan for
education. It includes:
• 1100 Lexington Public Schools III-2
• 1200 Minuteman Regional High School III-18
FY2025 Preliminary Budget& Financing Plan January 18, 2024
III-1
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FY2025 Superin tenden t's Recommended Budget
BUDGET OVERVIEW
Superintendent's Budget Message................................................. Z
StrategicPlan............................................................................... 3
Our Core Values...................................................................... 3
Vision Statement..................................................................... 3
StrategicGoals........................................................................ 3
Budget Development Process........................................................ 7
BudgetTimeline...................................................................... 7
Superintendent's Recommended Budget........................................ 8
Negotiated Salary Increases.......................................................... 9
BudgetOverview.......................................................................... 9
Summary of Significant Budget Changes........................................ 11
FY2025 Personnel Overview..................................................... 11
FY2025 Expense Overview by School/Department..................... 12
Student Enrollment Summary........................................................ 13
Revenue Allocation Model............................................................. 14
State Benchmark Comparisons...................................................... 16
FY2025 Preliminary Budget & Financing Plan January 18, 2024
III-3
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January 4, 2024
Dear School Committee Members, Elected Officials, and Lexington Residents:
Last year was hard. In FY 2024, we shared our worry that it was a "rainy day," and our schools would
need more funding but today is different. While we will never have everything we want or need, this
year promises to be better. English poet Alfred Lord Tennyson said, "Hope smiles from the threshold
of the year to come, whispering, it will be happier and so it goes with the FY 2025 school budget.
In the 2022-2023 school year, recovery from the lingering effects of unfinished learning during the
pandemic created outsized student needs that put pressure on the school budget. Overwhelmed by
an influx of new students with significant needs, we found ourselves simultaneously dealing with a
nationwide labor shortage. On the heels of an ongoing pandemic, contentious contract negotiations
plagued school systems across the state, including ours. Miraculously, we received an unexpected
windfall of an additional $1.75 million in the Chapter 70 funding, helping to close our budgetary gaps.
Today there is a renewed sense of optimism in our schools. Our students continue to rebound from
the pandemic and its associated health-related challenges of the past few years. We have been able
to address historic inequities in teacher workload and settle a fair contract. Lexington also received
the good news the Massachusetts School Building Authority was inviting us into their capital pipeline
for a potential new or renovated high school. This is most welcome news, given the looming $187
million price tag for necessary capital repairs at Lexington High School in the next 10 years, with
HVAC replacement costs alone estimated at $62 million. With the pandemic behind us, a new
teachers' contract in place, and a potential new or renovated high school on the horizon, this year
promises to be better.
The total FY 2025 appropriation for the Lexington Public Schools is $140,335,244, representing a
4.16% increase over the FY 2024 base budget. Once we finalize the Unit D contract, we will have
completed negotiations with all collective bargaining units. Our end-of-year "turnbacks" to the Town
continue to be substantial, with a $3 million turnback this year alone. With a new high school project
on the horizon, these funds that revert to free cash demonstrate our commitment to do our part and
spend only what is needed. That said, it is important to keep in mind that it costs approximately
3.75% to carry forward the same level of service in a school budget from one year to the next. While
we are feeling more optimistic about our financial outlook than in years past, a relatively modest
4.16% increase over the base budget could affect the school department's end-of-year turnbacks this
yea r.
We've come a long way in a short period of time, and we have a long way to go. Our community's
strong support of its public schools is what sets us apart from the rest, and there is no challenge too
great in Lexington. Every day, our students get to experience joy in learning, curiosity in life, and
compassion in all we do, and we couldn't do it without you. Thank you so much for your support.
Sincerely,
.
� ' �
� �
Julie L. Hackett, Ed.D.
Lexington Public Schools
Lexington Public Schools FY 2025 Bud�et Page 2
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Strategic Plan
The , identifies the following mission
statement, core values, vision statement, and strategic goals for the district:
Mis sion Statement
Joy in learning; curiosity in life; and compassion in all we do.
Our Core Values Vision Statement
• We all Belong • Diversity, Equity, Inclusion
• Use Your Mind • Redefining Success
• Be Curious & Have Fun • Students as Active Agents
• Care for Yourself & Others • Authentic Learning Experiences
• Do Your Part • Community Partnership
• Be Courageous
• Embrace Your Revolutionary Spirit
Strate�ic Goals
• Goal 1: Address and Narrow Equity Gaps Identify, address, and narrow equity gaps in
student opportunities, experiences, and achievement, ensuring the meaningful inclusion
and integration of every member of our school community.
• Goal 2: Redefine Success Transform our practices, systems, and structures to reflect a
broader definition of success for our students, staff, and schools, including new measures
of student achievement that extend beyond academics to include the knowledge, skills, and
attributes students need to be prepared for the future and content in life.
• Goal 3: Cultivate Student Agency Cultivate student agency and a sense of self-efficacy
by ensuring that all our PreK-12 students' educational experiences place them at the
center of their learning; consistently revisit our curriculum, instruction, assessment, and
professional learning practices to (1) ensure relevancy and student voice; (2) to teach
students to set their own meaningful goals; (3) to value productive struggle as they work
toward them; and (4) to reflect and monitor their progress toward attaining those goals.
• Goal 4: Innovate for Sustainable Change Refine and improve our school- and
districtwide practices, systems, and structures related to managing innovation and
promoting lasting change. We will develop clear decision-making structures and
communication methods to prevent initiative overload and enable us to more consistently
scale up promising practices.
Lexington Public Schools FY 2025 Bud�et Page 3
Budget Development Process
Annually, the administration develops its capital and operating budgets, which begin July 1 and end
June 30. This highly collaborative and public process engages the School Committee, the Select
Board, the Appropriation Committee, the Capital Expenditures Committee, municipal and school staff,
and citizens. The employees of the Finance Office are responsible for coordinating, developing, and
monitoring the budget process. Each year, the School Committee develops its annual goals, budget
guidelines, and budget calendar. These provide the administration with the roadmap to develop the
recommended annual budget. The Superintendent is tasked with developing a budget that advances
the district in accordance with the outlined policy objectives. The School Committee is responsible for
reviewing and approving the budget for incorporation within the complete Town budget.
Budget Timeline
Summer: School Committee and Superintendent establish Collaborative Goals.
Early Fall: School Committee approves annual Budget Guidelines and Calendar.
Fall: Staff develop budget recommendations.
Late Fall/Early Winter: All departments meet with the Assistant Superintendent for
Finance and Operations to review existing staffing levels, budget priorities, and
anticipated budget requests. During this time, a series of working Summit Meetings,
including the School Committee, the Select Board, the Appropriation Committee, and
the Capital Expenditures Committee are conducted to discuss the current financial
health of the Town, along with any budgetary issues. This process provides policy
guidance to the municipal and school staff in finalizing budget recommendations. The
Superintendent, in consultation with the Assistant Superintendent for Finance and
Operations and the School Department's Administrative Council, reviews budget
requests and makes recommendations for all school programs to the School
Committee. After public hearings on the Superintendent's Budget Recommendations,
the School Committee makes final budget decisions consistent with their Collaborative
Goals.
Early Spring: Before Town Meeting members discuss financial articles, the approved
budget of the School Committee is distributed to Town Meeting Members and the
various finance committees. The document is available to citizens at the School
Department's Central Office, the Town Library, and the Town Manager's Office. In
addition, the budget documents are publicly available on the Lexington Public Schools
website i m
Spring: The Annual Town Meeting begins in March with meetings held on weekday
evenings. Town Meeting debates and adopts the School Department budget as part of
the comprehensive Town budget. Town Meeting has authority over the total
appropriation of school department funds, but line-item authority and spending priorities
are the purview of the School Committee.
View the full Lexington Public Schools FY 2025 ' ' and .
Lexington Public Schools FY 2025 Bud�et Page 7
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The School Department was allocated a revenue increase of$5,605,000 which is 4.16% over the FY
2024 base budget. The FY 2025 Revenue Allocation Model was adopted by Summit II participants
and revised in December 2023. The current FY 2025 Superintendent's Recommended Budget is
$140,335,244, representing an increase of $5,605,000, which is approximately 4.16% over the FY
2024 base budget.
Salaries and wages comprise over 86% of the School Department budget. The FY 2025 salaries and
wages line is increasing by $8,061,437 (7.15%) to support existing positions funded for FY 2025,
although there is an actual reduction of 8.61 FTEs. The expense line is recommended to decrease by
$2,456,437 (-11.2%) over the FY 2024 appropriation, representing a significant decrease compared
to previous years. As a result, we are making strategic reductions across several lines. It also will be
necessary to rely more heavily on some departmental offset accounts, such as Circuit Breaker and
Transportation Revolving accounts.
Lexington Public Schools FY 2025 Bud�et Page 8
Negotiated Salary Increases
The FY 2025 budget includes funding for estimated wage increases for all collective bargaining units
and non-union positions, including step increases and Cost-of-Living Adjustment (COLA), including
full salary table modifications. The current status of collective bargaining agreements, corresponding
expiration dates, and negotiated adjustments are listed below:
-
. . • . • • . - - • • , - • - , -
Effective Sept. 1, 2023: 2.5%
LEA: Unit A 09/01/2023 — 08/31/2026 Effective Sept. 1, 2024: 2.5%
Effective Sept. 1, 2025: 2.75%
Effective Sept. 1, 2021: 2%
Effective Sept. 1, 2022: Market adjustments and
LEA: Unit C 09/01/2021 — 08/31/2024 further modifications to full salar scale
Y
Effective Sept. 1, 2023: 2%
Contract negotiations pending; prior collective
LEA: Unit D 07/01/2020 — 06/30/2023 bar ainin a reement was 2.25%� 2.5%� 2.75%
, ,
9 g g , ,
Effective J u ly 1, 2021: 2.25%
L EA: Tech 07/01/2021 — 06/30/2024 Effective J u ly 1, 2022: 2.5%
;
Effective J u ly 1, 2023: 1.5%
Effective Sept. 1, 2023: 2.5%
ALA: Ad m i n istrators 07/01/2023 — 06/30/2026 Effective Sept. 1, 2024: 2.5%
Effective Sept. 1, 2025: 2.75%
Sudget Overview
A summary of all changes in the operating budget follows. We begin with the FY 2025 Personnel
Overview, which outlines personnel changes represented in four categories:
1. Base Changes (e.g., corrections, transfers, reclassifications, eliminated positions,
reallocation of current FTE, and removal of one-time/base adjustment expenses)
2. Legally Mandated Changes (e.g., contractual changes, FTE required by Individualized
Education Program (IEP) or other statutes or regulations)
3. Enrollment Changes
4. Program Improvement Changes
A list of changes to the expense budgets, by category follows. Detailed descriptions of all staffing and
expense changes can be found in their respective program area of the budget.
Lexington Public Schools FY 2025 Bud�et Page 9
� ' • ' . ' • • � • • , � ' • ' , ' •
BASE 6-8 MATH -2 -2
6-8 SOC STUDIES -1 -1
HARRINGTON -1 -1
K-12 COUNSELING -1.73 -1.73
SPEC ED -17.8 -17.8
6-8 ENGLISH -2 -2
6-8 SOCIAL STUDIES -1 -1
6-8 SCI ENCE -2 -2
ENROLLMENT BRIDGE 0.27 0
ESTABROOK 0.28 0
K-12 COUNSELING 0.2 0
PreK-5 LITERACY 0.2 0.2
SYSWIDE-UNALLOCATED 8 8
MANDATE K-12 PERFORMING ARTS 0.2 0
SPEC ED 8.1 1
9-12 MATH 4 4
9-12 SOC STU D I ES 1 1
9-12 WORLD LANG 2.55 2.55
9-12 PERF ARTS 0.45 0.45
9-12 VISUAL ARTS 0.63 0.63
9-12 PE/WELLNESS 1 1
9-12 ELL 0.1 0.1
PROGRAM IMPROVEMENT 6-8 MATH 2 0
ELL 2 0
HUMAN RESOURCES 1 0
K-12 COUNSELING 1 0
K-12 PERFORMING ARTS - 0
K-12 VISUAL ARTS 0.4 0
PreK-5 MATH - 0
LCP - 0
LHS 1 0
PE/HEALTH 1 1
SPEC ED 1.1 0
. • • . • � : . '
Lexington Public Schools FY 2025 Bud�et Page 10
Summary of Significant Budget Changes
FY 2025 Personnel Overview
During the annual budget development process, Central Office leaders, building Principals, and
Department Heads submit budgetary requests for the upcoming year. During the months of October
and November these needs are evaluated and considered for the upcoming fiscal year's budget. The
FY 2025 budgetary requests this year represent a decrease of 8.61 Full-Time Equivalents (FTEs)
across various programs and levels. These FTE are summarized within categories, as shown in the
table below.
FY 2025 Salary and Wages Budget Recommendation
.
. . : � . . � - . - . - . '� . . '
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� • � • � � '-•
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1 Unit A-LEA 777.65 787.93 816.02 $81,236,888 821.94 $88,411,994 5.93 $7,175,107 8.83%
2 Unit A-Stipends - $1,078,262 - $1,034,172 - -$44,090 -4.09%
3 Unit A-Coaches - - - $906,935 - $931,244 - $24,309 2.68%
4 Unit D-LEA 90.55 91.64 95.74 $5,279,497 95.74 $5,548,333 - $268,836 5.09%
5 Non-Union Dis.Supp./Mgrs. 28.55 24.45 22.45 $2,541,758 22.45 $2,321,441 - -$220,317 -8.67%
7 Unit C-Inst Asst/SSI/SIA 188.85 202.19 219.32 $9,802,286 204.79 $9,954,546 (14.53) $152,260 1.55%
7.1 Non-Union Hourly&ESY 3.00 3.00 3.00 $936,604 3.00 $873,268 - -$63,336 -6.76%
8 ABA/BCBA Instructors 5.72 5.06 7.00 $554,416 7.00 $794,292 - $239,876 43.27%
13 Technology Unit 13.00 12.60 12.60 $972,156 12.60 $1,011,149 - $38,993 4.01%
14 Central Administrators 7.00 9.00 9.00 $1,632,327 9.00 $1,672,244 - $39,917 2.45%
15 Principals 10.50 9.50 9.50 $1,643,936 9.50 $1,668,352 - $24,417 1.49%
ALA-Asst
16 42.05 44.65 46.45 $6,065,445 46.45 $6,740,911 - $675,466 11.14%
Prin/Supervisors
17 Substitutes(Per-Diem) $825,044 0 $825,044 $0 0.00%
17.1 Substitutes(Nurses) $15,644 0 $15,644 $0 0.00%
18 Substitutes(Para) $73,620 0 $73,620 $0 0.00%
18.2 Substitutes(Sec) $76,688 0 $76,688 $0 0.00%
19 Salary Differential ($850,000) ($1,100,000) -$250,000 29.41%
,
.Grand Total : 1,166.86� 1,190.02� 1,241.08� $112,791,505�� 1,232.47� $120,852,942� (8.61)� $8,061,437� 7.15%�
���������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������
Lexington Public Schools FY 2025 Bud�et Page 11
FY 2025 Expense Overview by School/Department
- .. . � : ..- : ..- . � '� . .- .
1 Bowman $63,062 $64,592 $1,530 2.43% (1)
.,,,,,,,,
2 6rid e $55,841 $56,383� $542 0.97% (1)
�
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,,
3 Estabrook 75 846 $75,489 -$357 -0.47% (1)
4 Fiske $44,731 $47,245 $2,514 5.62% (1)
,,,,
5 Harrin ton $53,270 $53,416 $146 0.27% (1)
, ,,,,,,,,
6 Hastin s $82,349 $86,317 $3,968 4.82% (1)
„�,,,,,
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,, ,
7 Clarke 45 564 $44,891 -$673 -1.48% (1)
8 Diamond $52,397 $55,689 $3,292 6.28% (1)
,,,,
$ ,,,,,,,,,' ,,,,,,,,, � ,,,,,,,,,' ,,,,,,,,, �,,,,,'
9 Lexington High School 208 816 217 475 8 659 4.15%' (1)
,
$ ,,,,,,,,,' ,,,,,,,,, � ,,,,,,,,,' ,,,,,,,,, �,,,,,'
10 PreK-5 Literacy 180 221 184 585 4 364 2.42% (1)
$ ,,,,,,,,,' ,,,,,,,,,, � ' �,,,,,'
11 PreK-5 Math 139 750 143 147 3 397 2.43% (1)
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,, �,,,,,,'
12 PreK-5 Science 47 681 $48,836 1 155 2.42% (1)
�,,,,, .,,,,,,,
$,,,,,,,,' ,,,,,,,,,, ,,,,,,,, �,,,,,,,,,' �
13 PreK-5 Social Studies 35 628 36 491 863 2.42% (1)
,,,,
$,,,,,,,,' ,,,,,,,,, �,,,,,,,,,' ,,,,,,,,, �,,,,,'
14 6-8 English/Lang Arts 43 615 44 784 1 169 2.68% (1)
$,,,,,,,,' ,,,,,,,,,, �,,,,,,,,,' ,
16 6-8 World Language 54 086 55 535 $1,449 2.68% (1)
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,, ,
17 6-8 Math 62 965 $65,575 $2,610 4.15% (1)
.,,,,,,,,
$ ,,,,,,,,,' ,,,,,,,,,, � ' �,,,,,'
18 6-8 Science 126 048 128 670 2 622 2.08% (1)
,,,,
$,,,,,,,,' ,,,,,,,,, �,,,,,,,,,' ,,,,,,,,, �
19 6-8 Social Studies 33 980 34 890 910 2.68% (1)
21 9-12 English $40,322 $41,994 $1,672 4.15% (1)
22 9-12 World Language $49,157 $51,195 $2,038 4.15% (1)
,,,,,
,,,,,,,,, $,,,,,,,,,' �,,,,,,'
23 9-12 Math $47,923 49 910 1 987 4.15% (1)
23.1 9-12 Math Team $6,463 $6,731 $268 4.15% (1)
,
24 9-12 Science , $120,332 $125,321 $4,989 4.15% (1)
,
25 9-12 Social Studies $49,180 $51'219 $2,039 4.15% (1)
. .,,,,,,,
$,,,,,,,,' ,,,,,,,,,, �,,,,,,,,,' ,
25.1 Debate&Competitive Speech 87 449 91 075 $3,626 4.15% (1)
.,,,,,,,,
, ,,,,,,,,
29 K 12 Curriculum $527,451 $471,018 $56,433 -10.70% (1)(2)
30 K-12 Librar Media Pro ram $225,591 $230,861 $5,270 2.34% (1)
,,,, ���������
��������� „���� ��������� ��������� ,,,������ ��������� ��������� ��������� ��������� ��������, ��������, ��������,
31 K-12 Technolo $708,000 $708,000 $0� 0.00%� (3)�
��������,
��������, ��������, „����, ��������, ��������, ��������, ��������, ��������, ��������,,�������, ��������, ��������, �
32 K-12 En lish Learner Education $67,048 $68,724 $1,676� 2.50%� (1)��
33 K-12 PE/Wellness $83,975 $81,490 -$2,485� -2.96% (1)�
34 K-12 Visual Arts $93,527 $96,506 $2,979� 3.19%� (1)�
,,,,
35 K-12 Performin Arts $135,978 $136,181 $203� 0.15% (1)��
,
�
36 K-12 Athletics $214,972 $220,346 $5,374� 2.50%� (1)��
,
37 Earl Childhood Education $52,054 $53,355 $1,301� 2.50%� (1)��
Y
38 Health Services $91,478 $118,766 $27,288 29.83%' (1)(4)
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,, �
39.3 9-12 Counseling 19 144 $19,623 479 2.50% (1)
. ,,,,,,,,
$,,,,,,,,' ,,,,,,,,,, ,,,,,,,, �,,,,,,,,,' �,,,,,,'
39.4 K-12 Counseling 91 122 93 400 2 278 2.50% (1)
,,,,
$,,,,,,,,' ,,,,,,,,, �,,,,,,,,,' ,,,,,,,,, �,,,,,'
40.1 PreK-5 Special Education 73 288 75 120 1 832 2.50% (1)
$,,,,,,,,' ,,,,,,,,,, �,,,,,,,,,' ,
40.2 6-8 Special Education 38 940 39 914 $974 2.50% (1)
$,,,,,,,,,' ,,,,,,,,,, ,,,,,,,, ,
40.3 9-12 Special Education 39 149 $40,128 $979 2.50% (1)
. ,,,,,,,,
$ ,,,,,,,,,' ,,,,,,,,,, � ' �,,,,,'
40.4 PreK-22 Special Education 248 332 254 540 6 208 2.50% (1)
,,,,
$,,,,' ,,,,,,,,,' ,,,,,,,,, �,,,,' ' ,,,,,,,,, _,,,,,,,,
41 Tuition 9 323 652 7 465 036 $1,858,616 -19.93% (5)
.,,,,,,,
42 Transportation.Special Education $2,842,467 $2,491,417 -$351,050 -12.35% (6)
42.1 Transportation:Homeless $75,000 $75,000 $0 0.00% (3)
,,,,,
,,,,,,,,,
43 Special Educ.Consultants $701,465 $719,002 $17,537 2.50% (1)
44 Transportation:Regular Day $2,677,821 $2,703,056 $25,235 0.94% (7)
,
45 Print Center $318,948 $326,922 $7,974 2.50% (1)
,
46 Legal Services $125,000 $125,000 $0 0.00% (3)
.,,,,,,,,
$,,,,,,,,' ,,,,,,,,,, �,,,,,,,,,' ,
46.1 School Committee 21 125 21 125 $0 0.00% (3)
, ,,,,,,,,
48 2 Superintendent $180,535 $157,291 $23,244 -12.88% (8)
48.2 Strate ic Plannin Initiatives $76,193 $66,383 -$9,810 -12.88% (8)
,,,,
48 3 Finance and Operations $413,263 $144,379 $268,884 -65.06% (8)
,
;
48.4 Human Resources $389,558 $339,402 $50,156� -12.87%� (8)���
,
56 Telephone $74,987 $76,862 $1,875� 2.50%� (1)��
58 Prior Year Unpaid Bills $0 $0 $0�� 0.00%� ��
„
$,,,,,,,,� ,,,,,,,,, �,,,,,,,,,� �,,,,,,
60 Emer enc Plannin &Trainin 77 000 77 000 0� 0.00%� (3)�
,, �,,,,,,,,, �/,,,,,, �, �,,,,,,
, , ,
61 Facility Improvements $125,000 $125,000 $0 0.00% (3)
. . . . ,
�Grand Total $21,938,740� $19,482,303� -$2,456,437� -11.20%%
Notes:(1)Adjusted per pupil expenditure base for enrollment,added 2.5%inflation; (2)15%reduction based on historical spending;(3)Level funding
for FY25; (4)$25K added for state mandated hygiene products distribution; (5)Expanded use of Circuit Breaker,prepay,and grant reserves;(6)Based
on historical spending and projected needs for FY25(7); Based on contracted pricing and increased use of Transportation Revolving account;(8)Base
adjusted for 2.5%inflation; 15%reduction based on historical spending
Lexington Public Schools FY 2025 Bud�et Page 12
o'�n �fr +
��II �Illlllli Ilu�l ���II �,,,,,,ii111��''1 Illlllli����Illlllip�ii�U�{'�i�'mu��,�r��,«,��I�m,,,rrt��Illllli�o�'�i��- i
Student Enrollment Summary
Table 1 summarizes enrollment counts by school and grade as of October 1, 2023 (FY 2024). This
table also features enrollment totals by school and district for FY 2021, FY 2022, and FY 2023.
Total (PreK-12) enrollment for FY 2024 was 6,805, representing a slight decrease of 40 students
from the previous year. Total K-5 elementary enrollment was 2,674 and ranges across schools from
365 (Bridge) to 631 (Hastings). At the secondary level, Diamond continues to be the larger of the two
middle schools with an enrollment of 927, compared to 810 students at Clarke. Total enrollment at the
secondary level was 1,737 for the middle school grades and 2,318 at the high school level.
Table 1: What Is Current LPS Enrollment (October 1, 2023)?
-
1 � . , . -
� ' � . :
. �
i �ri t I 1 7 4 8
690 6 90 ;68 5 6 05
; , ......� ��������� .�������. .......� ��������. �������.
7 � 7 � 7 ;; 7 � 7 �
� 5 6 5 6 6
, �
� 470 � 430 � 451 ;; 428 � � 69 � 63 � 65 ����� 72 � 77 � 82 �
� ri � 400 � 360 � 374 ;�, 365 ����� � 50 � 59 � 57 � 68 � 59 � 72 �
� t r � 522 �; 524 �; 542 ;��, 537 � � 71 � 72 �101 � 88 � 94 � 111 �
� i � 387 � 342 �; 341 ;�, 335 � � 37 � 46 � 55 � 61 � 75 � 61 �
m � �������. ... ��������� ������� .... ��������. ������. ...... ��������� �����. ...... .�������� ����� ...... ��������. ����. ..��� ��������. ����. ��,
rri � 446 � 423 � 396 ;�, 378 � � 56 � 54 � 60 � 51 � 78 � 79 �
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........�., ,F�. ��������. ,.������� ......,,. ��������. �������. ......... ���������
�����. ...... .�������� ����� ...... ��������. ����. ..��� ��������. ..,�
i �; 2 � 1 � � 7 � 7 �11 � � 11 �14 �
� 565 6 3 ; 598 ���� 63 9 9 9 96 8 0
� I r i I � 881 � 829 � 823 ;; 810 � �266�258�286�
� i i I � 912 �; 919 � 942 ;��, 927 � �297�308�322�
,
,
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i � i � 2261 � 2273 � 2303 �� 2318 � �595��������596�591 �536�
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Additional data, history, and forecasts can be found .
Lexington Public Schools FY 2025 Bud�et Page 13
Revenue Allocation Model
Reve n u e Offs ets
The Town follows a revenue sharing model that provides for the prior year appropriation, adjusted for
new revenue growth under an allocation model of 74% (School Department) and 26% (Municipal).
Revenue Allocation Process
The Town of Lexington has established a collaborative budget development process that is conducted
through a series of budget summit meetings. These budget summit meetings begin in October and
end in February. These meetings include the School Committee, the Select Board, the Appropriation
Committee, and the Capital Expenditures Committee. Topics covered at these meetings include:
Summit I: Financial Indicators; 5-Year Forecast; Initial Revenue Projection
Summit II: FY 2025 Town FY 2025 Town Budget Allocation
Summit III: FY 2025 Revenue Allocation Model
Summit IV: FY 2025 White Book Preview
The Revenue Allocation Model, revised in December 2023, provides for a projected 4.16% increase
over the School Department's FY 2024 budget. The table below was originally presented at the
Summit II meeting on November 15, 2023. Since then additional funds have been allocated and a
finalized allocation table will be forthcoming.
� - - - - � . , . . • -
„
$289,294 Projected FY 2025 Revenue
,,,,,,,,, , . ,,.,,, ,,,,,
Shared Municipal School ($s in OOOs)
,,, ,,,,,
(1) $(134,730) $- $- $ (134,730) FY 2024 School Budget
(2) $ (47,375) $- $(47,375) $- FY 2024 Municipal Budget+ Community Center Support
;
,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,
,
(3) $(3,782) $ 3,782 $- $- FY 2025 Minuteman
(4) $ (10,764) $ (10,764) $- $- FY 2025 Contributor Retirement
�
�5 $ 37,240 $ 37,240 $- $- FY 2025 Benefits
,,,,,,,),,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,, �,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,�,,,,,,,,,,,,,, �,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,�,,,,,,,,,,,,,,,,,,;;
(6) $ (200) $ (200) $- $- FY 2025 Unemployment
,
„ �,,,,,,,,,
(7) $ (500) $ 500 $- $- FY 2025 Workers Com
�,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,),,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,, �,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,;
(8) $(1,141) : $(1,141) $- $- .FY 2025 Property and Liability Insurance
, „
9 $ 200 $ 200 $- $- �FY 2025 U n i nsu red Losses
� �.
) �, ) ), „
(10) $ (390) $ (390) $- $- FY 2025 Solar Production Payment
,,,,,,,,, , , ,,„
11 $ 6,464 $ 6,464 $- $- FY 2025 Debt Service
).
�,,,,,, �,,,,, ),,,,,,,, �,,,,,,,, ) ,,,,, „
, _ ,, ,,„
(12) $ (850) $ (850) $ $- FY 2025 Reserve Fund
,,,,,
13 $ 14,812 $ 14,812 $- $- FY 2025 Facilities De artment Bud et
� �
�,,,,,,,,, �,,,,,,, �,,,,,,, �,,,,, „ �,,,,,,, �
, _ _ ,,,
(14) $- $ (10) $ $ Facilities PIRs
,,, ,,,,,
$ 1,000 $- $- Set-Aside for as et to be identified FY 2025 needs
�,,,,,,,, ) ,,,,, „ �,,,,,,,,,
,,, ,,,
$ (200) $- $- Unanticipated Current Fiscal Year Needs FY 2024
,,,,,,,,, ,
$- $- $- Special Education Stabilization Fund
, ,
$(4,036) $- $- Tax Levy Dedicated to Capital Stabilization Fund
, ,,„
$- $- $- Free Cash Set-Aside to Ca ital Stabilization Fund
, , ,,,,,
(15) $ (24,074) $ (12,855) $- $- Cash Capital-Free Cash and Other Available Funds
,,,,,,,,, ,, ,,,,,
$ 1,000 $- $- Cash Ca ital-Tax Lev
�,,,,,,, � ,,,,, „ �,,,,,,,,, �„
„, _ ,,,
$(2,030) $- $ OPEB (Free Cash)
,,,,,,,,, ,,, ,,,,,
$ 2,707 $- $- Street Improvement Pro ram Tax Lev
).
�,,,,,,,, ) ,,,,, „ �,,,,,,,,, „�,,,,,, Y
„ ,,, ,,,,
$ (231) $- $- Building Envelope Program (Tax Levy)
, ,,,,,
$ 15 $- $- Senior Tax Work-Off Pro ram Free Cash
).
�, „ �,,,,,,,,, �,,,, „),,,,,
(16) � $(282,521) $(100,426) $(47,375) $ (134,730) Base Budget-Used for Allocation
,„
26.0% 74.0% Percenta e-Munici al and School Onl
��������, ��������, ��������, „ � ��������� ��������� ��������� ��������� ,�������� ��������� ��������� ��������� ��������� ,�������� ��������� ��������� ��������� ��������� ��������� ���������,,,,
(17) $6,773 $ 1,762 $5,011 Incremental Revenue
o,,,,,,,,, ,,,,,, o,,,,,,,,, „
3.72/0 3.72/o Percent of Current Bud et
,������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ,������ ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ��������� ���������,,,,,,,,
���������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������������
Lexington Public Schools FY 2025 Bud�et Page 14
Revenue Allocation History & Trends
Below is the growth factor or the increase in funding available for the school operating budget
approved during the last ten budget cycles:
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Lexington Public Schools FY 2025 Bud�et Page 15
State Benchmark Comparisons
Source: LPS SIMS&MA DESE Public Profiles
Student Demo�raphics
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Lexington Massachusetts
Lexington Public Schools FY 2025 Bud�et Page 16
Per Pupil Expenditures
The tables below indicate Lexington's per pupil expenditures in comparison to other local districts.
Community Total Per Pupil Expenditures 2021
Arlington $179934
Brookline $25�690
Cambridge $359114
Lexii-ngton $219429
Needham $211�1147
Newton $239431
Wellesley $24,183
Winchester $1698
P Per"Pu�pfl Adfusted
ercent
2008 2,022 'Percent
00mmulmly 2008 ActU611 NSSI 2022 Actua!NIISS Budget Growth
Enrollment DirollIment, GmWth Growth
2008-2022
1 $47,21,3,145,2 �638 Q%
Adflngtlon 4,429 5,836, 32% �G
$96,979 105%(, 55".89
7 '404%
$7 84,,Q 3' 78.28
Sr,'oO n#
CambAdge 61,443 7#160 111% $13,loZOIZ149. $2351,834 898 8 O`Y6
81�6
09
93 21
................................................................
I �1,561 87
47"82121 5022 sell '613
j, ................ ...............................................
NevAozi, 11,,,16881, �'I 2',113 4% $I m P 1918,19,06 $260T37OT4531 (67%, 60.84%
ww"Iles 4,wO3 40 4! $04�442',,00115 �718111 Tr, %`
——-------- ------------
Winchester 3�1,81,2 415,13 18% $35,227 6190 $71,6116,120 1,011/6 71
....................................................................................
.............
MCAS Results
Massachusetts Comprehensive Assessment System (MCAS) is an online assessment, linked to state
learning standards, administered each year. A graph of select 2023 MCAS results for Lexington and
comparison districts is below. Find additional District Performance Measures here.
2023 MCAS Results: Percent of Students Meeting or Exceeding Expectations
100
75
50
25
0
Arlington Brookline Cambridge Le�xington Needham Newton Wellesley Winchester
English Language Arts Grades 3-8 Math Grades 3-8 English Language Arts Grade 10 Math Grade 10
Lexington Public Schools FY 2025 Budget Page 17
This Page Intentionally Left Blank.
Program: Education
1200 Minuteman Regional High School Town of Lexington, 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, 2023, 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, and Veterinary Science, 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 1st 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/ 2018
10/ 1/ 2019
101112020
10/ 1/ 2021
10/ 1/ 2022
10/ 1/ 2023
High School Students
52
62
71
68
77
82
Post Graduate Students*
1
j 4
j 0
j 0
0
0
*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.
Appropriated/Authorized Staffing:
No Town staff are charged to this budget.
Budget Recommendations
The FY2025 projected budget for the Minuteman Regional High School assessment is $3.,482,747, a
decrease $(19,230) or (0-55)% from the FY2024 budget due to Lexington's projected enrollment
compared to other member communities and an increase in available revenues other than the annual
assessment.
The assessment incorporates $975,834 in debt service, a increase of $46,264 or 5.0%. The annual
assessment is broken out as follows:
Category
FY2022
FY2023
FY2024
FY2025 $ Change
% Change
Minimum Required Contribution
$ 1,156,993
$ 1,158,939
$ 1,310,022
$(1,310,022
(100.0)%
Transportation Assessment
$ 109,594
$ 78,524
$ 79,620
$ (79f620)
(100.0)%
Remaining Operating Assessment
$ 935,559
$ 969,283
$ 1,182,765
$(1,182,765
(100.0)%
Capital/Debt Service
$ 927,892
$ 1,017,152
$ 929,570
$ 975,834 $ 46,264
5.0%
Total Assessment $ 3,130,038
$ 3,223,898
$ 3,501,977
$ 3,482,747 $ (19,230)
(0.5)%
*Numbers may not add due to rounding.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
III-18
Program: Education
1200 Minuteman Regional High School Town of Lexington, MA
Budget Summary:
Funding Sources FY2022 FY2023 FY2024FY2025 Dollar Percent
Actual Actual Estimate* Projected Increase Increase
Tax Levy $ 3,130,038 $ 31223,898 $ 31501,977 $ 31482,747 $ (19,230) -0.55%
Appropriation FY2022 FY2023 FY2024 FY2025 Dollar Percent
Summary Actual Actual* Appropriation* Recommended Increase Increase
Compensation $ — $ — $ — $ — $ — —%
Expenses $ 31130,038 $ 31223,898 $ 31501,977 $ 3,482,747 $ (19,230) 1 (0.55)%
Level -Service FY2022 FY2023 FY2024 FY2025 Dollar Percent
Requests Actual Actual* Appropriation* Recommended Increase Increase
Total 1200 Minuteman $ 3,130,038 $ 3,223,898 $ 31501,977 $ 3,482,747 $ (19,230) (0.55)%
Object Code
Summary
FY2022
Actual
FY2023
Actual*
FY2024
Appropriation*
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ —
$ —
$ —
$ —
$ —
—%
Overtime
$ —
$ —
$ —
$ —
$ —
—%
Compensation
$ —
$ —
$ —
$ —
$ —
—%
Contractual Services
$ 31130,038
$ 31223,898
$ 31501,977
$ 31482,747
$ (19,230)
(0.55)%
Utilities
$ —
$ —
$ —
$ —
$ —
—%
Supplies
$ —
$ —
$ —
$ —
$ —
—%
Small Capital
$ —
$ —
$ —
$ —
$ —
—%
Expenses
$ 3,130, 038
$ 3,223, 898
$ 3,501, 977
$ 3,482,747
$ (19,230)
(0.55)%
The FY2023 actual and FY2024 Appropriations have been adjusted to reelect the actual assessments for those
years, rather than the timing of actual payments.
FY2025 Preliminary Budget & Financing Plan
III-19
January 18, 2024
This Page Intentionally Left Blank.
Section IV: Program 2000m. Shared Expenses
This section includes detailed information about the FY2025 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
• 3450
Refuse &Recycling Collections for Municipal &School Buildings*
V-20
*For FY2025 the Town Manager and Superintendent of Schools have agreed to share the cost of the
Town's contracted Refuse and Recycling collection and disposal costs for Municipal and School
buildings. For additional information on this Shared Expense see Section V-3400: Environmental
Services section of this Preliminary Budget.
FY2025 Preliminary Budget & Financing Plan
IV-1
January 18, 2024
This Page Intentionally Left Blank.
Program: Shared Expenses
2100 Employee Benefits & Insurance Town of Lexington, 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. Beginning in FY2023 the Town no
longer has any non-contributory retirees.
• 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 five employees are charged to the General Fund health
insurance budget.
FY2025 Preliminary Budget & Financing Plan
IV-3
January 18, 2024
Program: Shared Expenses
2100 Employee Benefits & Insurance Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Employee Benefits and Insurance budget is $49,081,904. This is
a $3,311,998 or 7.24% increase from the FY2024 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, 2023.
Changes Include:
1. A $758,276, or 7.59% increase in Contributory Retirement based on the approved funding
schedule from the January 1, 2023 actuarial valuation of the Lexington Retirement System, plus
an amount of dedicated tax levy new growth. In FY2023, $1,060,000 of new levy growth from
Takeda personal property taxes was dedicated to the Pension Fund. This amount, plus an
increase of 2.5% per year will continue to be set -aside to the Pension Fund in future years. The
dedicated tax levy plus growth for FY2025 is $10,743,,076. For FY2025, $400,000 is funded
from Free Cash, which is the same level of Free Cash funding as in FY2024. The Retirement
system's unfunded liability is expected to be funded by 2030, given the current actuarial
assumptions.
2. A $115,351 or 5.27% increase in the Town's contribution for the Medicare Tax based on
FY2023 actual costs, projected FY2024 and FY2025 salaries and wages, new municipal
positions, and historical rates of increase in this item.
3. A $2,335,074 or 7.39% increase in health insurance costs (General Fund). The FY2025 budget
is based on an increase of 9.6% in health insurance premiums across all plans at November
2023 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).
4. A $90,835 or 8.18% increase in dental insurance costs (General Fund) based on a 10% increase
in premium rates for FY2025 as compared to originally budgeted FY24 rates, further updated to
reflect November 2023 enrollment levels.
5. No increase in life insurance costs based on projected enrollments.
6. Level -funding of unemployment insurance based on the revised budget of $200,000, which is
reflective of average claim activity.
7. A level funding of workers' compensation costs to a total of $500,000. As of June 30, 2023, this
continuing appropriation account had a total balance of $2,931,805.
FY2025 Preliminary Budget & Financing Plan
NV792i
January 18, 2024
Program: Shared Expenses
2100 Employee Benefits & Insurance Town of Lexington, MA
Budget Summary - General Fund
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ 37,215,122
$ 39,616,886
$ 44,354,188
$ 47,533,058
$ 94,043
$ 47,627,100
$ 3,272,912
7.38%
Transfers from Enterprise Funds to General
Fund (Indirects)
$ 611,775
$ 805,256
$ 863,256
$888,722.052
$ -
$ 888,722
$ 25,466
2.95%
Free Cash for Updated Pension Schedule
$ -
$ 400,000
$ 400,000
$ 400,000
1$6fl49.252691$
$ -Is
400,000
1
$ -
I -%
PEG Access Special Revenue Fund
$ 5,575
1 $ 5,178
$ 4,991
-Is
6,149
$ 1,158
23.21%
FY2022
Appropriation Summary (General Fund) Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's FY2025
Add/Del Recommended
Dollar Percent
Increase Increase
Compensation $ 118,996
$ 130,585 $
142,636
$ 174,120
$ - $ 1741120
$ 31,484 22.070/
Expenses $ 37,713,476
1 $ 40 f696 f734 $
45,479,799
$ 48,653,809
$ 94,043 $ 48,747,851
$ 3,268,052 1 7.190/
Level -Service Requests (General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 2110 Contributory Retirement
$ 71417,500
$ 91219,250
$ 91984,800
$ 10,743,076
$ -
$ 10,743,076
$ 758,276
7.59%
Total 2120 Non -Contributory Retirement
$ 8,798
$ -
$ -
$ -
$ -
$ -
-%
Subtotal - Retirement
$ 7,426,298
$ 9,219,250
$ 91984,800
$ 101743,076
$ -
$ 10,743,076
$ 758,276
7.59%
Total 2130 Medicare
$ 1,986,677
$ 21089,413
$ 2,189,679
$ 2,299,163
$ 5,868
$ 21305,030
$ 115,351
5.27%
Total 2130 Health Insurance
$ 26,483,798
$ 27,711,900
$ 31,612,815
$ 33,862,441
$ 85,448
$ 33,947,889
$ 2,335,074
7.39%
Total 2130 Dental Insurance
$ 1,080,414
$ 1,045,057
$ 1,110,141
$ 1,198,249
$ 2,727
$ 11200,976
$ 90,835
8.18%
Total 2130 Life Insurance
$ 17,160
$ 17,851
$ 25,000
$ 25,000
$ -
$ 25,000
$ -
-
Subtotal - Health/Life Benefits
$ 29,568,050
$ 30,864,222
$ 34,937,635
$ 37,384,853
$ 94,043
$ 37,478,895
$ 2,541,260
7.27%
Total 2140 Unemployment
$ 88,124
$ 118,848
$ 200,000
$ 200,000
$ -
$ 200,000
$ -
-%
Total 2150 Workers Compensation
$ 750,000
$ 625,000
$ 500,000
$ 500,000
$ -
$ 500,000
$ -
-%
Subtotal - Other Employee Benefits
$ �838,1�24
$ 743,848
$ 700,000
$ 700,000
$ -
$ 700,000
$ -
-%
Object Code Summary (General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 118,996
$ 130,585
$ 142,636
$ 174,120
$ -
$ 174,120
$ 31,484
22.07%
Overtime
-
-
-
-
-
-
-
Personal Services
$ 118, 996
$ 130,585
$ 142,636
$ 174,120
$ -
$ 174,120
$ 31, 484
22.07%
Contractual Services
$ 37,713,476
$ 40,696,734
$ 45,479,799
$ 48,653,809
$ 94,043
$ 48,747,851
$ 3,268,052
7.19%
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Supplies
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Expenses
$ 37,713,476
$ 40, 696,734
$ 45,479,799
$ 48, 653, 809
$ 94, 043
$ 48,747, 851
$ 3,268, 052
7.19%
-----------------------------------------------------------------------------------------------
Budget Summary - Revolving Funds*
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/Del Projected Increase Increase
Directed Funding (Revolving Funds) $ 133,586 $ 139,863 $ 1471471 $ 159,933 $ - I $ 159,933 $ 12,462 8.45%
*Revolving Funds are authorized by Town Meeting via Article 9, and are not appropriated under Article 4.
FY2022
FY2023
FY2024
FY2025 Manager's
FY2025
Dollar Percent
Level -Service Requests (Revolving Funds) Actual
Actual
Revised
Request Add/Del
Recommended
Increase Increase
Total 2130 Health Insurance $ 129,199
$ 135,729 $
143,337
$ 154,563 $ -
$ 154,563
$ 111226 7.830/
Total 2130 Dental Insurance $ 4,387
$ 4,134 $
4,134
$ 5,370 $ -
$ 5,370
1 $ 1,236 29.900/
-------------------------------
Budget Summary - All Funds
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Appropriation Summary Actual
Actual
Revised
Request
Add/Del Recommended
Increase Increase
Compensation $ 118,996
$ 130,585 $
142,636
$ 174,120
$ - $ 174,120
$ 31,484 22.07%
Expenses $ 37,847,062
$ 40,836,597 $
45,627,270
$ 48,813,742
$ 94,043 $ 48,907,784
$ 3,280,514 7.19%
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IV-5
Program: Shared Expenses
2100 Employee Benefits & Insurance Town of Lexington, 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, 2025.
The table below displays an approximate distribution of health insurance costs for Municipal and School
employees and Retirees.
Table 1: Health Insurance Budget: FY2020 - FY2025
FY2020
Actual
FY2021
Actual
FY2022
Actual
FY2023
Actual
Budgeted
FY2024
Projected
FY2025
Increase
FY2024 to
FY2025
Town
$ 31903,453
$ 4,242,098
$ 4,148,176
$ 5,059,791
$ 5,340,948
(100.00)%
School
$13,170,788
$13,965,697
$13,985,906
$16,244,427
$17,475,695
(100.00)%
Retirees
$ 61980,911
$ 71165,298
$ 7,233,013
$ 8,175,329
$ 8,718,255
(100.00)%
Total
$ 24,055,153
$ 25,373,093
$ 25,367,096
$ 29,479,547
$ 31,534,898
$ 33,947,889
7.65%
Medicar5)Part B
Penalty
$ 78,264
$ 74,935
$ 77,917
$ 74,935
$ 77,917
(100.00)%
Net Budget Amount
$ 24,133,417
$ 25,448,028
$ 25,445,013
$ 29,554,482
$ 31,612,815
$ 33,947,889
7.39%
(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.
FY2025 Preliminary Budget & Financing Plan
IV-6
January 18, 2024
Program: Shared Expenses
2100 Employee Benefits & Insurance Town of Lexington, MA
The table below shows the number of employees and retirees enrolled in the Town's health insurance
program.
Table 2: Health Insurance Enrollments
Actual Subscribers
FY2024
Budget
FY2025
Budget
Based on Actual Subscribers,
plus Additional Projected Lives
shown below
Subscribers
Nov.2019 Nov.2020 Nov.2021 Nov.2022 Nov.2023
(FY2020) (FY2021) (FY2022) (FY2023) (FY2024)
Municipal
Individual
107 98 110
105
116
Family
168 171 172
166
155
subtotal
269 269 282
271
271
School
Individual
358 358 376
374
371
Family
555 555 536
520
544
subtotal
913 913 912
894
915
Retirees
11307 11302 1,338
L372
11391
subtotal
21493 21484 21532
21537
21577
Additional projected lives for budget purposes
Position Vacancies
Municipal
9
3
School
23
38
subtotal
32
41
Estimated Open Enrollment / Qualifying Events (2)
Individual
9
9
Family
27
47
Retirees
44
44
subtotal
80
80
total
21493 21,484 21647
21649
21698
New Positions
School (3)
12
0
Municipal (3)
1
5
Facilities Dept.
0
0
subtotal
13
5
Estimated Deduction in Subscribers
Retirees
totall
21,493 1 2,484 1 2,647 21628
1 2,669
(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.
FY2025 Preliminary Budget & Financing Plan
IMgN
January 18, 2024
Program: Shared Expenses
2200 Property & Liability Insurance Town of Lexington, MA
Mission: To provide and manage a comprehensive property and liability management program for all
property and equipment in the Town.
Budget Overview: The property and liability management program consists of the following
elements:
• Property 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
liability 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 FY2025 overall recommendation for Property and Liability Insurance is $1,340,800, which is an
increase from the FY2024 appropriation.
1. Property and liability insurance is projected to increase by $148,800 or 15.00%.
2. A level funding of the budget for uninsured losses. The balance in this continuing balance
account as of June 30, 2023, is $951,885. Staff recommend a guideline of maintaining a fund
balance of approximately $1 million.
FY2025 Preliminary Budget & Financing Plan
IV-8
January 18, 2024
Program: Shared Expenses
2200 Property & Liability Insurance Town of Lexington, MA
Budget Summary
Funding Sources
FY2022 FY2023
FY2024
FY2025
Manager's FY2025 Dollar Percent
Actual Actual
Estimate
Projected
Add/Del Projected Increase Increase
Tax Levy
$1,055,742 $1,102,482 $
1,162,050
$1,309,966
$ - $ 1,309,966 $ 147,916 12.73 %
Transfers from Enterprise Funds
to General Fund (Indirects)
$ 25,039 $ 30,137 $
29,950
$ 30,834
$ - $ 30,834 $ 884 2.95 %
Appropriation Summary FY2022 FY2023 FY2024
FY2025
Manager's FY2025
Dollar Percent
Actual Actual Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation $ 38,718 $ 40,009 $ 39,333
$ 40,921
$ - $ 40,921
$ 1,588 4.04 %
Expenses 1$1104210631$1,092,609 $ 1,152,667
$1,299,879
$ - $ 1,299,879
$ 147,212 12.77 %
Level -Service Requests FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Total 2210 Property & Liability $ 830,781 $ 932,619 $ 992,000 $1,140,800 $ - $ 1,140,800 $ 148,800 15.00 %
Insurance
Total 2220 Uninsured Losses 1$ 250,000 1$ 200,000 1$ 200,000 1$ 200,000 1$ - 1$ 200,000 1$
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 38,718
$ 40,009
$ 39,333
$ 40,921
$ -
$ 40,921
$ 1,588
4.04 %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Compensation
$ 38,718
$ 40,009
$ 39,333
$ 40,921
$ -
$ 40,921
$ 11588
4.04 %
Contractual Services
$1,042,063
$1,092,609
$ 1,152,667
$1,299,879
$ -
$ 1,299,879
$ 1471212
12.77 %
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Supplies
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Expenses
Insurance
$1, 042, 063
$1, 092, 609
$ 1,152, 667
1$11299,879
$ -
$ 1,299, 879
$147,2121
12.77
FY2025 Preliminary Budget & Financing Plan
IV-9
January 18, 2024
2300 Solar Producer Payments
Program: Shared Expenses
Town of Lexington, 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 FY2025 overall recommendation for Solar Producer Payments is $390,000, which is level -funded
from the FY2024 appropriation.
FY2025 Preliminary Budget & Financing Plan
IV-10
January 18, 2024
2300 Solar Producer Payments
Program: Shared Expenses
Town of Lexington, MA
Budget Summary
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/Del Projected Increase Increase
Tax Levy $ (281,965) $ (460,880) $ (280,000) $ (290,000) $ - $ (290,000) $ (10,000) 3.57 %
Net -Metering Credits $ 642,150 $ 841,417 $ 670,000 $ 680,000 $ - $ 680,000 $ 10,000 1.49 %
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - $ - $ - - %
Expenses $ 360,184 1 $ 380f537 $ 390,000 1 $ 390,000 1 $ - $ 390,000 1 $ - - %
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Level -Service Requests Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Total 2300 Solar Producer $ 360,184 $ 380f537 $ 390,000 390 000 -
Payments $ $ - $ 390,000 $ -
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Compensation
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Contractual Services
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Utilities
$ 360,184
$ 380,537
$ 390,000
$ 390,000
$ -
$ 390,000
$ -
- %
Supplies
$ -
0 $ -
$ -
$ -
$ -
$ -
$ -
- %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
Payments
$ 360,184
$ 380, 537
$ 390,000
$ 3901000
$ -
$ 390,000
$ -
- %
Summary of Townwide Solar Credits and Expenses
FY2019
FY2020
FY2021
FY2022
FY2023
FY2024
FY2025
Actual
Actual
Actual
Actuals
Actuals
Estimate
Projection
Rooftop Solar Bill Credits
$ 333,329
$ 326,421
$ 308,738
$ 336,046
$ 291,500
$ 330,000
$ -
Rooftop PILOT*
$ 30,000
$ 30,000
$ 30,000
$ 30,000
$ 30,000
$ 30,000
$ -
Rooftop Solar Payments
$ (159,033)
$ (173,254)
$ (164,249)
$ (156,669)
$ (165,000)
$ (156,000)
$
$ 204,296
$ 183,167
$ 174,489
$ 209,377
$ 156,500
$ 204,000
$ -
Net Revenue subtotal
Hartwell Solar Revenue
$ 720,493
$ 691,986
$ 674,298
$ 755,891
$ 670,000
$ 700,000
$ -
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
$ (351,839)
$ (385,512)
$ (367,694)
$ (395,706)
$ (390,000)
$ (390,000)
$
$ 425,054
$ 362,875
$ 363,004
$ 416,585
$ 336,400
$ 366,400
$ -
Net Revenue subtotal
Total Net Revenue
$ 629,350
$ 546,042
$ 537,493
$ 625,962
1 $ 492,900
$ 570,400
$ -
*Payments in Lieu of Taxes (PILOT) are considered Personal Property taxes paid to the Town.
FY2025 Preliminary Budget & Financing Plan
IV-11
January 18, 2024
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 2024 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 21/2, 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 Finance department.
Budget Recommendations:
Total gross debt service is decreasing by $(712,356),, or (3.00)% compared to FY2024, which reflects a
decrease in within levy debt service.
Within -Levy debt service of $6,123,352 is decreasing by $(730,749), or (10-66)% as existing debt on
older projects has been fully paid -off. In recent years the Town has increased the cash capital
program and accordingly reduced the issuance of new within -levy debt. Lower debt service expense
reduces interest costs and creates capacity within the tax levy to fund future capital projects with cash.
The Town will continue to issue new within -levy debt to meet ongoing capital needs when cash
financing is not available.
FY2025 gross exempt debt service is projected at $16,902,562, a increase of $18,393, or 0.11%
compared to FY2024 gross exempt debt service due to the declining interest payments of prior
issuances. No funding is appropriated in FY2025 from the Capital Stabilization Fund to offset exempt
debt service, and net exempt debt service in FY2025 is projected to increase slightly to $16,902,562 or
3.16% more than FY2024.
The Town continues to plan for a large-scale reconstruction or renovation of Lexington High School in
the coming years. This process, timing and budget are driven by the schedule outlined by the
Massachusetts School Building Authority (MSBA). The Town expects that a future debt exclusion vote
will be proposed for the costs of design and construction for the High School Building project, and if
successful, this project will increase exempt debt service in the coming years. The Town has
implemented fiscal guidelines and plans to continue to mitigate the impact of this exempt debt on the
taxpayer. More information on these efforts can be found in the Budget Overview Section of this
Preliminary Budget and Financing Plan.
The FY2025 proposed capital projects are described in greater detail in Section XI: Capital Investment
in this Preliminary Budget and Financing Plan.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IV-12
2400 Debt Service
Program: Shared Expenses
Town of Lexington, MA
Budget Summary
Funding Sources (All Funds)
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$24,260,322
$22,360,740
$ 23,126,362
$ 22,851,914
$ -
$ 22,851,914
$ (274,448)
(1.19)%
Fund Transfers
Capital Stab. Fund - Exempt Debt
$ 21800,000
$ 800,000
$ 500,000
$ -
$ -
$ -
$ (500,000)
(100.00)0
Cemetery Sale of Lots Fund
$ 51,933
$ 16,125
$ 50,408
$ 123,000
$ -
$ 123,000
$ 72,592
144.01 %
Betterments Fund
$ -
$ -
$ 11,500
$ 11000
$ -
$ 11000
$ (10,500)
(91.30)%
Visitors Center Stabilization Fund
$ -
$ Is
50,000
$ 50,000
Is -
$ 50,000
Is -
-
Appropriation Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
(All Funds) Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - $ - $ - - %
Expenses $27,112,255 $23,176,865 $ 23,738,270 $ 23,025,914 Is - $ 23,025,914 $ (712,356) (3.00)%
Gross Within Levy Debt Service
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 2410 Within -Levy Long -Term Principal*
$ 5,626,400
$ 5,274,000
$ 4,840,333
$ 4,032,700
$ -
$ 4,032,700
$ (807,633)
(16.69)%
Total 2420 Within -Levy Long -Term Interest
$ 956,198
$ 11217,534
$ 1,210,458
$ 11084,208
$ -
$ 11084,208
$ (126,250)
(10.43)%
Total 2430 Within -Levy Short -Term Principal
$ 3,7081638
$ 659,012
$ 138,954
$ -
$ -
$ (138,954)
(100.00)0
Total 2430 Within -Levy Short -Term Interest
Total GrossWithin-Levy Debt
$ 73,028
rr / . .
$ 17,933
rr 71168,480
$ 664,356
rr 61854,101
$ 1,0061444
rr .1123,352
$ -
rr
$ 1,006,444
rr .1123,352
$ 342,088
rr (730,749)
51.49 %
1 .. ,
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Net Within Levy Debt Service
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Total 2410 Within -Levy Long -Term Principal
$ 51626,400
$ 5,274,000
$ 4,840,333
$ 41032,700
$ -
$ 4,032,700
$ (807,633)
(16.69)%
Total 2420 Within -Levy Long -Term Interest
$ 956,198
$ 1,217,534
$ 1,210,458
$ 11084,208
$ -
$ 1,084,208
$ (126,250)
(10.43)%
Total 2430 Within -Levy Short -Term Borrowing
$ 3,781,666
$ 676,945
$ 803,310
$ 1,006,444
$ -
$ 1,006f444
$ 203,134
25.29 %
Funding from Cemetery Sale of Lots/
Betterments/Visitors Center
$ (51,933)
$ (16,125)
$ (111,908)
$ (174,000)
$ -
$ (174,000)
$ (62,092)
55.48 %
Exempt Debt Service FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual I Appropriation Request Add/Del I Recommended Increase I Increase
Total Exempt Debt rr • I • • rr • 1 1 : : rr 16f884,169 rr • • / • rr rr • • 1 • rr : •
Use of Capital Stabilization Fund to mitigate impact of $ (2,800,000) $ (800,000) $ (500,000) $ - $ - $ - $ 500,000 (100.00)%
excluded debt service on property tax bills
FY2025 Preliminary Budget & Financing Plan
IV-13
January 18, 2024
2500 Reserve Fund
Program: Shared Expenses
Town of Lexington, Massachusetts
Mission: To provide for extraordinary and unforeseen expenses.
Budget Overview: The Reserve Fund (General Fund) is under the jurisdiction of the Appropriation
Committee. Funds may be utilized for extraordinary and/or unforeseen expenses in any given fiscal
year. If not utilized, the budget in this account reverts to Free Cash at the end of the fiscal year.
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 FY2025 recommendation for the Reserve Fund is $850,000, which is increasing by $100,000
compared to the original FY2024 appropriation.
Notes: In FY2022 through FY2024 budgets for the Reserve Fund were $750,000 in each year.
• In FY2023 the full $750,000 was transferred to fund the purchase and installation of public
safety communication equipment that was incompatible with the more modern technology at
the temporary and new Police Station sites. Town Meeting subsequently appropriated an
additional $500,000 to replenish the Reserve Fund at the Fall 2022-3 Special Town Meeting. No
further transfers were made from the Reserve Fund for FY2023.
• In FY2022, $174,000 was transferred to the Recreation Department to address a drainage issue
at Pine Meadows Golf Course. An equal amount was transferred back to the Reserve Fund from
the Enterprise Fund at annual Town Meeting.
• In FY2021, $15fOOO was transferred to the Conservation Division to allow them to respond to a
Letter of Map Revision from the Town of Belmont.
FY2025 Preliminary Budget & Financing Plan
III-14
January 18, 2024
2500 Reserve Fund
Program: Shared Expenses
Town of Lexington, Massachusetts
Budget Summary
Funding Sources FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Estimate Projected Add/Del Projected Increase Increase
Tax Levy $ — $ — $ 750,000 $ 850,000 $ — $ 850,000 $ 100,000 13.33 °/
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - $ - $ - - 0%
Expenses 1$ — 1$ — 1$ 750,000 1$ 850,000 1$ — 1$ 850,000 1$ 100,000 1 13.33 0
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Level -Service Requests Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Total 2500 Reserve Fund $ — $ — $ 750,000 $ 850,000 $ — $ 850,000 $ 100,000 13.33 0
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Overtime
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Compensation
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Contractual Services
$ —
$ —
$ 750,000
$ 850,000
$ —
$ 850,000
$ 100,000
13.33 %
Utilities
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Supplies
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Small Capital
$ —
$ —
$ —
$ —
$ —
$ —
$ —
— %
Expenses
$ —
$ —
$ 750, 000
$ 850, 0 00
$ —
$ 850, 000
$100, 000
13.3 3
FY2025 Preliminary Budget & Financing Plan
III-15
January 18, 2024
This Page Intentionally Left Blank.
Program: Shared Expenses
2600 Public Facilities Town of Lexington, 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, Recreation Committee, 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. Working closely with the School Department, students, elected officials, committees and the
citizens on the development and construction of a new Lexington High School project.
2. Support implementation of Town solar integration projects.
I Continue to develop and refine a 10 year construction schedule
4. Incorporate the recommendations from the 20-year capital plan into the 5-year capital plan.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IEDVA
2600 Public Facilities
Program: Shared Expenses
Town of Lexington, MA
App oi nti ag ALI th Daly
T ow n M a n ag, e r &
S11 p e ri n te nd e nt,, of
S,ch o,o, I s
- - - - - - -- - - - - - -- - - - - - -- - - - - - -- - - - - - -- - - - - - -- - - - - - -- - - - - -
Dire for Of P'L6111C
Fac 11 itl e S
1112, IUMM
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FY2025 Preliminary Budget & Financing Plan
IV-18
January 18, 2024
2600 Public Facilities
Program: Shared Expenses
Town of Lexington, MA
Authorized/Appropriated Staffing
School Facilities 2610
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Maintenance Staff
12
12
12
12
Custodian
54
54
54
54
Subtotal FTE
66
66
66
66
Municipal Facilities 2620
Custodian
12
12
12
12
Subtotal FTE
12
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/AV Tech*
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
Administrator
1
1
1
1
Data Analyst**
0.5
1
1
1
Subtotal FTE
1 11.5
12.0
12.0
12.0
*The Event Manager/AV Technician is requested to increase hours from 35 to 40 in the FY2025 budget.
**In FY2023, a program improvement request revised the Municipal Assistant's responsibilities to reflect
the management of the 20-year capital plan database, and increased the FTE from 0.5 to 1.0. Title
change from Municipal Assistant to Data Analyst.
FY2025 Preliminary Budget & Financing Plan
IV-19
January 18, 2024
Program: Shared Expenses
2600 Public Facilities Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Department of Public Facilities budget inclusive of the General
Fund operating budget and the Building Rental Revolving Fund is $15, 197,171. The recommended
budget is a $534,702, or 3.65% increase from the FY2024 budget.
The Department of Public Facilities FY2025 recommended General Fund operating budget, inclusive of
the Education Facilities, Municipal Facilities and Shared Facilities divisions, is $14,565,855, which is a
$505,452, or 3.59% increase from the FY2024 General Fund budget.
The General Fund operating budget for Compensation is $6,990,292, and reflects a $212,306 or 3.13%
increase, which provides contractually obligated and projected step increases and cost of living
increases for the AFSCME contract that is settled through June 30, 2025, and the SEIU contract that is
settled through June 30, 2025. This increase also reflects a program improvement to increase the
hours of the AV Technician from 35 to 40 hours in order to provide better coverage to building renters.
The General Fund operating budget for Expenses is $7,,575,561 and reflects a $293, 144, or 4.03%
increase. This reflects an overall increase in the cost of utilities, contract labor, cleaning materials and
other supplies.
For FY2025, Utilities are increasing by $62,523 or 1.44% which reflects an increase in projected
electricity costs, mostly offset by a decrease in natural gas expenses. In developing this FY2025 budget
the Facilities Department conducted a review of natural gas usage in Municipal and School buildings as
several have converted to be all electric in recent years. This review resulted in a reduction of
$(216,598) in natural gas expenses in the FY2025 budget.
The FY2025 Facilities Department recommended Building Rental Revolving Fund budget is $631,318,
an increase of $29,252 or 4.86%, which is attributable to increases in wages, staff overtime and
benefits charged to this account.
Program Improvement Requests:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
FAVTechnidan
1 Expenses
Expenses)
Requested1
Expenses
Expenses)
Total
Recommended
Upgrade
$ 91795
$ 142
$ 91937
$ 9,795
$ 142
$ 9,937
$ —
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IV-20
2600 Public Facilities
Program: Shared Expenses
Town of Lexington, MA
Budget Summary - General Fund
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Funding Sources Actual
Actual
Estimate
Projected
Add/Del Projected
Increase Increase
Tax Levy $121162,718
$12,812,047
$ 14,037,078
$14,686,765
$ (245,751) $ 141441,014
$ 403,936 2.88 %
PEG Special Revenue Fund $ 21,212
$ 22,285
$ 23,325
$ 24,840
$ - $ 24,840
$ 11515 1 6.50 %
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Appropriation Summary
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation $ 51966,608
$ 5,975,877
$ 6,777,986
$ 6,980,355
$ 9,937 $ 6,990,292
$ 212,306 3.13 %
Expenses $ 6,217,322
$ 6,858,455
$ 7,282,417
$ 7,831,249
$ (2551688) $ 7575561
$ 293,144 4.03 %
Program Summary
2610 - Education Facilities
2620 - Municipal Facilities
2630 - Shared Facilities
Total.11 •
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
$ 81814,863
$ 91174,614
$ 91811,072
$10,282,420
$ (220,884)
$ 101061,536
$ 250,464
2.55 %
$ 2,191,909
$ 21470,510
$ 21798,632
$ 3,0191227
$ (34,804)
$ 2/984/423
$ 185,791
6.64 %
$ 1,177,159
$ 11189,208
$ 11450 f700
$ 1,5091959
$ 91937
$ 11519,896
$ 69,196
4.77
Object Code Summary
FYZOZZ
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 51489,552
$ 5,655,659
$ 6,418,666
$ 6,590,539
$ 9,937
$ 61600,476
$ 181,810
2.83 %
Overtime
$ 477,056
$ 320,218
$ 359,320
$ 389,816
$ -
$ 389,816
$ 30,496
8.49 %
Personal Services
$ 5,966,608
$ 5,975,877
$ 6,777,986
$ 6,980,355
$ 9, 937
$ 6, 990,292
$ 212, 3 0 6
3.13 %
Contractual Services
$ 1,539,017
$ 21088,476
$ 1,776,560
$ 1,928,519
$ -
$ 11928,519
$ 151,959
8.55 %
Utilities
$ 3,688,401
$ 31274,577
$ 41346,477
$ 4,664,688
$ (255,688)
$ 4/409/000
$ 62,523
1.44 %
Supplies
$ 856,074
$ 1,112,073
$ 895,541
$ 949,675
$ -
$ 949,675
$ 54,134
6.04 %
Small Capital
$ 133 830
$ 383 329
$ 263 840
$ 288 368
$ -
$ 288 368
$ 24 528
9.30
Expenses
$ 6,217,322
$ 6, 858, 455
$ 7,282, 417
$ 7,831,249
$ (255, 688)
$ 71575,561
$ 293,144
4.03
-------------------------------------------
Budget Summary - Non -General Funds
Funding Sources FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Estimate Projected Add/Del Projected Increase Increase
Building Rental Revolving $ 358,979 $ 558,955 $ 600 f650 $ 615,666 $ - $ 615,666 $ 15,016 2.50
Fund
*PEG revenues are tied to spending. For overall revenue, see Select Board budget presentation.
Appropriations Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Building Rental
Revolving Fund
$ 225,809
$ 419,624
$ 602,066
$ 631,318
$ -
$ 631,318
$ 29,252
4.86
Personal Services
$ 210,019
$ 293,761
$ 384,178
$ 413,089
$ -
$ 413,089
$ 28,911
7.53 %
Expenses
$ -
$ 109,547
$ 198,000
$ 198,000
$ -
$ 198,000
$ -
- %
Benefits
$ 15,789
$ 16,316
$ 19,888
$ 20,229 Is
-
$ 20,229
$ 341
1.71
---------------------------------------------------------------------------------------------
Budget Su m ma ry - All Funds
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Appropriation Summary
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Compensation
$ 61176,627
$ 6,269,638
$ 7,162,164
$ 7,393,444
$ 9,937
$ 7,403,381
$ 241,217
3.37 %
Expenses
$ 61217,322
$ 6,968,002
$ 7,480,417
$ 8,029,249
$ (255,688)
$ 7,773,561
$ 293,144
3.92 %
Benefits
$ 15,789
$ 16,316
$ 19,888
$ 20,229
$ -
$ 20,229
$ 341
1.71
Total.11 •
$12f4091738
$13,253f956.
$15,442,922.
1
. .
FY2025 Preliminary Budget & Financing Plan
IV-21
January 18, 2024
This Page Intentionally Left Blank.
Section Vo. Program 3000m. Public Works
This section includes detailed information about the FY2025 Operating Budget &Financing Plan for the
Department of Public Works (DPW). It includes:
• 3000-3500 DPW Summary
V-2
• 3100 DPW Administration & Engineering
V-7
• 3200 Highway
V-12
• 3300 Public Grounds
V-16
• 3400 Environmental Services
V-20
• 3600 Water Enterprise
V-25
• 3700 Sewer Enterprise
V-29
FY2025 Preliminary Budget & Financing Plan
Lyn
January 18, 2024
3000=3500 DPW Summary
Program: Public Works
Town of Lexington, MA
Mission: The Department of Public Works (DPW) 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 ten DPW divisions. The services provided
by Public Works include the maintenance, repair, and construction of the Town's infrastructure, roads,
equipment, and property. The DPW 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, Sustainable Lexington
Committee, the Noise Advisory Committee and the Recreation Committee. Committee members and
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 to research, test and implement new technologies to improve efficiencies.
3. Ensure staff accessibility and participation for training and advancement opportunities.
FY2025 Preliminary Budget & Financing Plan
v-2
January 18, 2024
3000=3500 DPW Summary
Program: Public Works
Town of Lexington, MA
Authorized/Appropriated Staffing
Department
Director of Public Works
FY2022
Budget
1
FY2023
Budget
1
FY2024
Budget
1
FY2025
Request
1
Manager of Operations
1
1
1
1
Management Analyst*
0.6
1
1
1
Office Manager
1
1
1
1
Department Account Assistants**
2.6
2.6
2.6
2.6
Department Assistant - Pub Grounds/
Cemetery
1
1
1
1
Department Lead Assistant
1
1
1
1
Town Engineer
1
1
1
1
Assistant Town Engineer
1
1
1
1
Senior Civil Engineer***
3
4
4
4
Engineering Assistant***
3
2
2
2
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 Laborers
1.1
1.1
1.1
1.1
Equipment Foreman
1
1
1
1
Mechanic
4
4
4
4
Superintendent of Public Grounds
1
1
1
1
Asst. Supt. of Public Grounds****
—
—
—
1
Lead men
7
7
7
7
Arborists
3
3
3
3
Cemetery Foreman
-p.rtment of Public Works - Compost
of Environmental Services
1
Revolving Fund
1
1
1
1
1
1
1
Compost Facility Foreman
1
1
1
1
Leadman*****
—
1
1
1
Heavy Equipment Operator*****
2
1
1
1
Seasonal Attendant 0.7 0.7 0.7 0.7
Tota I FTE .- ..
*In FY2023, the part-time Management Analyst transitioned to a full-time position via a program improvement.
**One full-time Department Account Assistant is shown as 0.6 FTE from the General Fund; 0.4 FTE is charged to
the Water/Sewer Enterprise Funds.
***In FY2023, an Engineering Assistant was upgraded to a Senior Civil Engineer.
****An Assistant Superintendent of Public Grounds position is recommended for funding in the FY2025 budget.
*****In FY2023, a Heavy Equipment Operator was upgraded to a Leadman via a program improvement.
FY2025 Preliminary Budget & Financing Plan
v-3
January 18, 2024
Program: Public Works
3000=3500 DPW Summary Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Public Works budget inclusive of the General Fund operating
budget and the Burial Containers, Compost Operations, Lexington Tree Fund and Minuteman
Household Hazardous Waste revolving funds is $14,303,474. The recommended budget is a $282,732,
or 2.02% increase from the FY2024 budget.
The FY2025 recommended Public Works General Fund operating budget is $13,015,106, which is a
$297,597, or 2.34% increase from the FY2024 General Fund budget.
The General Fund operating budget for Compensation is $5,235,820, and reflects a $221,139 or 4.41%
increase, which is attributable to the cost of contractually obligated step increases and cost of living
adjustments. Compensation does not include any estimate of prospective cost of living increases for
contracts expiring on or before June 30, 2024. Funds for prospective increases are captured in the
Salary Adjustment account within the Town Manager's budget. This FY2025 request includes funding
for a full-time, benefited Assistant Superintendent of Public Grounds position.
The General Fund operating budget for Expenses is $7,779,286 and reflects a $76,458 or 0.99%
increase.
The combined FY2025 recommended Revolving Fund budgets (see page V-7) are $1,288,368 which is
a $(14,865) or (1.14)% decrease from the FY2024 budget due to staff turnover in compost operations
and a reduction in household hazardous waste expenses.
Please see the division sections on the following pages for a detailed explanation of the FY2025 budget
changes.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Expanded Food Waste Collection
Program
$ 396,000
$ —
$ 396,000
$ —
$ —
$ —
$ 396,000
Assistant Superintendent for
Public Grounds
$ 83,895
$ 18,852
$ 102,747
$ 83,895
$ 18,852
$ 102,747
$ —
Assistant Superintendent for
Water/Sewer
$ 83,895
$ 18,949
$ 102,844
$ 83,895
$ 18,949
$ 102,844
$ —
Leadman Upgrade
$ 6,000
$ 87
$ 61087
$ 61000
$ 87
$ 61087
$ —
*This project is not recommended from the General Fund in the FY25, but is a one-time expense that is being recommended to be funded
from ARPA funds. Funding in future years is expected to come from the General Fund.
**This position will be funded from the Water/Sewer Enterprise Funds.
**
FY2025 Preliminary Budget & Financing Plan January 18, 2024
191 11
3000m35OO DPW Summary
Program: Public Works
Town of Lexington, MA
Budget Summary:
Funding Sources (General
Fund)
Tax Levy
Enterprise Funds (Indirects)
Fees, Charges and Available Fund
Parking Fund
Cemetery Trust
Cemetery Prep Fees
Misc. Charges for Service
Licenses & Permits
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
$ 91585,798
$10,493,129
$ 11,685,047
$12,145,471
$ (181,527)
$ 11,963,944
$ 278,897
2.39 %
$ 519,198
$ 614,351
$ 633,912
$ 652,612
$ -
$ 652,612
$ 18,700
2.95 %
3
$ 72,900
$ -
$ -
$ -
$ -
$ -
$ -
- %
$ 95,969
$ 101,500
$ 70,000
$ 70,000
$ -
$ 70,000
$ -
- %
$ 308,303
$ 308,826
$ 250,000
$ 250,000
$ -
$ 250,000
$ -
- %
$ 247
$ 142
$ 200
$ 200
$ -
$ 200
$ -
- %
$ 121,191
$ 55,239
$ 78,350
$ 78,350
$ -
$ 78,350
$ -
- %
Appropriation Summary
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
(General Fund)
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation
$ 41706,712
$ 4,649,707
$ 51014,681
$ 5,151,925
$ 83,895 $ 51235,820
$ 221,139 4.41
Expenses
$ 51996,893
$ 6,923,480
$ 71702,828
$ 81044,708
$ (2651422) $ 71779,286
$ 76,458 0.99
Program Summary
(General Fund)
Total 3110 Administration
Total 3120 Town Engineering
Total 3130 Street Lighting
Total 3210 Highway
Total 3220 Equipment Maint.
Total 3230 Snow Removal
Total 3310 Parks
Total 3320 Forestry
Total 3330 Cemetery
Total 3410 Refuse Collection
Total 3420 Recycling
Total 3430 Refuse Disposal
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
$ 689,192
$ 761,210
$ 766,915
$ 788,096
$ (1,900)
$ 786,196
$ 19,281
2.51
%
$ 921,050
$ 970,131
$ 11125,915
$ 11178,513
$ (61400)
$ 11172,113
$ 46,198
4.10
%
$ 148,140
$ 219,792
$ 194,300
$ 193,100
$ (21600)
$ 190,500
$ (31800)
(1.96)
%
$ 11402,731
$ 7752812134
$ 1,699,389
$ 7,770,327
$ (68,900)
$ 1,701,427
$ 2,038
0.12
%
$ 800,784
$ 1,027,533
$ 973,295
$ 11009,031
$ (47,500)
$ 961,531
$ (11,764)
(1.21)
%
$ 11445,837
$ 1,469,361
$ 11594,186
$ 11652,444
$ (58,258)
$ 11594,186
$ -
-
%
$ 11449,229
$ 1,483,909
$ 11541,606
$ 11596,933
$ 68,395
$ 1,665,328
$ 123,722
8.03
%
$ 535,853
$ 520,468
$ 533,103
$ 567,420
$ (11,500)
$ 555,920
$ 22,817
4.28
%
$ 286,447
$ 343,787
$ 409,072
$ 430,261
$ (17,500)
$ 412,761
$ 3,689
0.90
%
$ 980,996
$ 1,010,426
$ 11222,297
$ 11255,735
$ -
$ 11255,735
$ 33,438
2.74
$ 11282,728
$ 1,494,697
$ 11876,197
$ 21022,428
$ (26,500)
$ 11995,928
$ 119,731
6.38
%
$ 760,618
$ 743,640
$ 781,235
$ 732,345
$ (81864)
$ 723,481
$ (57,754)
(7.39)
%
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 41060,081
$ 4,076,586
$ 41546,720
$ 41668,665
$ 83,895
$ 41752,560
$ 205,840
4.53 %
Prior Year Retro Payments
$ -
$ -
$ -
$ -
$ -
$ -
- %
Overtime
$ 646,632
$ 573,122
$ 467,961
$ 483,260
$ -
$ 483,260
$ 15,299
3.27 %
Personal Services
$ 4,706,712
$ 4, 649,707
$ 5, 0141681
$ 5,151, 925
$ 83,895
$ 5,235, 820
$ 221,139
4.41 %
Contractual Services
$ 41591,678
$ 5,075,388
$ 51767,428
$ 61025,608
$ (1191222)
$ 5,906,386
$ 138,958
2.41 %
Utilities
$ 331,109
$ 501,745
$ 537,500
$ 555,100
$ (41,000)
$ 514,100
$ (23,400)
(4.35) %
Supplies
$ 11020,293
$ 1,308,514
$ 1/296/400
$ 11346,000
$ (102,200)
$ 11243,800
$ (52,600)
(4.06) %
Small Capital
$ 53,813
$ 37,832
$ 101,500
$ 118,000
$ 31000
$ 115,000
$ 13,500
13.30 %
Expenses
$ 5,996,893
$ 6, 923, 480
$ 7,702,828
$ 8,044,708
$ (265, 422)
$ 7,779,286
$ 76,458
0.99
FY2025 Preliminary Budget & Financing Plan
V-5
January 18, 2024
3000=3500 DPW Summary
Program: Public Works
Town of Lexington, MA
-------------------------------------------------------------------------------------------------
Budget Summary - Revolving Funds*
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
(Non -General Fund)
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Lexington Tree Fund
$ 121,390
$ 217,571
$ 90,000
$ 120,000
$ -
$ 120,000
$ 30,000
33.33
Burial Containers
$ 44,005
$ 57,232
$ 60,000
$ 60,000
$ -
$ 60,000
$ -
- %
Compost Operations
$ 11075,242
$ 881,867
$ 875,000
$ 875,000
$ -
$ 875,000
$ -
- 0/0
Refuse & Recycling Collection
$ -
$ -
$ -
$ -
$ -
$ -
$ -
_ °/0
Rev. Fund
Minuteman Household Hazardous
Waste
$ 155,587
$ 171,732
$ 300,000
$ 250,000
$ -
$ 250,000
$ (50,000)
(16.67) %
Funds
*Revolving Funds are authorized by Town Meeting via Article 9, and are not appropriated under Article 4.
Appropriation Summary
(Non -General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
Increase
Tree Revolving Fund (3320)
Expenses $ 70,000 $ 115,457 $ 90,000 $ 120,000 $ - $ 120,000 $ 30,000 1 33.33 %
Burial Containers Revolving Fund (3330)
Expenses
$ 24,882
$ 32,380
$ 60,000
$ 60,000
$ -
$ 60,000
$ -
- %
Compost Operations Rev.
Fund (3420)
$ 750,851
$ 839,417
$ 853,233
$ 858,368
$ -
$ 858,368
$ 51135
0.60
Compensation
$ 349,716
$ 346,268
$ 370f2O8
$ 368,821
$ -
$ 368,821
$ (1,387)
(0.37) %
Expenses
$ 241,689
$ 263,850
$ 204,000
$ 225,600
$ -
$ 225,600
$ 21,600
10.59 %
Benefits
$ 1,945
$ 1,824
$ 89,589
$ 81,981
$ -
$ 81,981
$ (7,608)
(8.49) %
Debt
$ 157,501
$ 227,475
$ 189,436
$ 181,966
$ -
$ 181,966
$ (7,470)
(3.94) %
Refuse & Recycling Collection Rev. Fund (3420)
Expenses Is - Is - Is - $ 230,000 $ Is - Is - I - %
Minuteman Household Hazardous Waste (3420)
Expenses $ 156,770 1 $ 155,584 $ 300,000 $ 250,000 $ - $ 250,000 1 $ (50,000) (16.67)
Funds
-------------------------------------------------------------------------------------------------
Budget Summary - All Funds
Appropriation Summary
(All Funds)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Compensation
$ 51056,428
$ 4,995,975
$ 51384,889
$ 51520,746
$ 83,895
$ 51604,641
$ 219,752
4.08 %
Expenses
$ 61490,234
$ 7,490,750
$ 81356,828
$ 81700,308
$ (265,422)
$ 81434,886
$ 78,058
0.93 %
Benefits (Revolving Funds)
$ 11945
$ 11824
$ 89,589
$ 81,981
$ -
$ 81,981
$ (71608)
(8.49) %
Debt Service (Revolving Fund)
$ 157,501
$ 227,475
$ 1891436
$ 181,966
$ -
$ 181,966
$ (7,470)
(3.94)
FY2025 Preliminary Budget & Financing Plan
v-6
January 18, 2024
Program: Public Works
3100 DPW Administration & Engineering Town of Lexington, 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 Bicycle Advisory
Committee, the Tree Committee, and Sustainable Lexington.
Division Initiatives:
1. Continue use of work order system and explore other programs that ensure the efficiency of
customer response and also enhance employee skills.
2. Continue to research and implement new technologies that improve efficiency and
effectiveness.
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.
4. Continue to research and implement environmental initiatives.
FY2025 Preliminary Budget & Financing Plan
1 AN
January 18, 2024
Program: Public Works
3100 DPW Administration &Engineering Town of Lexington, MA
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FY2025 Preliminary Budget & Financing Plan
January 18, 2024
Program: Public Works
3100 DPW Administration & Engineering Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
FY2023
FY2024
FY2025
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
1
1
1
Office Manager 1
1
1
1
Department Lead Assistant 1
1
1
1
Department Account
Assistants** 2.6
2.6
2.6
2.6
Subtotal FTE
7.2
7.6
7.6
7.6
Subtotal FT/ PT
7 FT/ 1 PT
8 FT/0 PT
8 FT/0 PT
8 FT/0 PT
Element 3120: Engineering
Town Engineer
1
1
1
1
Assistant Town Engineer
1
1
1
1
Senior Civil Engineer***
3
4
4
4
Engineering Assistant***
3
2
2
2
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
1 8 FT/ 1 PT
8 FT/ 1 PT
8 FT/ 1 PT
*In FY23, the part-time Management Analyst transitioned to a full-time position via a
program improvement.
**One full-time Department Account Assistant is split between the DPW Admin, Water,
and Sewer divisions.
***In FY2023, an Engineering Assistant was upgraded to a Senior Civil Engineer.
FY2025 Preliminary Budget & Financing Plan
V-9
January 18, 2024
Program: Public Works
3100 DPW Administration & Engineering Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Administration and Engineering budget, inclusive of the General
Fund operating budgets for Administration, Engineering, and Street Lighting, is $2, 148,809. The
recommended budget is a $61,679 or 2.96% increase from the FY2024 budget.
The recommended FY2025 Administration and Engineering General Fund operating budget is
$2,,148,809 which is a $61,679, or 2.96% increase from FY2024. Of this amount, $1,708,809 is for
Compensation and reflects a $62,779 or 3.81% increase, which is attributable to the cost of
contractually obligated step increases and cost of living adjustments. Compensation does not include
any estimate of prospective cost of living increases for contracts expiring on or before June 30, 2024.
Funds for prospective increases are captured in the Salary Adjustment account within the Town
Manager's budget.
The recommended FY2025 Administration and Engineering General Fund operating budget for
Expenses is $440,000 and reflects a $(1,100), or (0.25)% decrease. This net decrease is due to a
decrease in professional services in the Engineering budget, and a decrease of $(3,800) or (2.04)% in
the Street Lighting expense budget which realizes savings from the LED Street Light conversion.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Expanded Food Waste Collection
$ 396,000
$ —
$ 396,000
$ —
$ —Is
—
$ 396,000
Program
*This project is not recommended from the General Fund in the FY25, but is a one-time expense that is being recommended to be funded
from ARPA funds. Funding in future years is expected to come from the General Fund.
FY2025 Preliminary Budget & Financing Plan
V-10
January 18, 2024
Program: Public Works
3100 DPW Administration & Engineering Town of Lexington, MA
Budget Summary:
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$1,192,280
$ 1,447,274
$ 11539,739
$ 1,598,487
$ (10,900)
$ 1,587,587
$ 47,848
3.11 %
Enterprise Funds (Indirects)
$ 442,964
$ 448,477
$ 468,841
$ 482,672
$ -
$ 482,672
$ 13,831
1 2.95 %
Fees & Charges
Charges for Service
$ 247
$ 142
$ 200
$ 200
$ -
$ 200
$ -
- %
Licenses & Permits
$ 1211191
$ 55,239
$ 78,350
$ 78,350
1 $ -
$ 78,350
$ -
- %
Parking Fund
$ 1,700
$ -Is
-
$ -
$ -
$ -
$ -
- %
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase I Increase
Compensation $1,443,180 $ 1,534,186 $ 11646,030 $ 1,708,809 $ - $ 1,708,809 $ 62,779 3.81 %
Expenses $ 315,201 $ 416,946 $ 441,100 1 $ 450,900 $ (10f900)1 $ 440,000 $ (1,100) (0.25)%
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Program Summary
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Total 3110 DPW Administration
$ 689,192
$ 761,210
$ 766,915
$ 788,096
$ (1,900)
$ 786,196
$ 19,281
2.51 %
Total 3120 Engineering
$ 921,050
$ 970,131
$ 1,125,915
$ 1,178,513
$ (6,400)
$ 1,172,113
$ 46,198
4.10 %
Total 3130 Street Lighting
$ 148,140
$ 219,792
$ 194,300
$ 193,100
$ (2,600)
$ 190,500
$ (3,800)
(1.96)%
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$1,436,156
$ 1,530,117
$ 1,633,909
$ 1,696,551
$ -
$ 1,696,551
$ 62,642
3.83 %
Overtime
$ 7,024
$ 41069
$ 12,121
$ 12,258
$ -
$ 121258
$ 137
1.13 %
Personal Services
$1, 443,180
$1, 534,186
$ 11646,030
$ 11708,809
$ -
$ 11 708, 809
$ 62,779
3.81 %
Contractual Services
$ 200,739
$ 262,085
$ 287,800
$ 296,800
$ (7,900)
$ 288,900
$ 1,100
0.38 %
Utilities
$ 89,658
$ 101,045
$ 102,200
$ 102,200
$ -
$ 102,200
$ -
- %
Supplies
$ 24,285
$ 53,752
$ 50,100
$ 50,900
$ (3,000)
$ 47,900
$ (2,200)
(4.39)%
Small Capital
$ 519
$ 64
$ Low
$ Low
$ -
$ 1 000
$ -
- %
Expenses
$ 315, 201
$ 416,946
$ 441,100
$ 450, 900
$ (101900)
$ 440, 000
$ (1,10 0)
(0.2 5) %
FY2025 Preliminary Budget & Financing Plan
Lyn II
January 18, 2024
3200 Highway
Program: Public Works
Town of Lexington, 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 Municipal Separate Storm Sewer System (MS4) permitting requirements including
street sweeping, catch basin cleaning, culvert cleaning, brook cleaning and stormwater best
management practices.
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.
FY2025 Preliminary Budget & Financing Plan
V-12
January 18, 2024
3200 Highway
Program: Public Works
Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
FY2023
FY2024
FY2025
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
2
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
FY2025 Preliminary Budget & Financing Plan
V-13
January 18, 2024
3200 Highway
Program: Public Works
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Highway budget inclusive of the Highway Maintenance, Equipment
Maintenance and Snow Removal divisions is $4,257,144. The recommended budget is a $(9,726), or
(0.23)%, decrease from the FY2024 budget.
The budget for Compensation is $1,614,602, and reflects an increase of $31,732 or 2.00%, 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 $2,642,542 and reflects a $(41,458) or (1-54)% decrease which includes
decreases in equipment maintenance and repair, as well as reductions in gas and diesel costs.
Program Improvement Requests:
None requested.
FY2025 Preliminary Budget & Financing Plan
Lyn Ell i
January 18, 2024
3200 Highway
Program: Public Works
Town of Lexington, MA
Budget Summary:
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $1,591,880 $1,561,421 $ 11582,870 $1,614,602 $ - $ 11614,602 $ 31,732 1 2.00 %
Expenses $2,057,472 $2,463,707 $ 2,684,000 $ 2,817,200 $ (174,658) $ 2,642,542 $ (41,458) (1.54)%
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Program Summary
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Total 3210 Highway Maintenance
$114021731
$1,528,234
$ 11699,389
$11770,327
$ (68,900)
$ 1/701/427
$ 21038
0.12
Total 3220 Equipment Maintenance
$ 800f784
$1,027,533
$ 973,295
$1,009,031
$ (47,500)
$ 961,531
$ (11,764)
(1.21)%
Total 3230 Snow Removal
$1,445,837
$1,469,361
$ 1,594,186
$1,652,444
$ (58,258)1
$ 11594,186
$ -
- 0/01
Object Code Summary
FY2022
Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
Salaries & Wages
$1,179,636
$1,188,253
$ 1,259,124
$11280,088
$ -
$ 11280,088
$ 20,964
1.66 %
Overtime
$ 412,244
$ 373,168
$ 323,746
$ 334,514
$ -
$ 334,514
$ 10,768
3.33 %
Personal Services
$1,591, 880
$1,561,421
$ 1,582, 870
$1, 614, 602
$ -
$ 1, 614,602
$ 31,732
2.00 %
Contractual Services
$1,037,156
$1,167,731
$ 11242,900
$11326,800
$ (49,758)
$ 11277,042
$ 34,142
2.75 %
Utilities
$ 197,462
$ 281,573
$ 3471100
$ 357,100
$ (38,000)
$ 319,100
$ (28,000)
(8.07)%
Supplies
$ 781,842
$ 982,793
$ 11005,000
$1,033,300
$ (83,900)
$ 949,400
$ (55,600)
(5.53)%
Small Capital
$ 41 012
$ 31,610
$ 89 000
$ 100 000
$ 3 000
$ 97,000
$ 810001
8.99
Expenses
$2, 057, 472
$2,463,707
$ 2,684,000
$ 2, 817,200
$ (174, 658)
$ 2,642,542
$ (41,458)
(1.54)
FY2025 Preliminary Budget & Financing Plan
V-15
January 18, 2024
3300 Public Grounds
Program: Public Works
Town of Lexington, 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 acres 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; Sutherland Park and Adams Field areas are
targeted for FY2025.
3. Continue to plant 140 trees in the Town Right -of -Ways, parks, public grounds areas, and
setback areas on private property.
4. Continue the implementation of a proactive tree maintenance program to minimize hazard trees
and perform timely tree pruning to promote good tree health, safety and aesthetics.
5. Begin using the tree inventory for Town trees.
6. Continue the GPS location of graves at Westview Cemetery and begin plans for the other
cemeteries.
7. Become acclimated with using the new Westview Cemetery building.
8. Continue to develop the Green Burial program.
FY2025 Preliminary Budget & Financing Plan
V-16
January 18, 2024
3300 Public Grounds
Program: Public Works
Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
FY2023
FY2024
FY2025
Element 3310: Parks Division Budget
Budget
Budget
Request
Superintendent of Public Grounds
1
1
1
1
Asst. Supt. of Public Grounds*
—
—
—
1
Crew Chief
3
3
3
3
Leadman
4
4
4
4
Heavy Equipment Operator
8
8
8
8
Subtotal FTE
16
16
16
17
Subtotal FT/ PT
16 FT/0 PT
16 FT/0 PT
16 FT/0 PT
17 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
0.3
0.3
0.3
Subtotal FTE
5.6
5.3
5.3
5.3
Subtotal FT/ PT
5 FT/ 2 PT
5 FT/ 1 PT
5 FT/ 1 PT
5 FT/ 1 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
0.3
0.3
0.3
Subtotal FTE
4.6
4.3
4.3
4.3
Subtotal FT/ PT
4 FT/ 2 PT
4 FT/1 PT
4 FT/1 PT
4 FT/1 PT
*An Assistant Superintendent of Public Grounds position is recommended for funding in the FY25 budget.
FY2025 Preliminary Budget & Financing Plan
Lyn VA
January 18, 2024
Program: Public Works
3300 Public Grounds Town of Lexington, MA
Budget Recommendations:
The FY2025 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 $2,814,009, which is a $180,228 or 6.84% increase over the FY2024 budget.
The combined Parks, Forestry and Cemetery FY2025 recommended General Fund operating budget is
$2,,634,009 which is a $150,228 or 6.05% increase from the FY2024 General Fund budget.
The combined Parks, Forestry and Cemetery General Fund operating budget for Compensation is
$1,912,409 and reflects a $126,628 or 7.09% increase, which is attributable to the cost of contractually
obligated step increases and cost of living adjustments in the contract with Public Works staff. This
increase also includes funding for a full-time, benefited Assistant Superintendent for Public Grounds in
the FY25 budget.
The combined Parks, Forestry and Cemetery General Fund operating budget for Expenses is $721,600
and reflects a $23,,600 or 3.38% increase to reflect actual spending.
The combined FY2025 revolving fund budgets are funded at $180,000, an increase of $30,000,
attributable to the Tree Revolving Fund. The increase in the Tree Revolving budget is supported by
increasing tree removal mitigation payments and will allow for additional tree planting in FY2025.
Program Improvement Requests:
F� Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
FAssistaCrnt
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Superintendent for
rounds
$ 83,895
$ 18,852
$ 102,747
$ 83,895
$ 18,852
$ 1021747
$
FY2025 Preliminary Budget & Financing Plan January 18, 2024
V-18
Program: Public Works
3300 Public Grounds Town of Lexington, MA
Budget Summarv:
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ 1,867,257
$ 1,840,874
$ 21063,909
$ 21171,796
$ 39,395
$ 2/211/191
$147,282
7.14%
Enterprise Funds (Indirects)
$ -
$ 96,963
$ 99,872
$ 102,818
$ -
$ 102,818
$ 2,946
2.95%
Fees & Charges
Cemetery Prep Fees $ 308,303
1 $ 308,826
1 $ 250,000
1 $ 250,000
$ -
$ 250,000
$ - I -%
Directed Funding
Cemetery Trust $ 95,969
1 $ 101,500
1 $ 70,000
$ 70,000
$ -
Is 70,000
119
11s - 1 -%
$150f228 .1
FY2022 FY2023 FY2024 I FY2025 I Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ 1,671,652 $ 1,554,100 $ 1,785,781 $ 11828,514 $ 83,895 $ 1,912,409 $126,628 7.09%
Expenses 1 $ 599,877 1 $ 794,064 1 $ 698,000 $ 766,100 $ (44,500) $ 721,600 $ 23,600 1 3.38%
Program Summary
Total 3310 Parks Division
Total 3320 Forestry
Total 3330 Cemetery
Total11 - General Fund
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
$ 1,449,229
$1,483,909
$ 1,541,606
$ 11596,933
$ 68,395
$ 11665,328
$123,722
8.03%
$ 535,853
$ 520,468
$ 5331103
$ 567,420
$ (11,500)
$ 555,920
$ 22,817
4.28%
$ 286,447
$ 343,787
$ 409,072
$ 430,261
$ (171500)
$ 4121761
21634,009
$ 3,689
$150f228
0.90%
. 1
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 1,444,289
$ 1,358,215
$ 11653,687
$ 11692,026
$ 83,895
$ 11775,921
$122,234
7.39%
Overtime
$ 227,363
$ 195,885
$ 132,094
$ 136,488
$ -
$ 136,488
$ 4,394
3.33%
Personal Services
$1, 671, 652
$1,554,100
$ 1,785,781
$1, 828,514
$ 83,895
$ 1, 912,409
$126, 628
7.09%
Contractual Services
$ 349,797
$ 430,507
$ 3981500
$ 432,200
$ (27,000)
$ 405,200
$ 6,700
1.68%
Utilities
$ 43,989
$ 119,127
$ 88,200
$ 95,800
$ (31000)
$ 92,800
$ 4,600
5.22%
Supplies
$ 193,809
$ 238,271
$ 199,800
$ 221,100
$ (14,500)
$ 206,600
$ 6,800
3.40%
Small Capital
$ 12,282
$ 61158
$ 11,500
$ 17,000
$ -
$ 171000
$ 5,500
47.83%
Expenses
$ 599,877
$ 794,064
$ 698,000
$ 766,100
$ (441500)
$ 721,600
$ 23,600
3.38 %
----------------------------------------------------------------------------------
Budget Summary - Revolving Funds*
FY2022 FY2023 I FY2024 I FY2025 I Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/Del Projected Increase Increase
Lexington Tree Fund $ 121,390 1 $ 217,571 $ 90,000 $ 120,000 $ - 1 $ 120,000 $ 30,000 33.33%
Burial Containers 1 $ 44,005 $ 57,232 $ 60,000 $ 60,000 $ -Is 60,000 $ - I -%
*Revolving Funds are authorized by Town Meeting via Article 9, and are not appropriated under Article 4.
--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Budget Summary - All Funds
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ 1,671,652 $ 1,554,100 $ 11785,781 $ 11828,514 $ 83,895 $ 1/912/409 $126,628 7.09%
Expenses $ 694,759 $ 941,901 $ 8481000 $ 946,100 $ (44,500) $ 901,600 $ 53,600 6.32%
FY2025 Preliminary Budget & Financing Plan January 18, 2024
V-19
3400 Environmental Services
Program: Public Works
Town of Lexington, 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 (CRTs) and drop-off of corrugated cardboard.
The Town entered into a 5-year contract for the collection of trash and recyclables with Capitol Waste
beginning July 1, 2023 running through June 30, 2028. This budget incorporates contract prices.
In FY2024 the Town Manager recommended, and Town Meeting voted, to create a Refuse Collection
Revolving Fund which was intended to generate a fee for collection and disposal of bulky items and
white goods. After further discussion and consideration the Select Board chose not to implement a fee
for this service during FY2024. The cost for collection and disposal of these items remains in the
Town's Refuse Collection budget at no additional cost to the user.
The Town is also currently under contract with Wheelabrator in North Andover for refuse disposal
through June 30, 2025.
Division Initiatives:
1. Continue to monitor the Capitol Waste contract to ensure quality and timely service.
2. Continue to support programs to divert organics and other hard to manage items such as
mattresses, food waste, and carpet from residential trash
3. Assess markets and pricing for compost, loam, leaf, bark mulch and yard waste disposal permits.
Propose increase of disposal rates and product pricing reflected in the local markets.
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. Continue the implementation of DPW yard/compost facility operation's plan including gate
installation, security and conservation improvements.
6. Develop and implement cost effective management plan to divert organics from Lexington's
municipal solid waste (MSW).
7. Continue compliance as directed by Mass DEP waste bans of mattresses, carpet and organics.
8. Continue to develop a long term plan to identify waste streams and implement waste reduction
and diversion programs and explore alternative disposal options available in the future.
FY2025 Preliminary Budget & Financing Plan
V-20
January 18, 2024
3400 Environmental Services
Program: Public Works
Town of Lexington, MA
°Li 13 IlllliiiiiC " k1s, D,iiiiire, ctlo,
I uii pe� ri ni a nd ent 134
° En iiiriG ni rmi real Sovices
MET �mr�'" F1�il
Authorized/Appropriated Staffing
FY2022
FY2023
FY2024
FY2025
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
1
1
Heavy Equipment Operator 2
1
1
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/ 1 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.
**In FY2023, a Heavy Equipment Operator was upgraded to a Leadman position via a program
improvement.
FY2025 Preliminary Budget & Financing Plan
V-21
January 18, 2024
Program: Public Works
3400 Environmental Services Town of Lexington, MA
Budget Recommendations:
The recommended FY2025 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 $5,083,467,
which is a net $50,506 or 1.00% increase from the FY2024 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 $3,975,144 and reflects a $95,416 or 2.46% increase. The Refuse Collection expense
budget is recommended at $1,255,735, a increase of $33,439 or 2.74%, and the Recycling expense
budget is recommended at $1,995,928 a increase of $119,732 or 6.38%, both of which reflect the
Town's contracts for refuse and recycling collections. The Refuse Disposal expense budget is
recommended at $723,481, a decrease of $(57,754) or (7.39)%, attributable to a projected decrease in
tonnage.
For FY2025 the Town Manager and Superintendent of Schools have agreed to share the cost of the
Town's contracted Refuse and Recycling collection and disposal costs for Municipal and School
buildings. Previously this cost was included in this Department of Public Works - Environmental
Services expense budget. This Preliminary Budget and Financing Plan has moved the estimated cost of
$104,838 to Shared Expenses and therefore it is not included in the budget request below.
The FY2025 revolving fund budgets are recommended at $1,108,368, a $(44,865) or (3-89)% net
decrease due to staff turnover. The Minuteman Household Hazardous Waste Program Revolving Fund
is decreasing to $250,000 to reflect historic activity and contractual agreements.. The Compost
Operations Revolving Fund is recommended at $858,368, a $5,135 or 0.60% increase.
Program Improvement Requests:
None requested.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
V-22
3400 Environmental Services
Program: Public Works
Town of Lexington, MA
Budget Summary:
Funding Sources
Tax Levy
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Estimate Projected Add/Del Projected Increase Increase
$3,024,343 $3,248,763 $ 31879,728 $4,010,508 $ (35,364) $ 3,975,144 $ 95,416 2.46 %
Appropriation Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
(General Fund) Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ - $ - $ - $ - $ - $ - $ - - %
Expenses 1$310241343 1$3,248,763 $ 3,879,728 1$4,010,508 $ (35,364) $ 31975,144 $ 95,416 2.46
Program Summary (General
Fund)
Total 3410 Refuse Collection
Total 3420 Recycling
Total 3430 Refuse Disposal
Total'll •
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
$ 980,996
$1,010,426
$1,222,296.5
$1,255,735
$ -
$ 1,255,735
$ 33,439
2.74 %
$1,282,728
$1,494,697
$1,876,196.5
$ 2,022,428
$ (26,500)
$ 1,995,928
$119,732
6.38 %
$ 760,618
$3,024f343
$ 743,640
$3f248,763.
$ 781,235
$ 732,345
1 1 1.
$ (8,864)
$ 723,481
$ (57,754)
(7.39)
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Personal Services
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Contractual Services
$3,003,986
$3,215,065
$ 3,838,228
$3,969,808
$ (34,564)
$ 3,935,244
$ 97,016
2.53 %
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Supplies
$ 20,357
$ 33,698
$ 41,500
$ 40,700
$ (800)
$ 39,900
$ (1,600)
(3.86) %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
1$3,024,343
1$3,248,763
$ 3,879,728
$4, 010,508
$ (35,364)
$ 3,975,144
1$130,780
3.37 %
Budget Summary -Revolving Funds*
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Funding Sources
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Compost Operations Rev. Fund
$1,075,242
$ 881,867
$ 875,000
$ 875,000
$ -
$ 875,000
$ -
- 0/0
Refuse & Recycling Collection
$ -
$ -
$ -
$ -
$ -
$ -
$ -
_ o/0
Rev. Fund
Minuteman Haz. Waste Rev. Fund
$ 155,587
$ 171,732
$ 300,000
$ 250f
177$ -
$ 250,000
$ (50,000)
(16.67) O/ol
Total3400 - Revolving Funds
$1,230,829
$1,053,599
$ 11175,000
$1,125,000
$
$ 11125,000
$1 111
. .
*Revolvina Funds are authorized by Town Meetina via Article 9. and are not annronriated under Article 4.
Appropriation Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Compost Operations Rev. Fund
$ 750,851
$ 839,417
$ 853,233
$ 858,368
$ -
$ 858,368
$ 51135
0.60
Compensation
$ 349,716
$ 346,268
$ 370f2O8
$ 368,821
$ -
$ 368,821
$ (1,387)
(0.37) %
Expenses
$ 241,689
$ 263,850
$ 204,000
$ 225,600
$ -
$ 225,600
$ 21,600
10.59 %
Benefits
$ 1,945
$ 11824
$ 89,589
$ 81,981
$ -
$ 81,981
$ (7,608)
(8.49) %
Debt
$ 157,501
$ 2271475
$ 189,436
$ 181,966
$ -
$ 181,966
$ (7,470)
(3.94) %
Refuse & Recycling Collection
Rev. Fund
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-0/0
Expenses
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Minuteman Haz. Waste Rev. Fund
$ 156,770
$ 155,584
$ 300,000
$ 250,000
$ -
$ 250,000
$(501000
(16.67)0/
Expenses
Total11 - Revolving Funds
$ 156,770
$ 907f620
$ 155,584
111
$ 300,000
$ 250,000
1. ..
Is -
$ 250,000
$ (50,000)
(16.67) %
FY2025 Preliminary Budget & Financing Plan
v-23
January 18, 2024
3400 Environmental Services
Program: Public Works
Town of Lexington, MA
---------------------------------------------------------------------------------------------
Budget Summary - All Funds
Appropriation Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Compensation
$ 349,716
$ 346,268
$ 370,208
$ 368,821
$ —
$ 368,821
$ (1,387)
(0.37) %
Expenses
$3,422,802
$3,668,197
$ 4,383,728
$4,486,108
$ (35,364)
$ 4,450,744
$ 67,016
1.53 %
Benefits (Revolving Fund)
$ 1,945
$ 11824
$ 89,589
$ 81,936
$ —
$ 81,936
$ (7,653)
(8.54) %
Debt Service (Revolving Fund)
$ 157,501
$ 227,475
$ 189,436
$ 181,966
$ —
$ 181,966
$ (7,470)
(3.94)
FY2025 Preliminary Budget & Financing Plan
V-24
January 18, 2024
3600 Water Enterprise
Program: Public Works
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
FY2025, 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 implementation of the Automatic Meter Reading Infrastructure System (AMI).
3. Continue working on a valve/hydrant maintenance and/or backflow/cross connection program.
4. Continue to evaluate water usage, to move towards conservation efforts.
FY2025 Preliminary Budget & Financing Plan
V-25
January 18, 2024
3600 Water Enterprise
Program: Public Works
Town of Lexington, MA
Rubfic'Works Director
... . ... .. --- — ----------- . . ... ............ . ... .... . ..... .
......... ... ....... . ....... ..... ........ . ..
Martager,d
I I I ! a rt m e,, n t
Utility &iflinDe ,g I 1p
CrewCh'Jef
Manager Ass"istant
. ..... ... .
Heavy, E,qui'p,inm,ent
Laborer/Tru;ck I: river Lea drn a n�
Oi
p erator
l
G ra e r/S h o vel Leadrnan Meter Reader
0 p er,,a to r H
Authorized /Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
2
3
3
Heavy Equipment Operator*
4
4
3
3
Laborer -Meter Reader
1
1
1
1
Dept. Account Assistant" 0.2 0.2 0.2 0.2
Total FTE 11.2 11.2 11.2 11.2
Tota I FT/PT 10 FT/3 PT 10 FT/3 PT 10 FT/3 PT 10 FT/3 PT
*In FY2024, a Heavy Equipment Operator was upgraded to a Leadman via a program improvement.
**One full-time Department Account Assistant is split between the DPW Admin, Water, and Sewer divisions.
FY2025 Preliminary Budget & Financing Plan
V-26
January 18, 2024
Program: Public Works
3600 Water Enterprise Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Water operating budget is $15,160,028, inclusive of indirect costs. The
recommended budget reflects a $157,313 or 1.05% increase from the FY2024 budget.
The budget for Compensation is $971,418, and reflects a $78,779 or 8.83% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff. This increase also includes funding for a full-time, benefited Assistant
Superintendent of Water/Sewer position (split funded between the Water and Sewer Enterprise Funds)
i n FY25.
The budget for Expenses is $614,400 which is an increase of $36,900, or 6.39% from FY2024, and is
primarily due to an increase in contractual services.
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 fifth 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 FY2025 recommendation for cash capital is $1,000,000.
Debt service is recommended to decrease by $(1,049,893) or (44.19)% due to a one-time paydown of
a BAN in FY2024 that will not recur in FY2025.
The preliminary MWRA Assessment is $10,277,096, which is a $934,282 or 10.00% increase from
FY2024. This is a conservative placeholder as the final assessment will be issued in June 2024.
In FY2025, 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 $968,301, a decrease of $(43,039) or (4-26)% due to staff turnover and
changes in benefit plans.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Assistant Superintendent for
Water/Sewer
$ 83,895
$ 18,949
$ 102,844
$ 83,895
$ 18,949
$ 102,844
$ —
FY2025 Preliminary Budget & Financing Plan January 18, 2024
V-27
3600 Water Enterprise
Program: Public Works
Town of Lexington, MA
Budget Summary:
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Enterprise Funds
Retained Earnings
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
User Charges
$10,892,419
$14,786,042
$ 141675,715
$14,774,910
$ 58,118
$ 14,833,028
$ 157,313
1.07 %
Meter Charges
$ 84,872
$ 69,806
$ 40,000
$ 40,000
$ -
$ 40,000
$ -
- %
Investment Income
$ 11,196
$ 328,490
$ 25,000
$ 25,000
$ -
$ 25,000
$ -
- %
Fees & Charges
$ 398,196
$ 293,494
$ 262,000
$ 262,000
$ -
$ 262,000
$ -
-
Appropriation Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
Compensation
$ 823,447
$ 769,073
$ 892,639
$ 923,470
$ 47,948
$ 971,418
$ 78,779
8.83 %
Expenses
$ 462,428
$ 454,419
$ 577,500
$ 614,400
$ -
$ 614,400
$ 36,900
6.39 %
Cash Capital
$ 400,000
$ 600,000
$ 8001000
$ 1,000,000
$ 11000,000
$ 200,000
25.00 %
Debt
$ 1/097/696
$ 11195,179
$ 21375,661
$ 1,325,768
$ -
$ 1,325,768
$ (1,049,893)
(44.19)%
MWRA
$ 8,743,912
$ 81493,467
$ 9,342,814
$10,277,096
$ -
$ 10,277,096
$ 934,282
10.00 %
OPEB
$ 21761
$ 21761
$ 21761
$ 3,045
$ -
$ 31045
$ 284
10.29 %
Indirects
Total 3600 Water - . -
$ 918,245
$ 977,093
$ 11011,340
$ 958,131
$ 10,170
$ 968,301
$ (43,039)
(4.26)%
Program Summary
FY2022
Actual
FY2023
I Actual
FY2024
I Revised
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
3610 Water Operations
$ 2,383,571
$ 2,418,671
$ 3,845,800
$ 2,863,638
$ 47,948
$ 2,911,586
$ (934,214)
(24.29)%
3620 MWRA
$ 8,743,912
$ 8,493,467
$ 9,342,814
$10,277,096
$ -
$ 10,277,096
$ 934,282
10.00 %
Cash Capital
$ 400,000
$ 600,000
$ 800,000
$ 1,000,000
$ -
$ 1,000,000
$ 200,000
25.00 %
OPEB
$ 2,761
$ 2,761
$ 2,761
$ 3,045
$ -
$ 3,045
$ 284
10.29 %
Indirects
$ 918,245
$ 977,093
$ 1,011,340
$ 958,131
$ 10,170
$ 968,301
$ (43,039)
(4.26)%
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
Salaries & Wages
$ 643,422
$ 609,678
$ 704,035
$ 732,414
$ 47,948
$ 780,362
$ 76,327
10.84 %
Overtime
$ 180,025
$ 159,395
$ 188,604
$ 191,056
$ -
$ 191,056
$ 2,452
1.30 %
Personal Services
$ 823,447
$ 769,073
$ 892,639
$ 923,470
$ 47,948
$ 9711418
$ 78,779
8.83 %
Contractual Services
$ 300,613
$ 332,136
$ 365,300
$ 392,200
$ -
$ 3921200
$ 26,900
7.36
Utilities
$ 25,920
$ 18,581
$ 17,000
$ 18,000
$ -
$ 18,000
$ 1,000
5.88 %
Supplies
$ 135,895
$ 102,903
$ 170,200
$ 174,200
$ -
$ 1741200
$ 4,000
2.35 %
Small Capital
$ -
$ 800
$ 25,000
$ 30,000
$ -
$ 30,000
$ 5,000
20.00 %
Expenses
$ 462,428
$ 454,419
$ 577,500
$ 614,400
$ -
$ 614,400
$ 36,900
6.39 %
Cash Capital
$ 400,000
$ 600,000
$ 800,000
$ 1,000,000
$ -
$ 11000,000
$ 200,000
25.00 %
Debt
$ 11097,696
$ 11195,179
$ 21375,661
$ 1,325,768
$ -
$ 1,325,768
$ (1f049f893)
(44.19)%
MWRA
$ 81743,912
$ 81493,467
$ 91342,814
$10,277,096
$ -
$ 10,277,096
$ 934,282
10.00 %
OPEB
$ 21761
$ 21761
$ 21761
$ 3,045
$ -
$ 31045
$ 284
10.29 %
Indirects
EnterpriseTotal 3600 Water
$ 918,245
$ 977,093
$ 11011,340
00
$ 958,131
$ 10,170
$ 968,301
.0
$ (43,039)
(4.26)%
FY2025 Preliminary Budget & Financing Plan
v-28
January 18, 2024
3700 Sewer Enterprise
Program: Public Works
Town of Lexington, 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 meters 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 FY2025, 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 Infrastructure System
project (AMI).
3. Continue to educate the public on the costs and problems created by Inflow & Infiltration.
FY2025 Preliminary Budget & Financing Plan
V-29
January 18, 2024
3700 Sewer Enterprise
Program: Public Works
Town of Lexington, MA
La byru r/T MIof illver
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
Leadman*
—
—
1
1
Heavy Equipment Operator*
2
2
1
1
Dept. Account 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
*In FY2024, a Heavy Equipment Operator was upgraded to a Leadman via a program improvement.
**One full-time Department Account Assistant is split between the DPW Admin, Water, and Sewer
divisions.
FY2025 Preliminary Budget & Financing Plan
V-30
January 18, 2024
Program: Public Works
3700 Sewer Enterprise Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Sewer operating budget, inclusive of indirect costs, is $13,832,423, a
$1,146,146 or 9.03% increase over the FY2024 budget.
The budget for Compensation is $464,858 and reflects a $42,936 or 10.18% increase, which is
attributable to the cost of contractually obligated step increases and cost of living adjustments in the
contract with Public Works staff. This increase also includes funding for afull-time, benefited Assistant
Superintendent of Water/Sewer position (split funded between the Water and Sewer Enterprise Funds)
and a position upgrade from a Heavy Equipment Operator to a Leadman in FY25.
The budget for Expenses is $536,400, an increase of $19,000 or 3.67%, which reflects anticipated
inflationary increases for electricity, supplies and materials, and software maintenance, and facility
service and repair.
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 fifth 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 FY2025 recommendation for cash capital is $500,000.
Debt service is recommended to increase by $43,168 or 3.07% due to an increase in benefit costs for
new positions.
The preliminary MWRA Assessment is $10,284,483, which is a $934,953 or 10% increase from FY2024.
This is a conservative placeholder as the final assessment will be issued in June 2024.
In FY2025, 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 $596,525, an increase of $8,485 or 1.44%.
Program Improvement Requests:
F� Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
FLeatdman
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
nt Superintendent for
Sewer
$ 83,895
$ 18,949
$ 102,844
$ 83,895
$ 18,949
$ 102,844
$ —
U rade
$ 6,000
$ 87
$ 6,087
$ 6,000
$ 87
$ 61087
$ —
FY2025 Preliminary Budget & Financing Plan January 18, 2024
V-31
3700 Sewer Enterprise
Program: Public Works
Town of Lexington, MA
Budget Summary:
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ -
$ -
$ -
$ -
$ -
$ -
$ -
I - %
Enterprise Funds
Retained Earnings
$ -
1$10f831f707
$ -
$ 500,000
$ -
1$13f4l8f450
$ -
$ -
$ (500,000)
1$1f666f1461
(100.00)0/
User Charges
$11,887,286
$ 11,804,277
$ 51,973
$ 13,470,423
14.11 %
Connection Fees
$ 1,824
$ -
$ -
$ -
$ -
$ -
$ -
- %
Investment Income
$ 5,827
$ 8,000
$ 20,000
$ 8,000
$ -
$ 8,000
$ (12,000)
(60.00)%
Fees & Charges
$ 462,270
$ 354,000
$ 362,000
$ 354,000
$ -
$ 354,000
$ (8,000)
(2.21)%
Appropriation Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
Compensation
$ 279,417
$ 348,279
$ 4211922
$ 4221910
$ 411948
$ 464,858
$ 42,936
10.18 %
Expenses
$ 329,323
$ 335,965
$ 5171400
$ 536,400
$ -
$ 536,400
$ 19,000
3.67 %
Cash Capital
$ 200,000
$ 300,000
$ 400,000
$ 500,000
$ -
$ 500,000
$ 100,000
25.00 %
Debt
$ 1,352,192
$ 1,561,467
$ 1,406,381
$ 1,449,549
$ -
$ 1,449,549
$ 43,168
3.07 %
MWRA
$ 8,177,213
$ 8,432,789
$ 9,349,530
$10,284,483
$ -
$ 10,284,483
$ 934,953
10.00 %
OPEB
$ 3,004
$ 3,004
$ 3,004
$ 609
$ -
$ 609
$ (2,395)
(79.73)%
Indirects
Total 00 Sewer Enterprise...
$ 514,111
$ 542,416
$ 588,040
$ 586,499
.O
$ 10,026
$ 596,525
$ 8,485
1.44
Program Summary
FY2022
Actual
FY2023
I Actual
FY2024
I Revised
FY2025
Request
Manager's
Add/Del
FY2025
I Recommended
Dollar
Increase
Percent
I Increase
3710 Sewer Enterprise
$ 11960,933
$ 21245,711
$ 21345,703
$ 21408,859
$ 41,948
$ 21450,807
$ 105,104
4.48 %
3720 - MWRA
$ 81177,213
$ 81432,789
$ 91349,530
$10,284,483
$ -
$ 10,284,483
$ 934,953
10.00 %
Cash Capital
$ 200,000
$ 300,000
$ 400,000
$ 500,000
$ -
$ 500,000
$ 100,000
25.00 %
OPEB
$ 31004
$ 31004
$ 31004
$ 609
$ -
$ 609
$ (21395)
(79.73)%
Indirects
$ 514,111
$ 542,416
$ 588,040
$ 586,499
$ 10,026
$ 596,525
$ 8,485
1.44 %
Object Code Summary
FY2022
Actual
FY2023
I Actual
FY2024
I Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
I Increase
Salaries & Wages
$ 241,222
$ 291,096
$ 334,989
$ 334,847
$ 411948
$ 376,795
$ 41,806
12.48 %
Overtime
$ 38,195
$ 57,183
$ 86,933
$ 88,063
$ -
$ 88,063
$ 1,130
1.30 %
Personal Services
$ 279,417
$ 348,279
$ 421,922
$ 422,910
$ 41, 948
$ 464,858
$ 42, 936
10.18 %
Contractual Services
$ 148,624
$ 184,801
$ 292,400
$ 308,400
$ -
$ 308,400
$ 16,000
5.47 %
Utilities
$ 149,329
$ 128,846
$ 132,000
$ 132,500
$ -
$ 132,500
$ 500
0.38 %
Supplies
$ 31,370
$ 21,958
$ 79,000
$ 79,500
$ -
$ 79,500
$ 500
0.63 %
Small Capital
$ -
$ 360
$ 14,000
$ 16,000
$ -
$ 16,000
$ 2,000
14.29 %
Expenses
$ 329,323
$ 335,965
$ 517,400
$ 536,400
$ -
$ 536, 400
$ 19,000
3.67 %
Cash Capital
$ 200,000
$ 300,000
$ 400,000
$ 500,000
$ -
$ 500,000
$ 100,000
25.00 %
Debt
$ 1,352,192
$ 1,561,467
$ 1,406,381
$ 1,449,549
$ -
$ 1,449,549
$ 43,168
3.07 %
MWRA
$ 81177,213
$ 8,432,789
$ 9,349,530
$10,284,483
$ -
$ 10,284,483
$ 934,953
10.00 %
OPEB
$ 3,004
$ 3,004
$ 3,004
$ 609
$ -
$ 609
$ (2,395)
(79.73)%
Indirects
$ 514,111
$ 542,416
$ 588,040
$ 586,499
$ 10,026
$ 596,525
$ 8,485
1.44
FY2025 Preliminary Budget & Financing Plan
V-32
January 18, 2024
This Page Intentionally Left Blank.
Section VI: Program 4000m. Public Safety
This section includes detailed information about the FY2025 Operating Budget & Financing Plan for
public safety. It includes:
• 4100 Law Enforcement VI-3
• 4200 Fire & Rescue VI-10
FY2025 Preliminary Budget & Financing Plan
N a
January 18, 2024
This Page Intentionally Left Blank.
Program: Public Safety
4100 Law Enforcement Town of Lexington, 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
FY2023, the Police Department responded to 15,343 calls for service with 711 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 assistant. 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 for over 15,000 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 18 part-time civilian members who cover 16 school crossings
during the school year.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VI-3
Program: Public Safety
4100 Law Enforcement Town of Lexington, MA
Departmental Initiatives:
1. The staffing of the Lexington Police Department has not significantly changed in over 50 years. It is
imperative to continue to review and evaluate current programs and positions within the department.
This process most likely will result in a request for staffing increases to ensure the department is
meeting the demands of the Massachusetts POST and Accreditation Commissions and high
expectations of the community.
2. The completion of the new Police Headquarters is scheduled for late spring/early summer of 2024. It
will require a comprehensive plan to move all of the files and equipment from the temporary station.
This will require a tremendous amount of teamwork among all of the staff in the department. It is also
imperative to continue to collaborate with the CTA Construction Managers and members of the
Facilities Department to ensure a successful completion to the project. We plan to engage the
community to organize events that will bring members of the community in to tour their new station as
well.
3. The Lexington Police Department is currently a member of the Jail Diversion Program who provide
two full time Mental Health Clinicians. These clinicians specialize in responding with police to calls
involving members of the community in mental health crisis or substance abuse. Lexington has
experienced an increase in the number of these calls much like other communities in Massachusetts
and across the nation. The Lexington Police Department will be exploring a grant that will bring a full
time clinician embedded in the new station alongside the members of the department. This service will
allow the department to offer immediate services to those in need and provide consistent follow up to
individuals with multiple involvements with public safety and other town departments.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
4100 Law Enforcement
Program: Public Safety
Town of Lexington, MA
,C ah Mal, in IG f
Tra, He B, urea, u Ad, rn in ist rat i vrmi e Patrd Lieutenants Adnis-4rativrD etti e ecve,
S,u peNj iso, r Assistant Sergeant Lie jute n a, nt
- - --------------- - - ---------------
-----------------------
P a, rkin g D et ect ivre S,, e r g e a nt
E,, n fc, re e rn en t Patrol Serg.eants D ispatch ers P r osa aj t o, r
0 H cer
Acc o, u nt FD ay P at ro, 1 0 H cers An i rn a, I C o, n t rol, I D et ect i've
Assis;tant M a,j,o,,r C ases
C, ro,,,,ssin g Gu ards Night P atrol 11,1 e�, ch a n i c D e�t ect i've
Officers F a m i ly S, e rJ c es,
C. ad ets D et ed i've
S, ch o, ,I Re , u r ce
D et ect i've
C, omm u n ity
R eso, u rc e,
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VI-5
4100 Law Enforcement
Program: Public Safety
Town of Lexington, MA
Authorized/Appropriated Staffing:
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
Patrol Lieutenants
4
4
4
4
Patrol Sergeants
5
5
5
5
Police Officers
29
29
29
29
Detective Lieutenant
1
1
1
1
Detective - Sergeant Prosecutor
1
1
1
1
Detectives - Major Cases
3
3
3
3
Detective - Family Services
1
1
1
1
Detective - School Resource Officer
1
1
1
1
Detective - 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
Code Enforcement Officer*
—
—
—
0.22
Dispatch Supervisor
1
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 Officer"
—
—
—
—
Crossing Guards - 18 part-time
3.69
3.91
3.91
3.91
50 Officers 50 Officers 50 Officers 50 Officers
*A part-time seasonal Code Enforcement Officer position is recommended for funding in the FY2025 budget.
**The Animal Control Officer is a part-time position shared with the Town of Bedford that is paid as a contract
service and does not add to headcount.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VI-6
4100 Law Enforcement
Program: Public Safety
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Police Department budget is $9,536,323 which is a $493,793 or 5.46%
increase from the FY2024 budget.
The budget for Compensation is $8,333.,126, an increase of $464,464 or 5.90%, that reflects
contractually obligated step increases, cost of living adjustments, stipend increases and education
incentives for contracts that recently settled. Compensation does not include any estimate of
prospective cost of living increases for contracts expiring on or before June 30, 2024. Funds for
prospective increases are captured in the Salary Adjustment account within the Town Manager's
budget. Compensation also includes funding for a part-time, non -benefited Code Enforcement Officer
position in FY25.
The budget for Expenses is $1,203,197 and reflects an increase of $29,329 or 2.50%. The majority of
the increase is due to an increase in contractual services and the purchase of additional hybrid vehicles
in our fleet along with the costs associated to transfer and/or upgrade the equipment to fabricate these
vehicles for Police use. There are minor increases throughout the budget due to inflationary impacts.
which are partially offset by a decrease in telephone utility costs.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description Expenses
Expenses)
Requested
Expenses
Expenses)
Total Recommended
Deputy Chief Position $ 189,000
$ 20,376
$ 209,376
$ —
$ —
$ — $ 209,376
Code Enforcement Officer $ 16,000
$ 232
$ 16,232
$ 16,000
$ 232
$ 16,232 $ —
School Resource Officer $ 102,018
$ 19,114
$ 121,132
$ —
$ —
$ — $ 1211132
FY2025 Preliminary Budget & Financing Plan
M I%
January 18, 2024
4100 Law Enforcement
Program: Public Safety
Town of Lexington, MA
Budget Summary
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
1 $ 71565,076
1 $ 81322,880
1 $ 81726,530
1 $ 91088,806
1 $ (18,483)
$ 9,070,323
$ 343,793
1 3.94 %
Fees & Charges
Fees
$ 92,420
$ 118,272
1
$ 115,000
$ 115,000
$ -
$ 115,000
$ -
1
- %
Fines & Forfeitures
$ 79,398
$ 111,594
$ 98,000
$ 98,000
$ -
$ 98,000
$ -
- %
Licenses & Permits
$ 3,900
$ 3,313
$ 3,000
$ 3,000
$ -
$ 3,000
$ -
- %
Parking Fund* 7$
312,100
$ -
$ 100,000
$ 250,000
$ -
$ 250,000
$ 150,000
150.00 %
Appropriation Summary
FY2022 FY2023 I FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Revised Request Add/Del Recommended Increase Increase
Compensation $ 71047,347 $ 71484,155 $ 71868,662 $ 8,317,126 $ 16,000 $ 81333,126 $ 464,464 5.90 %
Expenses $ 11005,548 $ 11071,903 $ 1,173,868 $11237,680 $ (34,483)1 $ 11203,197 $ 29,329 2.50 %
Program Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 4110 Police Administration
$ 1,645,214
$ 1,862,299
$ 1,917,504
$1,956,305
$ 14,800
$ 1,971,105
$ 53,601
2.80 %
Total 4120 Patrol & Enforcement
$ 4,204,150
$ 41352,106
$ 4,717,591
$ 5,124,955
$ (33,283)
$ 5,091,672
$ 374,081
7.93 %
Total 4130 Traffic Bureau
$ 389,295
$ 390,378
$ 3821174
$ 407,443
$ -
$ 407,443
$ 25,269
6.61 %
Total 4140 Investigations
$ 832,152
$ 899,250
$ 1,009,435
$1,028,121
$ -
$ 1,028,121
$ 18,686
1.85
Total 4150 Dispatch
$ 759,419
$ 816,400
$ 779,975
$ 788,957
$ -
$ 788,957
$ 8,982
1.15 %
Total 4160 Animal Control
$ 69,728
$ 73,102
$ 75,400
$ 78,248
$ -
$ 78,248
$ 2,848
3.78 %
Total 4170 Crossing Guards
$ 152,937
$ 162,524
$ 160,451
$ 170,777
$ -
$ 170,777
$ 10,326
6.44
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 51575,843
$ 51979,255
$ 61822,838
$ 7/154/150
$ 16,000
$ 7,170,150
$ 347,312
5.09 %
Overtime
$ 1,471,504
$ 1,504,901
$ 1,045,824
$1,162,976
$ -
$ 1,162,976
$ 117,152
11.20 %
Personal Services
$ 7,047,347
$ 7,484,155
$ 7,868,662
$ 8, 317,126
$ 16,000
$ 81333,126
$ 464, 464
5.90 %
Contractual Services
$ 330,177
$ 381,889
$ 402,578
$ 420,660
$ (4,083)
$ 416,577
$ 13,999
3.48 %
Utilities
$ 111,930
$ 114,017
$ 157,723
$ 153,453
$ (19,400)
$ 134,053
$ (23,670)
(15.01)%
Supplies
$ 264,609
$ 280 f424
$ 230,067
$ 231,567
$ -
$ 231,567
$ 1,500
0.65 %
Small Capital
$ 298,832
$ 295,573
$ 383,500
$ 432,000
$ 11,000
$ 421,000
$ 37,500
9.78
Expenses
$1, 005,548
$1, 071, 903
$ 1,173, 8681$1,,237
, 680
$ (34, 483)
$ 1,203,197
$ 29,329
2.5001-1
*Reflects transfers from the Parking Fund to the General Fund rather than actual revenue from parking permits, Pay -by -Phone and meter revenue. The fund balance
was insufficient to support a transfer to the General Fund in FY2023 due to effects from the pandemic as well as sizeable capital projects in FY2022. FY2024 included
a partial transfer, and in FY2025 this amount further increased as the Town has recently started to enforce parking fees which will rebuild the balance in the Parking
Fund.
FY2025 Preliminary Budget & Financing Plan
VI-8
January 18, 2024
4100 Law Enforcement
Program: Public Safety
Town of Lexington, MA
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
VI-9
January 18, 2024
4200 Fire & Rescue
Program: Public Safety
Town of Lexington, 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
3,353 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. Continue to develop and implement online inventory tracking.
2. Continue to refine and expand the fire permitting process.
3. Develop an improved employee recruitment process to address diversity and retention.
FY2025 Preliminary Budget & Financing Plan
VI-10
January 18, 2024
4200 Fire & Rescue
Program: Public Safety
Town of Lexington, MA
Ass istant
Assistant
F]re hief
perati on1,1sfP ree.nt in
s h ift Co mniaand°,er
C. a pta i
P'er,ift
Crn ua�n ,Oia i er
Li a ute ant
3 per hi
F ire F [,gh tern
E M T /P a ra m eR i o
Authorized/Appropriated Staffing
F ire P rep e,, n tin, n
Assistant
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
Lieutenant Fire Inspector*
—
—
—
1
Fire Captains
4
4
4
4
Fire Lieutenants
12
12
12
12
Firefighters/Paramedics
44
44
44
44
Fire Prevention Assistant
Total
0.86
65.86
0.86
65.86
0.86
. :.
0.86
66.86
*A Lieutenant Fire Inspector position is recommended for funding in the FY2025 budget.
FY2025 Preliminary Budget & Financing Plan
N a I I
January 18, 2024
4200 Fire & Rescue
Program: Public Safety
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Fire Department budget is $9,289,900. The recommended budget is a
$1,187,829 or 14.66% increase from the FY2024 budget.
The recommended budget for Compensation is $8,402,956, and reflects an increase of $1,116,745 or
15.33% from the revised FY2024 budget. This increase includes three years of contractually obligated
cost of living adjustments, new steps and education incentives that were included in the recently
settled collective bargaining agreement. Compensation does not include any estimate of prospective
cost of living increases for contracts expiring on or before June 30, 2024. Funds for prospective
increases are captured in the Salary Adjustment account within the Town Manager's budget. This
increase includes funding for a full-time, benefited Lieutenant Fire Inspector position in FY25.
The budget for Expenses is $886,944 and reflects a net increase of $71,084 or 8.71%, which includes
anticipated increases in contract services, mileage costs, equipment repair, and EMS supplies. In
FY2025, the department will begin to upgrade Automated External Chest compressors (LUCAS), and
will continue utilizing the online training program introduced during the pandemic to assist in the
recertification of the department's paramedics, as well as OSHA, town -required and fire -based training.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Lieutenant Fire Inspector
$ 93,739
$ 18,994
$ 112,733
$ 93,739
$ 18,994
$ 112,733
$ —
FY2025 Preliminary Budget & Financing Plan
VI-12
January 18, 2024
4200 Fire & Rescue
Program: Public Safety
Town of Lexington, MA
Budget Su m ma ry
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ 61479,688
$ 61235,989
$ 61613,396
1 $ 71727,186
1 $ (75,961)
$ 7,651,225
1$1f037f8291
15.69 %
Fees & Charges
Ambulance Fees
$ 1,425,457
$ 1,728,905
$ 1,400,000
$ 1,550,000
$ -
$ 1,550,000
$ 150,000
10.71 %
Fire Department Fees
$ 39,061
$ 38,225
$ 38,675
$ 38,675
$ -
$ 38,675
$ -
- %
Licenses & Permits
$ 55,450
$ 55,605
1 $ 50,000
$ 50,000
$ -
$ 50,000
$ -
-
FY2022 FY2023 I FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Revised Request Add/Del Recommended Increase I Increase
Compensation $ 71367,013 1 $ 71278,612 $ 71286,211 $ 81459,217 $ (561261) $ 8,4021956 $1,116,745 15.33
Expenses $ 632,642 $ 780,112 $ 815,860 $ 906,644 $ (19,700) $ 886,944 $ 71,084 1 8.71
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Program Summary
Actual
Actual
Revised
Request
Add/Del
Recommended
Increase
Increase
Total 4210 Fire Administration
$ 550,877
$ 605,905
$ 629,370
$ 679,182
$ (21000)
$ 677,182
$ 47,812
7.60 %
Total 4220 Fire Prevention
$ 244,408
$ 250,438
$ 253,635
$ 268,010
$ 90,139
$ 358,149
$ 104,514
41.21 %
Total 4320 Fire Suppression
$ 6,998,539
$ 6,920,853
$ 61963,325
$ 81112,068
$ (162,500)
$ 7,949,568
$ 986,243
14.16 %
Total 4240 Emergency Medical
Services
$ 199,733
$ 275,889
$ 247,041
$ 296,701
$ -
$ 296,701
$ 49,660
20.10 %
Total 4250 Emergency
Management
$ 6,099
$ 5,639
$ 81700
$ 9,900
$ (1,600)
$ 8,300
$ (400)
(4.60)%
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 51993,437
$ 61050,829
$ 61134,946
$ 61940,233
$ 93,739
$ 71033,972
$ 899,026
14.65 %
Overtime
$ 11373,576
$ 11227,783
$ 1,151,265
$ 1,518,984
$ 150,000
$ 1,368,984
$ 217,719
18.91 %
Personal Services
$ 7, 367, 013
$ 7, 278, 612
$ 7,286,211
$ 8, 459, 217
$ (56,261)
$ 81402, 956
$1f 1161745
15. 33 %
Contractual Services
$ 324,000
$ 333,787
$ 378,744
$ 396,848
$ (14,100)
$ 382,748
$ 4,004
1.06 %
Utilities
$ 48,652
$ 71,719
$ 80,331
$ 78,831
$ (2,000)
$ 76,831
$ (3,500)
(4.36)%
Supplies
$ 211,740
$ 262,734
$ 236,785
$ 265,965
$ (3,600)
$ 262,365
$ 25,580
10.80 %
Small Capital
$ 48,250
$ 111,872
$ 120,000
$ 165,000
$ -
$ 165,000
$ 45,000
37.50 %
Expenses
$ 632,642
$ 780,112
$ 815,860
$ 906,644
$ (19, 700)
$ 886,944
$ 71, 084
8.71 %
FY2025 Preliminary Budget & Financing Plan
VI-13
January 18, 2024
This Page Intentionally Left Blank.
Section VII: Program 5000m. Culture & Recreation
This section includes detailed information about the FY2025 Operating Budget & Financing Plan for
culture & recreation services. It includes:
• 5100 Cary Memorial Library
• 5200 Recreation and Community Programs
VII-3
VII-9
FY2025 Preliminary Budget & Financing Plan
1 851
January 18, 2024
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
VII-2
January 18, 2024
5100 Cary Memorial Library
Program: Culture & Recreation
Town of Lexington, 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.
FY2025 Preliminary Budget & Financing Plan
VII-3
January 18, 2024
5100 Cary Memorial Library
Program: Culture & Recreation
Town of Lexington, MA
Libra.ry 7 ech n is
Li bra. rT ru stees,
IMI H le� ad a, f.A'"d' U ft
Serwices SeNces,
IMM, I I Mt
Libra.ry 7 ech n i6a,
H e ad a, f"
7ech n ol a,gy,&
7rain i ng,
Wleb Y& Digftalll
E,, n, g,a,i gre me n t
Sped al ist
Librar, 7 ech n ic[a.n
wre'r1r, ty
Librar, 77 ech n ici,an
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VII-4
5100 Cary Memorial Library
Program: Culture & Recreation
Town of Lexington, MA
Authorized/Appropriated Staffing:
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Library Director
1
1
1
1
Deputy Library Director*
1
1
1
1
Office Manager
1
1
1
1
Webmaster**
1
1
1
1
Head of Adult Services
1
1
1
1
Head of Youth Services
1
1
1
1
Head of Technology & Training*
1
1
1
1
Head of Bibliographic Services***
1
1
1
Librarian I****,*****
6
9
9
9
Librarian II/Manager *,***
4
3
3
3
Library Associates****,*****
8
6
6
6
Library Technician I****
2.8
2.9
2.9
3
Library Technician II
6
6
6
6
Adult Pages******
1.6
2.6
2.6
2.6
Student Pages******
0.7
—
—
—
Seasonal/Sunday Substitutes
As Needed
As Needed
As Needed
As Needed
*In FY2022, due to staff turnover, the Head of Technology role was broken out from the Deputy Library Director and re-
established as a Department Head position. A Librarian II was assigned to the role.
**In FY2022, Fall STM approved the transfer of the Library's dedicated webmaster from the Innovation & Technology budget
to the Library budget.
***In FY2023 a new Department Head position was created, and a Librarian II was assigned to the role.
****In FY2022, two Library Technician Is were reclassified to a Library Associate and a Librarian I.
* * * * *In FY2023, two Library Associates were reclassified to Librarian Is.
* * * * * *In FY2023, all Pages were combined under Adult Pages.
FY2025 Preliminary Budget & Financing Plan
VII-5
January 18, 2024
5100 Cary Memorial Library
Program: Culture & Recreation
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended General Fund Library budget is $3,,460,565, which is a $74,,745 or 2.21%
increase from the FY2024 budget.
The General Fund operating budget for Compensation is $2,748,471, and reflects a $51,821 or 1.92%
increase, which incorporates contractually obligated step increases and cost of living increases.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2024. 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 $712,094 and reflects a $22,924 or 3.33%
increase, which reflects anticipated expenses for FY2025.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Full Time Teen Services
Librarian
$ 74,978
$ 18,722
$ 93,700
$ —
Is —
Is —
$ 93,700
FY2025 Preliminary Budget & Financing Plan
VII-6
January 18, 2024
5100 Cary Memorial Library
Program: Culture & Recreation
Town of Lexington, MA
Budget Summary
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Funding Sources
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Tax Levy
$ 31019,439
$ 3,344,725
$ 31385,820
$ 3,474,365
$ (13,800) $
31460,565
$ 74,745
2.21
Total 5100 Library
$ 31019,439
$ 3r344,725
$ 31385,820
$ 3f474,365
$ (13f8OO) $
31460,565
$ 74,745
2.2 1A,,
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Appropriation Summary
I
I I
I
I I
Actual
Actual
Revised
Request
Add/Del Recommended
Increase
Increase
Compensation $ 2,412,910 1 $ 2,650,088 $ 2,696,650 $ 2,748,471 $ - $ 2,748,471 $ 51,821 1.92
Expenses $ 606,529 $ 694,637 $ 689,170 $ 725,894 $ (13,800) $ 712,094 $ 22,924 1 3.33
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Program Summary
Actual
Actual
Revised
Request
Add/Del
Recommended
Increase
Increase
Total 5110 Admin. & General
Services
$ 546,897
$ 667,373
$ 658,399
$ 683,590
$ (6,000)
$ 677,590
$ 19,191
2.91 %
Total 5120 Adult Services
$ 11591,779
$ 1,743,302
$ 11790,030
$ 1,840,044
$ (7,800)
$ 1,832,244
$ 42,214
2.36 %
Total 5130 Youth Services
Is 880,763
1 $ 934,050
1 $ 937,391
$ 950,731
$ -
$ 950,731
$ 13,340
1.42 %
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 2,351,919
$ 2,588,481
$ 2,631,524
$ 2,683,345
$ -
$ 2,683,345
$ 51,821
1.97 %
Overtime (Sunday Premium)
$ 60,991
$ 61,607
$ 65,126
$ 65,126
$ -
$ 65,126
$ -
- %
Personal Services
$ 2, 412, 910
$ 2, 650, 088
$ 2,696,650
$ 2, 748, 471
$ -
$ 21748,471
$ 51,821
1.92 %
Contractual Services
$ 124,499
$ 157,309
$ 162,724
$ 168,500
$ (6,000)
$ 162,500
$ (224)
(0.14)%
Utilities
$ 858
$ 430
$ 1,000
$ 500
$ -
$ 500
$ (500)
(50.00)%
Supplies
$ 441,059
$ 496,961
$ 495,446
$ 521,894
$ (7,800)
$ 514,094
$ 18,648
3.76 %
Small Capital
$ 40,114
$ 39,937
$ 30,000
$ 35,000
$ -
$ 35,000
$ 5,000
16.67 %
Expenses
$ 606,529
$ 694,637
$ 689,170
$ 725,894
$ (131800)
$ 712,094
$ 22, 924
3.33 %
FY2025 Preliminary Budget & Financing Plan
18M
January 18, 2024
This Page Intentionally Left Blank.
Program: Culture &Recreation
5200 Recreation & Community Programs Town of Lexington, MA
Mission: To provide the community opportunities to engage in quality, inclusive and accessible
programs and services. To be a leader in promoting inclusion, community engagement and a healthy
active lifestyle. Creating Community Through People, Parks, and Places.
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.
In FY2025, revenues received (Recreation, Pine Meadows Golf Club and Community Center) will
continue to help support the funding of Capital Improvement Projects.
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, hard court surfaces,
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 2021-2022 Comprehensive Study of Athletic & Outdoor
Recreation Facilities and the 2023 Lincoln Park Master Plan in the development of the
operational and capital improvement planning for the future needs of the community.
2. Actively participate in the planning and preparations for the 5-year impact on the community
with the permanent and temporary loss of outdoor recreation facilities at the Center Recreation
Complex.
3. Maintain and sustain the financial stability of the Recreation Enterprise Fund.
4. Continue the growth and implementation of the department's therapeutic, adaptive and
inclusive recreation programming.
5. Support Townwide cultural and historic events and initiatives such as diversity equity and
inclusion.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VII-9
Program: Culture &Recreation
5200 Recreation & Community Programs Town of Lexington, MA
Director of
COMMLinity Programs
,
fim N
Assistant D ir;e d r Certified Th erapetip U rn'ty C. ernte r Ad rn in i trat[v
mi
dministrative
® ,,I®� r�
,ya u. . ....................... m ...................................wA.
Recreation kdrn in i�strat ive E ve m i n glNe e k ends t l u n id peel
C�,, , ordiru at o,r Assistant Awistants
wr .......... i, 'm
mow„
e aa
an,l,, I a n t ee
Note: Pine Meadows staffing is provided via contractual services. Oversight is provided by the Director
of Recreation and Community Programs.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VII-10
Program: Culture &Recreation
5200 Recreation & Community Programs Town of Lexington, MA
Authorized/Appropriated Staffing
Element: 5210 Administration
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Director of Recreation and Community Programs
1
1
1
1
Administrative Manager
1
1
1
1
Municipal Assistant
—
—
—
—
Administrative Assistant
2
1.8
1.8
2
Subtotal FTE
1 4.0
1 3.8
1 3.8
1 4.0
Subtotal FT/PT 3FT/1PT I 3FT/1PT I 3FT/1PT I 3FT/1PT
Element: 5220 Recreation
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Assistant Director
1
1
1
1
Recreation Supervisor
1
1
1
1
Recreation Coordinator*
—
0.4
0.4
1
Certified Therapeutic Recreation Specialist
1
1
1
1
Seasonal (Part-time)
225+/-
225+/-
225+/-
225+/-
Subtotal FTE
3.0
3.4
3.4
4.0 _j
Subtotal FT/PT 3FT/OPT I 3FT/OPT I 3FT/1PT I 4FT/OPT
Element: 5240 Community Center
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Community Center Director
1
1
1
1
Youth & Family Coordinator
1
1
1
1
Administrative Assistant**
1
1
1
1
Municipal Assistant (3, PT)
1
1
1
1
Building Supervisor (2, PT)
1
1
1
1
Seasonal (Part-time)
50+/-
50+/-
50+/-
50+/-
Subtotal FTE
5.0
5.0
5.0
5.0
Subtotal FT/PT 3 FT/5 PT 1 3 FT/5 PT 1 3 FT/5 PT 1 3 FT/5 PT
*A part-time Recreation Coordinator was funded as a program improvement in FY2023. The FY2025 budget recommends
transitioning the Recreation Coordinator to full-time.
** In FY2023, title change from Department Assistant to Administrative Assistant.
FY2025 Preliminary Budget & Financing Plan
N8511
January 18, 2024
Program: Culture &Recreation
5200 Recreation & Community Programs Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended budget for the Department of Recreation and Community Programs -
comprised of four divisions: Pine Meadows Golf, Recreation, Community Center and Administrative - is
$3,713,658. The recommended budget is an increase of $147,222 or 4.13% from the FY2024 budget.
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 FY2025, with $272,708 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 $1,824,916, which is a $141,981 or 8.44% increase
from the FY2024 budget, and reflects step increases, cost -of -living adjustments, and a rate increase for
Seasonal staff to remain competitive with the current market. This increase also includes funding to
transition the part-time Recreation Coordinator position to a full-time, benefited position in FY25.
The recommended budget for Expenses is $1,579,751 and reflects a $(9,063) or (0.57)% decrease
from the FY2024 budget, primarily due to the financial restructuring of our vendor sports camps. The
recommended budget for the operation of the Pine Meadows Golf Course is $618,000 and reflects a net
increase of $48,500 or 8.52%. The current golf management contract is awarded to New England Golf
Corporation (NEGC). In September 2023, NEGC was awarded a new three-year contract, with an
option for two, one-year extensions.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Community Center/DPF Facility
$ 20,000
$ —
$ 20,000
$ —
$ —
$ —
$ 20,000
Expenses
Full-time Recreation Coordinator
$ 35,000
$ 18,143
$ 53,143
$ 35,000
$ 18,143
$ 53,143
$ —
*This position will be funded from the Recreation Enterprise Fund.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VII-12
Program: Culture &Recreation
5200 Recreation & Community Programs Town of Lexington, MA
Budget Summary
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ 509,215
$ 242,790
1 $ 256,675
1 $ 272,708
1 $ -
$ 272,708
$ 16,033
1 6.25 %
Enterprise Funds
Retained Earnings
$ -
1 $ 375,000
1 $ 375,000
1 $ 375,000
1 $ -
$ 375,000
$ -
- %
Recreation User Charges
$ 11626,464
$ 11508,486
$ 1,707,530
$ 1,660,697
$ 50,000
$ 11710,697
$ 31167
0.19 %
Community Center User Charges
$ 318,413
$ 331,076
$ 3271231
$ 330,000
$ 31143
$ 333,143
$ 51912
1.81 %
Golf User Charges
$ 11099,659
$ 1,2551914
$ 900,000
$1,005,610
$ -
$ 1,005,610
$ 105,610
11.73 %
Investment Income
$ 5,999
$ 73,207
$ -
$ -
$ -
$ -
$ -
- 0/01
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Appropriation Summary
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Compensation
$ 11250,760
$ 11449,636
$ 1,682,935
$ 1,789,916
$ 35,000
$ 11824,916
$ 141,981
8.44 %
Expenses
$ 11346,285
$ 11318,614
$ 1,588,814
$ 1,579,751
$ -
$ 11579,751
$ (9,063)
(0.57)%
Debt Service
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Indirect Costs (Trans. to Gen.
Fund)
$ -
$ 286,104
$ 294,687
$ 290,848
$ 18,143
$ 308,991
$ 14,304
4.85 %
Program Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 5210 Administration
$ 451,308
$ 435,210
$ 509,073
$ 593,961
$ -
$ 593,961
$ 84,888
16.68 %
Total 5220 Recreation
$ 1,106,994
$ 1,183,592
$ 1,529,855
$ 1,462,709
$ 35,000
$ 1,497,709
$ (32,146)
(2.10)%
Total 5230 Pine Meadows
$ 513,167
$ 589,562
$ 569,500
$ 618,000
$ -
$ 618,000
$ 48,500
8.52 %
Total 5240 Community Center
$ 525,576
$ 559,885
$ 663,321
$ 694,997
$ -
$ 694,997
$ 31,676
4.78 %
Indirect Costs
$ -
$ 286,104
$ 294,687
$ 290f848
$ -
$ 308,991
$ 14,304
4.85
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 11250 f227
$ 11447,934
$ 1,682,935
$ 1,789,916
$ 35,000
$ 11824,916
$ 141,981
8.44 %
Overtime
$ 533
$ 1,702
$ -
$ -
$ -
$ -
$ -
- %
Personal Services
$1,250,760
$1,449, 636
$ 1,682,935
$1,789,916
$ 35,000
$ 11824,916
$ 141,981
8.44 %
Contractual Services
$ 11190,844
$ 11155,966
$ 1,357,654
$ 1,349,816
$ -
$ 11349,816
$ (71838)
(0.58)%
Utilities
$ 52,248
$ 50,816
$ 79,925
$ 77,350
$ -
$ 77,350
$ (2,575)
(3.22)%
Supplies
$ 99,853
$ 108,272
$ 1341235
$ 135,585
$ -
$ 135,585
$ 11350
1.01 %
Small Capital
$ 3f 339
$ 3f 560
$ 17,000
$ 17,000
$ -
$ 17,000
$ -
- %
Expenses
$1,346,285
$1,318, 614
$ 1,588, 814
$1,579,751
$ -
$ 11579,751
$ (91063)
(0.57) %
Debt
$ -
$ -
$ -
$ -
$ -
$ -
$ -
I - %
Indirect
$ -
$ 286,104
$ 294,687
$ 290,848
$ 18,143
$ 308,991
$ 14,3041
4.85 %
FY2025 Preliminary Budget & Financing Plan
VII-13
January 18, 2024
This Page Intentionally Left Blank.
Section VIII: Program 6000m. Human Services & Health
This section includes detailed information about the FY2025 Operating Budget & Financing Plan for
Human Services and Health. It includes:
• 6100-6200 Human Services Administration; Veterans' Services; Youth and
Family Services and Community Programs; and Transportation Services VIII-2
• 6500 Health
VIII-8
FY2025 Preliminary Budget & Financing Plan
M8851
January 18, 2024
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
VIII-2
January 18, 2024
Program: Human Services &Health
6100=6200 Human Services Town of Lexington, MA
Mission: The Human Services Department connects Lexington residents across the I ifespa n 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 and case management,
financial assistance, and consultation on life changes. Veterans' services staff provide veterans in
Lexington, Bedford, and Carlisle with information and connection to State and Federal benefits, 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 prioritize diversity, equity, and inclusion in all internal operations and external
programming.
2. Support and promote access to mental health services through direct therapeutic services
offered by the department and community partners.
3. Reestablish the work of the Mental Health Task Force.
4. Participate in and advocate for housing -related initiatives that create more access to housing
resources, promote housing diversity across the lifespan, and allow residents to age in place.
5. Increase awareness and utilization of Lexpress.
6. To enhance transportation options and mobility and induce mode shift in accordance with town
goals and plans.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VIII-2
6100=6200 Human Services
Program: Human Services & Health
Town of Lexington, MA
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FY2025 Preliminary Budget & Financing Plan
VIII-3
January 18, 2024
Program: Human Services &Health
6100=6200 Human Services Town of Lexington, MA
Authorized/Appropriated Staffing:
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Director of Human Services
1
1
1
1
Senior Services Director
1
1
1
1
Youth & Family Services Manager
1
1
1
1
Clinical & Community Outreach
Manager
1
1
1
1
Senior Services Coordinator
1
1
1
1
Health Outreach Clinician
0.57
0.57
0.57
0.57
Office Manager
1
1
1
1
Department Assistant
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
1
1
1
1
Department Transportation Assistant
0.80
0.80
0.80
0.80
Registered Dietician**
PT
PT
PT
PT
Senior Services Assistant**
Total
PT
PT
PT
PT
*The Veterans' Services District Director and Officer are shared positions between Lexington, Bedford, and
Carlisle.
**The part-time temporary positions of Registered Dietician and Senior Services Assistant are fully funded by
grants from the Executive Office of Elder Affairs.
FY2025 Preliminary Budget & Financing Plan
N 88MI,I
January 18, 2024
Program: Human Services &Health
6100=6200 Human Services Town of Lexington, MA
Budget Recommendations:
The recommended FY2025 All Funds Human Services budget is $2,076,762 which is a $3,312 or 0.16%
increase from the revised FY2024 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. FY2025
reflects the addtion I of a one-time Community Transit grant for $200,000. The Towns of Bedford and
Carlisle fund a portion of the Veterans' Services budget through an Intermunicipal Veterans' District
agreement.
The Human Services FY2025 recommended General Fund operating budget request is $1,513,939 and
reflects a $(187,759) or (11-03)% decrease from the revised FY2024 budget.
The General Fund operating budget for Compensation is $750,616, and reflects a $1,699 or 0.23%
increase, which reflects the cost of contractually obligated step increases and cost of living
adjustments, offset by staff turnover. 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 $763,323 and reflects a $(189,458) or (19-88)%
decrease, which reflects a decrease in contractual services. This decrease is due to the award of a
$200,000 Community Transit grant for transportation operating costs, and therefore the general fund
budget has decreased by an equal amount. If this grant is not received in future years that cost will
need to return to the General Fund. The current Lexpress contract has been extended through June 30,
2025 and a Request for Proposals (RFP) will be issued in the coming month soliciting proposals for
multiple options for levels of service and investment in busses going forward.
The FY2025 budget proposes to transfer $125,000 from the Transportation Demand Management
Stabilization Fund to cover transportation services, which is level from FY2024.
Program Improvement Requests:
None requested.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VIII-5
6100=6200 Human Services
Program: Human Services & Health
Town of Lexington, MA
Budget Su m ma ry - General Fund
Funding Sources
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$1,043,699
$1,343,181
$ 1,520,056
$ 1,332,797
$ (500)
$ 1,332,297
$ (187,759)
(12.35) %
Veteran Benefits Reimbursement
$ 61,498
$ 30,109
$ 26,642
$ 26,642
$ -
$ 26,642
$ -
- %
TDM Allocation
$ 95,000
$ 95,000
$ 125,000
$ 125,000
1
$ 125,000
$ -
I - %
Fees
Lexpress Fares $ 16,010 $ 12,417 $ 30,000 $ 30,000 $ - Is 30,000 Is - I-
Appropriation Summary
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
(General Fund)
Actual
Actual
Revised
Request
Add/Del Recommended
Increase Increase
Compensation
$ 687,126
$ 681,739 $
748,917
$ 750,616
$ - $ 750,616
$ 11699 0.23
Expenses
$ 529,081
$ 798,968 $
952,781
$ 763,823
$ (500) $ 763,323
$ (189,458) (19.88)
Program Summary
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
(General Fund)
Actual
Actual
Revised
Request
Add/Del
Recommended
Increase
Increase
Total 6110 Administration
$ 227,095
$ 2371276
$ 248,094
$ 233,061
$ (500)
$ 232,561
$ (15,533)
(6.26) %
Total 6140 Veterans' Services
$ 76,743
$ 55,304
$ 94,655
$ 94,992
$ -
$ 94,992
$ 337
0.36 %
Total 6150 Youth & Family
Services
$ 186,389
$ 168,456
$ 215,694
$ 224,907
$ -
$ 224,907
$ 9,213
4.27 %
Total 6170 Senior Services &
Community Programs
$ 178,149
$ 174,235
$ 205,383
$ 205,869
$ -
$ 205,869
$ 486
0.24 %
Total 6210 Transportation
Services
$ 547,831
$ 845,436
$ 937,872
$ 755,610
$ -
$ 755,610
$ (182,262)
(19.43)
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Revised
FY2025
Request
Manager's
I Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 687,126
$ 681,739
$ 748,917
$ 750,616
$ -
$ 750,616
$ 11699
0.23 %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
Personal Services
$ 687,126
$ 681,739
$ 748,917
$ 750, 616
$ -
$ 750,616
$ 1, 699
0.23 %
Contractual Services
$ 495,250
$ 771,333
$ 914,036
$ 725,678
$ (500)
$ 725,178
$ (188,858)
(20.66) %
Utilities
$ 31217
$ 21075
$ 3,260
$ 31265
$ -
$ 3,265
$ 5
0.15 %
Supplies
$ 26,997
$ 21,987
$ 30,985
$ 30,380
$ -
$ 30,380
$ (605)
(1.95) %
Small Capital
$ 31617
$ 31574
$ 4,500
$ 41500
$ -
$ 41500
$ -
- %
Expenses
$ 529,081
$ 798,968
$ 9521781
$ 763,823
$ (500)
$ 763, 323
$ (188, 958)
(19. 8-3)
FY2025 Preliminary Budget & Financing Plan
VIII-6
January 18, 2024
6100=6200 Human Services
Program: Human Services & Health
Town of Lexington, MA
------- ---------------------------------------------------------------------------------------
Budget Summary - Revolving Funds* and Grants
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
EOEA Grant
$ 941764
$ 124,992
$ 124,992
$ 126,112
$ -
$ 126,112
$ 1,120
0.90 %
Veterans Services Regional
Funding
$ 97,641
$ 81 400
�
106 760
$ �
96 711
$ �
$ -
$ 96,711
$ (10,049)
(9.41)
Senior Services Revolving Fund*
$ 42,011
$ 54,371
$ 75,000
$ 75,000
$ -
$ 75,000
$ -
- %
Community Transit Grant
$ -
$ -
$ -
$ 200,000
$ -
$ 200,000
$ 200,000
- 0/0
MBTA Grant
$ 58,493
$ 55,000
$ 65,000
$ 65,000
I$ -
$ 65,000ts
-
- 0/0
*Revolvina Funds are authorized by Town Meetina via Article 9. and are not annronriated under Article 4.
Appropriations Summary
(Non -General Fund)
FY2022
Actual
FY2023
Actual
FY2024
I Revised
FY2025
Request
Manager's
I Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
EOEA Grant
$ 87,951
$ 85,299
$ 124,992
$ 126,112
$ -
$ 126,112
$ 1,120
0.90
Personal Services
$ 62,954
$ 62,177
$ 68,447
$ 68,447
$ -
$ 68,447
$ -
-
Expenses
$ 24,997
$ 23,122
$ 56,545
$ 57,665
$ -
$ 57,665
$ 1,120
1.98 %
Veterans' Services Regional
Funding
$ 97,459
$ 81,194
$ 106,760
$ 96,711
$ -
$ 96,711
$ (10,049)
(9.41)0/o
Personal Services
$ 93,830
$ 79,042
$ 104,485
$ 94,001
$ -
$ 94,001
$ (10,484)
(10.03) %
Expenses
$ 3,629
$ 2,152
$ 2,275
$ 2,710
$ -
$ 2,710
$ 435
1 19.12 %
Senior Services Revolving Fund
Expenses $ 29,461 $ 56,182 $ 75,000 $ 75,000 $ - Is 75,000 Is - I - %
Transportation Services Grant Funding
Expenses $ 58,493 $ 65,000 $ 65,000 $ 265,0001$_ - $ 265,000 $ 200,0001307.69 %
-------------------------------
Budget Summary - All Funds
Appropriation Summary (All
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Funds)
Actual
Actual
Revised
Request
Add/Del Recommended
Increase Increase
Compensation
$ 843,910
$ 822,959 $
921,849
$ 913,064
$ - $ 913,064
$ (81785) (0.95) %
Expenses
$ 645,661
$ 945,424 $
1,151,601
$ 11164,198
$ (500) $ 11163,698
$ 12,097 1 1.05
FY2025 Preliminary Budget & Financing Plan
N 88IVA
January 18, 2024
Program: Human Services &Health
6100=6200 Human Services Town of Lexington, MA
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
VIII-8
January 18, 2024
Program: Human Services &Health
6500 Health Town of Lexington, MA
Mission: Under the direction of the Lexington Board of Health, the mission of the Lexington Health
Department 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: Beginning in FY2024, the Public Health Office became a separate Public Health
Department to better reflect the vital importance of Local Public Health, and is no longer a division of
what is now called the Land Use, Housing and Development Department (LUHD) (Program 7000). The
Health Department 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
Department staff is comprised of the Health Director, an Assistant Health Director, a Health Agent, a
Public Health Nurse and an Office Manager.
Department Initiatives:
1. Strive to make the Health Department more visible and accessible to residents, businesses and
staff as a reference, resource and trusted municipal partner.
2. Continue to review all the local Board of Health regulations, and update as necessary, to
coincide with current State and Federal regulations, standards and best practices. Research and
develop new regulations as necessary.
3. Emphasis on developing programming and services with a focus on Health Equity, Diversity and
Inclusion.
4. Implementation of new inspection software and tablets has decreased reliance on paper forms
and allows for more efficient and accurate record keeping. Will continue to support enhanced
customer service satisfaction and improve staff efficiency by updating Health permit applications
in ViewPoint Cloud as necessary.
5. Continue involvement with the newly formed Central Middlesex Medical Reserve Corps. Offer
preparedness trainings and classes for the community such as Stop the Bleed and Behavioral
First Aid.
6. Continue to grow the Clinical Public Health programs including expanding the availability of
adult and pediatric vaccines, beyond flu vaccine, Senior Wellness Clinics, CPR/First Aid,
collaborate with Human Services Health Outreach Clinician to expand services to Elders, and
collaborate with other clinical partners in the community. Research grant opportunities to fund
future programs and services. Continue to monitor and be a resource for Covid-19 concerns in
the community and to offer COVID vaccines.
7. Evaluate and expand the Environmental focus of the Health Department by offering or
sponsoring trainings, certifications or education, such as ServSafe for food establishments,
septic/cesspool maintenance, well water testing, mosquito/tick safety. Work with partners to
address hoarding in the community through a multi -disciplined approach.
8. Research grants and other financial opportunities to enhance and expand functions of the
Health Department such as the FDA Voluntary Retail Food Grant, Public Health Excellence
Grants, NACCHO grants for the MRC, or other opportunities offered by the Office of Local and
Regional Health of the Massachusetts Department of Public Health.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VIII-9
Program: Human Services &Health
6500 Health Town of Lexington, MA
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PLiIIic He 31h Di red
F"'u ,,b Illis Hea llti N unrs
Authorized/Appropriated Staffing
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FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Public Health Director
1
1
1
1
Asst. Public Health Director
1
1
1
1
Public Health Agent
1
1
1
1
Public Health Nurse*
0.6
1
1
1
Office Manager**
..
—77—
1
1
In FY2023, the Public Health Nurse position transitioned to a full-time position via a program improvement. From
FY2009-FY2022, the position was shared between Lexington (.6) and Belmont (.4).
**In FY2024 a Land Use Department Assistant was reclassified to Office Manager for the new Health Department.
FY2025 Preliminary Budget & Financing Plan
VIII-10
January 18, 2024
Program: Human Services &Health
6500 Health Town of Lexington, MA
Budget Recommendations:
The recommended FY2025 All Funds Health budget inclusive of the General Fund operating budget and
the Health Program Revolving Fund, which funds health clinics, is $695,148. The recommended
budget is a $37,835 or 5.76% increase from the FY2024 budget.
The FY2025 recommended Health General Fund operating budget is $545,148, which is a $17,835 or
3.38% increase from the FY2024 General Fund budget.
The General Fund operating budget for Compensation is $458,098 and reflects a $31,585 or 7.41%
increase due to the cost of contractually obligated step increases and cost of living adjustments.
The General Fund operating budget for Expenses is $87,050, a $(13,750) or (13.64)% decrease from
FY2024, which reflects a decrease in contractual services, partly offset by an increase in supplies
required for the new department, as well as mileage costs to cover personal vehicle use for health
inspections.
The FY2025 Health Programs Revolving Fund is recommended at $110,000, a $20,000 or 22.22%
increase from the FY2024 authorization, which is attributed to a rise in vaccines costs. 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 I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
[HealthDept.
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Staff Electric
$ 50,000
$ —
$ 50,000
$ —$
—$
—
$ 50,000
*This project is not recommended from the General Fund, but is being recommended to be funded from ARPA funds.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
011111110111
Program: Human Services &Health
6500 Health Town of Lexington, MA
Budget Summary - General Fund
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
j
Add/Del
Projected
�
Increase
Increase
Tax Levy
1 $ 258,585
1 $ 298,905
1 $ 487,313
$ 521,148
$ (16,000)
$ 505,148
$ 17,835
3.66 %
Directed Funding
Permits
$ 71,990
$ 105,830
$ 40,000
$ 40,000
$ - Is 40,000 I $ - I - %
Appropriation Summary
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
(General Fund)
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation
$ 266,439
$ 355,674
$ 426,513
$ 458,098
$ - $ 458,098
$ 31,585 7.41
Expenses
$ 64,135
$ 49,061
$ 100,800
$ 103,050
$ (16,000) $ 87,050
$ (13,750) (13.64)0/o
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 265,934
$ 352,226
$ 424,697
$ 456,258
$ -
$ 456,258
$ 31,561
7.43 %
Overtime
506
3,448
$ 1,816
1,840
-
$ 1,840
$ 24
1.32 %
Personal Services
$ 266,439
$ 355,674
$ 426,513
$ 458,098
$ -
$ 458,098
$ 31,585
7.41 %
Contractual Services
$ 59,637
$ 43,165
$ 90,750
$ 91,250
$ (16,000)
$ 75,250
$ (15f500)
(17.08)%
Utilities
$ 1,453
$ 1,867
$ 2,800
$ 2,800
$ -
$ 2,800
$ -
- %
Supplies
$ 3,045
$ 4,028
$ 7,250
$ 9,000
$ -
$ 9,000
$ 1,750
24.14 %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 64,135
$ 49,061
$ 100, 800
$ 103,050
$ (161000)
$ 87,050
$ (13, 750)
(13.64) %
. •
,, .:
$
---------------------------------------------------------------------------------------------
Budget Summary - Revolving Funds*
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
j
Add/Del
Projected
�
Increase
Increase
Health Programs Revolving
FunLab
$ 271176
$ 63,998
$ 90,000
$ 90,000
$ -
$ 90,000
$ -
- 0/0
Animal Permits Revolving
Fund
$ -
$ 25,000
$ 40,000
$ 40,000
$ -
$ 40,000
$ -
- 0/0
*Revolvina Funds are authorized by Town Meetina via Article 9_ and are not annronriated under Article 4.
Appropriation Summary
(Revolving Funds)
FY2022
Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
I Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
I Increase
Percent
Increase
6500 - Health Programs Revolving Fund
Expenses $ 34,207 $ 50,690
$ 90,000
$ 90,000
$ 20,000
$ 110,000 $ 20,000 1 22.22 %
6500 - Lab Animal Permits Revolving Fund
Expenses Is -Is -
$ 40,000
$ 40,000
$ -
$ 40,000 I $ - I -
-------------------------------
Budget Summary - All Funds
Appropriation Summary
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
(All Funds)
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation
$ 266,439
$ 355,674
$ 426,513
$ 458,098
$ - $ 458,098
$ 31,585 7.41
Expenses
$ 98,342
$ 99,750
$ 230 f800
$ 233,050
$ 4,000 $ 237,050
$ 6,250 2.71 0/01
FY2025 Preliminary Budget & Financing Plan January 18, 2024
VIII-12
This Page Intentionally Left Blank.
Section IX: Program 7000m. Land Use, Housing
and Development Department
This section includes detailed information about the FY2025 Operating Budget & Financing Plan for the
Land Use, Housing and Development Department. It includes:
• 7100-7400 Summary
IX-3
• 7110 Building and Zoning
IX-10
• 7120 Administration
IX-14
• 7130 Conservation
IX-17
• 7200 Planning
IX-21
• 7300 Economic Development
IX-25
FY2025 Preliminary Budget & Financing Plan
IOveI
January 18, 2024
This Page Intentionally Left Blank.
Program: Land Use, Housing and
Development Department
7100=7400 Program Summary Town of Lexington, MA
Mission: The Land Use, Health and Development department was created in 2015 to support the
Town Manager, under the direction of an Assistant Town Manager for Development, by providing
strategic leadership and accountability for a new Department comprising the Planning, Economic
Development, Building & Zoning, Conservation, and Public Health functions, and by managing land -
related negotiations, acquisitions, agreements, restrictions, leases. The Department included those
offices that manage and promote residential and commercial development in Lexington while
protecting the health and safety of residents through local bylaws and regulations, as well as state
statutes and regulations, in the areas of building code, zoning, wetland protection, planning, economic
development, housing and land -use. This structure enabled the Town to further streamline code
enforcement, program and policy development, and outreach and educational activities related to
commercial, residential and public development and local public health.
In recent years the COVID-19 pandemic highlighted the vital importance of local public health, and in
2022 the Town Manager conducted an organization study of the Town's departmental structure. Based
on that evaluation, the Health Office became a stand-alone Town department in FY2024 and is now
separately reflected under Program 6500.
Further, Lexington's commitment to Affordable Housing goals has come to the forefront of the Town's
initiatives. Going forward 'Housing' will be reflected in the Department's new name: the Land Use,
Housing and Development Department.
Budget Overview: The Land Use, Housing and Development Department is comprised of: Building
and Zoning, Administration, Conservation, Planning, Housing 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.
Plannin 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.
• Affordable Housing has become an increasing priority in Lexington, and the Town has recently
established an Affordable Housing Trust to fund the preservation and creation of affordable housing
units in Lexington. While the FY2025 budget does not reflect dedicated staffing or expenses, the
Town's Affordable Housing initiatives are expected to expand in future years.
• 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 expanding the life sciences sector 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
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-3
Program: Land Use, Housing and
Development Department
7100=7400 Program Summary Town of Lexington, MA
improve the business environment. The Economic Development Office manages the Visitors Center
and Tourism operations.
Departmental Initiatives:
1. Implement the Select Board's goals associated with the work of the Department.
2. Support the transition of the Public Health function into a new, separate Department, while
continuing to coordinate with the Health staff to facilitate Health -related permitting of Economic
Development and other development -related work.
3. Support affordable housing studies, plans, resources and initiatives, including the new
Affordable Housing Trust, MBTA Multi -family, and Special Residential Developments.
4. Implement high priority and near -term action steps and recommendations of LexingtonNext,
the Comprehensive Plan Update adopted September 2022.
5. Continue to support community input on the Bedford Street/Hartwell Avenue 25% design
development with the Engineering Division.
FY2025 Preliminary Budget & Financing Plan
ICCII
January 18, 2024
Program: Land Use, Housing and
Development Department
7100-7400 Program Summary Town of Lexington, MA
AssistantTown Man;5g'eir
��f or Dev, el oI pm en t
Bul [d ing --
PILMbir�'E/GRS
Irspectors,
— -------------------------------
ZO n i ng E ff"orce men t�
Admini-ritratcr
Economic
R an ni ng I)i re-ctor Dieveloprnent�
Diirecter
...............................................................................................................................
Assist art Pla r7 n i rg Ser ior Econorr PC V is,, itors,,C en "t ef,
Diirect,or D 1 ey ele P men "t Ma rm agu
Coordi natcr
Id-----------
P'l are ner .............
41" F
Pfainlrirg Depart.mL=n't]l afflza Maw:11
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-5
Program: Land Use, Housing and
Development Department
7100=7400 Program Summary Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Asst. Town Manager for Development
1
1
1
1
Administrative Assistant
1
1
1
1
Administration Dept Office Manager
1
1
1
1
Administration Dept Assistants*
4
4
3
3
Economic Development Director
1
1
1
1
Senior Economic Development Coordinator**
1
1
1
1
Visitor Center 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
Tour Service Coordinator***
Battle Green Guides
Seasonal
Seasonal
Seasonal
Seasonal
Liberty Ride Guides
Seasonal
Seasonal
Seasonal
Seasonal
Economic Development Intern
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
Conservation Regulatory Assistant****
—
—
—
—
Land Management Interns
Seasonal
Seasonal
Seasonal
Seasonal
Building Commissioner
1
1
1
1
Asst Building Commissioner
1
1
1
1
Building Inspector
1
1
1
1
Plumbing and Gas Inspector
1
1
1
1
Zoning Enforcement Administrator
1
1
1
1
Mechanical Inspector*****
—
—
—
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
0.58
0.58
0.58
Part-time Sealer of Weights and Measures*******
•.
—
—
—
—
• .52
Note: In FY2024, the Public Health Office became a separate Town department.
*In FY2024 a Land Use Department Assistant was reclassified to Office Manager for the new Health Department.
**In FY2023, title change from Economic Development Coordinator to Senior Economic Development Coordinator.
***In FY2024 the Liberty Ride Coordinator transitioned from part-time to full-time via a program improvement. Title change to Tour Service Coordinator.
****A part-time seasonal non -benefited Conservation Regulatory Assistant position is recommended in the FY2025 budget. This position will be funded by
wetland protection fees passed through from the State.
*****A Mechanical Inspector position is recommended for funding in the FY2025 budget.
******The hours budgeted for part-time inspectors are filled by multiple individuals.
*******This is a part-time position shared with the Town of Burlington paid for as a contract service that does not add to overall headcount.
FY2025 Preliminary Budget & Financing Plan
IX-6
January 18, 2024
Program: Land Use, Housing and
Development Department
7100=7400 Program Summary Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Land Use, Housing and Development Department budget,
inclusive of the General Fund operating budget, the Tourism, Residential Engineering Review, and
Wetland Protection Revolving Funds, is $3,078, 137, which is a $131,454 or 4.46% increase from the
FY2024 budget.
The FY2025 All Funds budget includes fee revenue from Wetlands Protection Act Notice of Intent (NOI)
permitting process which is accounted for in a Revolving Fund. This Revolving Fund is authorized by
Massachusetts General Law (MGL) Chapter 131, Section 40, which does not require appropriation by
Town Meeting. The FY2025 budget includes a new part-time seasonal position for the Conservation
department be funded by the wetland protection fees.
The FY2025 recommended Land Use, Housing and Development General Fund operating budget is
$2,442,606, which is a $43,490 or 1.81% increase from the FY2024 General Fund budget.
The General Fund operating budget for Compensation is $2,055,655 and reflects a $31,076 or 1.53%
increase, which funds contractually obligated step increases and cost of living adjustments.
Compensation does not include any estimate of prospective cost of living increases for contracts
expiring on or before June 30, 2024. 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 $386,951 and reflects an increase of $12,414 or
3.31%, which is attributed to the addition of a new position in Building and Zoning, and an increase in
contract expenses for the Economic Development Office.
The FY2025 recommended budget for the Residential Engineering Review and Tourism Revolving
Funds is $635,531, an increase of $87,964 or 13.81% in the Tourism budget. Tourism is expected to
increase around the Semiquincentennial celebration of the Battle of Lexington which will generate
additional revenue and related expenses.
Program Improvement Requests:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Mechanical Inspector
$ 49,920
$ 18,359
$ 68,279
$ 49,920
$ 18,359
$ 68,279
$ —
Conservation Land Chipping
$ 5,000
$ —
$ 5,000
$ —
$ —
$ —
$ 51000
Conservation Regulatory
Assistant Hours
$ 20,000
$ 290
$ 20,290
$ 20,000
$ 290
$ 20,290
$ —
Full-time Assistant Visitors
Center Manager
$ 19,950
$ 17,924
$ 37,874
$ —
$ —
$ —
$ 37,874
*This position is recommended to be funded from Wetland Protection Fees, and therefore is not a General Fund expense.
FY2025 Preliminary Budget & Financing Plan
IOft
January 18, 2024
7100=7400 Program Summary
Program: Land Use, Housing and
Development Department
Town of Lexington, MA
Budget Su m ma ry - General Fund
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Tax Levy
$ (972,575)
$(31513,64
$ (292,084)
$ (580,608)
$ (51686)
$ (586,294)
$ (2941210)
100.73 %
TDM Stabilization Fund
$ 46,000
$ 46,0001
$ 46,000
$ 46,000
$ -
$ 46,000
Is -
- %
Fees & Charges
Departmental Fees
$ 92,260
$ 51,956
1$5f
$ 79,200
$ 86,900
1$21896f000
$ -
1
$ 86,900
$ 7,700
9.72 %
1
Licenses & Permits
$ 21853,029
591,197 $ 2,566,000
$ -
$ 21896,000
$ 330,000
12.86
Fund
Appropriation Summary
FY2022
FY2023 FY2024
FY2025
Manager's FY2025
Dollar Percent
(General Fund)
Actual
Actual Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation
$ 11761,781
I $1,863,837 $ 2,024,579
$2,046,055
1 $ 9,600 $ 2,055,655
$ 31,076 1.53 %
Expenses
$ 256,933
$ 311,676 $ 374,537
$ 402,237
$ (15,286) $ 386,951
$ 12,414 1 3.31 %
Level -Service Requests
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
(General Fund)
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Total 7110 Building &
Zoning
$ 588,614
$ 620,019
$ 684,692
$ 700,282
$ 7,400
$ 707,682
$ 22,990
3.36 %
Total 7120 Administration
$ 498,604
$ 518,686
$ 537,344
$ 543,590
$ (81000)
$ 535,590
$ (1,754)
(0.33) %
Total 7130 Conservation
$ 227,335
$ 237,592
$ 268,676
$ 272,375
$ (86)
$ 2721289
$ 3,613
1.34 %
Total 7200 Planning
$ 396,705
$ 429,169
$ 458,751
$ 463,966
$ (51000)
$ 458,966
$ 215
0.05 %
Total 7300 Economic
Development
$ 307,456
$ 370,047
$ 449,653
$ 468,079
$ -
$ 468,079
$ 18,426
4.10
Fund
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 1,746,626
$1,8361388
$ 1,990,927
$2,011,965
$ 9,600
$ 2,021,565
$ 30,638
1.54 %
Overtime
$ 15,155
$ 27,449
$ 33,652
$ 34,090
$ -
$ 34,090
$ 438
1.30 %
Personal Services
$1, 761, 781
$1, 863, 837
$ 2,024,579
$2, 046, 055
$ 9,600
$ 2,055,655
$ 31,076
1.53 %
Contractual Services
$ 209,510
$ 244,181
$ 310,026
$ 336,426
$ (7,786)
$ 328,640
$ 18,614
6.00 %
Utilities
$ 9,982
$ 9,005
$ 10,561
$ 10,981
$ -
$ 10,981
$ 420
3.98 %
Supplies
$ 37,441
$ 58,490
$ 51,950
$ 52,830
$ (7,500)
$ 45,330
$ (6,620)
(12.74) %
Small Capital
$ -
$ -
$ 2,000
$ 2,000
$ -
$ 2,000
$ -
- %
Expenses
Fund
$ 256,933
$ 311, 676
$ 374,537
$ 402,237
$ (15, 286)
$ 386,951
$ 12,4141
3.31 %
FY2025 Preliminary Budget & Financing Plan
IX-8
January 18, 2024
Program: Land Use, Housing and
Development Department
7100=7400 Program Summary Town of Lexington, MA
----------------------------------------------------------------------------------------------
Budget Summary - Revolving Funds
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Residential Engineering
Review Revolving Fund
$ -
$ -
$ 57,600
$ 57,600
$ -
$ 57,600
$ -
- %
Wetland Protection Fees
$ -
$ -
$ -
$ 20,290
$ 20,290
$ 20,290
100.00 %
Liberty Ride Revolving Fund
$ 72,083
$ 113,376
$ -
$ -
$ -
$ -
$ -
- %
Visitor Center Revolving
Fund
$ 260,184
$ 275,990
$ -
$ -
$ -
$ -
$ -
- %
Tourism Revolving Fund
$ -
$ -
$ 413,150
$ 560,000
$ -
$ 560,000
$ 146,850
35.54 %
Funds
*Revolving Funds are authorized by Town Meeting via Article 9, and are not appropriated under Article 4, with the exception of the Wetland Protection Revolving
Fund which does not require appropriation.
Appropriation Summary
(Revolving Funds)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
7110 - Residential
Engineering Review
$ -
$ -
$ 57,600
$ 57,600
$ -
$ 57,600
$ -
- %
Expenses
$ -
$ -
$ 57,600
$ 57,600
$ -
$ 57,600
$ -
- %
7130 - Wetland
Protection
$ -
$ -
$ -
$ -
$ 20,290
$ 20,290
$ 20,290
- %
Compensation
$ -
$ -
$ -
$ -
$ 20,290
$ 20,290
$ 20,290
- %
7320 - Liberty Ride
$ 146,758
$ 71076
$ -
$ -
$ -
$ -
$ -
- %
Compensation
$ 23,652
$ 7,076
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 123,106
$ -
$ -
$ -
$ -
$ -
$ -
- %
Benefits
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
7340 - Visitor Center
$ 255,101
$184,859
$ -
$ -
$ -
$ -
$ -
- %
Compensation
$ 139,493
$ 78,193
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 115,608
$ 106,666
$ -
$ -
$ -
$ -
$ -
- %
Benefits
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
7350 - Tourism
$ -
$ -
$ 489,967
$557,641
$ -
$ 557,641
$ 67,674
13.81 %
Compensation
$ -
$ -
$ 196,240
$ 232,641
$ -
$ 232,641
$ 36,401
18.55 %
Expenses
$ -
$ -
$ 275,150
$ 325,000
$ -
$ 325,000
$ 49,850
18.12 %
Benefits
Funds
$ -
$ -
$ 18,577
$ -
$ -
$ -
$ (18,577)
(100.00) %
0. ,
----------------------------------------------------------------------------------------------
Budget Summary - All Funds
Appropriation Summary
(All Funds)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Compensation
$ 11924,926
$1,949,106
$ 2,220,819
$2,278,696
$ 29,890
$ 2,308,586
$ 87,767
3.95 %
Expenses
$ 495,646
$ 418,342
$ 707,287
$ 784,837
$ (15,286)
$ 769,551
$ 62,264
8.80
Benefits
$ -
$ -
$ 18,577
$ -
$ -
$ -
$ (18,577)
(100.00) %
FY2025 Preliminary Budget & Financing Plan
IX-9
January 18, 2024
Program: Land Use, Housing and Development
Department
7110 Building & Zoning Town of Lexington, 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, assisting contractors
and residents to obtain their permits without delays. The ViewPoint Cloud permit system requires all
building, mechanical, sheet metal, 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. Create a new staff position for a mechanical inspector. With the ever changing energy codes and
sophisticated mechanical systems , the town should have a staff inspector position with expertise in
the mechanical codes, equipment and installations.
3. Permit, inspect, monitor and ensure code compliance for the two new high rise laboratory buildings
in the Hartwell District, as well as the new buildings proposed at 97 Hayden Ave. These three new
buildings alone will create an enormous workload on inspectors and will require an extraordinary
effort on a I I to insure success.
4. Prepare the staff, residents, contractors and designers of the new Fossil Fuel Free Bylaw, a new law
that prohibits/limits the use of natural gas and propane in new and existing homes and most
commercial buildings.
5. Assist the Select Board to continue with their efforts to implement a stormwater permitting system
for all new homes built, regardless of the lot size. The Board recently added smaller projects that
trigger site plan review, and their next steps will be adding all the new home lots so that
stormwater will not adversely effect the neighbors and town roads
FY2025 Preliminary Budget & Financing Plan
IX-10
January 18, 2024
7110 Building & Zoning
Program: Land Use, Housing and Development
Department
Town of Lexington, MA
f'g r eye I <<p imeint
Buflding
Office Manager -
Office of Land Use
Assistant Buildin'gAl
[nspectors
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
Mechanical Inspector*
—
—
—
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
0.58
0.58
0.58
Part-time Sealer of Weights and
Measures***
.. I FTE
6.76
6.96
6.96
7.96
*A Mechanical Inspector position is recommended for funding in the FY2025 budget.
**The hours budgeted for part-time inspectors are filled by multiple individuals.
***This is a part-time position shared with the Town of Burlington paid for as a contract service that does not add
to overall headcount.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
NlK:QiII
7110 Building & Zoning
Program: Land Use, Housing and Development
Department
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Building and Zoning budget is $765,282, a $22,990 or 3.10%
increase from the FY2024 budget.
The FY2025 recommended General Fund Building and Zoning budget is $707,682, a $22,990 or 3.36%
increase from the FY2024 budget.
The recommended budget for Compensation is $664,842 and reflects a $25,190 or 3.94% increase,
which is due to contractually obligated step increases and cost of living adjustments. Compensation
does not include any estimate of prospective cost of living increases for contracts expiring on or before
June 30, 2024. Funds for prospective increases are captured in the Salary Adjustment account within
the Town Manager's budget. This increase includes funding for a part-time, benefited Mechanical
Inspector position in FY2025.
The recommended budget for Expenses is $42,840, a (4-88)% decrease from FY2024.
Program Improvement Requests:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total and
Shared
Not
Description
Expenses
Expenses)
Requested Expenses
Expenses)
Total
Recommended
Mechanical Inspector
$ 49,920
$ 18,359
$ 68,279 $ 49,920
$ 18,359
$ 68,279
$ —
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-12
7110 Building & Zoning
Program: Land Use, Housing and Development
Department
Town of Lexington, MA
Budget Summarv:
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ (21204,914)
$ (41872,663)
$ (11853,808)
$ (21208,218)
$ 71400
$ (21200,818)
$ (347,010)
18.72 %
Directed Funding
Departmental Fees
$ 12,490
$ 71315
$ 12,500
$ 12,500
$ -
$ 12,500
$ -
- %
Licenses and Permits
$ 2,781,039
$ 5,485,367
$ 2,526,000
$ 2,896,000
$ -
$ 2,896,000
$ 370,000
14.65 %
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del I Recommended Increase I Increase
Compensation $ 557,775 $ 584,341 $ 639,652 $ 655,242 $ 91600 $ 664,842 $ 25,190 3.94
Expenses $ 30,839 $ 35,678 $ 451040 $ 451040 $ (2,200) $ 42,840 $ (21200) (4.88)0/(
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/ Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 551,423
$ 575,550
$ 633,147
$ 648,652
$ 91600
$ 658,252
$ 25,105
3.97 %
Overtime
$ 61352
$ 81791
$ 61505
$ 61590
$ -
$ 6,590
$ 85
1.31 %
Personal Services
$ 557,775
$ 584,341
$ 639,652
$ 655,242
$ 91600
$ 664,842
$ 25,190
3.94 %
Contractual Services
$ 19,201
$ 12,200
$ 331,090
$ 33,090
$ (21200)
$ 30,890
$ (21200)
(6.65)%
Utilities
$ 71021
$ 61102
$ 61800
$ 61800
$ -
$ 6,800
$ -
- %
Supplies
$ 41617
$ 17,376
$ 51150
$ 51150
$ -
$ 5,150
$ -
- %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
1 $ 30, 839
$ 35, 678
$ 45, 040
$ 45, 040
$ (2, 200)
$ 421840
$ (2,200)
(4.88) %
-----------------------------------------
Budget Summary - Revolving Funds*
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/ Del Projected Increase Increase
Residential Engineering Review $ - $ - $ 57,600 $ 57,600 $ 57,600 $ - -
*Revolving Funds are authorized by Town Meeting via Article 9, and are not appropriated under Article 4.
Appropriation Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
(Revolving Funds) Actual Actual Appropriation Request Add/Del Recommended Increase Increase
7110 - Residential Engineering Review Revolving Fund
Expenses Is - Is - $ 57,600 $ 57,600 1 Is 57,600 I $ - I - %
-------------------------------
Budget Summary - All Funds
Appropriation Summary
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
(All Funds)
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation
$ 557,775
$ 584,341
$ 639,652
$ 655,242
$ 9,600 $ 664,842
$ 25,190 3.94
Expenses
$ 30,839
1 $ 35,678
I $ 102,640
$ 102,640
$ (2,200) $ 100,440
$ (2,200) (2.14)%
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-13
Program: Land Use, Housing and Development
Department
7120 Administration Town of Lexington, 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, 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 three 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 five divisions within the Land Use, Housing and Development Department.
Division Initiatives:
1. Support the Town's housing initiatives, including the Affordable Housing Trust, and potential buy -
downs for greater affordability in MBTA Multi -family and Special Residential Development projects,
and support anticipated recommendations of the Housing Feasibility Study.
2. Direct the Department in supporting the Select Board's updated goals and the Planning Board's
work plan, including LexingtonNext and other adopted Town plans related to the Department's
work.
3. Assist the Town Manager in planning and executing on operations and delegated strategic actions
in land use, housing, conservation, building, planning, preservation and economic development.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
NO:QiLI
Program: Land Use, Housing and Development
Department
7120 Administration Town of Lexington, MA
As s[sta nt T, a ge r
for D,eve Ibpmr ern t'
.Ad m i n istrati e
ssYis°ta rt°
Authorized/Appropriated Staffing
i0ffice M a na g er
Deg Wirtre't
Assistants
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Asst. Town Manager for
Development
1
1
1
1
Administrative Assistant
1
1
1
1
Office Manager
1
1
1
1
Department Assistants*
Total
4
4
3
3
*In FY2024 a Land Use Department Assistant was reclassified to Office Manager for the new Health
Department.
FY2025 Preliminary Budget & Financing Plan
IX-15
January 18, 2024
Program: Land Use, Housing and Development
Department
7120 Administration Town of Lexington, MA
Budget Recommendations:
The recommended FY2025 General Fund budget for the Office of Administration is $535,590, a
decrease of $(1,754) or (0.33)% from the FY2024 budget.
The General Fund operating budget for Compensation is $480,690 and reflects a decrease of $(3,254)
or (0.67)% due to staff turnover, partly offset by contractually obligated step increases and cost of
living adjustments. Compensation does not include any estimate of prospective cost of living increases
for contracts expiring on or before June 30, 2024. 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 $54,900 and reflects a net increase of $1,500 or
2.81%, which incorporates adjustments to reflect anticipated FY2025 expenditures.
Program Improvement Requests:
None requested.
Budget Summary:
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ 470 f270 $ 471,814 $ 483,944 $ 480,690 $ - $ 480,690 $ (3,254) (0.67)%
Expenses $ 28,334 $ 46,872 $ 53,400 $ 62,900 $ (8,000) $ 54,900 $ 1,500 2.81
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 464,759
$ 462,340
$ 470 f952
$ 467,529
$ -
$ 467529
$ (3,423)
(0.73)%
Overtime
$ 5,512
$ 9,474
$ 12,992
$ 13,161
$ -
$ 13,161
$ 169
1.30 %
Personal Services
$ 470,270
$ 471,814
$ 483, 944
$ 480,690
$ -
$ 480,690
$ (31254)
(0.67) %
Contractual Services
$ 17,203
$ 32,436
$ 45,200
$ 46,700
$ (500)
$ 46,200
$ 1,000
2.21 %
Utilities
$ 630
$ 595
$ 700
$ 700
$ -
$ 700
$ -
- %
Supplies
$ 10,501
$ 13,841
$ 7,500
$ 15,500
$ (7,500)
$ 8,000
$ 500
6.67 %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 28, 334
$ 46,872
$ 53,400
$ 62, 900
$ (8f000)1
$ 54,900
$ 115001
2.81 %
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-16
Program: Land Use, Housing 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 to enhance the conservation work flows and inspection checklists in the ViewPoint Cloud
Opengov online permitting system, to streamline and reduce the complexities of wetland protection
regulatory process as much as feasible.
2. Implement recommendations of the Seven Year Action Plan of the 2023 Open Space and
Recreation Plan in collaboration with Recreation and Community Programs and other applicable
staff, boards, and committees.
3. Implement the Conservation Improvements, comprised of 20 acres of meadow preservation, as
appropriated through the participatory budget process with ARPA funds.
4. Complete the Land Management Planning process for the Concord Avenue Conservation parcels
and implement the various recommendations as approved by the Conservation Commission.
5. Implement the numerous conservation land management and stewardship prioritized projects,
including Wright Farm Barn Stabilization (FY2023 CPA) and Conceptual Site Access Design and
Parking (FY2021 CPA), Willard's Woods Accessible Improvements Construction (FY2024 CPA), and
Whipple Hill Trail Repair and Fire Access Construction (FY2024 CPA funding).
6. Plan for and acquire open space parcels as prioritized by the Conservation Commission.
FY2025 Preliminary Budget & Financing Plan
IEve VA
January 18, 2024
7130 Conservation
Program: Land Use, Housing and Development Department
Town of Lexington, MA
ar,
f
f
I agIb r IDev eta P m ent",f;
f
f
f
�...... ...... ......... a
Conservation Con servation
Director cc m m issi
IIO'1�IIIIIIIIIIM'iN/flYd110'1�IIIIIIIIIIM'iN/flYd110'1�IIIIIIIIIIM'iN/flYd110'1�IIIIIIIIIIM'iN/flY11MIVII�IVIIIIdIWdIIOVII�IVIV1mVIIIIM'YAIdIIV1W.""�j
Conservation
I
f
I
Coiordin.ator
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Conservation Director
1
1
1
1
Conservation Coordinator
1
1
1
1
Land Use Ranger
0.26
0.26
0.26
0.26
Conservation Regulatory Assistant*
—
—
—
—
Seasonal Land Management Interns
..
Seasonal
Seasonal
Seasonal
Seasonal
*A part-time seasonal non -benefited Conservation Regulatory Assistant position is recommended in the FY2025 budget.
This position will be funded by wetland protectoin fees passed through from the State.
FY2025 Preliminary Budget & Financing Plan
IX-18
January 18, 2024
7130 Conservation
Program: Land Use, Housing and Development Department
Town of Lexington, MA
Budget Recommendations:
The recommended FY2025 All Funds Conservation budget is $292,579, an increase of $23,903 or
8.90% from the FY2024 budget. The FY25 budget recommends funding for a part-time seasonal non -
benefited Conservation Regulatory Assistant. This position will be funded by permit fee revenue
generated from projects filed through the state's Wetlands Protection Act Notice of Intent (NOI)
permitting process.
The recommended FY2025 General Fund Conservation budget is $272,289, an increase of $3,613 or
1.34% from the FY2024 budget.
This includes a $3,699 or 1.56% increase in Compensation to reflect contractually obligated step
increases and cost of living adjustments. Compensation does not include any estimate of prospective
cost of living increases for contracts expiring on or before June 30, 2024. Funds for prospective
increases are captured in the Salary Adjustment account within the Town Manager's budget.
The recommended budget for Expenses is $30,961, a (0-28)% decrease compared to FY2024.
Program Improvement Requests:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Conservation Regulatory Assistant
Hours
$ 20,000
$ 290
$ 20,290
$ 20,000
$ 290
$ 20,290
$ —
Conservation Land Chipping
$ 5,000
$ —
$ 5,000
$ —
$ —
$ —
$ 5,000
*This position is recommended to be funded from Wetland Protection Fees, and therefore is not a General Fund expense.
FY2025 Preliminary Budget & Financing Plan
IX-19
January 18, 2024
Program: Land Use, Housing and Development Department
7130 Conservation Town of Lexington, MA
Budget Summary:
Object Code
Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 204,700
$ 213,565
$ 2341470
$ 2381128
$ 238,128
$ 31658
1.56 %
Overtime
$ 11546
$ 21885
$ 31159
$ 31200
$ -
$ 31200
$ 41
1.30 %
Personal Services
$ 206,246
$ 216,451
$ 237,629
$ 241,328
$ -
$ 241, 328
$ 31699
1.56 %
Contractual Services
$ 13,148
$ 15,464
$ 22,186
$ 22,186
$ (86)
$ 22,100
$ (86)
(0.39) %
Utilities
$ 1,851
$ 1,889
$ 3,061
$ 3,061
$ -
$ 3,061
$ -
- %
Supplies
$ 6,090
$ 3,788
$ 5,800
$ 5,800
$ -
$ 51800
$ -
- %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 21,089
$ 21,141
$ 31, 047
$ 31, 047
$ (86)
$ 30, 961
$ (86)
(0.28) %
-----------------------------------------
Budget Summary - Revolving Funds*
Funding Sources FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Estimate Projected Add/Del Projected Increase Increase
Wetland Protection Fees $ - $ - $ - $ - $ 20,290 $ 20,290 $ 20,290 100.00
*This Revolving Fund is authorized by Massachusetts General Law (MGL) Chapter 131, Section 40 and does not require appropriation.
------------------------------------------------------------------------------------------
Budget Su m ma ry - All Funds
Appropriations
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Summary
Dollar
Percent
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Compensation
$ 206,246
$ 216,451
$ 237,629
$ 241,328
$ 20f290
$ 261,618
$ 23,989
10.10 %
Expenses
$ 21,089
$ 21,141
$ 31,047
$ 31,047
$ (86)
$ 30,961
$ (86)
(0.28)
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-20
Program: Land Use, Housing and Development Department
7200 Planning Town of Lexington, 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 development, site plan review applications, as well as proposing and making
recommendations on all 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, Transportation Safety Group, and
provides assistance to the Housing Partnership Board, Parking Management Group, Transportation
Forum, the HOME Consortium, and the Boston Metropolitan Planning Organization.
Division Initiatives:
1. Implement various recommendations in LexingtonNext, the Town's updated Comprehensive
Plan, which will guide future land development and preservation activities over the next 5,
10-15 years, and beyond.
2. Assemble and support the Planning Board's Annual Work Plan to ensure alignment with
Lexington Next.
3. Propose and adopt zoning amendments outlined in Lexington NEXT to promote various
economic development and housing goals such as more affordable housing and maximizing
commercial development.
4. Collaborate with members of the Land Use, Housing, and Development (CURD) Department and
other staff members to plan and execute short- and long-term planning initiatives.
5. Adopt and implement District Plans for Lexington's Transportation Demand Management
Overlay Districts (TMOD) for South Lexington and Forbes Road - Marrett Street.
FY2025 Preliminary Budget & Financing Plan
IX-21
January 18, 2024
7200 Planning
Program: Land Use, Housing and Development Department
Town of Lexington, MA
Assistant Planning
Director
Authorized /Appropriated Staffing
ksslstant'Town Man, ger,
for Devellopm, ent
foffice Manager-
Officeof'Land Use,
Planning Director Planning Board
A
P�ann,er P la nni ng
Departni,ent Assistan
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Planning Director
1
1
1
1
Assistant Planning Director
1
1
1
1
Planner
1
1
1
1
Administrative Assistant
Tota I FTE
1
4
1
4
1
4
1
4
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-22
Program: Land Use, Housing and Development Department
7200 Planning Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended General Fund Planning Office budget is $458,966, which is an increase of
$215 or 0.05% from the FY2024 budget.
The General Fund operating budget for Compensation is $382,016 and reflects a $615 or 0.16%
increase from the FY2024 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, 2024. Funds for prospective increases are captured in the Salary Adjustment account within the
Town Manager's budget.
The recommended budget for Expenses is $76,950 which reflects a (0-52)% decrease from FY2024.
Program Improvement Requests:
None.
FY2025 Preliminary Budget & Financing Plan
IX-23
January 18, 2024
Program: Land Use, Housing and Development Department
7200 Planning Town of Lexington, MA
Budget Summary
Appropriation FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Summary Actual Actual Appropriation Request I Add/Del Recommended Increase Increase
Compensation $ 352,206 $ 363,863 $ 381,401 $ 382,016 $ - $ 382,016 $ 615 0.16 %
Expenses $ 44,499 $ 65,306 $ 77,350 $ 81,950 $ (5,000) $ 76,950 $ (400) (0.52)%
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 350 f460
$ 358,094
$ 373,403
$ 373,914
$ -
$ 373,914
$ 511
0.14 %
Overtime
$ 1,745
$ 5,770
$ 7,998
$ 8,102
$ -
$ 8,102
$ 104
1.30 %
Personal Services
$ 352,206
$ 363,863
$ 3811401
$ 382,016
$ -
$ 382,016
$ 615
0.16 %
Contractual Services
$ 41,848
$ 62,648
$ 72,350
$ 78,650
$ (5,000)
$ 73,650
$ 11300
1.80 %
Utilities
$ 480
$ 420
$ -
$ 420
$ -
$ 420
$ 420
- %
Supplies
$ 2,170
$ 2,238
$ 5,000
$ 2,880
$ -
$ 2,880
$ (2,120)
(42.40)%
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 44,499
$ 651306
$ 77,350
$ 81, 950
$ (5, 000)
$ 76,950
$ (400)
(0.5-)101-1
FY2025 Preliminary Budget & Financing Plan
IX-24
January 18, 2024
Program: Land Use, Housing and
Development Department
7300 Economic Development Town of Lexington, 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 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.
In prior years, the Economic Development budget was divided into three elements: the Economic
Development Office, the Liberty Ride Trolley Tour Program, and the Visitors Center Operations. Starting
in FY2024, the recommended budget combined the Liberty Ride Revolving Fund and the Visitor Center
Revolving Fund into one Tourism Revolving Fund.
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. The Visitors Center, located next to the Lexington Battle Green serves
as gateway for over 120,000 people who come to visit Lexington every year and generates revenue
from gift shop retail sales to offset operating costs. The Town recently completed construction of a
new Visitors Center which opened to the public in spring 2020.
Division Initiatives:
1. Ensure long-term viability of Lexington businesses
2. Implement and complete the wayfinding project for East Lexington.
3. Launch the Tourism Website with a 250th webpage.
4. The ED office will also be working on a store back improvement program for East Lexington to
improve the stores to be more attractive and vibrant, and on landscape design community outreach
and implementation for East Lexington.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-25
Program: Land Use, Housing and
Development Department
7300 Economic Development Town of Lexington, MA
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.
Assist an t T ovo n M any
or Dei el op en
u
Eton orr ic D evel upnnme n t
1 ir:tor
'ON", Na",
Inn t
m-
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-26
Program: Land Use, Housing and
Development Department
7300 Economic Development Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Economic Development Director
1
1
1
1
Senior 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
Tour Service Coordinator"
Battle Green Guides
Seasonal
Seasonal
Seasonal
Seasonal
Liberty Ride Guides
..
Seasonal
Seasonal
Seasonal
Seasonal
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.
*In FY2023, title changed from Economic Development Coordinator to Senior Economic Development Coordinator.
**In FY2024, the part-time Tour Service Coordinator was upgraded to a full-time position within the Tourism
Revolving Fund via a program improvement.
FY2025 Preliminary Budget & Financing Plan
IX-27
January 18, 2024
Program: Land Use, Housing and
Development Department
7300 Economic Development Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended All Funds Economic Development budget, inclusive of the General Fund
operating budget and the Tourism Revolving Fund, is $1,025,720, which is a $86,100 or 9.16%
increase from the FY2024 budget.
The FY2025 recommended General Fund Economic Development operating budget is $468,079, which
is a $18.,426 or 4.10% increase from the FY2024 General Fund budget. The recommended General
Fund operating budget for Compensation is $286,779,, and reflects a $4,826 or 1.71% increase, which
captures 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 recommended General Fund operating budget for Expenses is $181,300, an increase of $13,600 or
8.11%, primarily due to increases in printing, advertising and professional services expenses.
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 Tourism Revolving Fund combines the operations of Lexington Visitors Center and the Liberty Ride
trolley service, both of which previously operated as independent Revolving Funds. The Tourism
Revolving Fund will generate revenue from the sale of gift shop merchandise, the sale of ticketed
walking tours on the Lexington Battle Green, and the sale of tickets and charters for the Liberty Ride
trolley tour.
The Revolving Fund budget is $557,641, an increase of $67,674 or 13.81% compared to the FY2024
budget, which includes both the Liberty Ride and Visitor Center operations. This increase is reflective
of a return to full operations post -pandemic, as well as seasonal staffing to support an expected
increase in tourism in FY2025 due to the Semiquincentennial celebration of the Battle of Lexington.
The Liberty Ride trolley contract has been extended through March of 2025, prior to the spring tourism
season. We expect to continue working with Joseph's Trolley through the end of this contract. The
Office of Economic Development is exploring options for the Liberty Ride Trolley in future years.
Program Improvement Requests:
Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
FFulktimle
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Assistant Visitors
Manager
$ 19,950
$ 171924
$ 37,874
$ —
$ —
$ —
$ 37,874
FY2025 Preliminary Budget & Financing Plan January 18, 2024
IX-28
7300 Economic Development
Program: Land Use, Housing and
Development Department
Town of Lexington, MA
Budget Summary - General Fund
FY2022
Funding Sources
FY2023
FY2024
FY2025
Manager's FY2025 Dollar Percent
Actual
Actual
Estimate
Projected
Add/Del Projected Increase Increase
Tax Levy $ 261,456
$ 324,047
$ 403,653
$ 422,079
$ - $ 422,079 $ 18,426 4.56 °/
TDM Stabilization Fund $ 46,000
$ 46,000
$ 46,000
$ 46,000
Is - $ 46,000 $ - I - °/
Appropriation Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's FY2025
Add/Del Recommended
Dollar Percent
Increase Increase
Compensation
$ 175,284
$ 227,368
$ 281,953
$ 286,779
$ - $ 286,779
$ 4,826 1.71 °/
Expenses
$ 132,172
$ 142,679
$ 167,700
$ 181,300
$ - 1 $ 181,300
$ 13,600 8.11 °/
Program Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
(General Fund) Actual Actual Appropriation Request Add/Del Recommended Increase Increase
7310 Economic Development Office $ 307,456 $ 370,047 $ 449,653 $ 468,079 $ - $ 468,079 $ 18,426 4.10 °/
Object Code Summary
(General Fund)
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 175,284
$ 226,838
$ 278,955
$ 2831742
$ -
$ 283,742
$ 4,787
1.72
%
Overtime
$ -
$ 529
$ 2,998
$ 3,037
$ -
$ 3,037
$ 39
1.30
%
Personal Services
$ 175,284
$ 227, 368
$ 281, 953
$ 286,779
$ -
$ 286, 779
$ 41826
1.71
%
Contractual Services
$ 118,110
$ 121,432
$ 137,200
$ 155,800
$ -
$ 155,800
$ 18,600
13.56
%
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
-
%
Supplies
$ 14,062
$ 21,247
$ 28,500
$ 23,500
$ -
$ 23,500
$ (5,000)
(17.54)
%
Small Capital
$ -
$ -
$ 2,000
$ 2,000
$ -
$ 2,000
$ -
-
%
Expenses
$ 132,172
$ 142, 679
$ 167,700
$ 181,300
$ -
$ 181,300
$ 13, 600
8.11
%
Budget Summary -Revolving Funds* ------------------------------------------------------------
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Liberty Ride Rev. Fund
$ 72,083
$ 113,376
$ -
$ -
$ -
$ -
$ -
- %
Visitors Center Rev. Fund
$ 260,184
$ 275,990
$ -
$ -
$ -
$ -
$ -
- %
Tourism Revolving Fund
$ -
$ -
$ 413,150
$ 560,000
$ -
$ 5601000
$ 146,850
35.54
*Revolvina Funds are authorized by Town Meetina via Article 9. and are not annronriated under Article 4.
Appropriation Summary
(Revolving Funds)
FY2022
I Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
Recommended
Dollar
Increase
Percent
I Increase
7320 Liberty Ride Rev. Fund
$ 146,758
$ 71076
$ -
$ -
$ -
$ -
$ -
-0/0
Compensation
$ 23,652
$ 71076
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 123,106
$ -
$ -
$ -
$ -
$ -
$ -
- %
7340 Visitors Center Rev. Fund
$ 255,101
$ 184,859
$ -
$ -
$ -
$ -
$ -
-0/0
Compensation
$ 139,493
$ 78,193
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 115,608
$ 106,666
$ -
$ -
$ -
$ -
$ -
- %
7350 Tourism Rev. Fund
$ -
$ -
$ 489,967
$ 557,641
$ -
$ 557,641
$ 67,674
13.81 %
Compensation
$ -
$ -
$ 196,240
$ 232,641
$ -
$ 232,641
$ 36,401
18.55 %
Expenses
$ -
$ -
$ 275,150
$ 325,000
$ -
$ 325,000
$ 49,850
18.12 %
Benefits
$ -
$ -
$ 18,577
$ -
$ -
$ -
$ (18,577)
(100.00)
FY2025 Preliminary Budget & Financing Plan
IX-29
January 18, 2024
Program: Land Use, Housing and
Development Department
7300 Economic Development Town of Lexington, MA
-------------------------------
Budget Summary - All Funds
FY2022
Appropriations Summary
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation $ 338,429
$ 312,637
$ 478,193
$ 519,420
$ — $ 519,420
$ 41,227 8.62 %
Expenses $ 370,885
$ 249,345
$ 442,850
$ 506,300
$ — $ 506,300
$ 63,450 14.33 %
FY2025 Preliminary Budget & Financing Plan
IX-30
January 18, 2024
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
IX-31
January 18, 2024
Section Xm. Program 8000m. General Government
This section includes detailed information about the FY2025 Operating Budget & Financing Plan for
General Government. It includes:
• 8100
Select Board
X-1
• 8200
Town Manager
X-6
• 8300
Town Committees
X-11
• 8400
Finance
X-13
• 8500
Town Clerk
X-18
• 8600
Innovation & Technology
X-22
FY2025 Preliminary Budget & Financing Plan
*61
January 18, 2024
Program: General Government
8100 Select Board Town of Lexington, 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. Enhance resident engagement with committees and improve communication effectiveness.
2. Continue to improve methods of communication between the Select Board and residents.
3. Transition public meeting agenda management to a new platform with the upcoming
obsolescence of NovusAGENDA.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
x-2
8100 Select Board
Program: General Government
Town of Lexington, MA
Authorized/Appropriated Staffing
fl�li
ie°.are „d rd i rig
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Office Manager/Executive Clerk
1
1
1
1
Department Assistant
1
1
1
1
Recording Secretary
Total
0.25
0.25
0.25
0.25
FY2025 Preliminary Budget & Financing Plan
x-3
January 18, 2024
Program: General Government
8100 Select Board Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended General Fund operating budget for the Select Board is $1,388,634, which is
a $54,307 or 4.07% increase from the FY2024 General Fund budget.
The Compensation budget is $156,709, an increase of $5,925 or 3.93%, which reflects 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 overall Select Board operating budget is $1,231,925, an increase of $48,382 or 4.09%. The
increase is primarily due to expenses for LexMedia, the Town's public access television provider.
Expenses also reflect an increase of $3,000 in the contracted expense for the Town's annual financial
audit.
The recommended FY2025 budget for legal expenses is unchanged from FY2024 at $375,000. The
recommended FY2025 budget for the annual Town Report is unchanged from FY2024 at $13,688.
The FY2025 recommended budget for the Town's annual contract with LexMedia for broadcasting
public meetings and events is $715,224, which is a $56,707 or 8.61% increase from FY2024. This
reflects contractual commitments to LexMedia, and an increase in the Town's lease agreement for Kline
Hall, the location from which LexMedia operates. This lease agreement escalates annually with the
Consumer Price Index (CPI).
Beginning in FY2024, the Town is funding LexMedia ($100,000) partly from the tax levy in addition to
the PEG Access Special Revenue Fund. PEG Access revenues are primarily from cable fees which have
been on the decline as consumers discontinue cable subscriptions in favor of streaming platforms.
Cable fees will not fully cover expenses needed to support local access cable TV going forward, and the
amount of General Fund support is expected to increase in the coming years. This does not add
expense to the Town's overall budget; instead the revenue contribution from the PEG Access Special
Revenue fund is $100,000 less than the PEG Access expense budget.
Program Improvement Requests:
None.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
8100 Select Board
Program: General Government
Town of Lexington, MA
Budget Summary
Funding Sources
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Estimate
Projected
Add/Del
Projected
Increase
Increase
Tax Levy
$ 481,187
$ 559,644
$ 694,092
$ 709,281
$ (17,625)
$ 6911656
$ (21436)
(0.35)%
Transfers from Enterprise Funds
to General Fund (Indirects)
$ 664
$ 11171
$ 11218
$ 1,254
$ -
$ 11254
$ 36
2.96 %
PEG Access Special Revenue Fund
$ 558,517
1 $ 615,224
1 $ -
$ 615,224
$ 56,7071
10.15 %
Fees
Licenses & Permits $ 82,329 $ 78,690 $ 80,500 $ 80,500 1 Is 80,500 $ - I-
Appropriation Summary FY2022 FY2023 FY2024
FY2025
Manager's FY2025
Dollar Percent
Actual Actual Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation $ 136,988 $ 144,276 $ 150,784
$ 156,709
$ - $ 156,709
$ 51925 3.93 %
Expenses 1 $1,029,6911$11105,3421 $ 1,183,543
1$112491550
$ (17,625) $ 1,231,925
$ 48,382 4.09 %
Program Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 8110 Select Board's Office
$ 218,613
$ 236,927
$ 2871122
$ 302,347
$ (17,625)
$ 2841722
$ (2,400)
(0.84)%
Total 8120 Legal
$ 327,582
$ 377/130
$ 375,000
$ 375,000
$ -
$ 375,000
$ -
- %
Total 8130 Town Report
$ 11,653
$ 12,766
$ 13,688
$ 13,688
$ -
$ 13,688
$ -
- 0/0
Total 8140 PEG Access
Total8100 •
$ 608,831
66f 679
$ 622,794
$lf249,618
$ 658,517
$ lf334,327
$ 715,224
$1,406f259.
$ -
$ 715,224
...
$ 56,707
', 54f 3071
8.61
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 136,988
$ 144,276
$ 150,784
$ 156,709
$ -
$ 156,709
$ 51925
3.93 %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Personal Services
$ 136,988
$ 144,276
$ 150,784
$ 156,709
$ -
$ 156,709
$ 5,925
3.93 %
Contractual Services
$1,013,549
$1,087,315
$ 11163,030
$1,229,037
$ (17,625)
$ 1/211/412
$ 48,382
4.16 %
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Supplies
$ 16,142
$ 18,027
$ 20,513
$ 20,513
$ -
$ 20,513
$ -
- %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$1, 029, 691
$1,105,342
$ 1,183,543
$1,249,550
$ (17, 625)
$ 11231, 925
$ 48,3821
4.09 %
FY2025 Preliminary Budget & Financing Plan
X-5
January 18, 2024
Program: General Government
8200 Town Manager Town of Lexington, 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, Public 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, Director
of Communications, 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.
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. Continue reviewing new fiscal policies, specifically updating strategies for funding the Town's
Pension and OPEB Liabilities. The next policy review will evaluate the funding model for the
Recreation Enterprise Fund.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
x-6
8200 Town Manager
Program: General Government
Town of Lexington, MA
Town Manag,er
D ep t r T i ri Mar ger ea r i rg Cffice rs,
---------------------- ------ ------
Office M an ag er
Comm nil iiicstilopi�s.
it j
Ad mi n istr 2t iv e
Assi-stant
II®e b & Di ta 1
t
FY2025 Preliminary Budget & Financing Plan
January 18, 2024
8200 Town Manager
Program: General Government
Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Town Manager
1
1
1
1
Deputy Town Manager
1
1
1
1
Director of Communications*
1
1
1
1
Sustainability and Resilience Officer
1
1
1
1
Chief Equity Officer
1
1
1
1
Office Manager/Special Events Coordinator
1
1
1
1
Management Fellow/Analyst I
1
1
1
1
Management Analyst II**
1
1
1
1
Web & Digital Engagement Specialist***
—
—
1
1
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
Benefits Assistant*****
—
—
1
1
Administrative Assistant******
Total..
0.54
0.54
11.66
1
1
* In FY2024, title change from Director of Communications/Special Projects Coordinator to Director of Communications.
** 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. In FY2025, this position is vacant and will not be funded to allow for funding
more critical or mandated changes. Funding for this position may resume in FY2026 if funding is available.
***A Webmaster was reassigned to the Town Manager's Office via a Budget Adjustment at 2022 Fall STM. In FY2024, title change to
Web & Digital Engagement Specialist.
****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).
*****In FY2024, the Benefits Assistant position was created via a program improvement.
******In FY2024, the part-time Administrative Assistant position permanently transitioned to a full-time position supported by the
General Fund via a program improvement. In FY2023, the position was supported as full-time through ARPA funding.
FY2025 Preliminary Budget & Financing Plan
January 18, 2024
Program: General Government
8200 Town Manager Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended budget inclusive of the Town Manager's Office and Human Resources is
$1,519,840, which is a $34,888 or 2.35% increase from the revised FY2024 budget.
The recommended FY2025 budget for Compensation is $1,129,878, and reflects a $(8,513) or (0-75)%
decrease compared to FY2024. The decrease in compensation due to staff turnover, partly offset by
contractually obligated step increases and cost of living adjustments. The Management Analyst position
is currently vacant and Management intends to leave this position open in FY2025 to allow for funding
other critical or mandated changes in the municipal budget. Filling the Management Analyst position
may resume in FY2026 if funding is available. 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 FY2025 budget for Expenses is $389,962, which reflects a increase of $43,401 or
12.52% from FY2024, primarily due to the program improvement requests recommended below. These
expenses are partly offset by a transfer of Zoom accounts to the IT Department and reduction in
professional services from the one-time classification and compensation study carried out in FY2024.
The department's budget includes a Salary Adjustment Account, which reflects anticipated FY2025
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. The FY2025 increase
is substantially less than prior years as many of the Town's bargaining units are under contract through
FY2025.
Beginning in FY2025 the budget request for the Town Manager's Salary Reserve Account has set -aside
funding to cover a new Town Policy for Paid Parental Leave that will go into effect as of July 1, 2024.
This policy was implemented through contract negotiations and is therefore included in the initial
budget request by the Town Manager.
Professional Services will continue to fund HR consultations, investigations, and assessment centers for
the Police and Fire Departments, as well the cost of scanning and converting paper files into the Tyler
Content Manager module.
Program Improvement Requests:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
ant Services - General Liability
FandTransition
$ 25,000
$ —
$ 25,000
$ —
$ —
$ —
$ 25,000
ce
wn Building Self -Evaluation
Plan
$ 75,000
$ —
$ 75,000
$ —
$ —
$ —
$ 75,000
ief Equity Officer Annual Budget
$ 50,000
$ —
$ 50,000
$ 50,000
$ —
$ 50,000
$ —
stainability & Resilience Officer
[AnnualBudget
$ 25,000
_
$ 25,000
$ 25,000
$ —
$ 25,000
$
ergy Intelligence Dashboard and
Reporting Support
$ 10,000
$ —
$ 10,000
$ 10,000
$ —
$ 10,000
$U-D
*This project is not recommended from the General Fund, but is a one-time expense that is being recommended to be funded from ARPA
funds.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
X-9
8200 Town Manager
Program: General Government
Town of Lexington, MA
Budget Summary
Appropriation Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Revised Request Add/Del Recommended Increase Increase
Compensation $ 934,899 $ 968,492 $ 1,138,391 $ 1,204,878 $ (75,000) $ 1,129,878 $ (8,513) (0.75)%
Expenses $ 152,185 $ 217,608 $ 346,561 $ 317,462 Is 72,500 $ 389,962 $ 43,401 12.52
Program Summary
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Revised
Request
q
Add Del
/
Recommended
Increase
Increase
Total 8210 Organizational
Dir. & Admin.
$ 838,806
$ 923,349
$ 1,058,861
$ 1,122,226
$ 7,500
$ 1,129,726
$ 70,865
o
6.69 /o
Total 8220 Human Resources
$ 248,277
1 $ 262,751
$ 426,091
$ 400,114
$ (10,000)
$ 390,114
$ (35,977)
(8.44)%
Object Code Summary
FY2022
Actual
FY2023
I Actual
FY2024
I Revised
FY2025
I Request
Manager's
I Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 934,899
$ 968,492
$ 1,138,391
$ 1,204,878
$ (75,000)
$ 11129,878
$ (8,513)
(0.75)%
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Personal Services
$ 934,899
$ 968,492
$ 1,138, 391
$1, 204, 878
$ (751000)
$ 1,129, 878
$ (81513)
(0.75)%
Contractual Services
$ 111,523
$ 181,483
$ 302,878
$ 273,878
$ 75,000
$ 348,878
$ 46,000
15.19 %
Utilities
$ 11760
$ 21195
$ 11400
$ 2,195
$ -
$ 21195
$ 795
56.79 %
Supplies
$ 36,562
$ 31,588
$ 35,783
$ 34,889
$ -
$ 34,889
$ (894)
(2.50)%
Small Capital
$ 21339
$ 21342
$ 61500
$ 6,500
$ (2,500)
$ 41000
$ (21500)
(38.46)%
Expenses
$ 152,185
$ 217,608
$ 346,561
$ 317,462
$ 721500
$ 389, 962
$ 43, 401
1 12.52 %
*Rentals are comprised of rental receipts from the Waldorf School, LexFarm and Peet's Coffee & Tea sidewalk rentals, cell tower lease revenue and the sublease of Kline
Hall to LexMedia.
Budget Summary -Salary Adjustment (8230)
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/Del Projected Increase Increase
Tax Levy $ 313,529 $ 826,422 $ 725,300 $ 279,179 $ 279,179 $ (4461121) (61.51)%
Program Summary FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Actual Actual Revised Request Add/Del Recommended Increase Increase
Total 8230 Salary Adjustment $ 313,529 $ 826,422 $ 725,300 $ 279,179 $ 279,179 $ (446,121) (61.51)%
FY2025 Preliminary Budget & Financing Plan
X-10
January 18, 2024
8300 Town Committees
Program: General Government
Town of Lexington, 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 Jr. Day
celebration, and parades on Veterans' Day, Patriots' Day, and Memorial Day.
Me
Comnii
Recarding Secretary
PT
Capital Expenditures
Committee
Town Celebrations
Committee
to
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.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
8300 Town Committees
Program: General Government
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Town Committees budget is $72,910, which is an increase of $6,702 or
10.12% from FY2024.
Compensation will increase by $141 or 2.00%, which reflects a cost of living adjustment. Expenses are
funded at $65,734, which is a increase of $6,561 or 11.09%. This reflects the biennial Dance Around
the World event scheduled for FY2025, in addition to the increasing costs surrounding supplies and
planning for events.
Program Improvement Requests:
Reauest Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Human Rights Committee
$ 21,200
$ -
$ 21,200
$ -
$ -
$ -
$ 211200
Lexington Council for the Arts
$ 10,000
$ -
$ 10,000
$ -
$ -
$ -
$ 10,000
Budget Summary
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Funding Sources Actual Actual Estimate Projected Add/Del Projected Increase Increase
Tax Levy $ 57,974 $ 56,306 $ 66,208 1 $ 72,910 $ - $ 72,910 $ 6,702 10.12 °/
FY2022 FY2023 FY2024 FY2025 Manager's I FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation I Request Add/Del Recommended I Increase I Increase
Compensation $ 61238 $ 99 $ 7,035 $ 7,176 $ - $ 71176 $ 141 2.00 °/
Expenses $ 51,735 $ 56,207 $ 59,173 1 $ 65,734 1 $ - $ 65,734 $ 61561 1 11.09 °/
Program Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Total 8310 Financial Committees
$ 6,630
$ 451
$ 8,535
$ 8,676
$ -
$ 81676
141
1.65 %
Total 8320 Misc. Boards &
Committees
$ 61502
$ 5,996
$ 10,500
$ 10,500
$ -
$ 10,500
$ -
- %
Total 8330 Town Celebrations
$ 44,842
$ 49,859
$ 47,173
$ 53,734
$ -Is
53,734
$ 6,561
13.91 10
Object Code Summary
FY2022
Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
I Increase
Percent
Increase
Salaries & Wages
$ 61238
$ 99
$ 7,035
$ 7,176
$ -
$ 71176
$ 141
2.00 %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Compensation
$ 6,238
$ 99
$ 71035
$ 7,176
$ -
$ 7,176
$ 141
2.00 %
Contractual Services
$ 61048
$ 51996
$ 10,000
$ 10,000
$ -
$ 10,000
$ -
- %
Utilities
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Supplies
$ 45,687
$ 50,211
$ 49,173
$ 55,734
$ -
$ 55,734
$ 61561
13.34 %
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Expenses
$ 51,735
$ 56,207
$ 59,173
$ 65,734
$ -
$ 65,734
$ 6,561
11.09 %
FY2025 Preliminary Budget & Financing Plan
X-12
January 18, 2024
8400 Finance
Program: General Government
Town of Lexington, 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 Treasu rer/Col lector'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 Treasu rer/Col lector'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. In FY2025, assessments will undergo the state Department of Revenue's
recertification program.
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:
1. Finance is recommending implementing a new the Tyler Cashiering module for online payments
and electronic cashiering. This initiative will improve the online payment experience and self-
service options for residents and will allow for electronic payments at Treasurer's counter.
Funding for this initiative is requested as a program improvement in FY2025.
2. Finance is recommending a Water and Sewer rate study during FY2025 to establish a new utility
rate structure that will allow for a migration to quarterly utility billing (current billing is semi-
annual). Funding for this initiative is requested as a program improvement in FY2025.
3. The department continues to explore additional functionality in Munis ERP including Employee
Self Service (ESS), automated benefits enrollment and Employee Action Forms that will help
move the department closer to paperless processing.
FY2025 Preliminary Budget & Financing Plan
X-13
January 18, 2024
8400 Finance
Program: General Government
Town of Lexington, MA
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FY2025 Preliminary Budget & Financing Plan
January 18, 2024
X-14
8400 Finance
Program: General Government
Town of Lexington, MA
Authorized/Appropriated Staffing
Element 8410: Comptroller
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
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
1
1
Budget Officer
1
1
1
1
Administrative Assistant
0.40
0.40
0.40
0.40
Subtotal FTE
7.31
7.31
7.31
7.31
Subtotal FT/PT 6FT/2PT I 6FT/2PT I 6FT/2PT I 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
Departmental Assistant*
1
1
1
1
Municipal Clerk
0.46
0.46
0.46
0.46
Subtotal FTE
4.46
4.46
4.46
4.46
Subtotal FT/PT 4FT/iPT I 4FT/1PT I 4FT/iPT I 4FT/iPT
Element 8430: Assessor
Director of Assessing
1
1
1
1
Assistant Director of Assessing**
1
1
1
1
Residential Analyst/Inspector
2
2
2
2
Office Manager
1
1
1
1
Administrative Assistant
1
1
1
1
Subtotal FTE
6.0
6.0
6.0
6.0
Subtotal FT/PT 6FT/OPT I 6FT/OPT I 6FT/OPT I 6FT/OPT
*In FY2024, title change from Departmental Accounting Clerk to Departmental Assistant.
**In FY2023, title change from Residential Field Manager to Assistant Director of Assessing.
FY2025 Preliminary Budget & Financing Plan
X-15
January 18, 2024
8400 Finance
Program: General Government
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Finance Department budget is $2.19 million, which represents a $72,006, or
3.40% increase from the FY2024 budget.
The operating budget for Compensation is $1,636,918, and reflects an increase of $13,771 or 0.85%,
which captures contractually obligated step increases and contractual cost of living adjustments
effective for FY2024. Compensation does not include any estimate of prospective cost of living
increases for contracts expiring on or before June 30, 2024. Funds for prospective increases are
captured in the Salary Adjustment account within the Town Manager's budget.
The recommended budget for Expenses is $550,260, and reflects a increase of $58,235 or 11.84%,
primarily due to proposed funding for operational costs related to the Tyler Cashiering Module.
Program Improvement Request:
Request Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total and
Shared
Not
Description Expenses
Expenses)
Requested Expenses
Expenses)
Total Recommended
Water and Sewer Rate Study $ 50,000
$ —
$ 501000 $ —
$ —
$ — $ 50,000
Tyler ERP/Cashiering Module $ 144,882
$ —
$ 144,882 $ 40,000
$ —
$ 40,000 $ 104,882
*This project is not recommended from the General Fund, but is a one-time expense that is being recommended to be funded from ARPA
funds. The Tyler ERP/Cashiering Module has both one-time and ongoing expenses. The ongoing portion of the project is recommended
from the General Fund.
The Tyler Cashiering Module is being requested by the Finance department to improve the customer
experience both at the counter and in online bill payments. This module will integrate our existing
systems, including two separate online payment systems and hardware.
FY2025 Preliminary Budget & Financing Plan
X-16
January 18, 2024
8400 Finance
Program: General Government
Town of Lexington, MA
Budget Summary
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Appropriation Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
Compensation $ 11487,307 $ 11486,805 $ 1,623,147 $ 1,636,918 $ - $ 1,636,918 $ 13,771 0.85 %
Expenses $ 432,482 $ 437,118 $ 492,025 $ 527,560 $ 22,700 $ 550 f260 $ 58,235 11.84 %
Program Summary
FY2022
FY2023
FY2024
FY2025
Manager's
FY2025
Dollar
Percent
Actual
Actual
Appropriation
Request
Add/Del
Recommended
Increase
Increase
Total 8410 Comptroller
$ 708,641
$ 736,179
$ 806,491
$ 837,020
$ (9,500)
$ 827,520
$ 21,029
2.61 %
Total 8420 Treasurer/Collector
$ 452,707
$ 462,217
$ 488,904
$ 494,657
$ 40,000
$ 534,657
$ 45,753
9.36 %
Total 8430 Assessing
$ 758,440
$ 725,527
$ 819,777
$ 832,801
$ (7,800)
$ 825,001
$ 5,224
0.64
Total8400
..
$ lf923f922
$ 2f 115f 172
$ 2f 164f 478
11
$ 2f 187f 178
11.
3.40
Object Code Summary
FY2022
Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
I Increase
Percent
I Increase
Salaries & Wages
$ 11487,307
$ 11486,805
$ 1,623,147
$ 11636,918
$ -
$ 1,636,918
$ 13,771
0.85 %
Overtime
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Persona/ Services
$1, 487,307
$1, 486, 805
$ 1,623,147
$1, 636, 918
$ -
$ 11636,918
$ 13,771
0.85 %
Contractual Services
$ 396,651
$ 400,216
$ 442,265
$ 477,665
$ 29,700
$ 507,365
$ 65,100
14.72 %
Utilities
$ 498
$ 51329
$ 2,910
$ 2,910
$ -
$ 2,910
$ -
- %
Supplies
$ 35,333
$ 31,573
$ 46,850
$ 46,985
$ (71000)
$ 39,985
$ (6,865)
(14.65)%
Small Capital
$ -
$ -
$ -
$ -
$ -
$ -
$ -
- %
Total8400
Expenses
$ 432148
..
$ 437,118
$ 11923,922
$ 492,025
$ 2f 115f 172
$ 527,560
$ 2f 164,478
$ 22,700
$ 22,700
$ 550,260
. .
$ 58,235
11.
11.84 %
3.40
FY2025 Preliminary Budget & Financing Plan
*66, ft
January 18, 2024
Program: General Government
8500 Town Clerk Town of Lexington, MA
Mission: The Office of the Town Clerk acts as 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, receipt and recording of Planning/Zoning filings, 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.
Election Management: The Town Clerk serves as the Chief Election Official and oversees
administration and oversight of local, state and federal elections in accordance with election laws, most
recently including the Early Voting Act, which mandates allowable vote -by -mail for all local, State and
Federal elections, pre -registration of 16- and 17-year-olds, and automatic voter registration. Staff
provide information for 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 the 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.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
X-18
8500 Town Clerk
Program: General Government
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
management of the new vote -by -mail State election procedural changes.
2. Further development of Archives &Records Management Program, including the management
of the Town's electronic documents and historical data, especially with regards to public records
requests.
3. Expanded use of Laserfiche Document Imaging System for records retention, electronic access,
and archives/records portal.
4. Continuing collaboration with the Select Board Office to utilize the new Board/Committee
database.
5. Act as the liaison to the State Ethics Commission to learn and implement the new online
learning management system (LMS) across the Town.
6. Development of internal training programs in partnership with the Information Technology
Department.
Deeputy
Tow, n M an a e
T . Ie!!rl
Assistant T .� .
[earl
PT A ch i "A1,11SIV I Ad', m in trati �� PT 1`4 a ni d peel
c r [J a n a gear I Assistant i is nts,
FY2025 Preliminary Budget & Financing Plan
X-19
January 18, 2024
8500 Town Clerk
Program: General Government
Town of Lexington, MA
Authorized/Appropriated Staffing
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Town Clerk
1
1
1
1
Assistant Town Clerk
1
1
1
1
Administrative Assistant
1
1
1
1
Municipal Assistants
1.23
1.23
1.23
1.23
Archivist/Records Manager
0.46
0.46
0.46
0.46
Budget Recommendations:
The FY2025 recommended Town Clerk budget is $680,819 which is a $83,459 or 13.97% increase from
the FY2024 budget. This increase is due to the number of elections in FY2025; there will be four in
total, including the Presidential, all which will require mail -in early voting.
The budget for Compensation is $554,770 and reflects a $66,785 or 13.69% increase in FY2025. The
increase in FY2025 compensation is due to contractually obligated step increases and an increased
need for poll workers to manage vote -by -mail and the dual election. Compensation does not include
any estimate of prospective cost of living increases for contracts expiring on or before June 30, 2024.
Funds for prospective increases are captured in the Salary Adjustment account within the Town
Manager's budget.
The budget for Expenses is $126,049, which is an increase of $16,674 or 15.24%, and reflects
anticipated expenses for FY2025.
Program Improvement Requests:
F� Request I Recommended
Salaries
Benefits
(reflected in
Salaries
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Fs
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Improvements
$ 21,706
$ 315
$ 22,021
$ —
$ —
$ —
$ 22,021
FY2025 Preliminary Budget & Financing Plan
X-20
January 18, 2024
8500 Town Clerk
Program: General Government
Town of Lexington, MA
Budget Su m ma ry
Funding Sources
FY2022
Actual
FY2023
Actual
FY2024
Estimate
FY2025
Projected
Manager's
Add/Del
FY2025
Projected
Dollar
Increase
Percent
Increase
Tax Levy
$ 422,505
1 $ 487,797
1 $ 5161460
$ 599,919
$ -
$ 599,919
$ 83,459
1 16.16%
Directed Funding
Departmental Fees
$ 30,725
$ 34,278
$ 35,900
$ 35,900
$ -
$ 35,900 $ -
-%
Licenses and Permits
$ 51,460
$ 51,110
$ 45,000
$ 45,000
$ -
$ 45,000 $ -
-%
FY2022
Appropriation Summary Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's FY2025
Add/Del Recommended
Dollar Percent
Increase Increase
Compensation $ 396,034
$ 433,848
1 $ 487,985
$ 554,770
$ - $ 554,770
$ 66,785 1 13.69%
Expenses $ 108,656
$ 139,337
1 $ 109,375
$ 126,049
$ - $ 126,049
$ 16,674 1 15.24%
Program Summary
FY2022
I Actual
FY2023
I Actual
FY2024
Appropriation
FY2025
Request
Manager's
I Add/Del
FY2025
I Recommended
Dollar
I Increase
Percent
I Increase
Total 8510 Town Clerk Admin.
$ 348,536
$ 358,297
$ 363,251
$ 375,761
$ -
$ 375,761
$ 12,510
3.44%
Total 8520 Board of Registrars
$ 20,548
$ 18,824
$ 19,825
$ 19,925
$ -
$ 19,925
$ 100
0.50%
Total 8530 Elections
$ 92,653
$ 148,841
$ 157,200
$ 226,538
$ -
$ 226,538
$ 69,338
44.11%
Total 8540 Records Management
$ 42,952
$ 47,222
$ 57,084
$ 58,595
$ -
$ 58,595
$ 1,511
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 387,141
$ 422,289
$ 475,360
$ 493,179
$ -
$ 493,179
$ 17,819
3.75%
Overtime
$ 8,893
$ 11,559
$ 12,625
$ 61,591
$ -
$ 61,591
$ 48,966
387.85%
Personal Services
$ 396,034
$ 433,848
$ 487,985
$ 554,770
$ -
$ 554,770
$ 66,785
13.69%
Contractual Services
$ 93,958
$ 97,895
$ 96,425
$ 111,399
$ -
$ 111,399
$ 14,974
15.53%
Utilities
$ 2,460
$ 624
$ 2,000
$ 2,000
$ -
$ 2,000
$ -
-%
Supplies
$ 12,238
$ 10,318
$ 10,850
$ 12,550
$ -
$ 12,550
$ 1,700
15.67%
Small Capital
$ -
$ 30,500
$ 100
$ 100
$ -
$ 100
$ -
-%
Expenses
$ 108,656
$ 139,337
$ 109,375
$ 126, 049
$ -
$ 126, 049
$ 16,674
15.24 %
FY2025 Preliminary Budget & Financing Plan
X- 21
January 18, 2024
Program: General Government
8600 Innovation & Technology Town of Lexington, MA
Mission: The Department of Innovation and Technology (IT) provides a custom er-centric approach to
the delivery of innovative technology solutions to meet the needs of the Town Departments and to
strengthen the services provided to our residents while ensuring the highest level of security to the
Town Network.
Budget Overview: The Department of Innovation and Technology supports, maintains and manages
townwide business -related technology. The department supports townwide core services including the
financial system (Enterprise ERP), time keeping, document management (Laserfiche), facilities
maintenance and management technology, domain management, emergency management web sites
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 all Municipal technology purchases and performs the installations and
maintenance of Municipal IT equipment and services. IT collaborates with Town departments to select,
design and implement technologies. Some Municipal systems supported by the Department include the
public safety system (ProPhoenix), Assessors database (VISION), Town permitting and inspections
system (Citizen Services), GIS systems (ESRI), work and asset management systems (PeopleGIS,
SchoolDude, Freshservice), Town website and social communication systems, Municipal Systems and
Infrastructure (VMWare, Microsoft applications, antivirus/cybersecurity software, archiving applications,
backup systems, IT management systems, cloud storage), and many other applications. IT staff also
provide support and training for end -users.
Departmental Initiatives:
1. Continue to invest in the Town's IT infrastructure and security posture
a. Implement recommendations from network assessments
b. Implement recommendations from cybersecurity assessments
c. Investigate additional cybersecurity measures and services
d. Provide cybersecurity training to all staff
2. Maximize the value of current systems
a.
Laserfiche
b.
OpenGov
c.
Enterprise ERP
d.
Vision
e.
BlueBeam
f.
ProPhoenix
3. Increase Customer Service Quality
a. Emphasis on acustomer-centric approach to working with the departments and staff
4. Focus on future visioning for IT
a. Mobile work initiatives
b. Hybrid work/meeting spaces
a. Disaster Recovery (DR) planning and expansion of capabilities
b. Network redundancy planning and implementation
FY2025 Preliminary Budget & Financing Plan January 18, 2024
X-22
8600 Innovation & Technology
Program: General Government
Town of Lexington, MA
rn f,,rrn ati�rn
nnoullo n
Techn olo g"y" D ire for
IT a pp)rt
Tech ni da,rn
Authorized/Appropriated Staffing
III I H WItH 1A, 11; 1
FY2022
Budget
FY2023
Budget
FY2024
Budget
FY2025
Request
Innovation & Technology Director
1
1
1
1
Information Technology Director
1
1
1
1
Administrative Assistant*
0.43
0.54
0.54
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
Applications & Systems
Administrators**
1
1
1
2
Webmaster***
1
1
—
—
Part-time Intern
Total•.:
0.25
0.25
9.79
0.25
8.79
0.25
; .79
*In FY2023, Administrative Assistant hours increased from 15 to 19 per week via a program improvement.
**The Support Technician position is recommended to transition to a second Applications & Systems Administrator
position in the FY2025 budget.
***In FY2022 a webmaster was reassigned to the Library, and in FY2023 a webmaster was reassigned to the Town
Manager's Office.
FY2025 Preliminary Budget & Financing Plan
X-23
January 18, 2024
8600 Innovation & Technology
Program: General Government
Town of Lexington, MA
Budget Recommendations:
The FY2025 recommended Innovation & Technology budget is $3,124,175, which is a $205,610 or
7.04% increase from the FY2024 budget.
The recommended budget for Compensation is $851,591, and reflects a $43,452 or 5.38% increase,
due to contractually obligated step increases and cost of living adjustments. Compensation does not
include any estimate of prospective cost of living increases for contracts expiring on or before June 30,
2024. Funds for prospective increases are captured in the Salary Adjustment account within the Town
Manager's budget. This increase includes funding to transition the Support Technician position to a
second Applications & Systems Administrator in FY2025.
The recommended budget for Expenses is $2,272,584 and reflects a $162,158 or 7.68% increase,
which incorporates the following adjustments:
• Increase in Contractual Services ($23,048) due to more projects requiring contracted services
during FY2025;
• Increase in Communications and Network Support ($45,000) to cover a new Security
Operations Center contract;
• Decrease in Utilities ($25,500), which is attributed to a decrease in copper wires across Town;
• Decrease in Mobile Devices ($7,000) due to consolidation of underutilized and unused data
plans for mobile devices;
• Decrease in PC Software ($7,000) due to increase in subscription -based software and decrease
in purchase of perpetual licenses;
• Increase in LAN Peripherals ($8,000) associated with the inflation cost of network switches;
• Decrease in Hardware Support ($9, 100). which is attributed to the reduction in physical
hardware in server rooms;
• Increase in Townwide Software Support ($18,229) due to annual cost increases;
• Increase in Municipal Software Support ($60,211) due to annual cost increases; and
• Increase in IT Software Support ($63,670). which is attributed to adding new applications to
manage mobile devices and Zoom Enterprise for Town departments.
Program Improvement Requests:
Request I Recommended
F(reflected
Salaries
Benefits
in
Salaries
I
Benefits
(reflected in
and
Shared
Total
and
Shared
Not
Description
Expenses
Expenses)
Requested
Expenses
Expenses)
Total
Recommended
Applications & Systems
Administrator Upgrade
$ 6,406
$ 93
$ 61499
$ 61406
$ 93
$ 61499
$ —
FY2025 Preliminary Budget & Financing Plan
X-24
January 18, 2024
8600 Innovation & Technology
Program: General Government
Town of Lexington, MA
Budget Summary
FY2022
FY2023
FY2024
FY2025 Manager's
FY2025
Dollar Percent
Funding Sources Actual
Actual
Estimate
Projected Add/Del
Projected
Increase Increase
Tax Levy $ 2,543,685
$ 2,463,981
$ 2,785,868
$ 3,026,657 $ (39,094) $
2,987,563
$ 201,695 1 7.24
Enterprise Funds (Indirects) $ 89,039
1 $ 123,455
$ 132,697
$ 136,612 $ -Is
136,612
1 $ 3,915 1 2.95
FY2022
FY2023
FY2024
FY2025
Manager's FY2025
Dollar Percent
Appropriation Summary Actual
Actual
Appropriation
Request
Add/Del Recommended
Increase Increase
Compensation $ 830,098
$ 849,519
$ 808,139
$ 850,185
$ 11406 $ 851,591
$ 43,452 5.38
Expenses $1,802,626
$ 1,737,917
$ 21110,426
$ 2,3131084
$ (40,500) $ 21272,584
$ 162,158 7.68
FY2022 FY2023 FY2024 FY2025 Manager's FY2025 Dollar Percent
Program Summary Actual Actual Appropriation Request Add/Del Recommended Increase Increase
8610 IT Administration $ 2,632,724 $ 2,587,436 $ 2,918,565 $ 3,163,269 $ (39,094) $ 3,124,175 $ 205,610 7.04
Object Code Summary
FY2022
Actual
FY2023
Actual
FY2024
Appropriation
FY2025
Request
Manager's
Add/Del
FY2025
Recommended
Dollar
Increase
Percent
Increase
Salaries & Wages
$ 822,858
$ 840 f5O3
$ 803,605
$ 845,592
$ 11406
$ 846,998
$ 43,393
5.40 %
Overtime
$ 7,240
$ 9,015
$ 4,534
$ 4,593
$ -
$ 4,593
$ 59
1.30 %
Personal Services
$ 830,098
$ 849,519
$ 808,139
$ 850,185
$ 1,406
$ 851,591
$ 43,452
5.38 %
Contractual Services
$ 1,482,784
$ 1,465,794
$ 1,700,706
$ 1,930,764
$ (30,000)
$ 1,900,764
$ 200,058
11.76 %
Utilities
$ 77,483
$ 108,791
$ 193,900
$ 171,900
$ (10,500)
$ 161,400
$ (32,500)
(16.76)%
Supplies
$ 18,222
$ 18,106
$ 14,820
$ 12,820
$ -
$ 12,820
$ (2,000)
(13.50)%
Small Capital
$ 224,138
$ 145,227
$ 201,000
$ 197,600
$ -
$ 197,600
$ 3,400
1.69 %
Expenses
$1, 802, 626
$1,737, 917
$ 2,110,426
1$2,313,084
$ (40,500)
$ 21272,584
$162,158
1 7. 68
FY2025 Preliminary Budget & Financing Plan
X-25
January 18, 2024
This Page Intentionally Left Blank.
Section XI: Capital Investment
FY2025 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 FY2025 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, and 5-year spending projections for all of the
Town's ongoing capital investment programs.
FY2025 Preliminary Budget & Financing Plan
*3aI
January 18, 2024
New Developments in the Capital Improvement Budget
Over the last decade the Town has funded three separate capital programs related to Stormwater
management, flood mitigation, Illicit Discharge Detection and Elimination (IDDE), nutrient removal
and overall improvement in water quality that is regulated at Environmental Protection Agency
(EPA):
• Culvert Replacement;
• Storm Drainage Improvements and National Pollutant Discharge and Elimination System
(NPDES) Compliance; and
• Comprehensive Watershed Stormwater Management
These three programs have historically been funded with General Fund revenue sources, but required
work has expanded and costs have continued to increase steadily in recent years. From FY2019-2024
Town management and the Department of Public Works explored creating a Stormwater Enterprise
Fund that would assess a stormwater fee to every parcel of real property in Lexington. This new fee
revenue would fund the three capital programs noted above, and related Stormwater operating
expenses.
The establishment of this new Enterprise fund has been put on hold as the EPA's regulations evolve
and until they issue the town a new Municipal Separated Storm Sewer System (MS4) permit, which is
expected this year. Once issued Town staff will assess requirements of the permit and whether or not
Stormwater capital requirements can be managed within the existing budget. If the new permit
requirements result in an expansion of the Town's Stormwater management program costs may
increase rapidly. Town may reconsider the proposal for a Stormwater Enterprise Fund.
In the interim, Staff is recommending to combine the three existing capital programs related to
Stormwater into one request for a Stormwater Management Program. One combined program will
allow the department more flexibility in planning and remove complexity from bidding and managing
projects that have many overlapping components, but separate funding authorizations. The work
proposed and total amounts requested in this one program are aligned with the historic programs and
funding requests. Additional information can be found under Table VIII: Cash Capital.
This FY2025 Budget proposes a new program for Sustainable Capital Initiatives including electric
vehicle (EV) charging equipment and infrastructure. In the future this program may also include the
study, design and construction of rooftop solar or solar canopies, including battery storage; and other
projects identified by the Sustainability and Resilience Officer to move the Town towards achieving its
sustainability goals.
Ongoing Capital Programs
In 2021, the Department of Public Facilities completed a full review of the Town's buildings and
systems and developed a 20-year plan for replacing and maintaining building assets. The existing
conditions of Town and School buildings were presented at joint Summit meetings in the spring of
2022. In addition to full building construction or renovation, in FY2024 some of the Department's
ongoing capital programs were re -aligned to allow the Facilities Department to better manage and
prioritize capital needs as they arise. The following continuing programs are included in the FY2025
budget and current 5-year capital plan:
• Mechanical/Electrical/Plumbing has been combined into one capital program, and this
appropriation will cover school and/or municipal buildings as needed based on priorities
identified in the plan.
• Public Facilities Interior Finishes includes mill work, ceiling work, tile work, countertop
replacement and bathroom finish renovations will be utilized for school and/or municipal
buildings as needed based on the priority of the plan.
FY2025 Preliminary Budget & Financing Plan
XI-2
January 18, 2024
• School Parking Lot Paving and Sidewalks will continue to be managed by Public Facilities.
Paving and Sidewalks for other municipal buildings fall under Public Works.
• Separate programs remain for School Building Envelope and Municipal Building
Envelope. The building envelope programs include extraordinary repairs and modifications to
buildings and systems such as siding, caulking, masonry, weather proofing materials, windows,
doors, roofs and painting of wood exteriors.
Funding the Town's Capital Improvement Budget
The following are potential funding sources for financing the Town"s capital investments. Over the last
5 years management has shifted the majority of the Town's ongoing capital programs to be funded
with cash sources as opposed to debt financing. The use of debt is primarily used for large one-time
capital projects. Capital projects and programs may be funded from one source, or by a combination of
the following sources.
• 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 21/2 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 have since implemented 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. These
efforts have greatly reduced interest costs and the amount of within -levy debt service.
• Other Sources - The Town uses dedicated state aid, grant or gift funds 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 property, 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, the annual percentage of state matching funds has fluctuated due to
changes in State legislation and varying levels of funding available at the State level. The Town's
local match is further impacted as additional communities in the Commonwealth adopt the CPA
surcharge resulting in available funds being spread across more communities. The following table
presents the history of Lexington's State matching funds.
FY2025 Preliminary Budget & Financing Plan
XI-3
January 18, 2024
FISCAL YEAR
PERCENTAGE
AMOUNT
2015
32.6 %
$15230,116
2016
30.7 %
$11229, 774
2017
21.3 %
$897,243
2018
17.8 %
$789,905
2019
19.8 %
$922,256
2020
24.8 %
$15219, 950
2021
29.7 %
$15549, 955
2022
45.5 %
$25500,261
2023
40.0 %
$2,323,956
2024
21.8 %
$1, 354, 935
2025 (estimated)
15.0 %
$940,000
Receipts for FY2025 from the surcharge and state matching funds are preliminarily estimated at
$8.04 million, reflecting an estimated match of $940,000, or 15% which is lower than recent
history due to a decline in available revenues in the State budget.
FY2025 Preliminary Budget & Financing Plan
January 18, 2024
FY2025 CAPITAL FINANCING STRATEGY
The proposed financing plan for the recommended FY2025 capital budget is shown in the table below.
Other
Free Cash/ Funding
Tax Levy Sources Debt Total Other**
General Fund
$ 16,075,525
$
$ 20,442,977
$ 361518,502
$
Excluded Debt Projects
$
$
$
$
$
Other Funding & Chapter 90
$
$ 168,234
$
$ 168,234
$974,012
Water Enterprise
$
$ 21488,900
$
$ 2,488,900
$
Sewer Enterprise
$
$ 810,000
$ 561,210
$ 1,371,210
$
Recreation Enterprise
$
$ 110,000
$
$ 110,000
$
Community Preservation Act*
$
b
$ 81444,365
i
$
b
$ 8,444,365all
b
$
1
*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.
PLANNING FOR LEXINGTON HIGH SCHOOL
The Town continues to plan for a large-scale reconstruction or renovation of Lexington High School.
Special Town Meeting 2022-2 appropriated $1,825,000 for a Feasibility Phase of this project. The
FY2025 request includes a second -phase request for $10,000,000 in design funds to advance the
project through the Schematic Design Phase and determine construction cost estimates for a
construction appropriation in FY2026. The FY2025 budget also proposes funding to begin a multi -
phased reorganization of Town assets including:
• A $6 million renovation of the swing space building at 173 Bedford Street in FY2025 to allow the
Superintendent of Schools and School Administration to occupy the building in the coming years
as LHS is under construction.
• The FY2026 capital plan is expected to include funding to demolish the existing School
Administration Building at 146 Maple Street and additional funding for site work and installation
of recreation fields at that site. These fields will help address field loss at the LHS site as that
project is under construction.
• The FY2026 capital plan is expected to include construction funding for LHS. Office space for
the School Administration is planned to be included in the new LHS building.
• In a future fiscal year the 173 Bedford Street building may be used as swing space for the Cary
Memorial Library and/or the Town Office Building as additional capital improvements are
implemented in those buildings.
The following table, FY2025 Recommended Capital Budget, lists all FY2025 projects recommended by
the Town Manager for consideration and their estimated costs by program area and funding source.
The Capital Expenditures Committee and Appropriation Committee have also been evaluating these
requests and will issue reports and recommendations to Town Meeting.
FY2025 Preliminary Budget & Financing Plan
XI-5
January 18, 2024
FY2025 Recommended Capital Budget
Planning/Engineering Transportation Mitigation $ 100,000 TNC Funds /Free Cash 12
Total Land Use, Housing and Development $ 100,000
Fire
Heavy Vehicle Extrication Equipment
$ 175,000
Free Cash
12
Fire
Ambulance Replacement
$ 502,000
Free Cash
12
Total Public Safety $ 677,000
Recreation & Comm. Pgms.
Pine Meadows Improvements
$ 110,000
Recreation RE
11
Recreation & Comm. Pgms.
Park Improvements - Athletic Fields
$ 545,000
CPA
10
Recreation & Comm. Pgms.
Lincoln Park Fitness Stations Equipment
$ 160,000
CPA
10
Recreation & Comm. Pgms.
Park Improvements - Hard Court Surfaces
$ 492,000
CPA
10
Recreation & Comm. Pgms.
Lincoln Park Field Improvements
$ 11810,000
CPA/ Free Cash
10
Total Culture and Recreation $ 31117,000
Public Facilities
Public Facilities Bid Documents
$ 125,000
Free Cash
16
Public Facilities
Public Facilities Interior Finishes
$ 450,000
Free Cash
16
Public Facilities
School Paving and Sidewalks
$ 265,000
Free Cash
16
Public Facilities
Public Facilities Mechanical/Electrical/Plumbing Replacements
$ 41015,000
Free Cash/ GF Debt
16
Public Facilities
Lexington High School Construction Project - Design Funding
$ 10,000,000
GF Debt
26
Public Facilities
Pine Meadows Clubhouse Renovation - Construction
$ 21575,000
GF Debt
25
Public Facilities
173 Bedford Street Renovation
$ 61000,000
GF Debt
25
Public Facilities
Cary Memorial Library Renovation Project - Construction
$ 41000,000
CPA/ GF Debt
10
Public Facilities
Solar Assessment Lincoln Fields
is 30,000
Free Cash
7
Total Public Facilities Department $ 27,460,000
Public Works
Equipment Replacement
$ 11920,000
Free Cash/ Water RE/
Sewer RE/ Compost Debt
12
Public Works
Sidewalk Improvements
$ 8001000
Free Cash
12
Public Works
Townwide Signalization Improvements
$ 50,000
Free Cash
12
Public Works
Street Improvements
$ 21707,321
Tax Levy
12
Public Works
Hydrant Replacement Program
$ 150,000
Free Cash/ Water RE
12
Public Works
Stormwater Management Program
$ 11350,000
Free Cash
12
Public Works
Pump Station Upgrades
$ 50,000
Sewer RE
14
Public Works
Sanitary Sewer System Investigation and Improvements
$ 11061,210
Sewer User Fees/ Sewer
Debt
14
Public Works
Water Distribution System Improvements
$ 21288,900
Water User Fees/ Water RE
13
Public Works
Cemetery Columbarium Design
$ 50,000
Free Cash
12
Public Works
Public Parking Lot Improvement Design
$ 15,000
Free Cash
12
Public Works
Tucker Avenue Street Acceptance
$ 30,000
Free Cash
8
Total Public Works Department $ 10,4721431
Lexington Public Schools I LPS Technology Program $ 1,323,050 Free Cash E15
Total Lexington Public Schools $ 11323,050
Innovation & Technology
Network Core Equipment Replacement
$ 550,000
Free Cash
12
Innovation & Technology
Municipal Technology Improvement Program
$ 550,000
Free Cash
12
Innovation & Technology
Network Redundancy & Improvement Plan
$ 998,500
Free Cash
12
Innovation & Technology
Network Technology Improvements
$ 161,000
Free Cash
12
Innovation & Technology
Scanning - Electronic Document Management
$ 110,000
Free Cash
12
Town Clerk
Archives & Records Management
$ 20,000
CPA
10
Town Clerk
Election Equipment Upgrade
$ 64,865
Free Cash
12
Town Manager
Sustainable Capital Initiatives
$ 35,000
Free Cash
7
Total General Government $ 21489,365
Affordable Housing Trust
Affordable Housing Trust (AHT) Pre -funding
$ 31200,000
CPA
10
Lexington Housing Authority
Lexington Housing Authority Exterior Improvements
$ 100,000
CPA
10
LexHAB
LexHAB Support- Restoration, Preservation, and
Decarbonization
is 482,365
1 CPA
1 10
Total Non -Governmental Projects $ 31782,365
ij
FY2025 Preliminary Budget & Financing Plan
XI-6
January 18, 2024
CAPITAL PLAN BY FINANCING SOURCE
The following pages include tables that show the recommended FY2025 capital projects by
financing source: General Fund debt; Water Fund debt; Wastewater Fund debt; Recreation and
Community Programs Fund debt; Proposition 21/2 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.
FY2025 Preliminary Budget & Financing Plan
January 18, 2024
FY2025 RECOMMENDED PROJECTS -GENERAL FUND DEBT (Table I)
TABLE I: FY2025 RECOMMENDED PROJECTS - GENERAL FUND DEBT
Amount Interest
PROJECTED DEBT SERVICE
Financed Term Rate
FY2024 FY2025 FY2026 FY2027 FY2028 FY2029
FACILITIES PROJECTS
Within -Levy Projects
1
Public Facilities Mechanical/Electrical/
$ 167,977
5
4.5%
$ 5,039
$ 41,154
$ 39,643
$ 38,131
$ 36,619
Plumbing Replacements
�
2
Pine Meadows Clubhouse Renovation -
$ 2,575,000
10
4.5%
$ 77,250
$ 373,375
$ 361,788
$ 350f200
$ 338,613
Construction
3
173 Bedford Street Renovation
$ 6,000,000
10
4.5%
$ 180,000
$ 870,000
$ 843,000
$ 816,000
$ 789,000
4
Cary Memorial Library Renovation
$ 1 700 000
10
4 .5%
$ 51,000
$ 246,500
$ 238,850
$ 231,200
$ 223,550
Project -Construction
f
Subtotal $10,442,977
$ 313,289 $ 1,531,029 $ 1,4831280 $ 1,435,531 $ 1,387,781
Project that is a potential candidate for debt exclusion*
Lexington High School Construction
1
Project - Design Funding
$ 7,500,000
3
4.5%
$ 225,000
$ 337,500
$ 2,837,500
$ 2,725,000
$ 2,612,500
($10,000,000)**
Subtotal $ 7,500,000
$ 225,000 $ 337,500 $ 2,837,500 $ 2,725,000 $ 2,612,500
TOTAL PROJECT COSTS $17,942,977
$ 538,289 $ 1,868,529 $4,320,780 $ 4,160,531 $ 4,000,281
AUTHORIZED LEVY SUPPORTED DEBT SERVICE
FY2024 FY2025 FY2026 FY2027 FY2028 FY2029
A Approved and Issued
$ 4,631,958 $ 3,446,182 $ 2,890,662 $ 2,546,330 2,297,230
B Projected Approved and Unissued
$ 953,105 $ 2,530,731 $ 2,438,733 $ 2,346,734 $ 2,074,735
C Total Debt Service on Authorized Debt
$ 5,585,063 $ 5,976,913 $ 5,329,395 $ 4,893,064 $ 4,371,965
D Projected New Levy Supported Debt Service (above)
$ 538,289 $ 1,868,529 $ 4,320,780 $ 4,160,531 $ 4,000,281
E TOTAL - PROJECTED LEVY SUPPORTED DEBT SERVICE
$ 61162,553 $ 6,1231352 $ 7,845,442 $9,650,175 $ 91053,595 $ 81372,246
F Plus: Projected Debt Service on Future Capital Projects
$ - $ - $ 162,889 $ 1,5141872 $ 2,893,731 $ 4,300,811
G Less: Debt Service Funded from Special Revenue Accounts
$ (50,408) $ (174,000) $ (165,500) $ (161,750) $ (158,000) $ (104,250)
H Less: Proposed Use of Stabilization Fund
$ - $ - $ - $ - $ - $ -
I Total Offsets to Projected Levy Supported Debt Service (G+H)
$ (50f4O8) $ (174,000) $ (165,500) $ (161,750) $ (158,000) $ (104,250)
3 PROJECTED NET LEVY SUPPORTED DEBT SERVICE (E+F+I)
$ 6,112,145 $ 5,949,352 $ 7,842,831 $11,003,297 $11,789,326 $12,568,807
*The Lexington High School Construction - Design Funds is a potential candidate for a Proposition 2 1/2 debt exclusion vote which is anticipated to occur in late 2025.
If excluded from the limits of Proposition 2 1/2, principal and interest on long and short term debt will be funded outside the levy limit along with other projects
shown in Table V beginning in FY2027.
**For the Lexington High School Construction - Design Funds, the difference
between the $10,000,000 requested amount and the $7,500,000 shown above represents
the expected contribution from the Massachusetts School Building Authority
(MSBA). Town Meeting will be asked to authorize the gross amount of $10,000,000,
however the Town will only issue debt for the portion of the project not covered
by MSBA. Design funds may be bonded for a total term of 5 years, unless they lead to
a construction authorization at which time they may be spread over the useful
life of the asset (for LHS, 30 years). This presentation assumes the total cost will be
paid over 5 years.
Facilities Projects,
1. Public Facilities Mechanical/Electrical/Plumbing Replacements - $4,015,000 ($1671977
General Fund Debt; $3,,067,023 Free Cash; $750,,000 Tax Levy; $30.,000 BAN
Premiums): This project is an annual replacement of Mechanical, Electrical and Plumbing systems
that have exceeded their useful life and require replacement before catastrophic failures occur.
After the development of the 20-year Capital Plan, the report identifies significant projects that are
coming due in the next 5 years. This category has significant dollars scheduled for investment over
the next 5 years.
2. Pine Meadows Clubhouse Renovation - Construction - $2.,575,,000 (General Fund Debt):
In FY2024 Town Meeting approved $120,000 for design and engineering for upgrades to the
Clubhouse at the Pine Meadows Golf Club. For FY2025 the Recreation Committee is requesting
$2,575,,000 in funding for the construction phase of this renovation project.
The clubhouse, constructed prior to the Town's purchase of the property in 1988, has not
undergone any significant renovation in the past 30 years and is suffering the typical deficiencies
and wear and tear associated with its age and heavy usage. The accessibility issues at the current
FY2025 Preliminary Budget & Financing Plan
XI-8
January 18, 2024
clubhouse were identified as the #2 priority for remediation by the Commission on Disability in the
2017 ADA Compliance Study. Completion of this project will not only restore the clubhouse to a
modern and functional facility suitable to support the ongoing successful operation of the Pine
Meadows Golf Club, but will also bring it into ADA-compliance and make it welcoming and
accessible for all residents of Lexington and visitors.
The renovation of the clubhouse will include the main concourse area, restrooms, plumbing system
and fixtures, windows, roof, solar collectors for the Clubhouse and additional work as needed to
improve accessibility.
3. 173 Bedford Street Renovation - $6,,000,,000 (General Fund Debt): This request is part of a
multi -phased plan to reorganize the Town's assets as described in the introduction of the Capital
Plan section of this document.
The building at 173 Bedford Street is the current temporary home for the Lexington Police
Department while the new Police Station is under construction. After the Police Department moves
into their new facility, 173 Bedford Street will need additional work in order to support another
department as the top floor lacks accessibility, required fire protection, and a working HVAC
system. This request is for funding to renovate the building in order to house the School
Administration staff for several years during the Lexington High School construction project. The
renovation will include the installation of an elevator, HVAC replacement, a sprinkler system, and
reconfiguration of the interior spaces to suit the School Administration department. Permanent
office space for the School Administration is planned to be included in the new Lexington High
School building.
4. Cary Memorial Library Renovation Project - Construction - $4,f0001000 ($1,r700,r000
General Fund Debt; $2,300,000 CPA): It has been nearly 20 years since the Cary Library's
major renovation project in 2004. Over the course of the next ten years, the library will need
significant capital investment due to wear and tear and aging mechanical systems. The library
recognized the need to renovate its Children's Room and Large Meeting Room spaces in 2019 when
it received an appropriation of $100K to conduct a feasibility study for those spaces.
Children's spaces in public libraries have changed significantly since the Cary Library was designed
in the late 1990s. Several factors drive these changes: advances in technology, the need for more
flexible programming spaces, evolving standards in accessibility/Universal Design, and an increasing
urgency regarding the safety of children in public spaces. The renovation of the Children's Room
will provide a larger programming space, updated restrooms (including one with a universal
changing table), better sight lines, and adequate staff work space. The Large Meeting Room
adjacent to the Children's Room will also be renovated as part of this project. This space will
receive a full technology update for hybrid programming, a new hearing loop, and better kitchen
facilities designed for cooking, science, and craft programming.
The issue of the building's HVAC system reaching end of life prompted replacement of the system
on the entire lower level, increasing the scope of the project. Approximately half of the project cost
will go toward installing a new green energy HVAC system for the lower level. The library's HVAC
system is nearing end of life, and this project presents an opportunity to convert the lower level
which will require ceiling replacement throughout. Additional updates included in this funding are
renovation of the lower level restrooms, new carpeting for the lower level hallway, and replacement
of the stairway treads connecting the South Lobby and the Main Level.
The total cost for this renovation is $5,500,000, however this request is for an appropriation of
$4,000,000 (CPA funds and General Fund debt). The remaining $1,500,000 has been committed as
a gift by the Cary Memorial Library Trustees.
FY2025 Preliminary Budget & Financing Plan
XI-9
January 18, 2024
Facilities Projects - Potential Candidate for Debt Exclusion
1. Lexington High School Construction Project -Design Funding - $10,000,000 (General
Fund Debt): Lexington High School was invited into the Massachusetts School Building Authority
School Building (MSBA) Grant Program in June 2022. During the Eligibility Period, the Town had a
number of steps to complete before March of 2023 in order to move to the next module in the
MSBA prescribed process. Module 2 included the selection of the Owners Project Manager and the
Designer (architect) for the high school project. During 2023 the Town selected Dore and Whittier
as the Owners Project Manager (OPM), and Symmes Maini and McKee Associates (SMMA) as the
Designer. This will be the project team for the duration of the LHS project.
The Town is currently in Module 3, Feasibility Study, which will determine whether the project is an
addition/renovation or a completely new building and will also determine the location and size of
the project. Special Town Meeting 2022-2 appropriated $1,825,000 for the Feasibility Study. Once
Module 3 is completed, the Town will need to have funds available to contract with the designer to
complete the Schematic Phase drawings, which importantly will establish the true budget for the
project. This current appropriation of $10,000,000 is to advance the project through the Schematic
Design Phase. Before this phase is completed, all construction figures used in these documents are
rough estimates based on a square footage estimate only. The Town expects to request an
appropriation of construction funds for Lexington High School in the FY2026 budget.
The construction funding for this project will be subject to a townwide debt exclusion referendum
which is expected to occur in late 2024. This $10,000,000 in design funds will be included in the
overall project and if successful, may be excluded from the limits of proposition 2 1/2.
FY2025 RECOMMENDED PROJECTS -WATER FUND DEBT (Table II)
TABLE II: FY2025 RECOMMENDED PROJECTS - WATER DEBT
Amount Interest
Project Financed Term Rate
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
1
None Proposed
$ —
---
—%
$ —
$ —
$ —
$ —
$ —
TOTAL PROJECT COSTS $ —
$ —
$ —
$ —
$ —
$ —
AUTHORIZED WATER DEBT SERVICE
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
A
Subtotal: Authorized and Issued
$ 1,269,368
$ 1,242,706
$ 1,211,515
$ 1,061,089
$ 851,500
6
Subtotal: Approved and Unissued (short and long-term)
$ 56,400
$ 331,437
$ 320,389
$ 309,341
$ 298,293
C
Total: Debt Service on Authorized Debt
$1,325,768
$1,574,143
$1,531,904
$1,370,430
$1,149,793
D
Subtotal: Projected Debt Service on Proposed Capital Projects
$ —
$ —
$ —
$ —
$ —
E
TOTAL PROJECTED WATER DEBT SERVICE
$ 2,375,660
$1,325,768
$1,574,143
$1,531,904
$1,370f430
$1,149,793
No recommendations for debt financing.
FY2025 Preliminary Budget & Financing Plan
XI-10
January 18, 2024
FY2025 RECOMMENDED PROJECTS -WASTEWATER FUND DEBT (Table III)
TABLE III: FY2025 RECOMMENDED PROJECTS - WASTEWATER DEBT
Amount Interest
Project Financed Term Rate
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
1
Sanitary Sewer System
Investigation and Improvements
$561,210
10
5%
$ 16,836
$ 81,375
$ 78,850
$ 76,325
$ 73,799
TOTAL PROJECT COSTS $561,210
$ 16,836
$ 81,375
$ 78,850
$ 76,325
$ 73,799
AUTHORIZED SEWER DEBT SERVICE
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
A
Subtotal: Authorized and Issued Debt
$ 11362,774
$ 1,267,637
$ 11180,735
$ 1,0101069
$ 843,900
B
Subtotal: Approved and Unissued Debt (short and long-term)
$ 86,775
$ 433,875
$ 419,413
$ 404,950
$ 390,488
C
Total: Debt Service on Authorized Debt
$1,449,549
$1,701,512
$1,600,148
$1,415,019
$1,234,388
D
Subtotal: Projected Debt Service on Proposed Capital Projects
$ 16,836
$ 81,375
$ 78,850
$ 76,325
$ 73,799
E
TOTAL PROJECTED SEWER DEBT SERVICE
$11406,381
$1,466,385
$1,782,887
$1,678,998
$1,491,344
$1,308,187
1. Sanitary Sewer System Investigation and Improvements - $1,061,210 ($500,000
Wastewater User Charges, $561,,210 Wastewater Debt): This annual program provides for
rehabilitation of sanitary sewer infrastructure. The Town's sanitary sewer infrastructure is made up of
approximately 176 miles of main line, 8.5 miles of force main and 5280 manholes. 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. This is the fifth year of transition and $500,000 is being
requested from user fees.
FY2025 RECOMMENDED PROJECTS -RECREATION FUND DEBT (Table IV)
TABLE IV: FY2025 RECOMMENDED PROJECTS - RECREATION and COMMUNITY PROGRAMS DEBT
Amount
Interest
Project Financed Term
Rate FY2024 FY2025
FY2026
FY2027
FY2028
FY2029
1
None Proposed
$ —
---
—%
/ $ —
$ —
$ —
$ —
$ —
TOTAL PROJECT COSTS $ —
$ —
$ —
$ —
$ —
$ —
AUTHORIZED RECREATION REVENUE DEBT SERVICE
FY2024 FY2025
FY2026
FY2027
FY2028
FY2029
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
is —
$ —
$ —
$ —
$ —
E
TOTAL PROJECTED DEBT SERVICE
Is —Is —
$ —
$ —
$ —
$ —
No recommendations for debt financing.
Pine Meadows Clubhouse Renovation ($2,575,000) is currently proposed as a General Fund Debt project.
The Recreation Enterprise fund may make contributions to the General Fund in future years to support the
debt service on this project.
FY2025 Preliminary Budget & Financing Plan
0all
January 18, 2024
FY2025 RECOMMENDED PROJECTS -FUNDING THROUGH PROPOSITION 21/2DEBT EXCLUSION
(Table V)
TABLE V: FY2025 RECOMMENDED PROJECTS - FUNDING THROUGH PROPOSITION 21/2DEBT EXCLUSION
Amount Interest
Project Financed Term Rate
FY2024 FY2025
FY2026
FY2027
FY2028
FY2029
None Proposed
$ —
—
—%
$ —
$ —
$ —
$ —
$ —
Total Project Cost $ —
$ —
$ —
$ —
$ —
$ —
Project that is a potential candidate for debt exclusion
Lexington High School
Construction Project - Design
$ 71500,000
28
4.5%
$ —
Im
$ 337,500
$ 605,357
$ 593,304
$ 5811250
Funding ($10,000,000)
1
1
I
I
I
I
Subtotal $ 71500,000
$ —
$ 337,500
$ 605,357
$ 593,304
$ 5811250
APPROVED AND PROPOSED EXCLUDED DEBT SERVICE
FY2024 FY2025
FY2026
FY2027
FY2028
FY2029
Subtotal: Approved and Issued Debt
$ 16,385,361
$ 15,907,941
$ 15,277,795
$ 14,523,517
$ 11,849,897
Subtotal: Approved and Unissued Debt
$ 517,201
$ 785,556
$ 756,297
$ 727,038
$ 697,780
Total: Approved Excluded Debt Service
$ 16,902,562
$ 16,693,497
$ 16,034,093
$ 15,250,555
$ 12,547,677
Proposed Exempt Debt Service (above)
$ —
$ 337,500
$ 605,357
$ 593,304
$ 581,250
Total Approved and Proposed Excluded Debt Service
$16,884,169 $16,902,562 $17,030,997
$16,639,450
$15,843,859
$ 13,128,927
Projected Future Debt Service - LHS Construction Funding
$ —
$ 990,000
$ 9,552,931
$ 17,233,586
$ 25,511,466
Total Projected Debt Service 1$16,884,169
$16,902,562 $18,020F997
$26,192,381
$33,077,445
$ 38,640,393
Less: Portion of Debt Service Paid Within -Levy Per Per CSF Policy
$ —
$ —
$ (4,036,373)
$ (4,036,373)
$ (4,036,373)
Less: Use of Capital Stabilization Fund to Mitigate Debt Service
Impacts on Property Tax Bills
$ (500,000) $ —
$ —
$ (2,700,000) $
(7,700,000) $
(11,500,000)
Net Excluded Debt Service
$16,384,169 $16,902,562 $18f020,997
$19,456,008
$21,341,072
$ 23,104,019
1, Lexington High School Construction Project - Design Funds ($10,000,000) is a potential
candidate for a Proposition 2 1/2 debt exclusion vote. The debt exclusion vote is anticipated to occur in
late 2025. If successful, beginning in FY2026, debt service related to this project will be excluded from the
limits of Proposition 2 1/2, and principal and interest on long- and short-term debt will be funded outside
the levy limit. Otherwise the debt will remain within the limits of Proposition 2 1/2 as presented in Table I:
General Fund Debt.
Table V above also presents projected future debt service for funding the construction portion of the
Lexington High School project which is anticipated in the FY2026 budget and the impact of taxpayer
mitigation efforts on the total amount of Excluded Debt Service. As outlined in the policy section of this
document the Town's fiscal guideline to set -aside tax levy from new development is expected to partly
offset Exempt Debt Service beginning in FY2027. The Town may also continue to utilize Capital
Stabilization Funds to further mitigate the impact to taxpayers.
FY2025 Preliminary Budget & Financing Plan
XI-12
January 18, 2024
FY2025 RECOMMENDED PROJECTS - Community Preservation Act Debt (Table VI)
TABLE VI: FY2025 RECOMMENDED PROJECTS - COMMUNITY PRESERVATION ACT DEBT
Amount Interest
Project Financed Term Rate
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
1
None
$ —
4.5%
$
—
$ —
$ —
$ —
$ —
TOTAL PROJECT COSTS $ —
$
—
$ —
$ —
$ —
$ —
AUTHORIZED CPA REVENUE DEBT SERVICE
FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
A
Subtotal: Approved and Issued Debt
681,200
$ —
$ —
$ —
$B
Subtotal: Approved and Unissued Debt
Iff$
—
$ 500,000
$ 480,000
$ 460,000
$ 4401000
C
Total: Approved Debt Service
681,200
$ 500,000
$ 480,000
$ 460,000
$ 440,000
D
Subtotal: Projected Debt Service on Proposed Capital Projects
—
$ —
$ —
$ —
$ —
E
TOTAL PROJECTED DEBT SERVICE
$1,7881900 $
681,200
$ 500,000
$ 480,000
$ 460,000
$ 880,000
No recommendations for debt financing,
FY2025 Preliminary Budget & Financing Plan
XI-13
January 18, 2024
FY2025 RECOMMENDED PROJECTS -Compost Revolving Fund (Table VII)
TABLE VII: FY2025 RECOMMENDED PROJECTS - Compost Revolving Fund
Amount Interest
Project Financed Term Rate FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
1
Equipment Replacement $ 320,000 5 4.5%
$ 9,600
$ 78,400
$ 75,520
$ 72,640
$
69,760
TOTAL PROJECT COSTS $ 320,000
$ 9,600
$ 78,400
$ 75,520
$ 72,640
$
691760
AUTHORIZED REVENUE SUPPORTED DEBT SERVICE FY2024
FY2025
FY2026
FY2027
FY2028
FY2029
A
Subtotal: Approved and Issued Debt
$ 181,966
$ 174,496
$ 111,226
$ 14,338
$
10,000
B
Subtotal: Approved and Unissued Debt
$ -
$ -
$ -
$ -
$
-
C
Total: Approved Revenue Supported Debt Service
$ 181,966
$ 174,496
$ 111,226
$ 14,338
$
10,000
D
Subtotal: Projected Debt Service on Proposed Capital Projects
$ 9,600
$ 78,400
$ 75,520
$ 72,640
$
691760
E
TOTAL PROJECTED DEBT SERVICE $ 189,436
Is 191,566
$ 252,896
$ 186,746
$ 86,978
$
79,760
1. Equipment Replacement - $320,000 (Compost Revolving Fund Debt): This request is part
of the Department of Public Works' annual program to replace equipment that has reached the end
of its useful life. In FY2025 a front-end loader that is exclusively used for the Compost facility at
Hartwell Avenue is due for replacement. The funding for this equipment is requested from the
Compost Revolving Fund. See a full detailed description of the Equipment Replacement program
under Table VIII: Cash Capital.
FY2025 Preliminary Budget & Financing Plan
I:,aiL11
January 18, 2024
FY2025 RECOMMENDED PROJECTS - CASH CAPITAL (Table VIII)
TABLE VIII: FY2025 RECOMMENDED FUNDING FROM REVENUES (Cash by Source)
Water/
Sewer Recr. Enterprise
Retained Retained Operating Other
Project Free Cash Tax Levy Earnings Earnings Funds CPA* Funds** Total Cost Other***
SCHOOL PROJECTS
1 1 LPS Technology Program $ 1,323,050 $ 1,323,050
FACILITIES
2
Public Facilities Bid Documents
$ 125,000
$ 125,000
3
Public Facilities Interior Finishes
$ 219,345
$ 230,655
$ 450,000
4
School Paving and Sidewalks
$ 265,000
$ 265,000
5
Public Facilities Mechanical/Electrical/Plumbing
Replacements
$ 3,067,023
$ 750,000
$ 30,000
$ 3,847,023
6
Cary Memorial Library Renovation Project -
Construction
$ 2,300,000
$ 2,300,000
7
MUNICIPAL
Solar Assessment Lincoln Fields $ 30,000 $ - $ 30,000
b b b b b b b b b
I oil
PROJECTS
8
Transportation Mitigation
$ 86,766
$ 13,234
$ 100,000
9
Heavy Vehicle Extrication Equipment
$ 175,000
$ 175,000
10
Ambulance Replacement
$ 377,000
$125,000
$ 502,000
11
Pine Meadows Improvements
$110,000
$ 110,000
12
Park Improvements -Athletic Fields
$ 545,000
$ 545,000
14
Lincoln Park Fitness Stations Equipment
$ 160,000
$ 160,000
15
Park Improvements - Hard Court Surfaces
$ 492,000
$ 492,000
16
Lincoln Park Field Improvements
$ 665,000
$ 1,145,000
$ 1,810,000
17
Equipment Replacement
$ 1,215,000
$ 385,000
$ 1,600,000
18
Sidewalk Improvements
$ 800,000
$ 800,000
19
Townwide Signalization Improvements
$ 50,000
$ 50,000
20
Street Improvements
$2,707,321
$ 2,707,321
21
Hydrant Replacement Program
$ 75,000
$ 75,000
$ 150,000
22
Stormwater Management Program
$ 1,350,000
$ 1,350,000
23
Pump Station Upgrades
$ 50,000
$ 50,000
24
Sanitary Sewer System Investigation and
Improvements
$ 500,000
$ 500,000
25
Water Distribution System Improvements
$1,000,000
$ 2,288,900
26
Cemetery Columbarium Design
$ 50,000
$ 50,000
27
Public Parking Lot Improvement Design
$ 15,000
$ 15,000
28
Tucker Avenue Street Acceptance
$ 30,000
$ 30,000
29
Network Core Equipment Replacement
$ 550,000
$ 550,000
30
Municipal Technology Improvement Program
$ 550,000
$ 550,000
31
Network Redundancy & Improvement Plan
$ 998,500
$ 998,500
32
Network Technology Improvements
$ 161,000
$ 161,000
33
Scanning - Electronic Document Management
$ 110,000
$ 110,000
34
Archives & Records Management
$ 20,000
$ 20,000
35
Election Equipment Upgrade
$ 64,865
$ 64,865
36
OTHER
Sustainable Capital Initiatives $ 35,000 $ 35,000
a Bee • a ® e ® e • ® ® ® • e
see
b ® b b b b b b b
CPA FUNDED PROJECTS
37
LexHAB Affordable Housing Support,
Restoration, Preservation & Decarbonization
$ 482,365
$ 482,365
38
Affordable Housing Trust (AHT) Funding
$ 3,200,000
$ 3,200,000
39
Lexington Housing Authority Exterior
Preservation
$ 100,000
$ 100,000
* CPA totals do not include proposed FY2025 administrative budget of $150,000 and $681,200 for debt service.
FY2025 Preliminary Budget & Financing Plan
XI_ 15
January 18, 2024
I"Other Funds include the Transportation Network Company (TNC) Special Revenue Fund, Ambulance Stabilization Fund and BAN Premiums received from prior issuances. I
School Department Projects
1, LPS Technology Program - $1,,323,,050 (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 FY2025 would provide funding for the following:
Tech Workstations - $204,150 is requested for this category of the capital project. 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 replaced from FY2020 funds, thus, only a minimal number
are needed until the full replacement cycle begins in 2026. Prices have remained relatively
stable for all devices in this category.
1:1 Middle School Program - $234,080 is requested to fund 560 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. These Chromebooks
are more expensive than the high school devices due to their having dual cameras and touch
screens. (560 Chromebooks @ $418 each). The previous model has been discontinued, and
the newer model is more expensive.
1:1 at Lexington High School - $209f 560 is requested to purchase 620 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), (620 Chromebooks
@ $338 each).
Science/Tech nology/EngineeringJ(Art)/Math (STE M/STEAM)/Com puter Science - $51,000 is
requested to update computer labs at the High School level and purchase STEM/STEAM based
curricular materials. The high school world language lab will be updated next year ($45,000 for
one lab, $6,000 for STEM/STEAM Materials). Digital Learning Coaches (DLCs) work with all
department heads that are holding curriculum reviews. The small amount of money allocated
for STEM/STEAM may result in equipment being piloted or may also replace some equipment
currently being used (elementary small robots for coding, etc.).
Interactive Projectors/Whiteboard Units and Document Cameras - $231,260 is requested for
this category of the capital project.
• Replace 48 interactive projectors districtwide. This equips buildings with atouch-activated,
interactive system and soundbar. The replacements will begin with the oldest model per
school until all systems are within a 7 year window with all of the same functionality (48
projectors @ $4680 each).
• The request will also replace 10 document cameras at Lexington Middle and High School.
All elementary schools have had document cameras replaced, and upgrades have been
made in many middle school classrooms as well. A small number of replacement devices
are needed for FY2025 (10 document cameras @ $662 each).
FY2025 Preliminary Budget & Financing Plan
XI-16
January 18, 2024
District and Building Network Infrastructure - $373,000 is requested to replace end of life
Wireless Access Points (WAPs) at both middle schools and switches across all elementary
schools. This is a phased project and WAPs will be replaced in all elementary schools in
subsequent years. Due to the impending high school building project and a final determination
for the current Central Office, WAPs and cabling for those sites have been deferred. The
current five year capital submission also includes anticipated costs for future replacement of
the district's core and firewalls with the building of a new high school and possible relocation
of Central Office.
Server/Storage Infrastructure - $20,000 is requested to maintain and upgrade any server
related hardware.
Department of Public Facilities Projects
2. Public Facilities Bid Documents - $125,,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. There has been a steady
uptick in the number of projects requiring these services in recent years.
3. Public Facilities Interior Finishes - $450,,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 and interior finishes including mill work, ceiling work, tile work, countertop
replacement and bathroom finish renovations. The goal of this annual program is to ensure
failing systems are replaced and are safe for all users. The FY2025 request will allow the
Department of Public Facilities to complete approximately four classroom flooring systems and
prioritize other floors requiring attention. This request also covers other building finishes,
based on priority.
Projects recently completed include replacement of flooring in 30 classrooms at Harrington
Elementary and Diamond Middle schools and the renovation of two single -stall bathrooms in
the Town Office Building. Future improvements are expected to include classroom flooring at
Clarke, Diamond, Bowman, Bridge, Harrington and Fiske schools.
4. School Paving and Sidewalks - $265,,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.
Projects recently completed include the full driveway and sidewalk replacement at Diamond
middle school. The FY2025 request will fund repairs at the Bowman School rear play area,
parking lot, and access road.
5. Public Facilities Mechanical/Electrical/Plumbing Replacements-$4,015,000
($167,,977 General Fund Debt; $3,067,,023 Free Cash; $750,,000 Tax Levy; $30,000
BAN Premiums): See a detailed description of this project under Table I: General Fund Debt.
6. Cary Memorial Library Renovation Project - Construction - $4,000,000 ($1,700,000
General Fund Debt; $2,300,000 CPA): See a detailed description of this project under
Table I: General Fund Debt.
FY2025 Preliminary Budget & Financing Plan
I0aN
January 18, 2024
7. Solar Assessment Lincoln Fields - $30,000 (Free Cash): This request for funding is to
assess the feasibly of installing solar collectors and related systems at Lincoln Park as part of
the feedback from the Lincoln Park Master Plan. In order to properly assess the site for solar
production using canopies, the Town would need to consult with a geotechnical engineer to
understand the soil conditions given that the site is a capped landfill. The Town would also
need to consult with solar professionals to site the solar collectors and to determine the
possible size of the system. If feasible a construction project will be incorporated into the
Lincoln Park Master Plan and implemented during the end of life replacement of the Lincoln
Field #3 renovation that is currently in the Recreation Committee 5- year capital plan for FY26.
Municipal Projects
8, Transportation Mitigation - $100,000 ($86,766 Free Cash, $13,234 Transportation
Network Company (TNQ 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).
Projects underway include a "No Turn on Red" pilot program at the Mass Ave/ Maple Street
intersection, speed limit reductions on Lincoln St. and Marrett Rd. and implementing a School
Zone on Concord Ave. This request will fund the purchase and installation of speed feedback
signs, and design and engineering services to address safety requests.
9. Heavy Vehicle Extrication Equipment - $175,000 (Free Cash): This request is to fund the
replacement and upgrade of the department's heavy vehicle extrication equipment which is
showing signs of end -of -life. The useful life of this equipment ranges from 15-20 years, and
vehicle designs have outpaced the equipment's ability to extricate trapped individuals in serious
auto wrecks. The replacement of this equipment will allow the department to respond effectively
to calls including those involving large trucks, busses, and aircraft, and will avoid costly repairs
and equipment downtime.
10. Ambulance Replacement - $502,fOOO ($377,,000 Free Cash, $125,,000 Ambulance
Stabilization Fund): The Fire Department's ambulance replacement program intends to
rotate and replace ambulances every three years. The new vehicle runs as the primary
ambulance, moves to the secondary position and finally to mechanical back-up status. At the
end of this 9-year rotation the vehicle has over 150,000 miles. In recent years the ambulance
mechanical systems are suffering more frequent breakdowns due to hard usage. This
replacement request is being advanced one year in the capital plan due to extreme supply
chain delays in order to keep the replacement schedule intact.
11. Pine Meadows Improvements - $110,,000 (Recreation Retained Earnings): This
request is replace the fuel bays, renovate the practice area, and replace the safety netting at
the practice area at the Pine Meadows Golf Club. The fuel bays were last replaced in 2002 and
require replacement to maintain the quality of the golf course. The practice area has also
deteriorated over the years and is in need of a renovation that includes replacing the netting
to ensure that safety of all users.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
XI-18
12. Park Improvements - Athletic Fields - $545,wOOO (CPA): This request is to renovate the
Bowman School Field. This renovation will include a complete reconstruction with the
installation of a new natural grass Little League field, new irrigation system, new backstops,
signage, and park benches. Additionally, the trail that leads to the abutting Dunback Meadow
conservation area will be restored, and based on the recommendations in the ADA Compliance
Study. The end curb that runs parallel to the dugouts will be cut back to allow access to the
ball field from the parking lot and an accessible path will be installed from the dugout on the
parking lot side of the field behind the backstop to provide access to the dugout closest to the
playground.
13. Lincoln Park Fitness Stations Equipment-$160,000 (CPA): The fifteen fitness stations
installed along the Teresa and Roberta Lee Fitness/Nature Path at Lincoln Park have been
frequently used by park goers over the years and have surpassed their useful life, many being
in a deteriorated condition. This request is to upgrade and replace the equipment at all of the
fitness stations.
14. Park Improvements - Hard Court Surfaces - $492,000 (CPA): This request is to
renovate the Valley Courts on Valley Road. The project will include the construction of post
tension concrete court surfaces for tennis and pickleball. In addition to new courts, the project
will provide new fencing, athletic equipment, and site amenities.
15. Lincoln Park Field Improvements - $1,810,000 ($665,,000 Free Cash; $1,145,000
CPA): This request is to conduct an end -of -life synthetic turf replacement at Lincoln Field #2.
The project includes a professional evaluation to determine if subsurface/base "pad" can be
reused or if a replacement is required for safe function of the field. The project then
comprises removal of the existing surface turf "carpet" at Lincoln Field #2, laser grading of the
subsurface, inspection and repair (as needed) of the drainage system, replacement of the base
""pad" if indicated by the aforementioned study, replacement/recycling of the infill material,
replacement of the surface turf, replacement of the (wood) anchors and edging around the
immediate field perimeter, and restoration of the walkways, guardrails, and plantings
surrounding the field.
16. Equipment Replacement - $1,920,fOOO ($1,215,,000 Free Cash; $125,,000 Water
Retained Earnings; $260,,000 Wastewater Retained Earnings; $320'.000 Compost
Fund Debt): 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
FY2025 Preliminary Budget & Financing Plan
XI-19
January 18, 2024
updates are conducted by the Equipment Maintenance Division, Division Superintendents and
reviewed by the Manager of Operations and Director of Public Works.
The FY2025 request, by funding source, is shown in the table below.
Equipment
Free Cash
Compost
Revolving
Sewer RE
Water RE
Total
Ford F550 Utility
$ 135,000
$ 135,000
Mack Dump Truck
$ 125,000
$ 125,000
$ 250,000
Front End Loader
$ 320,000
$ 320,000
Hook Loader Hot Box
$ 150,000
$ 150,000
Sidewalk Equip. with
Snowblower
$ 195,000
$ 195,000
Turf Aerator
$ 60,000
$ 60,000
Toro Gang Mower
$ 165,000
$ 165,000
Toro Electric Utility Vehicle
$ 45,000
$ 451,000
6 Wheel Snow Fighter
$ 300,000
$ 300,000
Leaf Vacuum MS4 Permit
$ 150,000
$ 150,000
Sidewalk Equip. with
Snowblower
$ 150,000
$ 150,000
$1,215,000
$ 320,000
$ 260,000
$125,000
$ 11920,000
17. Sidewalk Improvements - $800,,000 (Free Cash): This request is to rebuild and/or repair
existing sidewalks that are in poor condition. DPW, in conjunction with various committees and
other town departments, will generate a list each year of the sidewalks most in need of repair/
replacement based on four determining factors:
i. Is the sidewalk unsafe for travel due to trip hazards, defects, etc.
ii. Is the sidewalk within the Safe Routes to School Program
iii. Is the volume of pedestrian traffic heavy, light or average
iv. Is the general condition of the sidewalk poor, fair or good which dictates treatments
such as full reconstruction, overlay or patching
DPW currently reviews 30% of sidewalks annually to identify the work to be done. Sidewalks
considered for FY2025 funding include:
Simonds Road from Bedford St. to Preston Rd.
1285 LF Asphalt
Douglas Road from East St. to #11
850 LF Asphalt
Clarke Street from #33 Forest (on Clarke)
50 LF Concrete
Hancock Street from Adams St. to Bikeway
4000 LF Asphalt
Bedford Street from Bikeway to N. Hancock St.
900 LF Asphalt
Revere Street from Larchmont Lane to Hancock St.
1300 LF Asphalt
Edgewood Road
920 LF Asphalt
Glen Road from Meriam St. to Upland Rd.
240 LF Asphalt
Upland Street
600 LF Asphalt
Chandler Street from Upland St. to Oakland St.
440 LF Asphalt
Stetson Street
670 LF Asphalt
Reconstruction of Ramps Townwide
FY2025 Preliminary Budget & Financing Plan
XI-20
January 18, 2024
The following table presents the recent history of Sidewalk appropriations:
FY2018
FY2019
FY2020
FY2021
FY2022
FY2023
FY2024
$ 800,000
$ 800,000
$ 800,000
$ 800,000
$ 800,000
$ 800,000
$ 800,000
18. Townwide Signalization Improvements- $50,,000 (Free Cash): This is an annual
program to update traffic and pedestrian signals in Lexington. In addition to updating traffic
and pedestrian signals, this request also periodically updates the compliance study, which is
the funding request proposed in FY2025. The last signal inventory and compliance study was
completed in 2011. This study will include ADA compliance, condition assessment, signal
timing, delays, and prioritization recommendations. Projects underway include improvements
to the intersections at Lowell at East Street and Lowell at North Street. These intersections
have both been designed and will be substantially constructed utilizing a 'Bottle -neck' grant
obtained through MassDOT. Construction is anticipated in construction calendar year 2024.
19. Street Improvements - $2,707,321 (Tax Levy): This is an annual request for the street
resurfacing and maintenance program. In addition to the $2,707,321 appropriated from the
tax levy, $974,012 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 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. A preliminary list of the streets to be repaired under this article is currently being
developed. Streets anticipated for completion in 2024 include Eldred Street, Appletree Lane,
Depot Square, Edison Way, Pleasant Street at Watertown Street and a portion of the
Minuteman Bikeway near Town Center.
Street Improvements - Financing Components
FY25
2001 Override Increased by 2.5% per year $ 779,366
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
Estimated Chapter 90 Aid
$ 381,871
$ 974,012
Total $ 3,681,333
Without Chapter 90 $ 2,707,321
20. Hydrant Replacement Program - $150f000 ($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.
The Town of Lexington has 1,747 fire hydrants in its fire protection system and the goal is to
replace approximately 45 hydrants per year at a cost of $3,500 per hydrant, with labor
covered by the operating budget. The expected life of a hydrant is 50 years.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
XI-21
21. Stormwater Management Program - $1,,350.,000 (Free Cash): This is a new program
combining three former programs related to stormwater management into one annual request:
Townwide Culvert Replacement, Storm Drain Improvements and NPDES Compliance, and
Comprehensive Stormwater Management. Many of the challenges and solutions are multi -
pronged and cross over between the three programs, which creates complications in the
selection and awarding of projects. By combining these projects, it creates more flexibility and
agility for the Department for the improvements of stormwater throughout Lexington. The
aggregated funding will be utilized for supporting the National Pollutant Discharge and
Elimination System (NPDES) program with an emphasis on Illicit Discharge Detection and
Elimination (IDDE) and nutrient removal which are both required by the Environmental
Protection Agency (EPA) Municipal Separated Storm Sewer System (MS4) permit. These
regulations are focused around improving water quality. Additionally, this request will support
the stream management plan, culvert replacement and rehabilitation program, and storm drain
improvements to mitigate flooding.
22. Pump Station Upgrades - $50,000 (Sewer Retained Earnings): This is an ongoing
capital program to maintain Lexington's 10 sewer pumping stations to enable better energy
efficiency and avoid emergency expenditures. In 2013, an evaluation and asset management
plan was developed for the sewer pump stations with the assistance of Wright -Pierce,
including a detailed engineering survey of the Town's existing infrastructure. This survey
helped determine current and future needs, timetable and probable costs for the proposed
work. In FY2024, $75,000 was approved to update the evaluation and asset management
plan, but may not full cover the full project. This request for FY2025 funding will ensure the
completion of the update.
23. Sanitary Sewer System Investigation and Improvements - $1,061,210 ($500,000
Wastewater User Charges, $561,,210 Wastewater Debt): See a detailed description of
this program under Table III: Wastewater Fund Debt.
24. Water Distribution System Improvements - $2,288,900 ($1,000,000 Water User
Charges; $1,288,,900 Water Retained Earnings): 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. The Town 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. This is the fifth year of transition and $1,000,000 is being requested
from water user fees.
Water mains were recently replaced on Lowell Street (from Maple to Summer Street) as part of
a joint project with the Town of Burlington and the Massachusetts Water Resource Authority.
Future water main replacements are anticipated on Vine Street, Hayden Avenue, and Marshall
Road. A booster pump is planned for the low-pressure area along Fairfield Street.
FY2025 Preliminary Budget & Financing Plan
XI-22
January 18, 2024
25. Cemetery Columbarium Design - $50,000 (Free Cash): The FY2025 funding request is
for layout and design services for a columbarium (a structure with niches to store funeral urns
with cremated remains) at Westview Cemetery. Due to the rising number of cremations, an
option for interring urns has been requested by many residents. Currently urns are interred in
traditional burial plots. A columbarium is a more efficient use of cemetery space and will
provide an additional option for those choosing cremation while freeing up traditional burial
plots. A request for construction funding of a columbarium is expected in FY2026.
26. Public Parking Lot Improvement Design - $15,000 (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 (behind CVS pharmacy), and the lot between Waltham
Street and Muzzey Street (behind Michelson's Shoes). These lots are currently in fair to poor
condition with inefficient circulation and parking layouts. This FY2025 request will supplement
previously allocated funds and will be used to advance the 100% design and finalize P,S&E
(plans, specifications and estimates) for the Muzzey Street and Library parking lots. These
plans will also help to understand and refine the overall construction cost of the project. This
redesign work will improve efficiency, circulation and aesthetics of the parting lots.
27. Tucker Avenue Street Acceptance - $30,,000 (Free Cash): The residents of Tucker
Avenue have submitted a request to have the street brought up to Town standards and
accepted by the Town. This acceptance would increase the length of town roadways, which in
turn will result in a small increase in yearly funding received from the state in Chapter 90
allotments. This asset will fall under the town's asset management program; once completed,
proper preservation can extend the life of the road 20 to 30 years or more. The street
acceptance must be approved by Town Meeting, however the cost of road construction will
ultimately be borne by the residents of Tucker Avenue through the assessment of street
betterments.
28. Network Core Equipment Replacement - $550,000 (Free Cash): This multi -year capital
program is to replace aging equipment or add equipment that functions as the core or head
end for the Town network. The head end is made up of many components including, but not
limited to, routers, switches, DNS servers, firewalls, access control devices, e-mail spam filters,
and web access control devices. The overall purpose of the head end is to provide security
and to manage network traffic.
In FY2024 funding was approved to install a new redundant network core, router and firewalls
in the new Police Station (completion expected in 2024). This new network core will become
our primary core and require approximately 10 times the number of fiber connections as our
current core due to the increased count in connections with the new Fiber Municipal Area
Network (FMAN). The FY2025 funding request is to add additional modules to the new core to
allow compatibility with the new FMAN network, including the purchase of hardware and
technical services for installation. It should be noted that technology costs have increased
significantly over the past couple of years, driving up costs especially on networking
equipment.
29. Municipal Technology Improvement Program - $550,000 (Free Cash): This capital
program funds major municipal technology improvements including servers, Storage Area
Network (SAN)/data arrays and other critical Town hardware and components. New
infrastructure is obtained with a focus to achieve technical consolidation, energy savings,
reduction in financial burdens and reduction in staff maintenance time while increasing
management efficiencies, increasing reliability and introducing new capabilities.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
XI-23
The request for FY2025 will fund the purchase and installation of a server/SAN environment in
the new PD server room. This new environment will be used to migrate away from hardware
that was installed in 2020 in another server room that is reaching end -of -life. In future years
this program is expected to increase data storage capacity and expand backup capacity to
match the Town's growth and storage needs. In addition to SAN needs, hardware and
licensing may be purchased to assist with data transfer to cloud services including back-up and
Disaster Recovery (DR).
30. Network Redundancy &Improvement Plan - $998,500 (Free Cash): This is a multi-
phase request to build a standalone fiber network for town computing and communications in
an effort to achieve redundancy and vendor -independent capability. The purpose of this
program is to both improve the resiliency of the Townwide fiber network and to provide better
networked services. This includes enhancement of communications within municipal buildings
through the installation of wireless access to our wide area and local area networks. This will
protect communication (both data and voice) between sites that are assessed as critical to the
daily function and safety of the Town. The first phase of this project in FY2023 was $945,000
to construct multi -loop core infrastructure to top -tier critical buildings. The second -phase
request of $988,094 in FY2024 was to complete phase I. and additionally fund fiber
connections to tier 2 and tier 3 sites. This third phase includes the purchase and installation of
the equipment to connect the tier 2 and tier 3 sites to the new FMAN and vendor services for
network programming assistance.
31. Network Technology Improvements - $161,,000 (Free Cash): The general purpose is to
replace old network related equipment. The first part of this capital program is for funding the
replacement of all end -of -life (EOL) WiFi Access Points (APs) units located throughout the
various municipal buildings in Town. These provide local wireless Internet to each building for
staff and public use. The second part of this capital program is for funding the replacement of
end -of -life network switches in municipal buildings or public safety antenna sites (e.g. Water
Tower, Avalon, etc.).
32. Scanning -Electronic Document Management - $110,000 (Free Cash): This is an
ongoing program 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.
33. 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 FY2025 request will include the
conservation and preservation of Fire Department Journals 1927-1929, Marriage Intentions
1850-1897, Marriage Intentions 1889-1908, and Planning Board Records, Volume 1,
1918-1930 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.
FY2025 Preliminary Budget & Financing Plan January 18, 2024
XI-24
34. Election Equipment Upgrade - $64,865 (Free Cash): This request is to upgrade current
election equipment. New provisions under the VOTES Act have increased election participation,
putting greater wear and tear on our equipment. Participation is expected to increase during
the 2024 Presidential election season and existing equipment is nearing end -of -life. New
tabulator machines will allow for faster processing at upcoming elections and avoid costly
maintenance fees.
35. Sustainable Capital Initiatives - $35,000 (Free Cash): This is a new capital program to
fund sustainable capital initiatives including electric vehicle (EV) charging equipment and
infrastructure. In the future this program may also include the study, design and construction
of rooftop solar or solar canopies, including battery storage; and other projects identified by
the Sustainability and Resilience Officer to move the Town towards achieving its sustainability
goals.
The FY2025 request is for funding the purchase and installation of two or more electric vehicle
charging stations. At least one EV charging station would be installed at the Town Office
Building, primarily for charging municipal fleet vehicles, but could be utilized by the public
outside of operating hours. This request is expected to fund a second charger in a location
that is to be determined.
Other CPA Funded Projects
36. LexHAB Affordable Housing Support, Restoration, Preservation & Decarbonization -
$482,365 (CPA): This FY25 request seeks funding for the preservation, rehabilitation, and
restoration of 26 Lexington Housing Assistance Board (LexHAB) affordable housing units. The
scope of the work at these units varies by property. There will be preservation, rehabilitation, and
restoration projects at seven units which were acquired with CPA funds, including kitchen and bath
renovations, floor replacements, exterior painting, water and HVAC replacements, and new
appliances; and decarbonization initiatives at three properties, including the installation of solar
panels and gas to electric conversions. This funding request will also cover preservation projects at
nineteen LexHAB-operated units not acquired with CPA funds. These include door replacements,
exterior painting, retaining wall replacement, and driveway and walkway replacements. All
improvements are intended to ensure the continued safety and functionality of the units. This
request also seeks funding support to subsidize the rents of LexHAB's lowest income tenants.
37. Affordable Housing Trust (AHT) Funding - $3,200,000 (CPA): This request is to fund
the Lexington AHT by providing CPA seed money for affordable housing, and to allow the AHT
greater flexibility in purchasing property and competing with for -profit developers in the real
estate market.
38. Lexington Housing Authority Exterior Preservation - $100,000 (CPA): This request is to
finance the preservation, rehabilitation and restoration of a Lexington Housing Authority (LHA)
duplex at 561/563 Massachusetts Ave. Improvements will include siding, windows and exterior
door replacement which will ensure the continued safety and functionality of the units.
FY2025 Preliminary Budget & Financing Plan
XI-25
January 18, 2024
• - Deferred FY2025 / • Proposed FY2026-FY2029 Capital Requests
Ongoing Capital Programs - General Fund
Dept.
Project Name
Deferred
FY2025
FY2026
FY2027
FY2028
FY2029
Total
Public Facilities
Public Facilities Bid Documents
$ -
$ 125,000
$ 125,000
$ 150,000
$ 150,000
$ 550,000
Public Facilities Interior Finishes
$ -
$ 468,000
$ 486,720
$ 506,189
$ 526,437
$ 1,987,346
School Paving and Sidewalks
$ -
$ 200,000
$ 225,000
$ 250,000
$ 250,000
$ 925,000
Public Facilities Mechanical/Electrical/Plumbing
Replacements
$ -
$ -
$ 4,565,000
$ -
$ 3,000,000
$ 7,565,000
Municipal Building Envelopes and Associated Systems
$ -
$ 1,100,000
$ -
$ 2,670,000
$ -
$ 3,770,000
School Building Envelopes and Associated Systems
$ -
$ 2,125,000
$ -
$ -
$ 4,440,000
$ 6,565,000
Public Works
Equipment Replacement
$ -
$ 1,950,000
$ 1,950,000
$ 1,355,000
$ 2,000,000
$ 7,255,000
Sidewalk Improvements
$ -
$ 800,000
$ 800,000
$ 800,000
$ 800,000
$ 3,200,000
Townwide Signalization Improvements
$ -
$ 55,000
$ -
$ -
$ -
$ 55,000
Street Improvements
$ -
$ 2,726,806
$ 2,746,777
$ 2,767,247
$ 2,788,230
$ 11,029,060
Stormwater Management Program
$ -
$ 2,642,500
$ 2,655,000
$ 2,332,500
$ 2,292,500
$ 9,922,500
Hydrant Replacement Program
$ -
$ 75,000
$ 75,000
$ 75,000
$ 75,000
$ 300,000
Land Use, Housing and Development
Transportation Mitigation 1 $ - $ 80,000 $ 80,000 $ 100,000 $ 100,000 $ 360,000
Innovation & Technology
Application Implementation
$ -
TBD
TBD
TBD
TBD
$ -
Network Core Equipment Replacement
$ -
$ 100,000
$ 600,000
$ 100,000
$ 700,000
$ 1,500,000
Municipal Technology Improvement Program
$ -
$ 150,000
$ 100,000
$ 100,000
$ 100,000
$ 450,000
Network Redundancy & Improvement Plan
$ -
$ 760,000
$ 250,000
$ 250,000
$ 150,000
$ 1,410,000
Phone Systems & Unified Communications
$ -
$ 90,000
$ 80,000
$ 60,000
$ 60,000
$ 290,000
Network Technology Improvements
$ -
$ 86,000
$ 86,000
$ 86,000
$ 143,000
$ 401,000
Schools
LPS Technology Program $ - $ 1,316,962 1 $1,635,804 $ 1,672,356 $ 1,548,624 $ 6,173,746
Town Manager
Sustainable Capital Initiatives Is -Is - 1 $ 17,082 $ - 1 $ 17,937 1 $ 35,019
0. .
Ongoing Capital Programs - Enterprise Funds
Dept.
Project Name
Deferred
FY2025
FY2026
FY2027
FY2028
FY2029
Total
Public Works
Hydrant Replacement Program
$ -
$75,000
$75,000
$ 75,000
$ 75,000
$ 300,000
Pump Station Upgrades
$ -
$ -
$ 100,000
TBD
TBD
$ 100,000
Sanitary Sewer System Investigation and Improvements
$ -
$ 1,082,431
$ 1,104,080
$ 1,126,161
$ 1,148,684
$ 4,461,356
Water Distribution System Improvements
$ -
$ 2,334,670
$ 2,381,360
$ 2,428,987
$ 2,477,567
$ 9,622,584
Water Tank Rehabilitation $ - $ 100,000 $ 3,960,000 $ - $ - $ 4,060,000
Recreation & Community Programs
Pine Meadows Improvements $ - $ -
$ 95,000 $ 89,000 $ 35,000 $ 219,000
Pine Meadows Equipment $ - $ 65,000 $ 30,000 $ - $ 70,000 $ 165,000
FY2025 Preliminary Budget & Financing Plan
XI-26
January 18, 2024
Table IX: Deferred FY2025 and Proposed
FY2026-FY2029
Capital
Requests
Ongoing and One-time Capital Projects - CPA Fund
Dept.
Project Name
Deferred
FY2025
FY2026
FY2027
FY2028
FY2029
Total
$ 9,950,000
Public Facilities
Stone Building Renovation and Addition
$ -
$ 5,150,000
$ 2,400,000
$ 2,400,000
$ -
Use, Housing and
Dev
Development
ev elopment
Wright Farm Barn Preservation and
Rehabilitation (Step 3)
$ -
TBD
$ -
TBD
$ -
$ -
Cotton Farm/Community Center Connector
$ -
$ 200,000
$ -
TBD
$ -
$ 200,000
Simond's Brook Conservation Area Trail
Design & Engineering
$ -
$ 75,000
TBD
$ -
$ -
$ 75,000
Recreation & Community
Programs
Park and Playground Improvements
$ -
$ 1,041,000
$ 1,840,000
$ -
$ -
$ 2,881,000
Park Improvements -Athletic Fields (2)
$ -
$ 6,180,000
$ -
$ -
$ -
$ 6,180,000
Park Improvements - Site Amenities
$ -
$ -
$ 36,000
$ -
$ 36,000
$ 72,000
Outdoor Pickleball Courts Construction
$ -
$ -
$ 8707000
$ -
$ -
$ 870,000
Lincoln Park Field Improvements (3)
$ -
$ 1,235,000
$ -
$ -
$ -
$ 1,235,000
Town Clerk
Archives & Records Management
1 $ -
1 $ 20,000
$ 20,000
1 $ 20,000
$ 20,000
$ 80,000
One -Time Capital Projects - General Fund
Dept.
Project Name
Deferred
FY2025
FY2026
FY2027
FY2028
FY2029
Total
Fire
Replace Pumper Truck
$ -
$ 950,000
$ -
$ -
$ -
$ 950,000
Off Road Fire Engine
$ -
$ -
$ -
$ -
$ 400,000
$ 400,000
Ambulance Replacement
$ -
$ -
$ -
$ 525,000
$ -
$ 525,000
Recreation & Community
Programs
Park Improvements - Athletic Fields (2)
$ -
$ 2,000,000
$ -
$ -
$ -
$ 2,000,000
Lincoln Park Field Improvements (3)
$ -
$ 715,000
$ -
$ -
$ -
$ 715,000
Strategic Plan Update
$ -
$ 100,000
$ -
$ -
$ -
$ 100,000
Land Use, Housing and
Development
Eldred Traffic Calming and Hartwell Avenue
Ped Crossing
$ -
$ 70,000
$ 460,000
$ -
$
$ 530,000
Phase II- Town -wide Pedestrian & Bicycle
Plan
$ 80,000
$ -
$ -
$ -
$ 80,000
Public Facilities
Lexington High School Construction Project -
Design Funding
$ -
$440,000,000
$ -
$ -
$
$ 440,000,000
East Lexington Fire Station
$ -
$ 2,000,000
$ 11000,000
$12,000,000
$ -
$ 15,000,000
Central Administration Building Demolition
$ -
$ 1,650,000
$ -
$ -
$ -
$ 1,650,000
Clarke HVAC Replacement and
Electrification
$ -
$ -
$ -
$ -
$ 21,000,000
$ 21,000,000
Cary Memorial Library Upper Floors HVAC
Renovation
$ -
$ -
$ -
$ 2,0003000
$ 21,000,000
$ 23,000,000
Public Works
Hartwell Ave. Compost Site Improvements
$ -
$ 220,000
$ -
$ -
$ -
$ 220,000
Cemetery Columbarium Design
$ -
$ 450,000
$ -
$ -
$ -
$ 450,000
Public Parking Lot Improvement Design
$ -
$ 528,000
$ -
$ -
$ -
$ 528,000
New Sidewalk Installations
$ -
$ 300,000
$ -
$ 3,250,000
$ -
$ 3,550,000
Bedford St. and Hartwell Ave. Long -Range
Transportation Improvements
$ -
$ -
$ 1,950,000
$ -
$ -
$ 1,950,000
One -Time Capital Projects - Enterprise Funds
Dept.
Project Name
Deferred
FY2025
FY2026
FY2027
FY2028
FY2029
Total
Public Works
Water Tank Rehabilitation
$ -
$ 100,000
$ 3,960,000
$ -
$ -
$ 4,060,000
(1) Hydrant replacement Program is split funded between the General Fund and Water Enterprise Fund.
(2) Park Improvements- Athletic Fields is split funded between the General Fund and CPA Fund.
(3) Lincoln Park Field Improvements is split funded between the General Fund and CPA Fund.
FY2025 Preliminary Budget & Financing Plan
XI-27
January 18, 2024
This Page Intentionally Left Blank.
FY2025 Preliminary Budget & Financing Plan
XI-28
January 18, 2024
101 110, r.xL1
March 5, 2024
2024 ANNUA TOWN MEETING
March 18, 2024
Detailed information on Town Meeting Warrant Articles can be found at
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Town of Lexington, Massachusetts
Select Board
JOSEPH N. PATO, CHAIR
SUZANNE E. BARRY
DOUGLAS M. LUCENTE
JILL I. HAI
MARK D. SANDEEN
January 22, 2024
To the Residents of Lexington:
TEL: (781) 698-4580
FAX: (781) 863-9468
This warrant document provides notification of the 2024 Annual Town Meeting and advises residents of the various
issues being considered at the meetings. Only Articles listed in this warrant may be discussed. The purpose of the
Warrant is to inform citizens of the issues to be discussed and does not provide for detailed information about the
Articles.
Articles for the Annual Town Meeting are grouped in three categories: Financial, General and Zoning. Descriptions
are provided in an attempt to make the Warrant useful and understandable.
The most important votes that take place at the Annual Town Meeting are related to the budget. We urge citizens to
read the budget, understand it, and help us find a way to foster excellence within the community. The Town
website, http://www.lexingtonma.gov/town-meeting, includes the most recent version of the FY2025 Budget and
other financial Articles as well as other relevant information for each Article.
Between now and Town Meeting there will be multiple meetings to develop a comprehensive recommended budget
for FY2025. That budget will be delivered to all Town Meeting Members prior to the consideration of any financial
articles by Town Meeting.
SELECT BOARD
Joseph N. Pato, Chair
Suzanne E. Barry
Douglas M. Lucente
Jill I. Hai
Mark D. Sandeen
WARRANT
2024 ANNUAL TOWN MEETING
Detailed information on these Town Meeting Warrant Articles and other updated information
can be found at https://www.lexingtonma.gov/town-meeting
TABLE OF CONTENTS
SELECT BOARD MESSAGE.....
ARTICLE 1
NOTICE OF ELECTION _
3
ARTICLE 2
ELECTION OF DEPUTY MODERATOR AND REPORTS OF TOWN BOARDS,
OFFICERS AND COMMITTEES
4
ARTICLE 3
APPOINTMENTS TO CARP LECTURE SERIES _
4
FINANCIAL ARTICLES _
5
ARTICLE 4
APPROPRIATE FY2025 OPERATING BUDGET _ _,
5
ARTICLE 5
APPROPRIATE FY2025 ENTERPRISE FUNDS BUDGETS
5
ARTICLE 6
APPROPRIATE FOR SENIOR SERVICES PROGRAM
6
ARTICLE 7
SUSTAINABLE CAPITAL PROJECTS _ _
6
ARTICLE 8
ACCEPT TUCKER AVE (Westernmost portion)
6
ARTICLE 9
ESTABLISH AND CONTINUE DEPARTMENTAL REVOLVING FUNDS ..............
6
ARTICLE 10
APPROPRIATE FOR THE FY2025 COMMUNITY PRESERVATION COMMITTEE
OPERATING BUDGET AND CPA PROJECTS . , _ .
7
ARTICLE 11
APPROPRIATE FOR RECREATION CAPITAL PROJECTS
8
ARTICLE 12
APPROPRIATE FOR MUNICIPAL CAPITAL PROJECTS AND EQUIPMENT
8
ARTICLE 13
APPROPRIATE FOR WATER SYSTEM IMPROVEMENTS
9
ARTICLE 14
APPROPRIATE FOR WASTEWATER SYSTEM IMPROVEMENTS ........
9
ARTICLE 15
APPROPRIATE FOR SCHOOL CAPITAL PROJECTS AND EQUIPMENT ................. _ ..
10
ARTICLE 16
APPROPRIATE FOR PUBLIC FACILITIES CAPITAL PROJECTS _
10
ARTICLE 17
APPROPRIATE TO POST EMPLOYMENT INSURANCE LIABILITY FUND .
10
ARTICLE 18
RESCIND PRIOR BORROWING AUTHORIZATIONS
10
ARTICLE 19
ESTABLISH, AMEND, DISSOLVE AND APPROPRIATE TO AND FROM
SPECIFIED STABILIZATION FUNDS
ll
ARTICLE 20
APPROPRIATE FOR PRIOR YEARS' UNPAID BILLS .............
11
ARTICLE 21
AMEND FY2024 OPERATING, ENTERPRISE AND CPA BUDGETS.......: _
11
ARTICLE 22
APPROPRIATE FOR AUTHORIZED CAPITAL IMPROVEMENTS
11
ARTICLE 23
APPROPRIATE OPIOID SETTLEMENT
12
ARTICLE 24
APPROPRIATE FUNDING FOR SEMIQUINCENTENNIAL COMMISSION
12
ARTICLE 25
PINE MEADOWS CLUBHOUSE RENOVATION _
12
ARTICLE 26
APPROPRIATE FOR DESIGN FUNDS FOR LEXINGTON HIGH SCHOOL
CONSTRUCTION PROJECT
13
ARTICLE 27
APPROPRIATE FOR RENOVATION OF 173 BEDFORD STREET
13
GENERAL ARTICLES ....
13
ARTICLE 28
SELECT BOARD TO ACCEPT EASEMENTS _
13
ARTICLE 29 AMEND THE GENERAL BYLAW -NOISE CONTROL 13
ARTICLE 30 PROHIBITION OF SINGLE USE FOOD CONTAINERS (Citizen Petition) _. 14
ARTICLE 31 PROHIBIT SINGLE -SERVE PLASTIC WATER BOTTLES (Citizen Petition)... .............. 15
ARTICLE 32 OLD SPRING STREET NAME CHANGE 15
ARTICLE 33 AUTHORIZE THE SELECT BOARD TO SEEK AFFORDABLE HOUSING 15
ARTICLE 34 AMEND GENERAL BYLAWS -TREE BYLAW -TREE PROTECTION PLAN-_____.,
ARTICLE 35 AMEND GENERAL BYLAWS -TREE BYLAW -REQUIRE MITIGATION
PLANTING IN CERTAIN INSTANCES
ARTICLE 36 AMEND GENERAL BYLAWS -TREE BYLAW -EXEMPTIONS ......................
ARTICLE 37 IMPORTANCE OF TREES RESOLUTION (Citizen Petition)
ARTICLE 38 AMEND REGULATION OF FOSSIL FUEL INFRASTRUCTURE BYLAW -MEET
DEPARTMENT OF ENERGY RESOURCES (DOER) REQUESTED CHANGES--
ARTICLE 39 HOME RULE PETITION TO ADJUST THE NUMBER OF ON -PREMISE WINE AND
MALT ALCOHOL LICENSES____, ._.
ARTICLE 40 INTEGRATED PEST MANAGEMENT RESOLUTION (Citizen Petition).. _ ,
ARTICLE 41 MASSACHUSETTS BAY TRANSPORTATION AUTHORITY
ARTICLE 42 DIGITAL PUBLICATION OF LEGAL NOTICES (Citizen Petition)—____
ARTICLE 43 VOTING RIGHTS 16 AND OLDER (Citizen Petition) ..........
ARTICLE 44 AMEND GENERAL BYLAWS —CHAPTER 100 PUBLIC WAYS AND PLACES
(l;rtizen rerinon) .
ARTICLE 45 INDIGENOUS PEOPLES DAY (Citizen Petition)
ARTICLE 46 ROYAL FAMILY INVITATION TO 250TH CELEBRATION
ZONING ARTICLES
ARTICLE 47 AMEND ZONING BYLAW -SIGNS _.............._ .....................
ARTICLE 48 AMEND ZONING BYLAW -SHORT TERM RENTALS ,
ARTICLE 49 AMEND ZONING BYLAW -PERMITTED USES AND DEVELOPMENT
STANDARDS.
ARTICLE 50 SEND ZONING BYLAW - INCLUSIONARY HOUSING FOR VILLAGE AND
MULTI -FAMILY OVERLAY DISTRICTS
ARTICLE 51 AMEND ZONING BYLAW —MAXIMUM HEIGHT FOR VILLAGE OVERLAY
DISTRICT
ARTICLE 52 AMEND ZONING BYLAW AND MAP -TECHNICAL CORRECTIONS ,
ARTICLE 53 AMEND ZONING MAP - 507 BEDFORD STREET (Owner Petition)
ARTICLE 54 AMEND ZONING MAP- 509 BEDFORD STREET (Owner Petition)
TOWN MEETING MEMBER LISTING,____-,_ .
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I
TOWN OF LEXINGTON WARRANT
ANNUAL TOWN MEETING 2024
Commonwealth of Massachusetts Middlesex, ss.
To either of the Constables of the Town of Lexington, in said County, Greetings:
In the name of the Commonwealth of Massachusetts, you are directed to notify the inhabitants of the Town of
Lexington qualified to vote in elections and in Town affairs to meet in their respective voting places in said Town.
PRECINCT ONE
SCHOOL ADMINISTRATION BUILDING
PRECINCT TWO
BOWMAN SCHOOL
PRECINCT THREE
LEXINGTON COMMUNITY CENTER
PRECINCT FOUR
CARY MEMORIAL BUILDING
PRECINCT FIVE
SCHOOL ADMINISTRATION BUILDING
PRECINCT SIX
CARY MEMORIAL BUILDING
PRECINCT SEVEN
LEXINGTON COMMUNITY CENTER
PRECINCT EIGHT
SAMUEL HADLEY PUBLIC SERVICES BUILDING
PRECINCT NINE
LEXINGTON COMMUNITY CENTER
On Tuesday, the Fifth Day of March, 2024
From 7:00 a.m. to 8:00 p.m., then and there to act on the following article:
ARTICLE I NOTICE OF ELECTION
One Select Board member; for a term of three years;
One Moderator for a term of one year;
Two School Committee members; for a term of three years;
Two Planning Board members; for a term of three years;
One Lexington Housing Authority Member, for a term of five years.
Eight Town Meeting Members in Precinct One, the seven receiving the highest number of votes to serve for
terms of three years; the one receiving the next highest number of votes to fill an unexpired term for a seat ending in
2025;
Seven Town Meeting Members in Precinct Two, the seven receiving the highest number of votes to serve
for terms of three years;
Nine Town Meeting Members in Precinct Three, the seven receiving the highest number of votes to serve
for terms of three years; the one receiving the next highest number of votes to fill an unexpired term for a seat
ending in 2026; and the one receiving the next highest number of votes to fill an unexpired term for a seat ending in
2025;
Seven Town Meeting Members in Precinct Four, the seven receiving the highest number of votes to serve
for terms of three years;
Seven Town Meeting Members in Precinct Five, the seven receiving the highest number of votes to serve
for terms of three years;
3
Seven Town Meeting Members in Precinct Six, the seven receiving the highest number of votes to serve for
terms of three years;
Eight Town Meeting Members in Precinct Seven, the seven receiving the highest number of votes to serve
for terms of three years; the one receiving the next highest number of votes to fill an unexpired term for a seat
ending in 2025;
Seven Town Meeting Members in Precinct Ei, the seven receiving the highest number of votes to serve
for terms of three years;
Eight Town Meeting Members in Precinct Nine, the seven receiving the highest number of votes to serve
for terms of three years; the one receiving the next highest number of votes to fill an unexpired term for a seat
ending in 2026.
You are also to notify the inhabitants aforesaid to meet at the Margery Milne Battin Hall in the Cary Memorial
Building, 1605 Massachusetts Avenue, Lexington or by means of the audio/video conferencing platform described
more particularly below
on Monday, the eighteenth day of March, 2024 at 7:30 p.m.
at which time and place the following articles are to be acted upon and determined exclusively by the Town
Meeting Members in accordance with Chapter 215 of the Acts of 1929, as amended, and subject to the referendum
provided for by Section eight of said Chapter, as amended.
Pursuant to Chapter 92 of the Acts of 2020, as amended, including without limitation by Chapter 2 of the Acts of
2023, the Town Meeting shall be held through a hybrid of in person meeting and remote participation by the means
requested by the Moderator as follows:
Town Meeting members will either attend the meeting in person at Margery Milne Battin Hall, or via remote
participation. The meeting will be facilitated by use of: (1) the Zoom videoconferencing platform, (2) the online
voting tool developed by Select Board member Joe Pato and (3) an online queuing function developed by Select
Board member Joe Pato to facilitate debate. Other Town residents who wish to follow the proceedings may do so by
attending the meeting in person in the areas reserved for non -Town Meeting Members, or via LexMedia at https://
www.youtube.com/user/LexMediaMATV. Other residents who wish to participate in the Meeting may email the
Town Clerk's Office at clerkAlexin tog nma.gov and by completing the online form at
www.lexin tog nma•gov/town-meeting.
For more information, please see the Moderator's letter dated December 31, 2023 to the Select Board attached to
this warrant as Appendix A.
ARTICLE 2 ELECTION OF DEPUTY MODERATOR AND REPORTS OF TOWN BOARDS,
OFFICERS AND COMMITTEES
To see if the Town will vote to approve the Deputy Moderator nominated by the Moderator; receive the reports of
any Board or Town Officer or of any Committee of the Town; or act in any other manner in relation thereto.
(Inserted by the Select Board)
DESCRIPTION: This article remains open throughout Town Meeting and reports may be presented at any Town
Meeting session by boards, officers, or committees. In addition, the Town will consider the approval of the
nomination of a Deputy Moderator as authorized under Section 118-11 of the Code of the Town of Lexington.
ARTICLE 3 APPOINTMENTS TO CARY LECTURE SERIES
To see if the Town will authorize the appointment of the committee on lectures under the wills of Eliza Cary
Farnham and Susanna E. Cary; or act in any other manner in relation thereto.
(Inserted by the Select Board)
11
DESCRIPTION: This is an annual article that provides for the appointment of citizens to the Cary Lecture Series by
the Moderator.
FINANCIAL ARTICLES
ARTICLE 4 APPROPRIATE FY2025 OPERATING BUDGET
To see if the Town will vote to make appropriations for expenditures by departments, officers, boards and
committees of the Town for the ensuing fiscal year and determine whether the money shall be provided by the tax
levy, by transfer from available funds, by transfer from enterprise funds, or by any combination of these methods; or
act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: See the most recent version of the FY2025 budget proposals posted at http://
lexingtonma.gov/budget.
DESCRIPTION: This article requests funds for the FY2025 (July 1, 2024 -June 30, 2025) operating budget. The
operating budget includes the school and municipal budgets. The operating budget includes requests for funds to
provide prospective salary increases for employees, including salaries to be negotiated through collective bargaining
negotiations. The budget also includes certain shared expenses.
ARTICLE 5 APPROPRIATE FY2025 ENTERPRISE FUNDS BUDGETS
To see if the Town will vote to appropriate a sum of money to fund the operations of the DPW Water and
Wastewater Divisions and the Department of Recreation and Community Programs; determine whether the money
shall be provided by the estimated income to be derived in FY2025 from the operations of the related enterprise, by
the tax levy, by transfer from available funds, including the retained earnings of the relevant enterprise fund, or by
any combination of these methods; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED:
Enterprise Fund
p
FY2023
FY2024
FY2025
Appropriated
Appropriated
Requested
a) Water
Personal Services
$769,073
$8921639
$9231470
Expenses
$454,419
$577,500
$6141400
Debt Service
$1,1951179
$2,3751661
$113251768
MWRA Assessment
$814931467
$91342,814
$1012771096
Total Water Enterprise Fund
$1099129138
$1391889614
$1391409734
b) Wastewater
Personal Services
$348,279
$4211922
$4221910
Expenses
$335,965
$517,400
$5361400
Debt Service
$1,561,467
$1,4061381
$114491549
MWRA Assessment
$8,4321789
$913491530
$10,2841483
Total Water Enterprise Fund
$1096789500
$1196959233
$1296939342
c) Recreation and Community Programs
Personal Services
$1,449,636
$116821935
$117891916
Expenses
$113181614
K5881814
$115791751
Total Recreation and Community
Programs Enterprise Fund
$297689250
$39271,749
$3,3699667
DESCRIPTION: Under Massachusetts General Laws Chapter 44, Section 53F1/2, towns may establish Enterprise
Funds for a utility, health care, recreation or transportation operation, with the operation to receive related revenue
5
and receipts and pay expenses of such operation. This article provides for the appropriation to and expenditure from
three enterprise funds previously established by the Town. The Recreation and Community Programs Fund
includes the operations and programs for the Community Center.
ARTICLE 6 APPROPRIATE FOR SENIOR SERVICES PROGRAM
To see if the Town will vote to appropriate a sum of money for the purpose of conducting a Senior Services Tax
Relief Program, to be spent under the direction of the Town Manager; to authorize the Select Board to establish and
amend rules and regulations for the conduct of the program, and determine whether the money shall be provided by
the tax levy, by transfer from available funds or by any combination of these methods; or act in any other manner in
relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $15,000
DESCRIPTION: In FY2007, the Town established a Senior Services Tax Relief Program that provides more
flexibility than the State program in assisting low-income seniors and disabled residents in reducing their property
tax bills. This article requests funds to continue the program.
ARTICLE 7 SUSTAINABLE CAPITAL PROJECTS
To see if the Town will vote to appropriate a sum of money for sustainable capital projects including electric vehicle
charging equipment and related infrastructure improvements; the study, design, purchase and installation of solar
collector, canopy, rooftop or other solar energy collection systems, including battery storage and any costs
incidental or related thereto; and 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; and further to determine whether the Town
will authorize the Select Board to apply for, accept, and expend in anticipation of federal and state aid for such
sustainable projects, or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $65,000
DESCRIPTION: This article requests funds for sustainable capital projects which may include the purchase and
installation of electric vehicle chargers in municipal and public parking lots, the study, design and construction of
rooftop solar or solar canopies, including battery storage, and other projects intended to move the Town towards
achieving its sustainability goals. For a description of the proposed sustainability projects, see Section XI: Capital
Investment section of the FY2025 budget. The most recent version of the capital section can be found at http://
www.lexingtonma.gov/fy25capital.
ARTICLE 8 ACCEPT TUCKER AVE (Westernmost portion)
To see if the Town will vote to establish as a Town way and accept the layout of as a Town way Tucker Ave from
Carville Avenue a distance of 300 feet, more or less, to the accepted portion of Tucker Avenue, as laid out by the
Select Board, and to take by eminent domain, purchase or otherwise acquire any, fee, easement, or other interest in
land necessary therefor; and raise and appropriate money for the construction of said street and for land acquisition;
determine whether the money shall be provided in 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.
(Inserted by the Select Board)
FUNDS REQUESTED: $30,000
DESCRIPTION: This article has been requested by residents of Tucker Ave to have the street brought up to Town
standards and accepted by the Town. The total cost of bringing the street up to Town standards will be borne by the
residents through the assessment of betterments.
ARTICLE 9 ESTABLISH AND CONTINUE DEPARTMENTAL REVOLVING FUNDS
To see if the Town will vote, pursuant to the Massachusetts General Laws Chapter 44, Section 53E1/2 and Chapter
110 of the Code of the Town of Lexington, to continue existing revolving funds; to amend said Chapter 110 to
ON
establish new revolving funds; to determine whether the maximum amounts that may be expended from such new
and existing revolving fund accounts in FY2025 shall be the following amounts or any other amounts; or act in any
other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED:
Program or Purpose for Revolving Funds
FY2025
Authorization
School Bus Transportation
$111501000
Building Rental Revolving Fund
$6329000
Regional Cache - Hartwell Avenue
$0
Lexington Tree Fund
$1201000
DPW Burial Containers
$601000
DPW Compost Operations
$85900
Minuteman Household Hazardous Waste Program
$25000
Senior Services
$751000
Residential Engineering Review
$571600
Health Programs
$1101000
Lab Animal Permits
$401000
Tourism Revolving Fund
$5581000
Refuse and Recycling Collection
$0
DESCRIPTION: The amount that may be spent from a revolving fund established under Massachusetts General
Laws Chapter 44, Section 53E1/2 must be approved annually by Town Meeting. The Funds are credited with the
receipts received in connection with the programs supported by such funds, and expenditures may be made from the
revolving fund without further appropriation.
ARTICLE 10 APPROPRIATE FOR THE FY2025 COMMUNITY PRESERVATION COMMITTEE
OPERATING BUDGET AND CPA PROJECTS
To see if the Town will vote to hear and act on the report of the Community Preservation Committee on the FY2025
Community Preservation budget and, pursuant to the recommendations of the Community Preservation Committee,
to appropriate from the Community Preservation Fund, or to reserve amounts in the Community Preservation Fund
for future appropriations; for the debt service on previously authorized financing; for the administrative expenses of
the Community Preservation Committee for FY2025; for the acquisition, creation and preservation of open space;
for the acquisition, preservation, rehabilitation and restoration of historic resources; for the acquisition, creation,
preservation, rehabilitation and restoration of land for recreational use; for the acquisition, creation, preservation
and support of community housing; and for the rehabilitation or restoration of open space and community housing
that is acquired or created with moneys from the Community Preservation Fund; to appropriate funds for such
projects and determine whether the money shall be provided by the tax levy, or from estimated Community
Preservation Act surcharges and the state match for the upcoming fiscal year, by transfer from available funds,
including enterprise funds, by borrowing, or by any combination of these methods; or act in any other manner in
relation thereto.
(Inserted by the Select Board at the request of the Community Preservation Committee)
7
FUNDS REQUESTED:
a. Cary Memorial Library Renovation — $4,000,000
b. Archives and Records Management — $20,000
c. Park Improvements — Athletic Fields — Bowman School — $545,000
d. Lincoln Park Fitness Stations Equipment — $160,000
e. Park Improvements — Hard Court Surfaces — Valley Rd — $492,000
f. Lincoln Park Field Improvements — $1,145,000
g. LexHAB Support, Restoration, Preservation, and Decarbonization — $482,365
h. Lexington Housing Authority Exterior Preservation — $100,000
i. Affordable Housing Trust Funding — $3,200,000
j . Projected Debt Service — $681,200
k. Administrative Budget — $150,000
DESCRIPTION: This article requests that Community Preservation funds and other funds, as necessary, be
appropriated for the projects recommended by the Community Preservation Committee and for administrative costs.
The total project cost for the Cary Memorial Library Renovation is $5,500,000, of which $1,500,000 has been
committed by the Cary Memorial Library Trust, and the remaining $4,000,000 appropriation is requested in this
article.
ARTICLE 11 APPROPRIATE FOR RECREATION CAPITAL PROJECTS
To see if the Town will vote to appropriate a sum of money for recreation -related capital projects and equipment;
and determine whether the money shall be provided by the tax levy, by transfer from available funds, including the
Recreation and Community Programs Enterprise Fund, by borrowing, or by any combination of these methods; or
act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Recreation Committee)
FUNDS REQUESTED: $110,000
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 12 APPROPRIATE FOR MUNICIPAL CAPITAL PROJECTS AND EQUIPMENT
To see if the Town will vote to appropriate a sum of money for the following capital projects and equipment:
a) Transportation Mitigation;
b) Heavy Vehicle Extrication Equipment;
c) Ambulance Replacement;
d) Equipment Replacement;
e) Sidewalk Improvements;
fl Hydrant Replacement;
g) Townwide Signalization Improvements;
h) Stormwater Management Program;
i) Cemetery Columbarium -Design;
j) Public Parking Lot Improvement Program;
H
k) Network Core Equipment Replacement;
1) Municipal Technology Improvement Program;
m) Network Redundancy &Improvement Plan;
n) Network Technology Improvements;
o) Scanning -Electronic Document Management; and
p) Election Equipment Upgrade;
and authorize the Select Board to take by eminent domain, purchase or otherwise acquire, any fee, easement or
other interests in land necessary therefor; determine whether the money shall be provided by the tax levy, by
transfer from available funds, including enterprise funds, by borrowing, or by any combination of these methods;
determine if the Town will authorize the Select Board to apply for, accept, expend and borrow in anticipation of
state aid for such capital improvements; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $10,253,686
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 13 APPROPRIATE FOR WATER SYSTEM IMPROVEMENTS
To see if the Town will vote to make water distribution system improvements, including the installation of new
water mains and replacement or cleaning and lining of existing water mains and standpipes, the replacement or
rehabilitation of water towers, engineering studies and the purchase and installation of equipment in connection
therewith, in such accepted or unaccepted streets or other land as the Select Board may determine, subject to the
assessment of betterments or otherwise; and to take by eminent domain, purchase or otherwise acquire any fee,
easement or other interest in land necessary therefor; appropriate money for such improvements and land
acquisition and determine whether the money shall be provided by the tax levy, water enterprise fund, by transfer
from available funds, including any special water funds, or by borrowing, or by any combination of these methods;
to determine whether the Town will authorize the Select Board to apply for, accept, expend and borrow in
anticipation of federal and state aid for such projects; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $2,288,900
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 14 APPROPRIATE FOR WASTEWATER SYSTEM IMPROVEMENTS
To see if the Town will vote to install and line sanitary sewer mains and sewerage systems and replacements and
upgrades to pump stations thereof, including engineering studies and the purchase of equipment in connection
therewith; in such accepted or unaccepted streets or other land as the Select Board may determine, subject to the
assessment of betterments or otherwise, in accordance with Chapter 504 of the Acts of 1897, and acts in addition
thereto and in amendment thereof, or otherwise; and to take by eminent domain, purchase or otherwise acquire any
fee, easement or other interest in land necessary therefor; appropriate money for such installation and land
acquisition and determine whether the money shall be provided by the tax levy, the wastewater enterprise fund, by
transfer from available funds, including any special wastewater funds, by borrowing, or by any combination of these
methods; to determine whether the Town will authorize the Select Board to apply for, accept, expend and borrow in
anticipation of federal and state aid for such wastewater projects; or act in any other manner in relation thereto.
FUNDS REQUESTED: $1,1111210
(Inserted by the Select Board)
9
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 15 APPROPRIATE FOR SCHOOL CAPITAL PROJECTS AND EQUIPMENT
To see if the Town will vote to appropriate a sum of money to maintain and upgrade the schools' technology
systems and equipment; 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.
(Inserted by the Select Board at the request of the School Committee)
FUNDS REQUESTED: $1,323,050
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 16 APPROPRIATE FOR PUBLIC FACILITIES CAPITAL PROJECTS
To see if the Town will vote to appropriate a sum of money for capital improvements and renovations, including
new construction to public facilities for:
a) Public Facilities Bid Documents;
b) Public Facilities Interior Finishes;
c) School Paving and Sidewalks; and
d) Public Facilities Mechanical/Electrical/Plumbing Replacements;
and determine whether the money shall be provided by the tax levy, by transfer from available funds, including
enterprise funds, by borrowing, or by any combination of these methods; to determine if the Town will authorize the
Select Board to apply for, accept, expend and borrow in anticipation of state aid for such capital improvements; or
act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $4,855,000
DESCRIPTION: For a description of the proposed projects, see Section XI: Capital Investment section of the
FY2025 budget. The most recent version of the capital section can be found at http://www.lexingtonma.gov/
fy25capital.
ARTICLE 17 APPROPRIATE TO POST EMPLOYMENT INSURANCE LIABILITY FUND
To see if the Town will vote to appropriate a sum of money to the Town of Lexington Post Retirement Insurance
Liability Fund, as established by Chapter 317 of the Acts of 2002; determine whether the money shall be provided
by the tax levy, by transfer from available funds, including enterprise funds, or by any combination of these
methods; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This article will allow the Town to continue to fund its liability for post -employment benefits for
Town of Lexington retirees. Beginning with the FY2007 audit, the Town has been required to disclose this liability.
Special legislation establishing a trust fund for this purpose was enacted in 2002.
ARTICLE 18 RESCIND PRIOR BORROWING AUTHORIZATIONS
To see if the Town will vote to rescind the unused borrowing authority voted under previous Town Meeting articles;
or act in any other manner in relation thereto.
10
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: State law requires that Town Meeting vote to rescind authorized and unissued debt that is no
longer required for its intended purpose.
ARTICLE 19 ESTABLISH, AMEND, DISSOLVE AND APPROPRIATE TO AND FROM SPECIFIED
STABILIZATION FUNDS
To see if the Town will vote to create, amend, dissolve, rename or appropriate sums of money to and from
Stabilization Funds in accordance with Massachusetts General Laws, Section SB of Chapter 40, for the purposes of:
(a) Section 135, Zoning By -Law; (b) Traffic Mitigation; (c) Transportation Demand Management/Public
Transportation; (d) Special Education; (e) Center Improvement District; (f) Transportation Management Overlay
District; (g) Capital; (h) Payment in Lieu of Parking; (i) Visitors Center Capital Stabilization Fund; (j) Affordable
Housing Capital Stabilization Fund; (k) Water System Capital Stabilization Fund; and (1) Ambulance Stabilization
Fund; determine whether such sums shall be provided by the tax levy, by transfer from available funds, from fees,
charges or gifts or by any combination of these methods; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This article proposes to establish, dissolve, and fund Stabilization Funds for specific purposes and
to appropriate funds therefrom. Money in those funds may be invested and the interest may then become a part of
the particular fund. These funds may later be appropriated for the fund's specific designated purpose by a majority
vote of an Annual or Special Town Meeting.
ARTICLE 20 APPROPRIATE FOR PRIOR YEARS' UNPAID BILLS
To see if the Town will vote to raise and appropriate money to pay any unpaid bills rendered to the Town for prior
years; to determine whether the money shall be provided by the tax levy, by transfer from available funds, or by any
combination of these methods; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This is an annual article to request funds to pay bills after the close of the fiscal year in which the
goods were received or the services performed and for which no money was encumbered.
ARTICLE 21 AMEND FY2024 OPERATING, ENTERPRISE AND CPA BUDGETS
To see if the Town will vote to make supplementary appropriations, to be used in conjunction with money
appropriated under Articles 4, 5, 9, and 10 of the warrant for the 2023 Annual Town Meeting, and Article 4 of the
warrant for the Special Town Meeting 2023-1, to be used during the current fiscal year, or make any other
adjustments to the current fiscal year budgets and appropriations that may be necessary; to determine whether the
money shall be provided by transfer from available funds including the Community Preservation Fund; or act in any
other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This is an annual article to permit adjustments to current fiscal year (FY2024) appropriations.
ARTICLE 22 APPROPRIATE FOR AUTHORIZED CAPITAL IMPROVEMENTS
To see if the Town will vote to make supplementary appropriations to be used in conjunction with sums
appropriated in prior years for the installation or construction of water mains, sewers and sewerage systems, drains,
streets, buildings, recreational facilities or other capital improvements and equipment that have heretofore been
authorized; determine whether the money shall be provided by the tax levy, by transfer from the balances in other
11
articles, by transfer from available funds, including enterprise funds and the Community Preservation Fund, by
borrowing, or by any combination of these methods; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This is an annual article to request funds to supplement existing appropriations for certain capital
projects in light of revised cost estimates that exceed such appropriations.
ARTICLE 23 APPROPRIATE OPIOID SETTLEMENT
To see if the Town will vote to appropriate amounts received from Statewide Opioid Settlements between the
Massachusetts Attorney General and non -bankrupt opioid industry participants, for the funding of prevention, harm
reduction, treatment and recovery programs as further detailed in the Massachusetts State -Subdivision Agreement
for Statewide Opioid Settlements, or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: Unknown at press time
DESCRIPTION: This article will allow the Town to spend abatement funds received from the Statewide Opioid
Settlement for purposes and programs outlined in the settlement agreement, including supplementing and
strengthening community resources available to residents and families for substance use disorder prevention,
education, harm reduction, treatment, and recovery programs.
ARTICLE 24 APPROPRIATE FUNDING FOR SEMIQUINCENTENNIAL COMMISSION
To see if the Town will vote to raise and appropriate a sum of money for the celebration of the 250th Anniversary of
the Battle of Lexington, including personnel costs, supplies, event support, planning, promotion and advertising
therefor, as coordinated by the Semiquincentennial Commission-Lex250 with the approval of the Select Board; and
determine whether the money will be provided by the tax levy, by transfer from available funds, or by any
combination of these methods; or act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Semiquincentennial Commission (Lex250))
FUNDS REQUESTED: $500,000
DESCRIPTION: The amount requested is to fund initial startup costs of planning and coordinating the events for
the yearlong celebration of the 250th Anniversary of the Battle of Lexington which will take place in 2025. Time
frame for events is anticipated to be Fall of 2024 through Fall of 2025.
ARTICLE 25 PINE MEADOWS CLUBHOUSE RENOVATION
To see if the Town will vote to appropriate a sum of money for the renovation of the Pine Meadows Golf Course
Clubhouse, including architectural and engineering services, original equipment, furnishings, landscaping, solar
energy collection system installation; and any additional costs incidental or related thereto; and determine whether
the money shall be provided by the tax levy, by transfer from available funds, including enterprise funds, by
borrowing, or by any combination of these methods; or act in any other manner in action relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $2,575,000
DESCRIPTION: A Feasibility Study and Design of this project were funded at the 2022 Annual Town Meeting and
2023 Annual Town Meeting, respectively. This third phase of the project will fund the construction costs of the
Pine Meadows Clubhouse, including building envelope and interior renovations, the installation of solar panels, and
improvements to achieve ADA compliance.
12
ARTICLE 26 APPROPRIATE FOR DESIGN FUNDS FOR LEXINGTON HIGH SCHOOL
CONSTRUCTION PROJECT
To see if the Town will vote to appropriate, borrow or transfer from available funds, an amount of money to be
expended under the direction of the School Building Committee for a Feasibility Study, including design,
engineering and architectural services for the Lexington High School located at 251 Waltham St, Lexington, MA
02421, for which Feasibility Study the Town may be eligible for a grant from the Massachusetts School Building
Authority ("MSBA"). The MSBA's grant program is a non -entitlement, discretionary program based on need, as
determined by the MSBA, and any costs the Town incurs in connection with the Feasibility Study in excess of any
grant approved by and received from the MSBA shall be the sole responsibility of the Town and any amount of
borrowing authorized pursuant to this Article shall be reduced by any grant amount set forth in the Feasibility Study
Agreement that may be executed between the Town and the MSBA; or act in any other manner in relation thereto.
(Inserted by the Select Board)
FUNDS REQUESTED: $10,000,000
DESCRIPTION: In spring of 2022, the Massachusetts School Building Authority voted to accept the Lexington
High School project into the MSBA reimbursement program. The Special Town Meeting 2022-2 appropriated
$1, 825,000 to conduct a feasibility study as the first phase of the project. This article would fund the second design
phase of the process, under MSBA guidance. These design funds will allow the project to advance through the
Schematic Design Phase and determine construction cost estimates for a future construction appropriation.
ARTICLE 27 APPROPRIATE FOR RENOVATION OF 173 BEDFORD STREET
To see if the Town will vote to raise and appropriate a sum of money for remodeling, reconstructing, and making
extraordinary repairs to the building at 173 Bedford Street, including engineering and architectural services, original
equipment, furnishings and all costs incidental or related thereto to provide swing space for the School
Administration or other municipal departments; and determine whether the money will 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.
(Inserted by the Select Board)
FUNDS REQUESTED: $6,000,000
DESCRIPTION: This article requests funds for renovation of 173 Bedford Street to include full ADA compliance
including an elevator, a fire suppression system, an HVAC system, and minor modifications to the interior spaces.
This building is intended to be used as swing space for the School Administration department until the construction
project at Lexington High School is complete.
GENERAL ARTICLES
ARTICLE 28 SELECT BOARD TO ACCEPT EASEMENTS
To see if the Town will vote to authorize the Select Board to acquire by purchase, gift, eminent domain or otherwise
accept, easement interests for trails, drainage, sewer, utility or other public purposes, on such terms and conditions
and in a final location or locations as the Select Board may determine, or act in any other manner in action relation
thereto.
(Inserted by the Select Board)
DESCRIPTION: This article would permit the Select Board to accept easements for trails and utility infrastructure
in order to allow these amenities to be built and conveyed to the Town as required in accordance with many land
use permits, as opposed to requiring each such easement to be approved by Town Meeting.
ARTICLE 29 AMEND THE GENERAL BYLAW - NOISE CONTROL
To see if the Town will vote to amend or replace the Noise Control Bylaw, Chapter 80 of the Code of the Town of
Lexington to:
13
a. Provide clarity related to construction -related noise complaints;
• Clarify that ledge work includes a broad set of techniques;
• Clearly identify legal holidays during which construction noise is limited;
• Allow the Building Commissioner to require noise monitoring and reporting as part of a noise
mitigation plan and identify required elements of the mitigation plan;
• Clarify that noise mitigation plans must be prepared by a credentialed noise mitigation consultant
and provide conditions under which the Building Commissioner is authorized to require a noise
mitigation plan;
• Increase penalties;
• Consolidate enforcement authority; and
b. Delay the implementation of the gas -powered leaf blower prohibition for commercial landscapers by one
year to March 15, 2026. § 80-4H(6); or
act in any other manner in relation thereto.
(Inserted by the Select Board)
DESCRIPTION: The Noise Bylaw Working Group was assembled to review the current noise control bylaw. This
article addresses changes that will make the bylaw clearer for construction noise definition and to delay the leaf
blower prohibition by a year.
ARTICLE 30 PROHIBITION OF SINGLE USE FOOD CONTAINERS (Citizen Petition)
Prohibition of the following items
• Food establishments are not allowed to dispense prepared food or beverages to any person in single use
food containers made from foam polystyrene.
• Food establishments are not allowed to dispense plastic stirrers.
• Retail establishments are not allowed to sell or distribute single use food containers made from foam
polystyrene to customers.
• Retail establishments are not allowed to sell or distribute to customers any packing material that is made in
whole or in part from foam polystyrene.
In addition
• Any helium balloons must be sold with weighted attachments designed to limit unintentional release.
• Retail establishments are not allowed to sell or distribute dishware and containers that are not reusable,
compostable, or recyclable to consumers.
• Retail establishments are not allowed to sell or distribute packing materials that are not reusable,
compostable, or recyclable to consumers.
• Food establishments are not allowed to dispense prepared food and beverages in dishware/containers larger
than 4 ounces that are not reusable, compostable, or recyclable.
• Food establishments are not allowed to automatically provide single use accessories (including in takeout
orders) whether orders are placed online, via phone, or in person. Single use accessories may be provided
only upon request of the consumer. Single use accessories may not be prepackaged in sets. Food
establishments may have single use accessories available at self-service stations.
• Full service food establishments can only use reusable food and beverage serviceware for dine -in
customers.
• Retail establishment are not allowed to sell single use water bottles
*Note: Prohibited materials for dishware, containers, and packing include, but are not limited to, foam polystyrene,
black plastic, and paper lined with petroleum -based plastic.
Fines
• Any food or retail establishment which violates any part of this ordinance will be subject to the following
fine schedule:
• First offense: Warning
14
• Second offense: $100.00 fine
• Third offense: $200.00 fine
• Fourth and subsequent offenses: $300.00 fine.
• Each day a violation occurs shall constitute a separate offense
(Inserted by Thomas Wanderer and 9 or more registered voters)
DESCRIPTION: In 2018, Town Meeting passed a ban on polystyrene food containers. This article expands upon
that ban to include retail items and to establish fines for any food or retail establishment that violates this bylaw.
ARTICLE 31 PROHIBIT SINGLE -SERVE PLASTIC WATER BOTTLES (Citizen Petition)
To see if the Town will vote to prohibit or restrict the sale of drinking water in single -serving plastic bottles in the
Town; or take any other action in relation thereto.
(Inserted by Thomas Wanderer and 9 or more registered voters)
DESCRIPTION: In 2018, Town Meeting passed a ban on polystyrene food containers. This article expands upon
that ban to include retail items and to establish fines for any food or retail establishment that violates this bylaw.
ARTICLE 32 OLD SPRING STREET NAME CHANGE
To see if the Town will vote to formally change the name of Spring Street (aka Old Spring Street) from the
intersection with Spring Street to the terminus of the roadway at the Cul-de-Sac to "Old Spring Street"; or act in any
other manner in relation thereto.
(Inserted by the Select Board)
DESCRIPTION: Some residents at the dead end portion of Spring Street have voiced concerns over confusion
caused by this street having a duplicate name to the street that it intersects with. There has been a request that the
street be renamed to "Old Spring Street". Although the street sign identifies the street as Old Spring Street there is
no record of the street name formally being changed This article would formally make the change which also
officially changes the addresses of those that live on the street.
ARTICLE 33 AUTHORIZE THE SELECT BOARD TO SEEK AFFORDABLE HOUSING
To see if the Town will vote to authorize the Select Board to sell, lease or otherwise dispose of Town -owned land
described as parcel 68-44 located on Lowell Street near the northeast corner of North Street and Lowell Street for
the purposes of developing affordable housing thereon, and to authorize the Select Board or its designee to enter
into a Land Disposition Agreement and associated agreements in connection therewith; or to act in any other
manner thereto.
(Inserted by the Select Board at the request of the Affordable Housing Trust)
DESCRIPTION: In 1978, the Select Board was authorized by Annual Town Meeting to accept land, including a
parcel containing approximately 3.12 acres, as a gift of Route 3 surplus land from the Commonwealth of
Massachusetts `for conservation, recreation and housing purposes" (Article 50, April 26, 1978 Annual Town
Meeting. "Parcel 101" in Article 50 is parcel 68-44.) The Select Board unanimously voted on September 18, 2023
to support the AHT proceeding with investigating development of affordable housing on this parcel. This article
would authorize the Board or its designee to offer the parcel for development by a private affordable housing entity
subject to a land disposition agreement to be negotiated by the Board or its designee.
ARTICLE 34 AMEND GENERAL BYLAWS - TREE BYLAW - TREE PROTECTION PLAN
To see if the Town will vote to amend Chapter 120 of the Code of the Town of Lexington, Trees, to require the
participation of a certified arborist in the preparation of tree protection plans required under the bylaw, to set a
minimum standard for the survival of retained trees, and to provide additional enforcement methods; or act in any
other manner in relation thereto.
(Inserted by the Select Board at the request of the Tree Committee)
15
DESCRIPTION: This amendment requires that a certified arborist provide a tree protection plan for protected trees
that are not removed and for public trees in the right-of-way of a property under construction. It further requires
that the certified arborist affirm that protections are correctly installed before site work begins, that trees survive for
one year after construction.
ARTICLE 35 AMEND GENERAL BYLAWS - TREE BYLAW - REQUIRE MITIGATION PLANTING
IN CERTAIN INSTANCES
To see if the Town will vote to amend Chapter 120 of the Code of the Town of Lexington, Trees, to require planting
of trees as part of mitigation for removal of trees and to set a minimum standard for the survival of newly planted
trees; or act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Tree Committee)
DESCRIPTION: This amendment would mandate tree planting when protected trees have been removed, with no
option to pay a fee in lieu of replanting in certain circumstances.
ARTICLE 36 AMEND GENERAL BYLAWS - TREE BYLAW - EXEMPTIONS
To see if the Town will vote to amend Chapter 120 of the Code of the Town of Lexington, Trees, to specify the
requirements under which town boards, committees or officials may grant an exemption under the Tree Bylaw; or
act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Tree Committee)
DESCRIPTION: This amendment would further specify the requirements for exemption from the bylaw for
hazardous trees and certain invasive tree species.
ARTICLE 37 IMPORTANCE OF TREES RESOLUTION (Citizen Petition)
To see if the Town will adopt a resolution declaring the importance of trees to the town's sustainability, quality of
life, and public health, and calling on the Town to use all appropriate measures to promote a robust tree canopy, in
balance with other pressing public needs including housing and the production of solar energy, or act in any other
manner in relation thereto.
(Inserted by Charles Wyman and 9 or more registered voters)
DESCRIPTION: This article seeks Town Meeting adoption of a resolution declaring that trees are vitally important
to the current and future quality of life and health of those residing, working, and visiting in Lexington, and
directing the Town to take appropriate steps to protect and expand the town's tree canopy
ARTICLE 38 AMEND REGULATION OF FOSSIL FUEL INFRASTRUCTURE BYLAW -MEET
DEPARTMENT OF ENERGY RESOURCES (DOER) REQUESTED CHANGES
To see if the Town will vote to make amendments to the Town's Regulation of Fossil Fuel Infrastructure (Chapter
106 of the Code of the Town of Lexington) recommended by the Massachusetts Department of Energy
Resources' (DOER); or act in any other manner in relation thereto.
(Inserted by the Select Board)
DESCRIPTION: The Town of Lexington submitted an application in August 2023 to DOER to be one of ten
communities granted authority to regulate fossil fuels in new construction and major renovations. Upon review of
Lexington's fossil fuel free bylaw, DOER recommended that the Town makes two amendments in order to better
match the program guidelines and the bylaws/ordinances of other participating communities. The first change is to
remove the existing exemption for indoor cooking and indoor fireplaces. The second change is to update the
definition of "major renovation" to match the definition in the program regulations.
16
ARTICLE 39 HOME RULE PETITION TO ADJUST THE NUMBER OF ON -PREMISE WINE AND
MALT ALCOHOL LICENSES
To see if the Town will vote to authorize the Select Board to petition the General Court for Home Rule Legislation
authorizing the Select Board, as the local licensing authority, to issue additional licenses for the sale of wine and
malt beverages to be drunk on the premises; or act in any other manner in relation thereto.
(Inserted by the Select Board)
DESCRIPTION: This article would increase the number of on premises wine and beer licenses that the Select Board
can currently issue based on the updated population numbers.
ARTICLE 40 INTEGRATED PEST MANAGEMENT RESOLUTION (Citizen Petition)
To see if the Town will vote to adopt a resolution to encourage adoption of Integrated Pest Management (IPM)
Policies for the Town that in part prohibits the use of certain rodenticides on Town properties, including second
generation anticoagulant rodenticides (SGARs); provides for waivers; provides for educating the public about
rodenticide hazards to human health and the ecosystem and IPM alternatives; and further establishes such
definitions and provisions necessary to effectuate a policy to protect Lexington's citizens, children, wildlife, and
ecosystem; or to act in any other manner in relation thereto.
(Inserted by Marci Cemenshua and at least 9 other voters)
DESCRIPTION: Many wild animals (and some domestic pets) are being poisoned by second generation
anticoagulate rodenticides (SGARs) and this often leads to severe illness or death. This resolution would seek to
have the town develop IPM policies that prohibit the use of SGARs, allows for waivers, and provides for public
education on the dangers and alternatives to these poisons.
ARTICLE 41 MASSACHUSETTS BAY TRANSPORTATION AUTHORITY
To see if the Town will vote to endorse a resolution calling for improvements to service provided to the Town of
Lexington by the Massachusetts Bay Transportation Authority; or take any action related thereto.
(Inserted by Select Board at the request of the Transportation Advisory Committee)
DESCRIPTION: The purpose of this resolution is to appeal to the MBTA and its current service that runs through
Lexington. and with the passage of Article 34 of the ATM 2023, the committee believes the MBTA needs to re-
evaluate its service.
ARTICLE 42 DIGITAL PUBLICATION OF LEGAL NOTICES (Citizen Petition)
To see if the Town will vote to authorize and request the Select Board to petition the Massachusetts General Court
to allow the Town to satisfy requirements for legal notices set forth in the general laws by allowing the publication
of notices on the Town's website and/or in a local digital newspaper, along with the option of continuing the current
practice of publication in a newspaper of general circulation; or take any action relative thereto.
(Inserted by Diane Pursley and 9 or more registered voters)
DESCRIPTION: This article would authorize digital communications to satisfy legal requirements set forth in the
general laws.
ARTICLE 43 VOTING RIGHTS 16 AND OLDER (Citizen Petition)
To determine if the Town will authorize and request the Select Board to petition the General Court of the
Commonwealth for Home Rule Legislation to allow any citizens in the Town of Lexington, notwithstanding the
provisions of M.G.L. 51, Sections 1, and Section 47A, who have reached the age of 16 or older, to register and vote
in municipal elections within the Town, or to take any action in relative thereto.
17
(Inserted by Kunal Botla and 9 or more registered voters)
DESCRIPTION: This article would authorize the Select Board to petition the General Court for Home Rule
Legislation to allow any citizens in the Town of Lexington sixteen (16) or seventeen (17) years of age, and
otherwise qualified to vote, the ability to vote in municipal elections.
ARTICLE 44 AMEND GENERAL BYLAWS —CHAPTER 100 PUBLIC WAYS AND PLACES (Citizen
Petition)
To see if the Town will vote to amend Chapter 100-2 of the Code of the Town of Lexington, Use of streets,
sidewalks and public places, by adding "skate boards and scooters" to Section D (1) after "bicycles", or act in any
other manner in relation thereto.
(Inserted by Andrew Friedlich and 9 or more registered voters)
DESCRIPTION: Given the danger to pedestrians posed by people riding their bicycles on the sidewalk in the center
business district, bicycle riding has been banned there for years. With the proliferation of electric skate boards and
scooters and the speed with which they have been riding through the center, this amendment will adequately adjust
our bylaw.
ARTICLE 45 INDIGENOUS PEOPLES DAY (Citizen Petition)
That the town- adopt:
The second Monday of October shall henceforth be commemorated in Lexington as Indigenous Peoples Day, in
honor of the resilience and contributions of Indigenous peoples in our Town, the Commonwealth of Massachusetts
and our country.
(Inserted by Frances Ludwig and 9 or more registered voters)
DESCRIPTION: This article asks the Town to rename the second Monday of October to Indigenous Peoples Day.
ARTICLE 46 ROYAL FAMILY INVITATION TO 250TH CELEBRATION
To see if the Town will vote to adopt a resolution to invite selected members of the House of Windsor, the Royal
Family of the United Kingdom, to attend the events commemorating the 250th Anniversary of the Battle of
Lexington in 2025.
(Inserted by the Select Board)
DESCRIPTION: This article would formally invite the members of the House of Windsor, the Royal Family of the
United Kingdom to attend events commemorating the 250th Anniversary of the Battle of Lexington.
ZONING ARTICLE
ARTICLE 47 AMEND ZONING BYLAW - SIGNS
To see if the Town will vote to amend Section 5.2 and Section 10.0 of the Zoning Bylaw to update regulations
related to signs and add new definitions for certain types of signs; or act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Planning Board)
DESCRIPTION: This article would amend the signage section of the Zoning Bylaw to comply with recent case law;
increase the allowed number, location, and area for certain signs; allow additional types of signs; and streamline the
sign approval process.
ARTICLE 48 AMEND ZONING BYLAW - SHORT TERM RENTALS
To see if the Town will vote to amend Section 6.10 of the Zoning Bylaw to modify regulations pertaining to short
term rentals; or act in any other manner in relation thereto.
(Inserted by the Select Board at the request of the Planning Board)
18
DESCRIPTION: This amendment would amend the Zoning Bylaw regulating short term rentals with modifications
to limit a property to one listing, prohibit combination with rooming units, and limit the number of vehicles.
ARTICLE 49 AMEND ZONING BYLAW - PERMITTED USES AND DEVELOPMENT STANDARDS
To see if the Town will vote to amend Section 3.4 Table 1 (Table of Permitted Uses and Development Standards)
and Section 10A (Definitions) of the Zoning Bylaw to modernize allowed uses and definitions for eating and
drinking establishments; and permit additional uses in commercial zoning districts; or act in any other manner in
relation thereto.
(Inserted by the Select Board at the request of the Planning Board)
DESCRIPTION: This amendment would amend the Zoning Bylaw's Table of Permitted Uses with updated eating
and drinking establishment uses, amend in which districts uses are allowed, and modify their definitions.
ARTICLE 50 AMEND ZONING BYLAW - INCLUSIONARY HOUSING FOR VILLAGE AND MULTI-
FAMILY OVERLAY DISTRICTS
To see if the Town will vote to amend Section 7.5.12.1 of the Zoning Bylaw to require greater than 10% of a
project's total dwelling units to be inclusionary units for developments in the Village and Multi -family Overlay
Districts to comply with MBTA Communities; or act in any other manner in relation thereto.
(Inserted by the Select Board at the Request of the Planning Board)
DESCRIPTION: This article would amend the inclusionary housing requirements to comply with revised guidance
from the Executive Office of Housing and Livable Communities (EOHLQ under G.L. c. 40A, Section 3A.
ARTICLE 51 AMEND ZONING BYLAW — MAXIMUM HEIGHT FOR VILLAGE OVERLAY
DISTRICT
To see if the Town will vote to amend Section 7.5.5.10.a of the Zoning Bylaw, Chapter 135 of the Code of
Lexington, to base eligibility for the mixed -use height bonus in the Village Overlay (VO) District on the type of
underlying district and the floor areas of uses across the entire development; or act in any other manner in relation
thereto.
(Inserted by the Select Board at the Request of the Planning Board)
DESCRIPTION: This article would change which mixed -use developments in the VO District are eligible fora 52'
or 60' maximum height to be based on the type of underlying district (commercial or residential) and the proportion
of uses across the entire development, rather than the street floor only and whether the uses are permitted in the
underlying district.
ARTICLE 52 AMEND ZONING BYLAW AND MAP - TECHNICAL CORRECTIONS
To see if the Town will vote to approve certain amendments to the Zoning Bylaw and Zoning Map that are clerical
in nature to correct any typographical errors, create consistency, or make other non -substantive changes; or act in
any other manner in relation thereto.
(Inserted by the Select Board at the request of the Planning Board)
DESCRIPTION: This article would not change the Zoning Bylaw or Zoning Map in any substantive way, but would
correct typos, changes to section references for consistency, and correct any errors discovered during the public
hearings for zoning amendments.
ARTICLE 53 AMEND ZONING MAP - 507 BEDFORD STREET (Owner Petition)
To see if the Town will vote to Amend the Zoning Map to add the property known as Assessor's Map 88, Lot 73C
(507 Bedford Street) as shown on the map on file with the Town Clerk to the Village and Multi -family Overlay
(MFO) District; or act in any other manner in relation thereto.
(Inserted by Annol Wassan, land owner)
19
DESCRIPTION: This article would add the property located at 507 Bedford Street to the Bedford Street North
Village and Multi -Family Overlay Zoning District which is described in Section 7.5 of the Zoning Bylaw.
ARTICLE 54 AMEND ZONING MAP- 509 BEDFORD STREET (Owner Petition)
To see if the Town will vote to Amend the Zoning Map to add the property known as Map 88, Lot 73B (509
Bedford Street) as shown on the map on ale with the Town Clerk to the Village and Multi -Family Overlay (MFO)
District; or act in any other manner in relation thereto.
(Inserted by Paul Rossi, landowner)
DESCRIPTION: This article would add the property located at 509 Bedford Street to the Bedford Street North
Village and Multi -Family Overlay Zoning District which is described in Section 7.5 of the Zoning Bylaw.
And you are directed to serve this warrant not less than seven days at least before the time of said meeting, as
provided in the Bylaws of the Town.
Hereof fail not, and make due return on this warrant, with your doings thereon, to the Town Clerk, on or before the
time of said meeting.
Given under our hands at Lexington this 22nd day of January 2024.
A true copy, Attest:
Constable of Lexington
Joseph N. Pato, Chair Select Board
Suzanne E. Barry
Douglas M. Lucente, of
Jill I. Hai
Mark D. Sandeen Lexington
20
TOWN MEETING MEMBERS AS OF JANUARY 18, 2024
For most current list, go to: records.lexingtonma.gov/WebLink/0/doc/2504291/Page1.aspx
AT LARGE MEMBERS Mark Allan Manasas, 6 Bennett Ave. *James Cameron Eisenberg, 5 Malt Ln.
Michael J. Barrett, 7 Augustus Rd.
Suzanne E. Barry, 159 Burlington St.
Deborah J. Brown, 47 Robinson Rd.
Michelle Ciccolo, 50 Shade St.
Jill I. Hai, 6 Highland Ave.
Douglas M. Lucente, 17 Vine Brook Rd.
Joseph N. Pato, 900 Massachusetts Ave.
Mark Sandeen, 10 Brent Rd.
Precinct 1
Term Expires 2024
Sandhya Beebee, 10 Page Rd.
Robert William Cunha, 10 Stevens Rd.
Jeffrey Paul Fennelly, 905 Massachusetts Ave.
Tanya J. Gisolfi-McCready, 22 Cliffe Ave.
Yifang Gong, 23 Rawson Ave.
Janet M. Kern, 72 Lowell St.
Carol Jeanne Sampson, 8 Brandon St.
Judith Liskov Zabin, 1 Page Rd.
Term Expires 2025
Lois Angelo, 11 Spencer St.
Larry D. Freeman, 218 Lowell St.
Stephanie Hayes Hsu, 9 Locke Ln.
Eric Jay Michelson, 45 Circle Rd.
Valerie Gale Overton, 25 Emerson Gdns
Katherine E. Reynolds, 114 Lowell St.
Term Expires 2026
John C. Bartenstein, 46 Sanderson Rd.
James C. Luker, 26 Rindge Ave.
Noah Samuel Michelson, 45 Circle Rd.
Margaret Muckenhoupt, 19 Whipple Rd
John F. Rossi, 40 Arcola St.
Bella D. Tsvetkova, 42 Lowell St.
Albert Paul Zabin, 1 Page Rd.
Precinct 2
Term Expires 2024
Marian A.O. Cohen, 8 Plymouth Rd.
Barbara Katzenberg, 37 Moon Hill Rd.
Peter B. Lee, 770 Waltham St.
Syed All Rizvi, 237 Worthen Rd. E
Kenneth J. Shine, 7 Ellis St.
Rita Vachani, 75 Blossomcrest Rd.
Amy Karen Weinstock, 33 Dawes Rd.
Term Expires 2025
Matthew Cohen, 29 Tower Rd.
Matthew P. Daggett, 11 White Pine Ln.
Rita B. Goldberg, 10 Independence Ave.
Ajay T. Joseph, 46 Golden Ave.
Ricki Pappo, 16 Blossomcrest Rd.
Emilie Rinard Webster, 7 Lexington Ave
Betsey Weiss, 8 Dover Ln.
Term Expires 2026
Avram S. Baskin , 43 Carville Ave.
Sarah S. Daggett, 11 White Pine Ln.
Carolyn M. Goldstein, 10 Peacock Farm Rd.
Jeffrey C. Howry, 5 Bennett Ave.
Jonathan E. Suber, 56 Taft Ave.
Laura W. Swain, 29 Locust Ave.
*Charles Hornig, 18 Bacon St Precinct 5
*Sean D. Osborne, 822 Massachusetts Ave.
Precinct 3
Term Expires 2024
Joshua F. Apgar, 31 Barberry Rd.
Delanot Bastien, 2002 Main Campus Dr.
Edward F. Dolan , 66 Potter Pond
Michael J. Martignetti, 37 Barberry Rd.
Ipek Ozer -Stillman, 6 Stonewall Rd.
Letha MS Prestbo, 470 Concord Ave.
Robert Rotberg, 14 Barberry Rd.
Michael J. Schanbacher, 516 Concord Ave.
Prashant Singh, 65 Munroe Rd.
Term Expires 2025
Courtney McCollum Apgar, 31 Barberry Rd.
Sallye F. Bleiberg, 960 Waltham St. #170
Christopher B. Buenrostro, 59 Potter Pond
Jeanne K. Krieger, 44 Webster Rd.
Glenn Parker, 186 Spring St.
Franklin E. Smith, 7 Potter Pond
Term Expires 2026
Bronte M. Abraham, 22 Hudson Rd.
Cynthia E. Arens, 7 Kitson Park Dr.
Norman Paul Cohen, 1010 Waltham St. #291
Steven Philip Heinrich, 11 Potter Pond
Henry S. Lau, 3215 Main Campus Dr.
Stanley Yap, 30 April Ln.
* Sudhir K. Jain, 3 Benjamin Rd.
Precinct 4
Term Expires 2024
Laura Champneys Atlee, 6 Rowland Ave.
Gloria J. Bloom, 17 Loring Rd.
Robert N. Cohen, 10 Grassland St.
Eileen S. Jay, 191 Waltham St.
Charles W. Lamb, 55 Baskin Rd.
Kathleen M. Lenihan, 60 Bloomfield St.
Jennifer Richlin, 36 Sherburne Rd.
Term Expires 2025
Nyles Nathan Barnert, 142 Worthen Rd.
Linda Boardman Liu, 18 Belfry Ter.
Lawrence Chan, 10 Hilltop Ave.
Wendy Manz, 3 Captain Parker Arms, #24
Gerald Paul, 43 Highland Ave.
Kathryn A. Roy, 382 Marrett Rd.
Sandra J. Shaw, 51 Wachusett Dr.
Term Expires 2026
Alessandro Alessandrini, 32 Slocum Rd. Michael
P. Boudett, 39 Prospect Hill Rd.
Kathryn Rivard Colburn, 49 Forest St.
Katie Ponty Cutler, 115 Kendall Rd.
Heather Lynn Hartshorn, 62 Farmcrest Rd.
Nancy Ann Shepard, 2 Baskin Rd.
Ruth S. Thomas, 10 Parker St.
*Kunal P. Botla, 40 Grapevine Ave.
* Sreenivasa Rao Chippada, 109 Kendall Rd.
* New Candidates for 2024 Annual Town Election
f Moved/Resigned
Term Expires 2024
Anil A. Ahuj a, 7 Leonard Rd. Robert
Balaban, 22 Leonard Rd.
Sarah E. Higginbotham, 21 Byron Ave.
Salvador Alexander Jaramillo, 425 Waltham St. #13
Aneesha Karody, 38 Maple St. Rita
Pandey, 102 Maple St.
Marc A. Saint Louis, 5 Brookwood Rd.
Term Expires 2025
Irene Margaret Dondley, 22 Leonard Rd.
Marilyn M. Fenollosa, 10 Marshall Rd.
Andrew Friedlich, 22 Young St.
Jerold S. Michelson, 3 Clyde Pl.
Melanie A. Thompson, 360 Lowell St.
M. Masha Traber, 106 Maple St.
John Zhiqiang Zhao, 10 Cooke Rd.
Term Expires 2026
Nancy Corcoran-Ronchetti, 340 Lowell St.
Judith Ann Crocker, 5 Currier Ct.
Anthony Grant Galaitsis, 7 Burroughs Rd.
Steven B. Kaufman, 116 East Emerson Rd.
Pamela B. Lyons, 51 Grant St.
Lin Xu, 117 Vine St.
Lily Manhua Yan, 46 Courtyard Pl.
*Alex J. Tsouvalas, 77 Grant St
TOWN MEETING MEMBERS AS OF JANUARY 18, 2024
For most current list, go to: records.lexingtonma.gov/WebLink/0/doc/2504291/Pagel.aspx
Precinct 6 Sanjay Padaki, 46 Ward St.
Term Expires 2024 Dahua Pan, 34 Balfour St.
Jodia L. Finnagan, 5 Keeler Farm Way Jessie Steigerwald, 143 Cedar St.
Edmund C. Grant, 27 Grove St. f Weidong Wang, 59 Reed St.
Jyotsna Kakullavarapu, 5 Diamond Rd.
Brian P. Kelley, 44 Grant St.
Deepika Sawhney, 6 Porter Ln.
Taylor Carroll Singh, 40 Hancock St. Vinita
Verma, 3 Graham Rd.
Term Expires 2025
Sara Gurley Bothwell Allen, 158 Burlington St.
Margaret L. Counts-Klebe, 8 Hancock Ave.
Andrea J. Fribush, 61 East St.
Frederic S. Johnson, 4 Stetson St.
Dawn E. McKenna, 9 Hancock St.
Deborah Cohen Strod, 10 Thoreau Rd.
Eran Cohen Strod, 10 Thoreau Rd.
Term Expires 2026
Thomas C. Barry, 159 Burlington St.
Jonathan Andrew Himmel, 66 Hancock St.
Morton Gerald Kahan, 44 Hancock St.
Innessa Anne Manning, 46 York St.
Bridger E. McGaw, 89 Meriam St.
Dinesh Patel, 22 Brent Rd.
Ryan Samuel Wise, 8 Berwick Rd.
*Susan A. McLeish, 665 Lowell St #52
Precinct 7
Term Expires 2024
Marsha Baker, 46 Burlington St.
f Patricia Elen Costello, 9 Preston Rd.
Philip K. Hamilton, 23 Fifer Ln.
Stacey A. Hamilton, 25 Robinson Rd.
David G. Kanter, 48 Fifer Ln.
Ravish Kumar, 7 Calvin St.
Benjamin Charles Lees, 57 Gleason Rd.
Leonard J. Morse -Fortier, 20 Bernard St.
Pamela C. Tames, 26 Bertwell Rd.
Term Expires 2025
Christian L. Boutwell, 22 Burlington St.
Mary C. Burnell, 4 Eaton Rd.
Robert Kevin Creech, 2 Grimes Rd.
Mary Causey Hamilton, 23 Fifer Ln.
Vikas Kinger, 13 Donald St.
Robert D. Peters, 43 Fifer Ln.
Term Spires 2026
Sara Cuthbertson, 541 Bedford St.
Harry Clarke Forsdick, 46 Burlington St.
Pam Hoffman, 4 Rangeway
Samita A. Mandelia, 59 Harding Rd.
Raul Marques -Pascual, 4 John Benson Rd.
Tina M. McBride, 45 Turning Mill Rd.
Umesh Shelat, 34 James St.
*Meghana Khanolkar, 63 Winter St.
Precinct 8
Term Expires 2024
Lin D. Jensen, 133 Reed St.
Brielle Kissel Meade, 17 Manning St.
James Arthur Osten, 8 Revere St.
Term Expires 2025
Victoria C. Buckley, 18 Bates Rd.
Margaret E. Coppe, 202 Katandin Dr.
Margaret S. Enders, 11 Kimball Rd.
Alix O'Brien Fox, 5 Hillside Ter.
Betty J. Gau, 64 Ward St.
Alan Mayer Levine, 54 Reed St.
Sudhir Ranj an, 155 Reed St.
Term Expires 2026
Robert M. Avallone, 21 Constitution Rd.
Lauren Deems Black, 143 Bedford St.
Shailesh Chandra, 10 Childs Rd.
Gang Chen, 24 Bellflower St.
Thomas R. Diaz, 13 Lois Ln.
Robin L. Lovett, 18 Bates Rd.
Andrei Radulescu-Banu, 86 Cedar St.
*Heidi Pasternak Burkholder, 51 Ward St.
Precinct 9
Term Expires 2024
Hemaben P. Bhatt, 8 Jean Rd.
Scott A. Bokun, 15 Middleby Rd.
Richard L. Canale, 29 Shade St.
Mollie K. Garberg, 16 Cary Ave.
Kimberly Hensle-Lowrance, 23 Tufts Rd.
Philip T. Jackson, 50 Shade St.
Ethan Paul Kiczek, 26 Tufts Rd.
Thomas R. Shiple, 18 Phinney Rd.
Term Expires 2025
Victoria Lawrence Blier, 41 Shade St.
Scott Foster Burson, 5 Willard Cir.
Rodney Cole, 80 School St.
Diana J. Donovan, 112 Shade St.
Thomas O. Fenn, 15 Shade St.
Vineeta Kumar, 14 Munroe Rd.
Janet M. Perry, 16 Ellison Rd.
Term Expires 2026,
Shireen Ahmed, 393 Lincoln St.
Mark Valerian Andersen, 2400 Massachusetts Ave.
Todd O. Burger, 386 Lincoln St.
Jeanne P. Canale, 29 Shade St.
Suzanne D. Lau, 18 Phinney Rd.
Lisah Susan Schmidt Rhodes, 482 Marrett Rd.
*Alicia M. Morris, 19 Welch Rd.
* New Candidates for 2024 Annual Town Election
f Moved/Resigned
Appendix A
4 w x
4 m
APRIL 19"'
CFX1NCY1
Town of Lexington
MODERATOR
DEBORAH BROWN
December 31, 2023
Dear Select Board Members,
DELIVERED BY EMAIL
Pursuant to Massachusetts Section 26 of Chapter 22 of the Acts of 2022, as amended by Section
47 of Chapter 2 of the Acts of 2023, I request approval to conduct the 2024 Annual Town
Meeting as a hybrid meeting. I propose to use a combination of: (1) the Zoom videoconferencing
platform, (2) the online voting tool developed by Select Board member Joe Pato, and (3) an
online queuing function developed by Select Board member Joe Pato to facilitate the process of
debate.
I certify that all components of the system described above have been fully tested and utilized
successfully for prior Town Meetings, and I am satisfied that this system enables our meetings to
be conducted in substantially the same manner whether a member is participating in person or
remotely. I certify that the system for those opting for remote participation (i) allows the
moderator, town meeting members, town officials and any other interested members of the
public to identify and hear the moderator and each town meeting member who attends and
participates in the remote meeting, as well as any other individuals who participate in the
meeting; (ii) provides the ability to determine whether a quorum is present; (iii) allows
participants to request recognition by the moderator and makes such requests visible to the
meeting participants and the public; (iv) allows the moderator to determine when a town meeting
member wishes to be recognized to speak, make a motion, or raise a point of order or personal
privilege; (v) enables the moderator to recognize a town meeting member, town official or other
individual and enable that person to speak; (vi) provides the ability to conduct a roll call or
electronically recorded vote; (vii) allows any interested members of the public to access the
meeting remotely through LexMedia for purposes of witnessing the deliberations and actions
taken at the town meeting; (viii) allows members of the public to participate in debate in -person
or through the submission of statements for or against a motion; and (ix) provides for the town
meeting to be recorded and available for future viewing. I further confirm that I have consulted
with Lexington's Commission on Disability regarding system accessibility.
Sincerely,
Deborah Brown
Town Moderator
617-512-7901
1625 MASSACHUSETTS AVENUE • LEXINGTON, MASSACHUSETTS 02420
NOTES
NOTES
Town of Lexington, MA 02420
**********ECRWSSEDDM****
Residential Customer
LEXINGTON, MA
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STANDARD
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