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HomeMy WebLinkAboutCity Council Committees - Operations and Public Safety Committee - 04/18/2023 Approved Operations and Public Safety KENT Committee WA9H... CC Ops and PS Special Meeting Minutes April 18, 2023 Date: April 18, 2023 Time: 5:08 p.m. Place: Chambers Members: Bill Boyce, Chair Brenda Fincher, Councilmember Satwinder Kaur, Councilmember Marli Larimer, Councilmember Zandria Michaud, Councilmember Les Thomas, Councilmember Toni Troutner Councilmember Agenda: 1. Call to Order 5:08 p.m. Councilmember Michaud called the meeting to order. 2. Roll Call Attendee Name Title AL Status Arrived Bill Boyce Chair Excused Brenda Fincher Councilmember Present Satwinder Kaur Councilmember Present Marli Larimer Councilmember Present Zandria Michaud Councilmember Present Les Thomas Councilmember Present Toni Troutner Councilmember Present 3. Agenda Approval There were no changes to the agenda. 4. Business A. Approval of Minutes Approval of Minutes dated April 4, 2023 MOTION: Move to approve the Minutes dated April 4, 2023 ........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................... Page 1 of 2 Operations and Public Safety Committee CC Ops April 18, 2023 and PS Special Meeting Kent, Washington Minutes ......................................................................................................................................................................................................................................................................................................._............................................................................................................................................................................................................... RESULT: APPROVED [UNANIMOUS] MOVER: Les Thomas, Councilmember SECONDER: Toni Troutner, Councilmember AYES: Fincher, Kaur, Larimer, Michaud, Thomas, Troutner B. Payment of Bills - Approve MOTION: I move to approve the payment of bills received through 4/15/23 and paid on 4/15/23 and approve the checks issued for payroll 4/1/23 - 4/15/23 and paid on 4/20/23, all audited by the Operations and Public Safety Committee on 4/18/23. RESULT: MOTION PASSES [UNANIMOUS] Next: 5/2/2023 7:00 PM MOVER: Les Thomas, Councilmember SECONDER: Toni Troutner, Councilmember AYES: Fincher, Kaur, Larimer, Michaud, Thomas, Troutner C. INFO ONLY: accesso ShoWare Center Update accesso ShoWare General Manager, Tim Higgins, gave a general update on the event center. Higgins advised of several challenges they have experienced including cancellations, rescheduling and increased staffing costs. He reported on upcoming shows and events including three new shows to be announced in the upcoming weeks. Higgins covered recent purchases as well as projects planned for 2023-2024, including the concession stand re- branding and updating the security cameras. An Income Statement for 2022, the 2023 accesso ShoWare Center Budget, and the first quarter Income Statement were provided. 5. Adjournment 5:38 p.m. Councilmember Michaud adjourned the meeting. KLv►�Ley Kamoto- Committee Secretary ........................................................................................................................................................................................................................................................................................................................................................................................................................................................................................................... Page 2 of 2 i accesso ShoWare Center Income Statement For the Twelve Months Ending December 31,2022 I Year to Date Year to Date Actual Budget EVENT INCOME Direct Event Income Rental Income $ 1,155,667 $ 951,453 Service Revenue 398,935 177,488 Service Expenses (1,623,817) (919,463) Total Direct Event Income (69,215) 209,478 Ancillary Income F&B Concessions 922,865 1,143,622 F&B Catering 209,913 154,505 Novelty Sales 15,581 0 i Total Ancillary Income 1,148,359 1,298,127 Other Event Income Other Event Related Income 0 0 Luxury Box Ticket Sales 43,686 12,863 j Chub Seat Ticket Sales 0 0 Event Advertising Income 0 0 Ticket Rebates 417,165 236,775 A Facility Fees 243,644 401,093 Total Other Event Income 704,495 650,731 Total Event Income 1,783,639 2,158,336 I OTHER OPERATING INCOME VIP Parking 31,616 0 Luxury Box Agreements 41,881 74,520 Club Seat Agreements 128,551 96,241 Advertising 514,474 511,788 Shuttered Venue Operating Grant 675,000 0 Total Other Operating Income 1,391,522 682,549 Adjusted Gross Income 3,175,161 2,840,885 INDIRECT EXPENSES Salaries&Wages 2,245,818 1,974,448 Payroll Taxes&Benefits 494,855 400,917 Labor Allocations to Events (849,382) (697,411) Net Salaries and Benefits 1,891,291 1,677,954 Contracted Services 201,002 212,940 General and Administrative 568,790 476,844 Operating 136,276 159,800 Repairs&Maintenance 139,476 166,162 Operational Supplies 86,412 90,750 Insurance 152,820 132,250 Utilities 585,286 522,400 i Other 0 0 I SMG Management Fees 157,999 153,500 Allocated Expeneses 0 0 i 1 Total Indirect Expenses 3,919,352 3,592,600 Net Income(Loss) ($ 744,191) ($ 751,715) An ASm Global Managed Facility ShoWare Center-2023 BUDGET JANUARY 1,2023 TO DECEMBER 31,2023 Income Statement I Total Event Income Direct Event Income Rental Income 1,213,869 Service Income 278,985 Service Expenses (1,774,679) Total Direct Event Income (281,825) Ancillary Income F&B Concessions 1,234,721 F&B Catering 131,554 Novelty Sales 6,000 Other Ancillary - Total Ancillary Income 1,372,275 Other Event Income Luxury Box Ticket Sales 27,085 Ticket Rebates(Per Event) 495,850 Facility Fees 541,750 Total Other Event Income 1,064,685 Total Event Income 2,155,135 Other Operating Income 659,159 Adjusted Gross Income 2,814,294 Operating Expenses Employee Salaries and Wages 2,336,618 Benefits 473,049 Less: Event Labor Allocations (1,001,673) Net Employee Wages and Benefits 1,807,994 Contracted Services 232,115 General and Administrative 473,732 Operations 127,161 Repair&Maintenance 181,419 Supplies 88,240 Insurance 179,908 Utilities 537,660 Other - SMG Management Fees 159,640 Less:Expenses Allocated - Total Operating Expenses 3,787,870 Net Income(Loss)From Operations (973,576) i j I { i I i I accesso ShoWare Center Income Statement For the Three Months Ending March 31,2023 Current Month Current Month Year to Date Year to Date Actual Budget Actual Budget EVENT INCOME I Direct Event Income Rental Income $ 151,077 $ 181,519 $ 383,656 $ 421,263 Service Revenue 90,684 49,848 193,721 123,373 Service Expenses (310,094) (242,440) (686,063) (567,155) Total Direct Event Income (68,333) (11,073) (108,686) (22,519) Ancillary Income F&B Concessions 227,222 199,594 479,449 471,663 F&B Catering 49,534 27,153 97,968 59,088 Novelty Sales 13,464 3,000 15,903 3,000 Total Ancillary Income 290,220 229,747 593,320 533,751 Other Event Income i Other Event Related Income 0 0 0 0 Luxury Box Ticket Sales 25,507 5,000 26,519 8,500 Club Seat Ticket Sales 0 0 0 0 Event Advertising Income 0 0 0 0 Ticket Rebates 53,631 45,150 75,838 77,800 i Facility Fees 51,026 67,125 104,638 149,350 i Total Other Event Income 130,164 117,275 206,995 235,650 Total Event Income 352,051 335,949 691,629 746,882 OTHER OPERATING INCOME VIP Parking 3,500 0 4,475 0 Luxury Box Agreements 7,924 7,056 16,996 18,144 Club Seat Agreements 23,741 16,944 58,073 50,833 Advertising 43,883 42,821 132,713 128,462 Shuttered Venue Operating Grant 0 0 0 0 Total Other Operating Income 79,048 66,821 212,257 197,439 I Adjusted Gross Income 431,099 402,770 903,886 944,321 INDIRECT EXPENSES i Salaries&Wages 284,708 194,715 722,989 584,155 Payroll Taxes&Benefits 66,380 37,274 177,916 137,591 Labor Allocations to Events (143,975) (83,473) (369,122) (250,421) I Net Salaries and Benefits 207,113 148,516 531,783 471,325 Contracted Services 15,127 19,344 53,334 58,030 General and Administrative 56,088 36,734 178,629 134,649 Operating 12,592 12,666 42,020 37,992 Repairs&Maintenance 10,451 12,719 40,876 38,155 I Operational Supplies 13,520 7,354 31,454 22,060 Insurance 14,472 13,814 42,758 41,442 Utilities 49,970 44,805 148,682 134,417 Other 0 0 0 0 SMG Management Fees 13,303 13,303 39,910 39,910 Allocated Expeneses 0 0 0 0 1 Total Indirect Expenses 392,636 309,255 1,109,446 977,980 Net Income(Loss) $ 38,463 $ 93,515 ($ 205,560) ($ 33,659) An ASM Global Managed Facility