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Council PKT 01-26-2008CITY OF FEDERAL WAY CITY COUNCIL AND MANAGEMENT TEAM Annual Strategic Planning `Retreat Saturday, 26 January 2008 8:30 a.m. — 4:00 p.m. Community Center, Senior Lounge 876 South 333rd Street, Federal Way AGENDA THIS MEETING'S GOAL. While preparing for this Retreat, Council members expressed, in various ways, a common interest in the sustainability of Federal Way. "Sustainability" was discussed in terms of physical structures, the natural environment, jobs, and human and organizational relationships. To address the Council's interest, the agenda is structured to identify and discuss strategies that capitalize on recent progress in these four areas, and continue the work of strengthening the community's sustainability. NOTE: Refreshments will be served beginning at 8 o'clock so come early to enjoy them and be prepared to begin the; meeting precisely at 8:30. IV 8:30 Welcome! Review Today's Purpose 8:35 Review Agenda and Ground Rules 8:40 A Review. and Assessment of 2007 ■ What were our most important accomplishments in 2007? ■ What factors produced these accomplishments? ■ Was anything not as successful as we expected? If so, what was it and what factors prevented or limited success? 9:05 The City's Mid- and Long-term Financial Outlook ■ To set the stage for today's discussions, Iwen will present the mid- and long-term outlook for the City's finances. ■ What does this financial picture indicate about challenges facing the City and choices available to us? Mayor Jack Dovey Jim Reid Council/Mgmt. Team Iwen Wang/Everyone (Attachment 1) V VI 9:45 Sustaining the Community Physically The Community Center ■ As the community center comes upon its first anniversary, what are some of the themes or lessons learned about opening and operating it? ■ What are the Council's interests in implementing its business model and sustaining its programs and services? ■ What are we currently doing to achieve our interests? ■ What other strategies might we consider to achieve them? The Performing Arts Center ■ With completion of the feasibility study, what issues must we address in considering a performing arts center for the community? ■ What is or should be the timing for considering the issues and making a decision? Additional Issues ■ Are there other issues related to the community's physical sustainability, such as the future of the Dumas Bay Center, that should be addressed or highlighted? 11:15 break 11:25 Sustaining the Community Environmentally ■ As part of the mid -biennial budget adjustment, the Council authorized the purchase of hybrid cars and allocated $80, 000 for the development of a "Green City" strategic plan. In 2007 Mike Park attended a U.S. Mayors' summit in Seattle on `green initiatives. " ■ What specific ideas might be considered in the strategic plan? ■ What issues and factors, such as costs or community involvement and support, should be considered? 12:15 lunch Donna Hanson/Everyone (Attachment 2) Neal/Everyone (Attachment 3) Everyone Ken Miller/Everyone (Handouts at Retreat) VII. 1:00 Sustaining Federal Way Economically Everyone ■ We are making our vision for downtown a reality. Are there other things we are interested in doing to sustain economic vitality in downtown and throughout the City, including helping to sustain small and ethnic businesses or attracting new businesses to the City ? Vill IX. X. 2:00 break 2:15 Sustaining Community and Organizational Relations Communicating Our Vision Jack/Everyone (Attachment 4) ■ What are we doing well when communicating our vision to our fellow citizens and to business and community groups? ■ What tools are available to communicate our vision and demonstrate progress in achieving it? ■ What might we do to be even more effective in communicating our vision and the things we are doing to achieve it to them? ■ Of these ideas, what might Council members do as a team and individually to communicate our messages to the public? Coordinating with Other Governments Jack/Everyone ■ In what ways can we help the School District, Lakehaven and the Fire District achieve their interests, and how do we need them to do to help us achieve ours? ■ Since we are all working on behalf of the same general constituency, are there ways to combine our efforts to be more efficient and cost-effective, particularly in a time of declining revenues? ■ How do we assess other relationships, such as those with our federal and state legislative delegations, or our sister cities? Is there anything more we need from these relationships, or do we need to change how we approach them? Additional Issues Everyone ■ Are there other relationships that affect or influence our ability achieve our goals that we should discuss? 3:40 Other Issues on the Horizon Everyone ■ During the interviews with Jim Reid, Council members voiced interest in a wide range of issues. In this brief discussion we will `put on the table" the handful of issues that we think may require the City's attention and action in the next 3-5 years. 3:55 What are We Taking Away from Today 's Meeting? Everyone 4:00 adjourn c 'financial Position Update Federal Way City Council Retreat January 26, 2008 Lakota Park joint development (2008/09) ■ Performing Arts Center (2009) ■ Green -city Strategic Plan implementation (2009) ■ LIFT investments city match (2009) Facilitate public uses/offices in city center (2009) ■ Maintenance facility (2012) ■ Regional jail (2012) ■ Existing facility up-keep/preservation ■ Sacajawea Park ■ Camp Kilworth master planning ■ Affordable Housing 2 Demands on Resources (continuAa) ■ Class/Comp study implementation cost ■ Staffing level concerns ■ Support for not -for -profits (historical, cultural, arts, human services....) ■ Neighborhood and small business development * Community Center subsidy ■ Dumas Bay Center subsidy -03 Financial C-/apocity Operation: ❑ Structural gap between General Fund revenues and expenditures, if managed carefully, could be filled by utility tax transfer up to 2014. Capital: ❑ Reduced availability of utility tax. ❑ Increasing reliance on REET, which is more susceptible to economic changes and less predictable, for capital purposes. ■ ong-`Fe m: ❑ Caution on managing operating budget with utility tax being a limited resource. ❑ Depend on the results of economic development efforts, new operating costs will be needed to support the growth. ❑ New operating and capital resources likely will be needed to meet new demands on resources. 4 Firow Federal Way Compare Jurisdiction Kent Population 86,660 2007 Sales Tax Receipts $ 24,339,404 rr Property Tax Rate $ 2.56 Value $ 10,265,869,683 0r Property: Tax ReceiptsPro $ 26,210,870 I p- $ 50,550,274 Renton 60,290 20, 342,171 2.88 8, 370, 801, 805 24, 031,181 44, 373, 352 Auburn Tu kw ila 50,500 18,000 17,617,191 19, 280, 840 2.73 2.84 5,790,590,299 3, 947, 933, 512 15,730,875 11,177, 715 33,348,065 30,458, 555 Federal Way 87,390 13,028,680 1.14 8,011,615,599 9,098,370 22,127,050 Burien 31,410 4,962,626 1.51 3,470,451,166 .......................... 51183,331 4,675,386 10,145,957 Des Moines Milton Pac if is 29,090 , 520 L6,055 2,149,152 883, 933 F= 865,532 1.81 2,619,389,509 6,824,538 1.68 1.58 656,461, 848 519, 940,406 1,098,762 1,982,696 955,358 1, 820, 889 Property Tax represent total tax revenues without adjusting for different city services or voter approved taxes. 2006 Per Capita General Fund Revenue* Average Population: 38,468 Average GF Revenue: $34,4951053 Per Capita GF Revenue: $815 FW Population: 8500 FW GF Revenue $33,9629768 Per Capita GF Revenue: $396 *For better comparability the General Fund revenues are adjusted to exclude fire and library costs for jurisdictions providing those services. w- Sky komis l Tukw ila Issaquah Hunts Point Medina Snoqualmie Seattle Seatac Woodinville Redmond Bothell Auburn Yarrow Point Clyde Hill Kirkland Bellevue Mercer Island North Bend Renton Kent Algona Black Diamond Sammamish Beaux Arts Village Enumclaw Pacific Carnation New castle2 Duvall Kenmore Shoreline Burien Normandy Park Lake Forest Park Des Moines2 Maple Valley Covington Federal Way $500 $1,000 $1,500 $2,000 $2,500 Amounts are averaged over 10 years and excluding utilities/enterprise funds. Federal Way 25, 785, 931 5,548,286 135, 015, 755 140, 564, 041 5.45 Kent 54, 325, 201 10, 694, 099 319, 624, 040 330, 318,139 6.08 Renton 36,111, 852 3,346,980 151, 057, 754 154, 404, 734 4.28 Auburn 35, 369,194 472,380 46, 568,191 47, 040, 571 1.33 Tukwila 29,430, 569 1,333,080 27, 220,190 28, 553, 270 0.97 Operating Budget $60 $ 50 $40 $ 30 $20 $10 $0 - Utility Tax Transfer Support General/Street M&O Operating Revenue -- Base General/Street Total General/Street Expenditures 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 Baseline Assumptions ...does not include any new programs or staffing changes. Sales Tax $ 12.41 33.01 % $ 13.42 $ 15.47 2.55% M&O Utility Tax (Including Prop 1) 2.12 5.64% 6.59 15.46 22.461/6 Property Tax 8.88 23.63% 9.16 10.01 1.56% Gambling Tax 1.36 3.63% 1.55 1.55 0.00% CJ Sales 1.95 5.20% 2.25 2.85 4.42% Street M&O Fuel Tax 1.19 3.16% 1.18 1.18 0.00% State Shared Revenues 1 16 3.09% 1.16 1.52 5.17% Franchise and License Fee 1 11 2.95% 1.29 1.63 4.33% Permit/Development Services 3.23 8.60% 2.97 3.27 1.69% Interfund Service M&O 0.63 1.67% 0.68 0.81 3.23% Other Services 1.63 4.33%° 1.28 1.28 0.00%° Misc Fees 0.94 2.50%1 1.01 1 1.01 1 0.00% Fines & Forfeiture 0.97 2.58% 1.24 1.35 1.56% Overall Revenue Growth Rate OperatingGeneral Wages $ 37.59 19.21 100.00%1 53.88% $ 43.76 1 23.62 $ 57.38 29.88 1 5.19% 4.00% Benefits 5.16 14.48% 6.83 11.77 9.509% M&O supplies 1.17 3.29% 0.97 1.03 1.000/1 Services (utility, repair and maintenance) 5.18 14.52% 5.61 6.70 3.00% Intergovernmental (Jail, 911, KC, WSDOT) 3.65 10.23% 4.42 5.92 5.00% Depreciation/Replacement Reserve 1 1.28 3.60% 1.77 2.11 3.00% Total $ 36.65 100.00% $ 43.21 $ 57.42 5.48% Annual Difference 1 $ 1.94 $ 0.54 1 $ (0.03) 9 Utility Tax Allocation $20 __- ■ Conymnity Center/KJP $18 ■ Add'I GF Transfer $16 a, proposition 1 Utility Tax $14 Project M & O Utility Tax — — — $12 Capital Utility Tax $10 - $8 $6 - - -- $4 - - $2 $0 - 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 m Change in Uses of Utility Tax 2007 Captial vs. M&O Utility Tax 2014 Captial vs. M&O Utility Tax Note: Utility tax is general purpose revenue and is typically used for operating purposes by Washington Cities. 11 Past and Projected Capital Soucces ... City portion only $18 $15 $12 $9 $6 $3 General Fund 1-Time m Park/Trail Levy ■ New Fuel Tax Arterial Street Fuel Tax r Capital Utility Tax REET $0 W - -- - ��@1 F 0 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 12 FO)ast and Pro ected City Capital Sourceg • --- . and Potential Allocation Capital Utility Tax $ 10,018 $ 5,575 $ 6,348 $ 6,708 $ 6,569 $ 6,928 $ 6,828 $ 6,222 $ 3,901i $3,880 $ 3,1323 $ 3,054$2,568 BEET New Fuel Tax 6,895 - 2,555 - 2,852 - 3,079 - 4,696 91 5,500 252 4,899 475 3,300 475 3,300 475 3,300 475 3,300 475 3,300 475 3,300 475 3;300 475 Parkl7rail Levy 9 10 10 9 10 10 10 157 159 181 163 166 168 10 M isc Revenue 389 220 717 334 186 129 4,035 147 149 162 169 187 189 192 Total City Sources T7,312 8,359 9,926 L 10,130 1 11,532 12,819 1 13,245 1 10,301 7,989 1 7,978 1 7,930 7,181 1 6,934 6,545 Potentlai A/tocation Capital -- DT & LIFT M atch - - - - 3,050 2,771 500 1,500 1,000 1,000 1,000 - - - Capital -- Facilites/PAC - - - - - - - - 4,792 925 925 925 925 925 Capital -- Park&Rec - - 950 1,250 409 480 1,646 344 1,878 1,657 1659 1,661 916 757 Capital --TIP - 2,084 2,053 1,625 2,423 1,143 2,975 2,975 1,971 2,018 2,096 2,177 2,262 W2,051^ Capita[ -- Overlay 987 1,007 1,100 1,194 891 891 1,400 1.800 1,496 1,544 1,621 1702 1,787 1,576 Capital--EmergencyEq - 1,381 - - - - - - Capital --SLM/Facility - - - - - - 400 - - - Debt Service 4,749 4,485 15,863 5,532 4,452 3,618 10,943 1,204 1,205 1,206 1,207 1,208 1,209 1,209 Subtotal Committed 5,736 7,576 19,966 9,601 11,224 8,903 19,245 7,823 12,341 8,350 8,507 7,673 7,098 6,519 Current Balance 11,575 783 (10,040) 529 308 3.917 (3,000) 2,478 (4,353) (372) (577) (491 (164) 26 Cumulative Fund Balance 11,575 12,358 2,318 2,847 3,155 7,072 4,072 6,550 2,197 1,825 1,247 756 592 1 618 Note: 2001 utility tax and REET figures include amounts set aside for the early retirement of 1993 Celebration Park acquisition bond of $11.3 million in 2003. 13 Near -Term Strategy ■ Continue to use utility tax for operation purposes ■ Manage and stabilize expenditure growth ■ Maintain transportation/overlay investment levels ■ Establish predictable, sustainable parks/recreation facility investment level ■ Continue investment in economic development including setting aside LIFT matching fund ■ Explore sharing common government services with other local governments ■ Explore parks and traffic impact fees 14 Long -Term 'Broad based business expansion & diversification • Stable staffing level & benefit costs ■ Economic development in and beyond the city center ■ Increased activities from existing businesses ■ Diversified business base: mixture of different type of services, retail, offices and other uses that would increase day and nighttime populations 15 Kisks/Challenges ■ The projections do not allow expansion in staffing or service levels ■ In addition, increased service demands from increased development activities may not be fully addressed ■ Timeline to realize gain from economic development efforts is uncertain ■ Potential slowdown of regional economy ■ Manage labor contract costs/general wage increases 16 BalancingTools Available to Council .. this is simply a list of options available if and when needed, staff is not advocating or suggesting Council to take action. ■Operating and Capital Purposes: ❑ Property tax lid lift ❑ Admissions Tax ❑ Business & Occupation Tax ❑ Additional utility tax * ❑ Form additional special districts (& access to additional property tax) ❑ Adjust user fees ❑ Combining/sharing common governmental services ❑ Service reductions and/or reprioritization * Requires simple majority voter approval. 17 Capital Funding Tools Additional Revenue Options for Capital Bonds (supported by voter approved special levy) Special assessment or business improvement areas * �` Impact fees * * Requires super majority voter or property owner approval. 18 [Mrs,get Process Action [Mrs,get Process • i ■ General overview of long-term financial Council Retreat January 26, 2008 ■ Council discuss priorities ® Customer service survey Communitywide Spring 2008 ■ Review survey findings Council study April/May ■ Review updated financial projections session ■ Council provide policy directions ■ Department develop proposed budget Staff June —August ■ Community outreach Civic/neighborhood August - group meetings September ■ CM Proposed Budget to Council Council regular October 7, 2008 meeting 19 19 Questions? 20 FEDERAL WAY COMMUNITY CENTER: COMPARISON OF 9-MONTH ACTUALS TO THE BUSINESS PLAN This Table provides a comparison of the actual financial results for the first nine months of Federal Way Community Center (FWCC) operations with the adopted Business Plan. The Business Plan projected subsidy of around $112,8921 however, the 9-month actual difference of nearly 270k. an operating deficit or for the 9-month mark is about $382,460, a For the first full year of operations, the Business Plan projected a total subsidy of $198,405 and $289,994 for Year Twoz. We are forecasting an actual subsidy of about $480,000 for year one and $530,000 for year two. In comparison, the last annual subsidy for the Kenneth Jones Pool was around $250,000 (budgeted deficit was $31 %000). The City Council designated 1% of the City's utility tax to cover debt service and support the FWCC. In 2007, that portion of the utility tax generated $1.5 million. After deducting the debt service payment of $913k, the balance of $587k is available for the FWCC's operations, which would be sufficient to provide anticipated subsidy in the foreseeable future. While we believe there will be sufficient funds to cover the revised operating subsidy, it may leave little or no room to provide replacement and renewal reserves, which was recommended at a level of $120,000 annually in the business plan. The reserve fund will become increasingly important over the next few years in order for the FWCC to sustain its customer base and maintain its operation results. Per Business Plan = Actual 9-Mo ` 9-Mo Community? Center Unit Price `,Quantity Planned $ Avg Price Quantity Actual $ Revenues - � .R.. u_u 310 418,500� 8 $4.5_ ��....... 176 2173481 Daily Admission (360_days) $5 Generic Annual Passes" $401 133899 5565322� _ $534.43� 899 399,443 Youth Athletic Programs - 57 Open Gym/Indoor Playground Aquatics Programs-Lessons/Classes 106,680 96,900 Childcare Fees (average daily hours) $2 38 20,196 $2.00 15 83018 Fitness Training Fees $15 938 143063 $15.00 331 4,970 Fitness Programs Lumpsum 15;000 1,920 Towel/equipment Rentals Pool�Rentals/Competitive-Lap Lanes lumpsum 11,250 $12.00 1,882 22,589 3,600 $150 60 81980 Pool Rentals/Private (hours/$ per hour) $150 24 $100 306 30,600 $125 327 40,861 Party/BD .. ._. . -------------- _.. _w_� Facility Rental (Event/Banquet/Meeting) _ m $12329 1, 48 633555 $13329 54 72,180 2,628 Pro Shop Merchandise Sales 63825 � _ 10,800 71913 ConcesstonsiVending . _e 21461 Incremental Increase in Senior Program 33750 n .,..� p....-.HwR� �xa...._..,....,..�aa, General Interest Programs ��:�,m...�.,_a.�ma.�t...�... �,.u.�.� .�. ..�........R er,R�.............. 41693 � 43500 17,634 Miscellaneous/Interest Earnings Total Revenue 1,265,641 9t189727 &penditures 908,310 783,309 Personnel Costs 103,691 1232820 Supplies Other Services & Charges 2605694 2653644 Intergovernmental 81641 16,500 59085 Capital Internal Service Charges 89,339 104,688 Total lxpendittt res 1,378,533 15291,187 Operating Rev Over / (Under l�tp) (112,892) (382,460) The Business Plan projection for passholder-revenue is based on the number of"generic annual passes," In practice, we offer passes i t various durations. Therefore, the city's 3-month and 6- month passes were converted to annual level in order to compares with the Business Plan projections. ' The total projected annual subsidy of $300k includes $120k annual set -aside for replacement reserves and $26.5k revenue loss due to closure of KLCC, which affects and is accounted for in the General Fund. Therefore, the net "Operating Subsidy" is $153k annually or $113k for the 9-month period. 2 Reflects cost of living adjustments applied to operating costs. Federal Way Community Center 2008 Strategic Planning Recommendations . Po ni1e$B .: _ . : Enhance customer experience by greeting Eliminate daily admission charge for Re -visit building hours -revise according Contract marketing, graphics, sales patrons as they enter and exit. Set expectation that spectators, a goodwill gesture. to actual usage. work for one year. every patron receive at least one staff contact. Completion Date: On -Going Completion Date: Done Completion Date: 6/1/08 Completion Date: 2008 Focus on front desk cleanliness and efficiency. Reduce gym rental rates to match those Re -visit building policies for age Develop promotional discount in the regional market. guidelines. pricing. Completion Date: Immediate Completion Date: 2/ 1 /08 Completion Date: 3 / 1 /08 Completion Date: 3 x's annually Implement clothing standards (logo wear) to Discount "off-peak" business meeting rental Expand the opportunities for and use of Finalize building signage - i.e. electronic ensure consistent identification of customer service rates, MT, 8 am-5 pm. Implement non-profit the Senior Lounge. signage, and update city vehicle signage staff. rates for rentals - between 20-30% off for FW non -profits. program. Completion Date:4/1/08 Completion Date:2/1/08 Completion Date; 6/1/08 Completion Date:6/1/08 Develop a Customer Retention Committee to Implement low-income fees Consider the addition of beginning Pilates Develop community connections w/youth follow-up w/passholders and keep passes as passholder amenity. and family market, i.e., sign-ups for Little renewed. League - one time, low-cost opportunities. Completion Date: Done Completion Date: 2/15/08 Completion Date: 4/1/08 Completion Date: On -Going Schedule additional customer service training Restructure corporate/business extended pass Develop specialty programs which will be for lead staff. Develop a "self -guided tour." rates. discounted for passholders, higher for non-passholders. (i.e. Fitness for Families) Completion Date:3/l/08 Completion Date:4/1/08 Completion Date: 1/08; On -Going Develop a Customer Intercept Survey 2'x year Evaluate all pass rates, especially Adult rates. Consider Implement coffee/snack bar. for customer feedback. revising 3-month pass to a "summer only" pass and review viability of 6-month pass. Completion Date: 03&09/08 Completion Date: 7/1/08 Completion Date: 6/1/08 Implement "secret shopper" program to survey Revise annual pass, implement $5 convenience current customer experience, both current and fee for those who pay monthly. "first time" users. Completion Date: 5/l /08 Completion Date: 4/1/08 Consider converting 1-2 positions from part-time Revise age guidelines for fee assessment -current fee is to FTE lead lifeguards for consistent customer youth age 3 and under free change to age 2 and under service. free. Completion Date: 09-10 Budget lCompletion Date: 2/15/08 FEDERAL WAY COMMUNITY CENTER: COMPARISON OF 9-MONTH ACTUALS TO THE BUSINESS PLAN This Table provides a comparison of the actual financial results for the first nine months of Federal Way Community Center (FWCC) operations with the adopted Business Plan, The Business Plan projected an operating deficit or subsidy of around $112,8921 for the 9-month mark however, the 9-month actual is about $382,460, a difference of nearly 270k. For the first full year of operations, the Business Plan projected a total subsidy of $198,405 and $289,994 for Year Tw02. We are forecasting an actual subsidy of about $480,000 for year one and $530,000 for year two. In comparison, the last annual subsidy for the Kenneth Jones Pool was around $250,000 (budgeted deficit was $319)000). The City Council designated 1% of the City's utility tax to cover debt service and support the FWCC. In 2007, that portion of the utility tax generated $1.5 million. After deducting the debt service payment of $913k, the balance of $587k is available for the FWCC's operations, which would be sufficient to provide anticipated subsidy in the foreseeable future. While we believe there will be sufficient funds to cover the revised operating subsidy, it may leave little or no room to provide replacement and renewal reserves, which was recommended at a level of $120,000 annually in the business plan. The reserve fund will become increasingly important over the next few years in order for the FWCC to sustain its customer base and maintain its operation results. Per Business Plan Actual 9-Mo 9=Mo Community Center Unit Price'Quantity Planned $ Avg Price Quantity 'Actual $ Revenues _ Daily Admission (360 days) $5 310 4183500 $4.58 176 217,481 Generic Annual Passes** $401 1,389 556,322 $534.43 899 399,443 _ � _... _ e w .r .e__.., _».uel ... Youth Athletic Programs Open Gym/Indoor Playground 57 » » _ I. » �.. AquaticsPrograms-Lessons/Classes 1063680 96,900 » Childcare Fees (average daily hours) $2 38_ _..._. 20,196 _ $2.00 _ » e 8,018 _15 r Fitness Training Fees $15 938 14,063 $15.00��331 45970� Fitness Programs-�Lumpsum _ 15,000 _ 1 9�0 � _ Towel/equipment Rentals » Pool Rentals/Competitive-LapLanes lumpsum 113250 ��$12.00 1,882 22,589 Pool Rentals/Private (hours/$ per hour) $150 24 3,600 $150 60 85980 Party/BD» �m N..» $100 »306 30,600 $12S » . 327 40,861 Facility Rental (Event/Banquet/Meeting) $12329 48 633555 $1,329 54 72,180 �6,825 .mw 2,628 Pro Shop Merchandise Sales�aa 10,800 7,913 ConecssionsiVending ._. 25461 Incremental Increase in Senior Program 3,750 General Interest Programs �» -�- � »� 4 693 4,500 173634 Miscellaneous/Interest Earnings Total Revenue 19265,641 908,7Z7 Expenditures Personnel Costs 908,310 783,309 1035691 1235820 SuPPlies...._.,R 2603694 265,644 Other Services & Charges Intergovernmental 8,641� 16,500 55085 Capital Service Charges » � � » 893339 1041688 Internal Total Expenditures 153789533 1 1,2911187 Operating Rev Over / (Under Exp) (1129892')' (38214'60) ** The Business Plan projection for passholder-revenue is based on the number of "generic annual passes." In practice, we offer passes at various durations. Therefore, the city's 3-month and 6- month passes were converted to annual level in order to compares with the Business Plan projections. 1 The total projected annual subsidy of $300k includes $120k annual set -aside for replacement reserves and $26.5k revenue loss due to closure of KLCC, which affects and is accounted for in the General Fund. Therefore, the net "Operating Subsidy" is $153k annually or $113k for the 9-month period. 2 Reflects cost of living adjustments applied to operating costs. 4REENPLAYLC TireleadwyEdge InParks.Recra ri And Open SpaceCnnsuRing 3050Indusb7al Lane, Suite200, Broomfield, CO 80020, Tel. (303) 439-8369, Fax (303) 439-0628, Email. Info@GreenPlayLLC.mm, Web: WWWGrM7P/ayLLC.com City of Federal Way, Washington Parks, Recreation and Cultural Services Department Federal Way Community Center To: From: Through: Subject: Date: Mary Faber, Superintendent of PRCS Department Karon Badalamenti, CPRP and Principal, GreenPlay, LLC Chris Dropinski, CPRP and Senior Managing Member, GreenPlay, LLC Performance Benchmarking - FWCC - 6 months Revised DRAFT January 4, 2008 It is the City's desire to benchmark performance of the Federal Way Community Center against the Business Plan for its first six months of operation. Based on a set of presumptions, we offer observations and recommendations for consideration in relation to the Business Plan's fiscal goals. Draft Recommendations Draft Summary recommendations follow with more detailed analysis and specific strategies by topic area to be discussed with staff. • Participation and Financial Reports - Continue to reconcile CLASS reports with the Eden reports so it is possible to analyze where a specific shortfall is occurring or where general ledger numbers don't match. • Projected Admission Budget Variance - We have compared the total revenues received accounted through the CLASS system on a cash basis against the September 30th projected and actual performance to see where specific variances occur (please refer to the attached excel spread sheet for the complete financial analysis.) xr Passes (57 % of total $305,751 $364,230 $360,000 ($ 54,249) revenue Daily Admission (43% of $168,168 $274,767 $279,000 ($110,832) total revenue) Local $474;182 $638,997 $639,000 - ($165,081) Business Decision #1 Monthly EFT versus premium monthly fee $ 27,000 Business Decision #2 Adults free in pool area $ 38,000 Actual versus forecast #1 Average daily fee is $4.50 versus $5 budget $ 18,600 Actual versus forecast #2 Average daily admission is 207/day versus 310 $ 83,430 (103 multiplied by the actual average daily fee $4.50 x 180 days = difference over 6 months Federal Way Community Center - 6-month Performance Benchmarking Pagel of 15 The Leading Edge hrParks,; And Open SpaceCensuffing 3050Indusinal Lane, Suite 200, Broomfield, CO 80020,Tel (303) 439-8369, Fax (303) 439 0628 Email. Info@6reenPlayLLC com, Web: www.GreenPlayLLC.com Immediate Action Required: It is important to capitalize on the upcoming marketing opportunities especially in relation to the FWCC and its role and benefit to the community regarding health and wellness. This is the greatest opportunity for adult pass sales for fitness and wellness, adult fitness classes, personal training etc... 1. Holiday gift giving season for passes, personal trans ings, gift certificates, etc... 2. Launch a health and wellness campaign with New Year's resolutions, getting fit and starting the New Year out right; Make your way (treadmill, elliptical, bike or row) across Washington, etc .......... with your marketing efforts, especially in relation to health and fitness and how the center is the place for quality instructors, personal wellness assessments and training, membership/pass purchases, etc... It's their neighborhood place; it's the Healthy Heart of the Federal Way Community; it's the way to make a great day in Federal Way.......... The following can be acted upon immediately based on information known to date. • Reports and Record Keeping - continue to develop a stringent tracking system in order to produce reports to assess performance against internal benchmarking. • Fee Structure, Programs, and Attendance - consider adjustments to fee structure and payment options, and pursue policy changes that support the fee structure goals. • Marketing and Promotional Efforts - consider the addition of a full time marketing position, conduct a opinion and satisfaction survey, identify and track performance measures, increase marketing efforts with additional strategies, add new niche markets, promote the benefits and make the case for how the FWCC contributes positively to the quality of life and overall community health in the City. • Customer Service, Staff and Staff Training - focus on the customer experience, adjust the lifeguards positions to full time status, focus on consistent procedures, improve CLASS system expertise and provide more training to fully make use of its capacity. • Programming, Spaces and Rental Opportunities - add more programs that generate excess revenues over expenditures, capitalize on popular programs, optimize use of spaces, and aggressively pursue the rental market. Federal Way Community Center - 6-month Performance Benchmarking Page 2 of 15 / LC The LeadingEdge In Perks, And Open Space Cnnsufting 3050lndusb7al Lane, Suite 200, Broomfield, CO 80020, Tel (303) 439-8369, Fax (303) 439-0628,• Email. Intb@6reenP1ayLLCcom, Web: www.GreenPlayLLCcom Background and Analysis This analysis considers one-year participation and financial projections, pro -rated in the best means possible, to compare with actual performance for the six month period that the facility has been in operation. Presumptions The Business Plan was based on a January opening, and anticipated high revenue months at the start of the year (fitness) and the start of the summer (aquatics). The center actually opened in April. ■ The City prepared a nine month budget for the months of April - December based on roughly 3/4ths of the Business Plan projections for a full year. The 3/4 year budget reflects 75% of the expenditures in the business plan, however, it reflects 77% of the revenues. This difference accounts for almost $34,000 in additional projected revenues than the 75% logic would reflect. ■ The Business Plan reflects one year projections on a cash receipt basis. This means that regardless of when a facility opens or how many months it operates in the calendar or fiscal year, that the fee for any service purchased in the first year of operations is credited in that time period, in the full amount, at the time that it is paid. City financial record keeping for the facility appears to account for financial activity on an accrual basis. ■ A business plan for a facility of this nature reflects the activity of a number of smaller "businesses." A good faith effort is put forth to address each area and project the opinion of probable operating costs and revenues, knowing that in reality some areas may under perform and others will over perform based on unknowns and market changes. It is important to look at the performance of each of the areas in order to make appropriate adjustments where possible, but equally important to consider the bottom line of the collection of businesses, or the overall performance of the center, in light of the ups and downs within. An analysis of the performance of the facility by topic areas follows. 1. Schedule • Information: Typically the optimal time for a fitness amenity, that is reliant on adult annual passes, to open is January when the desire to get fit is greatest and the topic of many New Year's resolutions. The optimal time for an aquatics center to open is summer, allowing the operations to capitalize on the natural enthusiasm of kids out of school. The Federal Way Community Center Grand Opening was March 31-April 1 weekend. • Analysis: The March 31-April 1 grand opening has had a negative impact on the anticipated fitness revenues. Aquatic revenues are reflective of hitting the high summer season. It is clear from analyzing current performance trends and observations from staff that the pool is the anchor for the admission and 3-month pass sales, and that group exercise is the anchor for the adult annual passes. In the first six months, although two high revenue periods were anticipated in the Pro - forma, only one high revenue time period out of two has come into play. Federal Way Community Center - 6-month Performance Benchmarking Page 3 of 15 GREENFLAYLC The LeadiingEd� g ,Recreation And Open Space Consulting 3050 kdu567al Lane, Suite 200, Broomfield, CO 80020, Tel (303) 439-8369,• Fax (303) 439-0628, Email. In1b@6reenP1ayLLCcvm, Web: www.GreenPlayLLGam • Information: The Business Plan indicates that the facility will be closed in recognition of 3 holidays, will close early on other City holidays, and will have a one week shut down. • Analysis: The pro -forma calculations reflect a "generic' daily fee calculated to be received over 360 days per year, when in actuality the facility will operate only 355 days per year. This resulted in an overstatement of projected revenues of approximately $7,750. 2. Reports and Record Keeping • Information: The Pro -forma was constructed on a cash basis. The actual revenues collected are being accounted for on an accrual basis. • Analysis: An annual pass purchased in the first month of operating (April) currently reflect only 6 months worth of the revenue anticipated by the Pro -forma in the first year, and by the end of the budget year will only reflect 9 months worth of the revenue anticipated. If purchased in the second month only 8/12ths of the revenue is scheduled to be realized in the first budget year (2007). Therefore, based on activity through September 30, 2007, over $100,000 is being recorded as deferred revenues and is not currently credited to facility performance. This method of accounting was not anticipated by the Pro -forma. • Information: Extended Use Passes, Daily Drop -In and Event Admissions are not being tracked accurately as evidenced in the Eden financial report. • Analysis: It appears that most of the revenue is accounted for in the Daily Drop -In Admissions. Event admission is recorded at $59,000 compared to a budget of $3750, which doesn t seem reasonable. Staff are working with finance to correct this reporting. 3. Fee Structure, Programs and Attendance Fee structures vary from city to city across the state and the nation. The Federal Way Community Center Business Plan is structured to meet certain financial subsidy constraints. The final fee structure was predicated on the City's mission, financial constraints and approvals and is subject to inflationary adjustments. • Information: The Business Plan pro -forma methodology relied heavily on annual pass sales as the preferred admission option as it is a less expensive option for the patron, yet more reliable source of revenue for the City, and is it collected in advance and held by the City earning interest. The City has opted to offer the annual pass with a monthly electronic fund transfer (EFT) option. Of all passes purchased through September 30, 2007, 56% are set up on a monthly EFT. Of all annual passes purchased through September 30, 2007 (1,698 =1,611 are monthly EFT and 87 are actual annual passes), 94% are set up on a monthly EFT. • Analysis: Single payment annual pass sales make up only 3% of the total pass sales. By allowing monthly payments for the majority of annual passes sold, these passes are essentially being sold as monthly passes at the lower annual pass rate with no guarantee of a year's worth of participation. (# of EFT annual passes 1,611 x difference in annual pass and premium monthly pass rates (typical best practices Federal Way Community Center - 6-month Performance Benchmarking Page 4 of 15 305OIndustnalLane, Suite 200, Broomfield, CO 800201 Tel (303) 439.8369, Fax (303) 439-0628, Email. Info@GreenPlayLLC.com, Web: www.GreenPlayLLC.com to pay a premium for the monthly convenience) = over $27,000 loss of potential revenue) In addition, there is no convenience processing fee of $5 to $7.50 for each transaction, which would be typically charged for EFT's. • Information: The pro -forma uses an average daily admission fee of $5 multiplied by 310 daily admissions. The facility is actualizing an average of roughly $4.50 per daily admission. The difference in this average results in over $47,000 difference in projected revenues for the 9 month period. • Analysis: A business decision was made by the City to not require parents to pay to enter the active side of the facility to accompany their children in the swim area if they were not actually going to swim. This is not a typical practice as it is believed that everyone benefits from the pool experience, in and out of the water, and the lifeguards are responsible for the safety of all persons, in and out of the water. This decision has served to lower the average daily admission fee. Youth paid daily admissions are roughly 2.5 times as many as adult daily admissions, yet it is estimated that 25% of all youth daily admission are accompanied by a non-paying adult admission which is lost due to this business decision. This estimate is based on the YTD through September counts for non-paying adults in the aquatics area. The additional lost revenues account for approximately $38,000 over the 6 month analysis timeframe, translating to almost $57,000 for the 9 month budget and almost $76,000 annually. • Information: GreenPlay offered recommendations prior to opening the FWCC to change the definition and structure of the "Household" pass which had been broadened from its original intent in the Business Plan. The City followed this recommendation. • Analysis: The broadened version of the "Household" pass allowed unlimited number of persons on a pass which would have further contributed to not meeting the financial goals of the Business Plan. The recommended re -structure added value to the purchase of "Household" passes by expanding the definition to all those legally residing in the same house but limited the number of persons on the initial "Household" pass to four and offering a fee structure for additional persons above four. This allowed for the broadest definition and highest community service while still supporting the goals of the Business Plan, 4. Program Revenue • Information: The aquatic lesson program has already generated revenue in excess of the 9 month projected budget. • Analysis: It is likely that the program will realize half again the projected revenues. 5. Attendance • Information: The typical average daily attendance for all programs and admissions is around 800-1000/ day for a facility of this size. Staff indicates that daily facility attendance averages 700-750 per day: o 250-300 pass holder visits/day o 250 daily admissions per day Federal Way Community Center - 6-month Performance Benchmarking Page 5 of 15 LLC The Leading Edge In Path, And Open Space Consulting 3050Industrial Lane, Suite 200, Broomfield, CO 80020,• Tel (303) 439-8369,• Fax (303) 439-0628,• Email, In%@7GreenP1ayLLC com,• Web: www.GreenPlayLLCc m o 200 program participants or rental users per day Analysis: This information is being verified with the intent of comparing actual revenues collected and accounted for against participation numbers. An Excel spread sheet accompanying this report begins this analysis, however, at this time it only includes data for the first five months of operation. 6. Alternative Providers and Current Market Indicators (this section was previously provided to City Council as Appendix A: Alternative Providers as part of the 12/18/07 presentation) • Information: Generally, community centers appeal to a market somewhat different than those interested in private health clubs. While there may be some participation impact at the early stages of a new facility opening, private and public, what we typically see is that over time each settles into its own marketing niche and each contributes in its own way to providing comprehensive service to a community. The City desires to compliment what is being offered through the private sector with the Federal Way Community Center accommodating the needs of the youngest child through teens, adults, and seniors. LA Fitness, located approximately 5 miles from the FWCC, opened prior to FWCC but its coming was unknown at the time of the development of the Business Plan. Staff learned of this LA Fitness during the construction process. Analysis: o LA Fitness requires a one time enrollment fee, which varies with promotions, of $50-150 per person FWCC has no enrollment fee o Monthly rates vary with promotions at the time of joining (summer is the least expensive due to non -peak participation) and rates range between $30- $45 per month. FWCC monthly fee is the annual pass fee divided by 12 months = $37.50/month for an adult o Nation-wide plan available for $70 + per month FWCC not applicable o Highly competitive sales staff often negotiate fees; visitors inquiring about joining are not told the fees by the front desk staff but are referred to a salesperson FWCC has a "community service" philosophy and the front desk staff has all fee information. While it's not desirable to have the staff be high pressure sales people, good customer service and salesmanship skills are very important to achieving the revenue projections. o Guest passes for up to 2 weeks are available at the discretion of the salesperson FWCC not applicable o Daily fees for drop in use is $15 FWCC is $7 for a resident adult. Federal Way Community Center - 6-month Performance Benchmarking Page 6 of 15 rwREE rPLAYlC The Leading Edge InParks, Recreation And Open Space CansuftAy 3050Indusbial Lane, Suite 200, Broomfield, CO 80020, Tel (303) 439-8369, Fax (303) 439-0628, Email. Info@GreenPtayLLCcom, Web: www.GreenPlaytLCcom • Information: Bally's Fitness, approximately 2-3 miles from FWCC, has been open for some time. • Analysis: o Highly competitive sales staff often negotiate fees; visitors inquiring about joining are not told the fees by the front desk staff but are referred to a salesperson for a tour and encouragement to join on the spot FWCC -same as above for LA Fitness o Guest passes for near by hotel guests FWCC - this could be a marketing tool for Federal Way • Information: Fee Comparisons The 2005/6 analysis from the Business Plan is repeated here with the addition of the new LA Fitness providing the following fee comparison: Tukwila $ 5 $11.66 $140 Kenneth Jones $ 4 $14.58 $175 LA Fitness $15 $30 (summer rate) $360 Bally's $12 $35 $420 24 Hour Fitness $10 $35 $420 FWCC $ 7 $37.50 (payment plan) $450 Curves n/a $39 $468 Norpoint $ 7 $40 $480 King County $ 5 $41.33 $496 Auburn YMCA $12 $47 $564 Mel Korum YMCA n/a $48 $576 Average $8,55 $34,46 $413,55 • Analysis: The adult daily, monthly and annual fees are within the market spread. 7. Marketing and Promotional Efforts The community had minimal exposure to a recreation and indoor aquatics center and nothing like it exists in or around Federal Way. The facility is not centrally located, nor is it easy to find as it's tacked into a residential area near Celebration Park. • Information: Commitment to Community Philosophy. It is important to revisit the financial expectations of the Business Plan, current practices and competing goals regarding the subsidy commitment and the focus on community -centered philosophy. There is the belief that one increases the community focus by relaxing the "Pay to Play" financial model. Providing greater choices, relaxing typical business practices and discounted use reflects this community -centered model. • Analysis: While this approach may be desirable, it will necessitate a greater tax subsidy than first anticipated. The operating subsidy may need to be increased to reflect these type of decisions. In addition, this has devalued the marketing benefit Federal Way Community Center - 6-month Performance Benchmarking Page 7 of 15 LLC The Leading Edge to Parks, And Open Space Consulting 3050Indusb7al Lane, Suite 200, Broomfield, CO 80010; Tel (303) 439-8369,• Fax (303) 439-0628,• Email. In1h GreenPlayLLCcvm,• Web: www.GreenPlayLLC.com of the annual pass with few taking advantage of the 6 month and annual passes because of the option to pay the same amount as an annual pass on a monthly basis. The City desired to make admission fees affordable for all resident users so low income rates for each category of admission fees were also added instead of dealing with ability to pay as a separate issue from the advertised fee structure. The impact of this decision is unknown, but it is not a typical practice and should be looked at more closely. • Information: Typically a dedicated marketing position is necessary and desirable when opening a facility of this type and magnitude. • Analysis: The Business Plan indicated that the "existing program staff would be augmented by new staff specializing in facility management and operations, building maintenance, custodial, marketing, pool operations and maintenance, program registration, and health and fitness. " The marketing responsibilities are currently being shared by existing staff, a dedicated marketing position has not been retained. The city has utilized contracted marketing services, but consideration for an FTE position is recommended. Promotional Efforts To -Date (this section was previously provided to City Council as Appendix B: Marketing -the first Six Months as part of the 12/18/07 presentation) Existing staff has made a significant marketing effort to -date as follows: Opening promotional schedule: • Soft Opening for 2-3 weeks (staff conducted tours and guests used the amenities as available) • Grand Opening weekend - March 31-April1, 2007 Pre -opening (some methods may currently be employed): • Early Bird Pass Pre -sales offered a 5 % discount on Monthly, 3-Month, 6-Month and Annual passes • Direct mail of postcards and flyers to homeowners and selected households advertising the opening and discounted Early Bird Passes • Department -wide brochure direct mailed to 40,000 households and currently includes facility information • Rack cards about the facility were distributed to local businesses • Window clings and magnetic strips were on city vehicles and vans • Video and slides were placed on the government channel • Banners were up at City Hall and the FWCC • The staff had a presence promoting the FWCC at summer community events • FWCC promotional giveaways with center information has been distributed • Staff created a "Things To Do" notepad with FWCC information as a giveaway • Staff participated in a parade with a FWCC float to promote the facility Post opening: • Additional direct mail pieces were sent to current customers • Advertisements were placed in specialized and targeted magazines Federal Way Community Center - 6-month Performance Benchmarking Page 8 of 15 3050Industnal Lane, Suite 200, enwmfield, CO 80020, Tel (303) 439-6369, Fax (303) 439-0628, Email. Info[a7GreenP1ayLLC.mm, Web: www.GreenPlayLLC.com • The staff uses display boards and A -frame signs regarding special pass promotions at the facility • The FWCC has bulletin boards that the staff uses to post promotional materials • Banners have been placed outside the building promoting specials. (addition to the 12/18/07 information) • "Improve Your Bottom Line" promotion was distributed throughout the community at public meetings (addition to the 12/18/07 information) • The FWCC has been featured in every Recreation brochure w/2-4 pages of information, in color format (addition to the 12/18/07 information) • TV slides have been used for promotion on the city's channel 21 (addition to the 12/18/07 information) • A thank you letter to pass holders is sent out to encourage renewals • "September Shape Up" promotion offered a 5% discount on 6 month and annual passes (including upgrades from a 3 to 6 month pass) • Rack cards re -distributed in the community • Targeted slides were shown on governmental channel • Web page was updated and revised • A front page icon for the community center was placed on the opening page of the web site for the City Recommendations 1. Reports and Record Keeping After reviewing the year to date financial and attendance reports from both Eden and CLASS, attempting to reconcile general ledger account numbers between the two, and meeting with both the administrative and recreation staff, performance benchmarking is recommended. Because the demographics, values and interests of each community vary, the best measure of performance is internal benchmarking. Recommended Strategy: The following statistics are recommended to be tracked separately, measured and compared month to month, season to season and year to year. • Daily attendance - separately and consolidated (to include the number of daily admissions, the count of pass holder visits by day, and the class, child care, event and rental attendance) • Daily admissions by type - number of patrons and amount of revenue by type • Pass sales by type and residency • All promotional use • Pass Renewals • Child care attendance - to determine peak and optimal hours of service • Building counts by area • Group exercise attendance - to optimize program offerings and expenditures Federal Way Community Center - 6-month Performance Benchmarking Page 9 of 15 GREE'NPLAYLC The LeadingEdge in Parrs, Recreahen AndDpenSpace Cansuttinr 3050Indus trial Lane, Suite 200, Broomfield, CO 80020,• Tel (303) 439-8369, Fax (303) 439-0628,• Email InfoCaGreenPlayLLC.com, Web: www.GreenPlayLLCcom • Periodically track the primary use for drop in admission (gym, swim, basketball, climbing, group exercise) • Guest comment cards • Periodically conduct user intercept surveys for satisfaction, cleanliness, suggestions • Budget performance • Rentals and repeat rentals 2. Fee Structure These issues impact the marketing benefit of fee discounts available to the frequent user: • Offering fee choices is desirable, but too many choices tends to devalue the marketing benefits of upfront payments and it seems way too complicated • Typically the monthly pass is a higher convenience pass and is more than simply dividing the annual pass fee by 12 months as Federal Way is doing. In this case the monthly pass option is an EFT payment plan, not a monthly pass. 0 The greatest marketing discount is typically applied to the annual pass purchaser who pays the entire amount up front. • Some of the daily admission fees may be higher than the market averages so there may be an opportunity to decrease some fees and increase the number of users • It is typical practice for public recreation centers to have an expiration date for multi - visits passes. Recommended Strategies: ➢ Revise the monthly payment option and give the greatest discount to those willing to pay the entire annual pass fee upfront (refer to Fee Structure); convert the monthly payment option to a premium pass or add a convenience processing fee to the monthly payment plan (suggest a $5 per month fee) ➢ Adjust the annual pass fees so that they all equal 60 times the daily admission fee. This allows staff to market the pass with "If you use the FWCC more than 5 times per month, the annual pass saves you money." In most cases this will slightly lower the fee. ➢ Charge a $50 cancellation fee on an annual pass contract ➢ Reduce the many admission fee options (refer to Fee Structure); eliminate the 6 month pass option; convert the 3 month into a summer seasonal pass ➢ Adjust the summer (seasonal) pass fees so that they all equal 20 times the daily admission fee. This allows staff to market the pass with "If you use the FWCC more than 20 times during the summer, the summer pass saves you money." In most cases this will slightly lower the fee. ➢ During open swim, all persons who enter the aquatics portion of the facility should pay an admission fee. ➢ Promote upgrading to an annual by paying the difference if they do so before the 3 months expire ➢ Add an expiration to the multi -visits of 1 year from date of purchase ➢ Add non-resident daily fees ➢ Make Tots under 2 years free (instead of through 3 years) Federal Way Community Center - 6-month Performance Benchmarking Page 10 of 15 6REEI, PLAYLLC Ike Leading Edge InJ'Aft, Recreation And Open Space Constd ting 3050Industnal Lane, Suite200, Broomfield, CO 800201 Tel (303) 439-6369,Fax (303) 439-0628; Email InfonaGreenP/ayLLCcom, Web: www.GreenPlayLLCcom Do not publicize the pre and post tax rates; uses round numbers when possible and indicate that tax is included. ➢ Do not publicize the low income rates but rather say that there is a 25% pre-tax discount available for those who apply and qualify ➢ The business decision to not charge parents accompanying their children should be discontinued or at the very least merits a market analysis of this business practice of other similar agencies. ➢ Offer "Non -Peak" time passes (requires front desk monitoring and separate CLASS system distinction) 3. Marketing and Promotional Efforts Recommended Strategies: ➢ Fund a full time marketing and graphic person for the department and dedicate time to pursue the business market niche ➢ Conduct a community -wide opinion and interest survey to determine price point tolerance of the community and their satisfaction with the FWCC programs and services ➢ Review annual performance and use established benchmarks to measure performance in the upcoming year; compare season to season as well as annual performance ➢ Sell corporate benefits for employees to receive the resident rates; pursue large companies for target marketing ➢ Add signage on the building and at parking lot entrances ➢ Pursue the FWCC being a public transportation bus stop ➢ Sell the benefits of fitness, fighting obesity and wellness ➢ Sell the benefits of what daily admission or passes get you at the FWCC ➢ Market building use to meet the EALR (Education Academic Learning Requirements) for physical education requirement ➢ Create direct mail postcards offering $5-10 or some amount off an annual pass when you bring in the postcard ➢ Create direct mail postcards offering 'Bring a Friend" buy one daily admission and get one free when you bring in the postcard ➢ Offer discounted guest passes at hotels for those traveling who want to work out ➢ Consider eliminating the climbing equipment rental fees as this may be discouraging its use ➢ Conduct seasonal or annual Open House - free use days ➢ Ensure that staff (or a volunteer who gets free facility use benefits) conduct facility tours for those who come in to the FWCC and are new, and sell the benefits; give a "Try us out" pass (with limited use) for you and a friend after the tour; require name and phone number for the visitor; follow up in 1 week asking for thoughts about their visit ➢ Conduct follow up phone calls for those who didn't renew their passes ➢ Conduct courtesy phone calls for those who are about to expire and offer a $ or % discount if they renew today ➢ Set up the CLASS system to create renewal postcards automatically for pass holders Federal Way Community Center - 6-month Performance Benchmarking Page 11 of 15 itC The Leading Edge In Parks, Recreation And Open Space Consulting 3050Industrial Lane, Suite 200, Broomfield, CO 80020,• Tel (303) 439-8369,• Fax (303) 439-0628, Email. Info@GreenPlayLLC.com,Web: www.QeenP/ayLLC com ➢ Research renewal opportunities through the web for passes ➢ Establish target markets, admission times and niche programming for families, afterschool, seniors and neighborhood ➢ Target entry level fitness, youth and teen fitness ➢ Work with medical community, assisted living and other type agencies to get seniors and other fitness involvement ➢ Consider revisiting the hours of operation to reflect what the numbers support; run hourly attendance report through CLASS to evaluate M-F open at 6:00am versus 5:30am • Saturday open at 7:30am versus 7:00am • Sunday open at 11:00am versus 10:00am Adjust for seasonal flow of building use ➢ Add vending and concessions 4. Customer Service At the cornerstone of a service driven business is the quality experience of the guest and the customer service provided by the staff. Recommended Strategies: (Many of these are currently in practice and need to be continued) ➢ The facility and the staff need to continue to convey high energy, excitement and enthusiasm ➢ Front desk staff must sell the business, sell the discounts provided by passes, sell the benefits of the FWCC, and cross sell other programs with admission activities ➢ Facility Management and Programming Staff need to be in communication with and visibility to front desk operations ➢ All staff should be available to conduct tours for the public ➢ Develop a volunteer greeter or tour guide program ➢ Consistently apply the guidelines and procedures for center operations ➢ Require immediate janitorial or maintenance response to cleanliness concerns, equipment malfunctions or repairs, and other issues which can negatively impact the guest experience ➢ Stress the importance of everyone chipping in... cleanliness is everyone's responsibility ➢ Staff must perform walkthroughs ➢ Increase personal phone answering versus sending calls to voice mail ➢ Keep the website updated and current ➢ Have all staff emulating desired behaviors, exude patience, confidence ➢ Recognize a "Can Do" attitude and consistent behavior ➢ Institute a "Wow" or "High Five" program to recognize great customer service ➢ Conduct a pass sales competition or incentive program ➢ Follow up with phone calls when a guest does not renew their pass ➢ Simplify and make the contract language for passes less vague ➢ The refund and pass cancellation process is subjective so this should be re -visited, applied consistently and clear to the guest when they read and complete the pass contract Federal Way Community Center - 6-month Performance Benchmarking Page 12 of 15 The Leading Edge In Parks, ; And Open Space Cansu ing 3050Indusbial Lane, Suite 200, Broomfield, CO 80020; Tel (303) 439-8369, Fax (303) 439-0628,• Email: Infona GreenPlayLLC.Com; Web. www.GreenPlayLLC.com ➢ Structure the notification and follow up process for those pass holders who are paying monthly and are in arrears ➢ Consider using keychain cards to cut down lost or forgotten cards ➢ Revise the ages for children in the pool, gym and facility to be consistent with best practices around the state 0 A child 6 years and below must have an adult 18 years and over accompanying them in the pool when using the pool • A child 7 -11 years must have someone 15 years and older in the building with them when they are using the pool • A child 7 -11 years in the gym must have someone 18 years and older in the gym with them • Change the teen age from 13 to 12 years • A teen 12 and older can be in the building or pool by themselves 5. Staff and Staff Training Recommended Strategies: ➢ Staffing of lifeguards with hourly staff is a challenge; consider moving some to full time positions to save dollars over the long run ➢ Continually re -visit job duties and descriptions based on what needs to be done ➢ Continue regular solution -oriented staff meetings with a focus on working "smarter' not harder ➢ Revisit the mission - why are we here? ➢ Create mutual goals of a busy and active center - identify and discuss cross purpose goals and missions (like keeping the center clean and a very busy center) ➢ Finalize systems and processes, and expectations for performance, then hold each other accountable for good performance ➢ Need more CLASS training and customer service training • Implement the "Fish" philosophy or something like the "Good to Great" philosophy ➢ Buddy up an administration staff member with a programming staff member for cross training; tie the responsibility for the success of the mentoring experience to job performance ➢ CELEBRATE SUCCESSES! 6. Programming and Programming Spaces Aquatics Aquatics seems to be the anchor for the building for the time being. The aquatics lessons budget has almost actualized in 5 months of operations. Recommended Strategies: ➢ Consider raising aquatics lesson fees and offer a discounted rate equal to the current lesson fees to annual pass holders (not monthly or others pass holders) Fitness Federal Way Community Center - 6-month Performance Benchmarking Page 13 of 15 ■ LC The Leading Edge in Packs, Recreafian And Open SpaceConsalting ./0 3050Industrial Lane, Suite 200, Bmomfield, CO 80020, Tel (303) 439-8369, Fax (303) 439-0628, Email Infb GreeenA1ayLLC.com, Web: www.GrewA'ayLLC.com Group Exercise classes are included in the pass fees and is an anchor for the adult passes Recommended Strategies: ➢ Consider raising specialty fitness class fees and offer a discounted rate equal to the current program fee to annual pass holders (not monthly or others pass holders) Gymnasiums Gyms are underused. There is a state-wide trend of decreasing officiated 5 on 5 basketball use and moving toward non -officiated basketball Recommended Strategies: ➢ Offer Senior Pickleball, Volleyball and Basketball programs that often do well during the day ➢ Pursue the tournament and special event rental market for the gym ➢ Pursue the Home School market for gym use and other physical fitness needs ➢ Pursue organize youth sports associations using the gym for practice and offer a special rate for multiple uses ➢ Create an indoor playground concept for the gym (not included in the daily admission or pass fees, but as a special seasonal program offering) Child Care Child care is not being utilized - group exercise is primary user but other participants seem to not have a need. Recommended Strategies: ➢ Limit the hours offered to prime time only and continue to monitor use ➢ Market the availability of child care to users at the front desk and in fitness classes Rental Spaces Rental budget is on track for birthday parties and pool lane rentals. Rentals for the gym are non-existent. Rental revenue is improving for the larger event rentals but the marketing efforts need to be increased. The staff has not yet attended the wedding shows or exhibitions to promote the facility, which may occur in winter 2008. Recommended Strategies: ➢ Revise rental fees to distinguish social rentals from business rentals ➢ Plan to attend the wedding shows and exhibitions to promote the large community/banquet room and kitchen ➢ FWCC has a preferred list of caterers who pay a fee to the FWCC to be on the list and use the kitchen for a reduced fee; while others use kitchen for a higher fee. Contact the preferred list of caterers and work with them to cross promote and market discounted packages ➢ Distribute the rental brochure to larger businesses in Federal Way to promote business meeting space, retreat or planning meeting space, teambuilding and event space, holiday party space, etc. Federal Way Community Center - 6-month Performance Benchmarking Page 14 of 15 The leading Edge to Parks. Recreation And Open Space CnnsntNng 3050Industnal Lane, Suite 200, Broomfield, CO 80020,• Tel (303) 439-8369,Fax (303) 439-0628, Email Info@GreenPlayLLC com, Web: www.GreenPlayllC.com Analyze the after hours pool rental fee. Consider raising pool after hour rental fees to cover all direct and a percentage of indirect costs by a fee that more closely matches market rates ➢ Revisit the gym rental fees General Programming Spaces The "Senior Lounge' is not used as designed. Programming is not yet taking advantage of available spaces; many rooms or spaces like the gym sit empty Recommended Strategies: ➢ Re -purpose the "Senior Lounge" and use as another classroom ➢ Add programs which generate excess revenue over direct expenses or minimally breakeven. Federal Way Community Center - 6-month Performance Benchmarking Page 15 of 15 Performing Arts Center - Council Retreat Update Saturday, January 26, 2008 1. First Priority: Present to May, 2008 Obtain State legislative approval to form a Public Facilities District. A PFD would enable us to obtain $7 mil- lion to $9 million in state funding if we commence construction by June 30, 2009. [NOTE: Doug Levy strongly recommends we not seek a longer extension; he believes that would substantially reduce our chances of be- ing successful regarding a request that is already challenging.] 2. Second Priority: On a limited, as -needed basis, engage a grant writer or other capital campaign specialists to help our volunteers with our Fund- ing Plan and Capital Campaign Plan. 3. Third Priority: Identify the site for the PAC, taking into account the rec- ommendations of Johnson Consulting that the PAC site offer opportuni- ties to locate nearby a ~25,000 square foot Conference Center and 200-300 room full -service Hotel. Assuming these three Priorities are successfully addressed, then ask the City Council in a Tune timeframe for a "GO/NO GO" policy decision on proceeding with a PAC. A. If the Council -policy decision is "GO," then we need to contract with an Architect and begin immediately and in earnest with an aggressive Capital Campaign, including a Naming Rights solicitation and Foundation/Corporate Grant applications. a. Design Work: July, 2008 to January, 2009 - with regular Council check -ins for direction b. Permitting and Construction Contracting: January, 2009 to April, 2009 - with regular Council check -ins for direction c. Construction Mobilization: April, 2009 to May, 2009 d. Ground -breaking: June, 2009 B. If the Council decision is "NO GO," then we need to conclude our work with our grassroots group, our performance groups, and our other stake- holders in a positive way so that we can successfully pursue construction of a PAC (and Conference Center) sometime in Federal Way's future, under the the- ory that cities and school districts our size will have, someday, an attractive per- forming arts and conference center venue like Auburn, Kent, and Renton. 01 �Vision, _ pity CQuncyl FCITederal Way Mission aInd Goals As adopted b the City Cwncil on MWG K4LL VISION Federal Way is a community known for its cultural diversity, attractive parks, safe neighborhoods, and vibrant business centers. MISSION The City of Federal Way is responsive, innovative and fiscally responsible in delivering quality services, promoting eco- nomic development, improving infrastructure, and managing growth. GOALS • Integrate the public safety strategy into all facets of City operations, building on a strong community -based approach. • Create a multi -use urban city center that is pedestrian friendly, linked to neighborhoods and parks, and ser- vices as the social and economic hub of the City. • Establish Federal Way as an economic leader and job center in South King County by attracting a regional market for high quality office and retail businesses. • Maintain the capital facilities plan and provide financing options for transportation and surface water improve- ments, parks, recreation, cultural arts and public facili- ties. • Ensure a responsive service culture within the City organization where employees listen carefully, treat citizens and each other respectfully and solve problems creatively, efficiently, and proactively. Position Federal Way as a regional leader by working collaboratively with other local and regional jurisdictions in order to leverage resources. 'TAT .0 City of Federal Way MEMORANDUM -DRAFT 1/18/08- Date: January 23, 2008 To: City Council Members Via: Neal Beets, City Manager From: Mary McDougal, Human Resources Director Scott Pingel, ICMA Fellow Subject: Implementing Council Vision, Mission and Goals — Using Performance Measures to "Tell Our Story" Performance measurement in local government is all about telling a story -- providing information to citizens and their representatives in meaningful and relevant ways, about what is being accomplished. It is also about making sure we have a compelling and positive story to tell. Performance measures help us prove outstanding performance, understand where improvement is needed, and account for how public funds are spent to provide services. They tell the story of how effective and responsive the organization is in doing its job, and how it is progressing toward achievement of goals. In some cases, we can compare our performance to others' and hopefully learn from the experience. It is important that City Council members are aware of the organization's efforts with performance measurement and how we plan to use performance measures in the future, as well as become familiar with performance measurement as a tool for communicating and implementing the Council vision, mission and goals for the City. Looking Back The City has included performance data in the budget document for many years. Typically these were department measures of workload, such as numbers of permits or applications processed. In 2007, staff began working on a different approach, focused on the six Council goals adopted in 2006. Objectives for each goal were identified and assigned to departments or divisions. Those assigned developed measures for each objective, which were reviewed and refined by the Management Team (see attached). While departments may continue to provide workload type measures, they will also be identifying measures to demonstrate how their activities and efforts contribute to progress toward achievement of the goals set by the City Council. We anticipate that throughout the City, the measures themselves will require continuous improvement as we strive to find the best way to demonstrate results. Looking Forward The intent is that performance measurement will become an integral part of the city organization's work culture. Quarterly or more frequent reporting to Council, as well as a published annual report to citizens, is anticipated. The ability to use current data on a continuous basis to tell our story both quantitatively and qualitatively will be invaluable in helping Federal Way residents understand: what the Council's vision is, and how it is being carried out. The next step is to develop specific strategies for implementing the Council goals and objectives and for improving performance. The Management Services Departments under the direction of Assistant City Manager Iwen Wang, including. IT, Finance and Human Resources/City Clerk's Office, will be submitting the "Lite Assessment application to the Washington State Quality Award in 2008. This will provide a thorough critique of the measures and communication of results for those departments, and most importantly, will identify how to improve. Why use Performance Measurement? The use of performance data allows us to better track and communicate progress toward goals, react more quickly to: changes, and make more informed decisions regarding resource allocation. It is a multipurpose tool — for management of activities and functions, communication of results, and potentially enrichment of jobs. Organizations who have used performance measurement for many years report that the tool facilitates efforts to: • pursue service 1 delivery excellence • promote learning • focus improvement efforts • connect with citizens • build relationships among staff • develop emerging leaders -- all worthwhile pursuits',for any local government organization. Example The Police Department provides a great example of how performance measures can be an effective management tool and portray how the City is performing in carrying out the Council's vision and goals. The two'major indicators for Police Departments around the country are crime rate and response times. The Police Department's success is not just that the crime rate in Federal Way has gone down 9 out of 12 years, or that response times continue to decrease. It is also about how the Police;, Department is able to promote these accomplishments and give these measures context. A major result of the Police Department's efforts was the approval of Proposition 1. They were 'able to show, statistically and contextually, where their performance was and how much better it could be with the extra officers and staff. The City's efforts and progress toward implementing the City Council's vision, mission and goals deserve understanding and acknowledgement. The City has embraced performance measurement as an important tool for ensuring progress and sharing results. DEPARTMENT IMPACT ON CITY GOALS AND OBJECTIVES! Legend. CM = City Manager's Office CD = Community Development Service PRC = Parks, Recreation and Cultural Services PD = Police Department PW = Public Works LW = Law Department MS = Management Services Direct Impact - • Indirect Impact' - 0 No or Low Impact - Blank 1. Safe and Secure Community CM CD PRC PD PW LW MS Crime Rate/Crime Reduction 0 0 • 0 0 Nuisance Code Enforcement Actions • 1 0 Emergency Preparedness 0 0 0 • Crime Prevention/Sense of safety 0 0 • 0 0 2. Vibrant and Accessible Downtown Connectivity and Open Space 0 • • Re/New/Mixed-use development • 0 0 0 0 Enhance Business Activity • 0 0 0 Circulation and Mobility 0 0 • Safety 0 0 0 • 0 3. Regional Economic Job Center Job Growth • 0 0 Reduce Sales Leakage • 0 0 Household Income 0 Business Friendly, real and perceived • 0 0 0 0 0 0 4. Environment and Capital Facilities Maintenance and Investment Preserve and improve the Street System 0 • • Invest in Transportation Mobility and Safety 0 0 1 0 • 0 Preserve and Invest in Community Facilities 0 0 0 0 Environmentallnvestment • 0 0 • 0 5. Responsive, Service -oriented Workforce Satisfaction with City Services • • • • • • Cycle and Turnaround Time • • • • • • • Recruit and Retain quality employees 0 0 0 0 0 0 • Employee Development 0 0 0 0 0 0 • 6. Local and Regional Collaboration and Leadership City Involvement in Regional issues/Organization 1 • • 0 • • • • 5 Federal 'Way Police Department Index Crimes Crime 1994 1995 1996 1997 1998 1999 2000 2001 1 2002 2003 2004 2005 2006 2007 Homicide 1 3 3 2 2 4 7 4 4 2 0 6 1 3 Rape 90 71 73 37 58 53 43 49 34 50 50 55 64 48 Robbery 141 173 188 154 153 115 128 124 108 125 1211 153 146T 1129 Felony Assault 162 167 171 121 159 167 158 141 120 120 109 101 119 107 Burglary 857 881 965 643 3,901 648 573 533 521 677 672 759 800 753 _ 739 31159 Larceny 3,793 4,300 4,086 3,393 3,097 3,072 3516 3,347 3,145 3,257 3,786 3,230 Auto Theft 722 843 807 35 746 24 761 808 849 1179 1,206 1,204 1,118 1,573 1,199 939 Arson 32 38 39 38 36 17 29 14 25 25 26 18 otals 5,798 6,476 69328 5,628 5,213 4,855 4,826 5551 5525 5332 5439 6499 5538 5142 Federal Way Population 71,830 74,290 75,240 75,960 76,820 76,910 83,259 83,890 83,850 83,500 85,500 85,800 86,530 87,390 Per Capita Per 1,000 80.7 87.2 84.1 74.1 67.9 63.1 58.0 66.2 65.9 63.9 63.6 75.7 64.0 58.8. January 2006 - December 2006 Per Capita Comparison Agency Population Total Total Crime Per 1,000 Total Violent Crime Per 1,000 Total Proprt Ct , +�r 1, Federal Way 86,530 5,538 64.0 330 3.8 5,208 60.2 Auburn 48,955 3,886 79.4 305 6.2 3,581 73.1 Kent 85,650 6,854 80.0 563 6.6 6,291 73.5 Renton 58,360 4,689 80.3 259 4.4 4,430 75.9 Tacoma 199,600 18,739 1 93.9 20761 10.4 16,663 1 83.5 Tukwila 17,930 3,400 1 189.6 1781 9.9 3,222 1 179.7 VIOLENT CHIME PER CAPITA COMPARISON Agency Population Total Violent Crime Per 1,000 Federal Way 86,530 330 3.8 Renton 58,360 259 4.4 Auburn 48,955 305 6.2 Kent 85,6501 563 6.6 Tukwila 1 17,9301 1781 9.9 Tacoma 1 199,600 1 20761 10.4 PROPERTY CRIME CAPITA COMPARISON enc Population Total Property Crime Per 1,000 Federal Way 86,530 5,208 60.2 Auburn 48,955 3,581 73.1 Kent 85,650 6,291 73.5 Renton 58,360 4,430 75.9 Tacoma 199,600 16,663 83.5 Tukwila 17,930 3,222 179.7 *Per Capita Comparison Data from WASPC Crime in Washington 2006 Annual Report Page 1 of 1 Jan 2007 - June 2007 Per Capita Comparison Agency Population Total Total Crime Per 1,000 Total Violent Crime Per 1,000 Total Property Crime Per 1,000 King Co SO Bellevue Federal Way 87,390 5,142 58.8 287 3.3 4,855 55.6 Kent _ - Everett Auburn 50,470 3,472 68.8 248 4.9 3,224 63.9 Renton Tacoma Tukwila VIOLENT CRIME PER CAPITA COMPARISON Agency Population Total Violent Crime Per 1,000 Bellevue King Co SO Federal Way 87,390 287 3.3 Renton Kent Everett Auburn 50,470 248 4.9 Tacoma Tukwila PROPERTY CRIME CAPITA COMPARISON Agency Population Total Property Crime Per 1,000 King Co SO Bellevue Federal Way 87,390 4,855 55.6 Kent Everett Auburn 50,470 3,224 63.9 Tacoma Renton Tukwila Page 1 of 2 10 a] 1.3 7 101 5 4 3 2 Priority 1 Response Time in Minutes F E 15 I[! 13 12 11 10 Priority 2 Response Time in Minutes 3 January February March April May June July August September October November December