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HomeMy WebLinkAbout17 - Resolution Adopting FY 2013-14 Budget Presentation 1Agenda Item No. 17 June 11. 2013 FY 2013 -2014 Proposed Budget FO %� Dave Kiff, City Manager Dave Webb, Public Works Director Dan Matusiewicz, Finance Director I� s. Council Meeting June 11, 2013 FY 2013 -14 PROPOSED BUDGET 1. Is Balanced tYf64 J 1_, Nt',6h..E 2. Increases our investments in community serving facilities and beautification projects 3. Puts more police officers on the street while still reducing total staffing levels Budget Review and Adoption Process 5/13/13 Finance Committee Budget review with staff prior to first City Council Meeting 5/14/13 City Council First budget review with staff at the study session 5/28/13 City Council Second budget review with staff at the study session. Set the date for public hearing on budget and appropriation limit 6/6/13 Planning Commission Deemed that CIP is consistent with General Plan 6/11/13 City Council Public hearing and adoption of FY 2013 -14 budget and appropriation limit Proposed Checklist — General Fund General Fund 1 Supplemental Transfer to FFP Reserve Fund 2 Supplemental Transfer to Facilities Maint Plan Fund 3 Management Compensation Adjustments 4 Part -time Senior Fiscal Clerk salary & benefits at .5 FTE 5 Crystal Cove Cottages - Renovation Support 6 Balboa Island Historical Society 7 Newport Bay Conservancy 8 Building & Plan Check Inspection Services 9 City Hall Re -Use Consulting 10 Market Reuse Study on Newport Pier Concessions 11 Transition to Cultural Arts Contract 12 Electrical Maint / Repair (Streetlight Energy Efficient Demo) 13 Officer position reclassed to Sergeant (Training Position) 14 CIP Traffic Operations Support and Contract Support 15 Salaries and Benefits (Admin Staffing Adjustment) 16 Salary Savings Total Checklist - Operating Department Amount Administration 1,000,000 Administration 250,000 Administration 35,000 Administration 35,470 City Council 20,000 City Council 15,000 City Council 30,000 Community Development 100,000 Community Development 50,000 Community Development 25,000 Library & Cultural Arts (68,000) Municipal Operations 50,000 Police Department 49,000 Public Works 350,000 Public Works 76,679 Public Works (76,679) $ 1,941,470 Proposed Checklist— Non - General Fund Non - General Fund 17 Investment Advisor - COP Proceeds 18 General Liability Insurance Excess 19 General Liability Property Insurance 20 Workers' Compensation Excess Insurance 21 IT ISF Operational and Strategic Maintenance and Operating & Capital Outlay 23 Additional CAD /RMS Implementation Costs 24 Police Vehicles (2 motorcycles & 1 van) 25 800 MHz Radios 26 Crime prevention expenditures Adustments reflect administrative corrections. No material financial impact. Fund Debt Service Fund General Liability General Liability Workers' Comp Info Technology Info Technology Equipment Equipment NAFF Fund Amount (32, 000) $ 45,000 357,000 35,000 1,259,930 454,250 75,000 393,541 150,000 $ 2,737,721 Proposed Checklist — CIPs New Appropriations - CIP Fund 1 Pump Station & Water Well Project (Edison component) Contributions 2 Sediment Removal - Selenium at Big Canyon Golf Course General Fund 3 City Street Light Circuit Rehabilitation General Fund 4 Arts & Culture Master Plan Public Arts Fund 5 Newport Harbor Dredging Permit Tidelands 6 Structural Rehab of the Doryman Fleet Facility Tidelands TOTAL CHANGES TO THE PROPOSED CIP BUDGET Amount $ 253,786 75,000 645,000 100,000 56,000 50,000 $ 1,179, 786 Proposed Checklist — Revenue Estimates Revenue Estimates 1 Contributions Fund - Southern California Edison Refund 1 Streetlight Energy Efficiency Demonstration (from SCE) 2 Building & Plan Check Inspection Services 3 General Fund Revenue Adjustment 4 Tidelands Increment Revenue - Harbor Capital Fund TOTAL CHANGES TO THE PROPOSED REVENUE BUDGET Fund Contributions General General General Tdelands - Capital 253,786 50,000 100,000 20,000 1,205,748 $ 1,629,534 General Fund Operating Surplus FY 2013 -14 Proposed Budget & Checklist - Surplus/(Deficit) General Fund Operating Surplus -As Printed $ 751,395 Expenditure Adjustment 1,846,675 Proposed Operating Surplus $ 29598,070 FY 13 -14 Checklist Operating Expenditures $ 1,916,470 FY 13 -14 Checklist CIP Expenditures 720,000 FY 13 -14 Checklist Revenue Estimates (170,000) FY 13 -14 Adjusted General Fund Transfer to Tidelands 131,000 Checklist Changes that Affect the General Fund $ 2,597,470 Adjusted Operating Surplus $ 600 Conclusion • Position Count = 736 full -time • Down from 833 in 2010 (12% Decrease) • General Fund Budget Growth • Revenues 'r4.9 %* • Expenditures without checklist 'I`1.21 %* • Expenditures with checklist 12.87 %* *Adjusted for one -time sources and other anomalies • If Adopted with the Checklist: • Total Appropriations — All funds $290.6 M • General Fund Appropriations - $163.3 M • Available reserves total $118 M Recommended Actions • Hold a Public Hearing • Receive Public Input • Conduct a straw vote on the budget checklist — What items will not receive unanimous support? • Adopt Resolution 2013 -53 adopting the FY 13 -14 Budget as amended by the checklist Questions &Comments �1Foati City's budget documents can be accessed at: www.newportbeachca.gov /budget