Loading...
HomeMy WebLinkAbout15 - FY2014-15 Budget Adoption - Budget Checklist (Amended Attachment B)Received After Agenda Printed Attachment B Agenda Item No. 15 06 -10 -14 06/10/2014 Budget Checklist - Amendments to the Proposed Budget Fiscal Year 2014 -15 Budget Department/Request Description Increase (Decrease) Approved CHANGES TO THE PROPOSED BUDGET AS PRINTED - OPERATING EXPENDITURES City Council Newport Beach Restaurant Week $ 10,000 City Manager /Economic Development Support for NBRA & CdM BIDS to include 0.5 FTE Fiscal Clerk $ 38,974 Community Development Eliminate one vacant Department Assistant position $ (77,409) Library & Cultural Arts Phase 2 of the Civic Center Sculpture Project $ 125,000 Municipal Operations Restore .75 FTE (Part-Time) Maintenance Aide $ 32,570 Eliminate one vacant Refuse Worker I position $ (88,072) Eliminate three Refuse Workers II positions $ (280,142) Add one limited -term Utilities Specialist (Refuse Worker transfer) $ 93,424 Add one limited -term Maintenance Worker I (Refuse Worker transfer) $ 93,359 Add one limited -term Groundsworker I (Refuse Worker transfer) $ 93,359 Storm Drain Maintenance Project $ 60,000 Add one Utilities Superintendent full -time position $ 146,523 Delete one Utilities Crew Chief full -time position $ (116,983) Police TOTAL CHANGES TO THE PROPOSED OPERATING EXPENDITURE BUDGET $ 793,903 TOTAL CHANGES TO THE PROPOSED OPERATING EXPENDITURE BUDGET BY FUND General Fund $ (24,931) Equipment Maintenance Fund $ 32,570 Water Enterprise Fund $ 29,540 Wastewater Enterprise Fund $ 93,424 Police Equipment Fund $ 232,000 IT Strategic Fund $ 431,300 Total Changes to the Proposed Operating Exp Budget $ 793,903 CHANGES TO THE PROPOSED BUDGET AS PRINTED - CIP EXPENDITURES Budget Department/Request Description Increase (Decrease) Approved Capital Improvement Project 7401 -9812 Assessment District Start Up Costs $ 40,000 7402- C1002039 Big Canyon Reservior Auxiliary Maintenance Yard $ 550,000 7014- C8002022 Purchase of SCE Rule 20A Credits $ 10,500 7251- C2002073 IRWD Pavement SAH $ 20,000 7459- C5100879 SAH UUD Pavement Restoration $ 217,193 7013- C2002075 Newport Heights Alley Reconstruction (postponed due to undergrounding project) $ (290,000) 7013- C2002078 MacArthur Blvd Slope Landscape (replaces above project) $ 290,000 7181- C3002018 Traffic Signal Modernization Phase 6 $ (150,000) 7181- C3001007 Traffic Signal Rehabilitation Program $ 150,000 7282- C2002060 Old NewportfWest Coast Highway (not eligible for matching contribution) $ (100,000) 7414- C1o02037 Lifeguard Headquarters Rehabilitation $ 110,000 TOTAL CHANGES TO THE PROPOSED CIP EXPENDITURE BUDGET $ 847,693 TOTAL CHANGES TO THE PROPOSED CIP EXPENDITURE BUDGET BY FUND General Fund $ 10,500 Asessment District Fund $ 40,000 Contributions Fund $ 20,000 Measure M Fund $ (100,000) Misc FFP Projects Fund $ 550,000 Misc SAH Projects Fund $ 217,193 Lifeguard Headquarters Project Fund $ 110,000 Total Changes to the Proposed CIP Exp Budget $ 847,693 CHANGES TO THE PROPOSED BUDGET AS PRINTED - REVENUE Budget Department/Account Number /Description Increase (Decrease) Approved County of Orange SAH RDA - Utility Undergrounding /Street Paving $ 217,193 RIND Pavement Santa Ana Heights Contribution $ 20,000 TOTAL CHANGES TO THE PROPOSED REVENUE BUDGET $ 237,193 TOTAL CHANGES TO THE PROPOSED REVENUE BUDGET BY FUND $ (7,624 Misc SAH Projects Fund $ 217,193 Contributions Fund $ 20,000 Total Changes to the Proposed Revenue Budget ........... $ 237,193 CAPITAL IMPROVEMENT PROGRAM - REBUDGETS Budget Department/Account Number /Description Increase (Decrease) Approved Public Works 7012- C2502010 Storm Drain Interceptors $ (1,418 7012- C2502014 Storm Drain Repairs and Lighting $ (8,447 7012- C2502015 Carnation Avenue Storm Drain $ (7,624 7013- C2002060 Old Newport Blvd/West Coast Highway Modifications $ 99,370 7013- C2002069 15th Street Monrovia Landscape $ (1,500 7013- C2002071 West Coast Highway Landscape $ 132 7013- C2201000 Streelight Replacement Program $ (19,725 7013- C3002021 Eastbluff Bike Lane $ (12,000 7013- C2002065 CdM Entry Improvements $ 11,229 7014- C5002004 Big Canyon Wash Restoration $ (311 7014- CS002022 Edison Rule 20A Credit $ 44,135 7181- C2001012 Residential Street Overlay Program $ (12,410 7181- C2002018 Dover /Westcliff Drive Street Rehabilitation $ (4,500 7181- C2002044 Bay Avenue Pavement Rehabiliation $ 116,800 7181- C2002048 Newport Blvd /32nd Street Modification $ 1,004,459 7181- C2002068 15th Street Balboa Boulevard Reconstruction $ 2.320 7181- C3001007 Traffic Signal Replacement Program $ (150,000) 7181- C3002018 Traffic Signal Modernization: Phase 6 $ (456,900) 7231- C4401002 Harbor Piers Maintenance $ (9,848) 7231- C4801001 Ocean Pier Repair /Inspection $ (18,151) 7231- C4801003 Bay Beach Sand Management $ (10,145) 7231- C4402007 Bulkhead Repairs /Ceiling Rehab $ (47,952) 7231- C4402006 Mooring Support Services Improvements $ 24,300 7231- C4402014 Vessel Waste Pumpout Station Replacement $ 5,000 7241- C4402003 Lower Harbor Dredging $ 36,250 7251- C4402014 Vessel Waste Pumpout Station Replacement $ 5,000 7255- C5100968 MWOC Rebate Project $ 70,000 7261- C3002018 Traffic Signal Modernization: Phase 6 $ (10,545) 7261- C3002023 Traffic Signal Modernization: Phase 8 $ (171,825) Bay Avenue Pavement Rehabilitation (project funding is being 002042 7414- C1002037 Lifeguard Headquarters Replacement $ 63,087 7415- C1002038 Master Facilities Plan Planning $ 54,121 TOTAL CAPITAL PROJECT REBUDGETS $ 3,549,555 CAPITAL IMPROVEMENT PROGRAM REBUDGET BY FUND General Fund $ 103,841 Contributions Fund $ 5,000 Environmental Contributions Fund $ 70,000 Fire Stations Fund $ (750) Lifeguard Headquarters Fund $ 63,087 Marina Park Fund $ 3,170,000 Measure M Competitive Fund $ (98,687) State Gas Tax Fund $ 499,769 Strategic Planning Fund $ 54,121 Tidelands Fund $ (56,796) Tidelands Harbor Capital Fund $ 36,250 Transportation & Circulation Fund $ (182,370) Wastewater Capital Fund $ (4,560) Water Capital Fund $ (109,350) Total CIP Rebudgets /Changes $ 3,549,555