Loading...
HomeMy WebLinkAboutAnnual Budget 1958I F 1 I I I I I ,-1 G /TY Of Al, lAlAaW74MAZ)Y GAL 4W41 /A 19.57.5 AP P,4T/N4 BUDGET City of Newport Beach 1957 -58 OP30ATING BUDGET TABLE OF CONTENTS INTRODUCTION City Manager's Budget Message ............ ............................... SUMMARY TABLES Table I -A - Comparison of Assessed Valuation and Financial Data......... Table II-tA - Condition of Fund Surpluses at July 1, 1957.0•••••••.•....0 Table II -B - Analysis of Surplus by Funds, June 30, 1958••...•..•••••••• Table III - Detail of Transfers... ........... a..* ... ... .......... Table IV - Actual and Estimated Revenues other than Property Taxes...... Table IV - Revenue From Property Taxes ... ..............................0 Table IV - Recapitulation of Revenues by Funds* ..... * .... ...... o.. Table V - Comparison of Actual and Estimated Expenditures by Function... Table V - Recapitulation of Budget Expenditures by Fund* .... I ........... Table Budget* .... ..........•••- •Activity...... •f Code City Council ............ ...........0..............0.9.0 0100 City Clerk - Treasurer .... ............................... 0200 Administrative ..... .... ..... . ... I ............... ....... 0300 Personnel & Civil Service .............................. 0500 Finance ....:................ ........................... 0600 Purchasing & War ®housing ...... ......................... 0700 City Attorney ........... ............................... 0800 Planning........ .... 0900 City Hall ............... ............................... 1000 Community Promotion ......... ........................... 1100 Elections,., .... 1200 Debt Service ............ ............................... 1300 Insurance .............:. ............................... 1400 Retirement.... .......... ............................... 1500 Police .................. .........................0..... 2000 Fire., .... go ....... ...... 2300 Harbor& Oil Operations . ............................... 2500 Civil Defense ............ ............9.....,............ 2700 Building & Safety ....................... ............... 2900 Engineering ............. ................0.............. 3000 Electrical ........................ 0 ..................... 3200 General Services..... ... ............................... 33 -5400 Sewers .................. .........00.00................. 5500 Parking Meters & Lots....... 0 .......................... 5600 Library ................. 0000........................... 7000 Park, Beaches & Recreation .....0000 : ................... 75 -7700 Life Guard Service ...... ............................... 7800 Trailer Park ................ ........................... 8000 WATER OPERATIONS BUDGET Water - Summary .......... ............................... Water - Administration ..... . ............ 0.00 ........ 0.. 9000 Water - Production & Purchase ..... ...................... 9100 Water - Distribution Expens e ..........................9 9200 PAGE A -1 -9 B -1 B-2 B -3 B -5 B-6 -8 B-8 B-9 B -10 -11 B-11 B -12 -13 C -1 C -2 C -3 C-4 C-5 0 -6 C -7 C -8 C -9 C -10 C-11 C -12 C -13 C -14 0 -15 -16 C -17 -18 C -19 0-20 C-21 G-22 C -23 C -24-27 C -28 C -29 C -30 C -31 -35 C -36 C -37 D-1 D-2 D -3 D-4 1 I n 1 1 1 11 ' City Manager's BUDGET ME&UGE TO THE CITY COUNCIL ' Madam Mayor and Gentlemen: Submitted herewith City ' is the Operating Budget for the of Newport 1 Beach for the 1957 -58 Fiscal Year as approved by the City Council June 2% 1957. ' The Budget, as adopted, is limited to estimates of operating re- quirements. It does not provide for a major capital improvements program, pending Council action on project proposals and financing methods. ' CHANGES IN FORMAT AND ACCOUNTING This Budget reflects substantial changes from past practice in the arrangement and detail of both the revenue and expenditure portions of the document. These changes have the endorsement of, and in some instances were initiated by, the City's independent auditor. t1. The Budget incorporates a new and comprehensive code of muni- cipal accounts that provides for logical account numbering ' and uniform terminology in all departmental budgets. All expenditure accounts have written definitions to.avoid con- ' fusion and errors in expenditure classification. They have. ' also been increased in number to show estimates in greater de -, tail, and to provide more precise control of expenditures. The now account code is patterned after the latest recommence . ' dations of.a California committee on governmental accounting. 2. Expenditure budgets have been re- arranged -- consolidated in ' some cases, divided in others -- to reflect more accurately activities performed by organizational units of the City. Page A -1 3. Departmental budgets show the entire estimated cost of departmental operations, irrespective of the source of supporting funds. 4. Utility Operations (the Water Department) are separated entirely from General City Operations in accordance with proper utility accounting practice. Several of these changes, all considered desirable steps toward the most modern standards of municipal accounting and budgeting, complicate con- siderably the making of precise comparisons between data for the 1957 -58 fiscal year and prior fiscal years. Past inconsistencies in expenditure account terminology and expenditure accounting (also noted and reported by the independent auditor) further complicate accurate comparisons. Execution of this Budget, and preparation of future budgets will, however, be more precise, simpler and more understandable as a result of the changes in format and accounting. Special Fund Accountins. With Council Approval, the results of discussions with the City Attorney and independent auditor concerning the elimination of unnecessary special funds that have been maintained in previous fiscal years are reflected in this Budget (see especially Tables II -A and II -B.) THE GENERAL PICTURE These are years of unprecedented growth in Orange County and in its cities. Last fiscal year saw the greatest amount of building activity in this City's history. Over 600 new dwelling units were completed. Nine new subdivisions creating a total of 672 residential lots were approved. Annexation of industrial (Superior Avenue) and residential (Tustin - 22nd, St.) areas were made. All are familiar with the growing congestion on Page A -2 E I 1J 1 P 1 ' streets and beaches. These signs of growth reflect increased demands on all City services. Meanwhile, commodity prices and the cost of living have con - 1 tinned to rise. Notable is the fact that surpluses built up to a peak in the 1951x55 fiscal year have been depleted by expenditures in excess of revenues ' during the 1955 -56 and 1956 -57 fiscal years. It is evident that the level of ' expenditures authorised for the past two fiscal years cannot be maintained from current revenue sources and present tax rates. FUND SURPLUSES Table II -B (page B -3) summarises the status of.fund surpluses at ' July 1, 1957 and estimates these surpluses at June 30, 1958, Barring sub- ' stantial changes in either revenues or expenditures during this fiscal year, Table II -B shows the following. ' An estimated unrestricted General Fund surplus of $144,499 avail- able for capital improvements. 1 An estimated restricted State Gas Tax Fund surplus of .$151,083 available for construction of major city streets and acquisition of land needed for right -of -way. An estimated restricted Parking Meter Fund surplus of 067,258 avail- able for traffic control and regulation and parking facilities. An estimated restricted Water Fund surplus of $41,589 available for ' Water system improvements. Cash Basis and Inventory Reserves have been established, $225,000 in . , the General Fund and $225,000 in the Water Fund. ' It is evident that careful planning for the proper utilisation of restricted fund surpluses is necessary. If this is not done, General ' Fund surplus will be inadequate to support a large capital improve- ment program unless reinforced by additional revenues. ' Page. A -3 The Cash Basis and Inventory Reserve of $225,000 in the General Fund ' represents $25,000 of general warehouse and stores inventories and a $200,000 cash reserve. This cash reserve is considered the absolute minimum that ' should be set aside to pay City obligations during the "dry period's from July until receipt of property taxes in December. It has been approved by a Council ' policy statement dated July 23, 1956, ' The Cash Basis and Inventory Reserve of $225,000 in.the Water Fund represents $75,000 of Water warehouse and stores inventories. and accounts re- ' esivables and a $150,000 reserve for retirement of Plater Reservoir bonds and interest which will mature November 1, 1958. ' REVENUES The tables on pages B-6 trxough B-9 show the fiscal year comparisons of actual receipts for 1955 -56 ar_d 1956 -57 with 1957 -58 budget estimates. ' Estimates for 1957 -58 show an increase of $220,830 over 1956 -57. Notable in- creases are Property Taxes ($98,566), Sales Taxes ($32,000), Trailer Park Ran- ' tals ($20,000) and Water Revenues ($68,000). , The asae_-[:ad valuation: and tax rates shown on page B-1 indicate the rapid growth of the City and the need to develop all sources of revenue to pro- vide expanded services to the commiLnity and to meet costs of a capital im- provement program. Each $1,000,000 of additional assessed valuation adds only about $12,400 to tax revenues during 1957 -58, which is not sufficient to meet ' the costs of maintaining the services for the increased valuation. At present, each $1,000,000 of assessed valuation requires about $34,800 of revenue to pay ' for city services. ' The City tax rate for 1957 -58 is $1.24 per $100 of assessed valua- tion. The breakdown of this rate (shown also on page B-1) is as follows. ' General Fund ($.83) The tax limit for general municipal gLrposes ' Page A-4 I 1 fJ 1 1 1 LJ I is $1.00. (Section 1107 of the City Charter.) The 1957 -58 budget provides for maximum utilization of revenues other than property taxes and of each penny of the total tax rate for general purposes. Tax rates for all other funds are estimated to yield slightly less than estimated expenditures in order to eliminate small restricted carry -over balances in these funds. Pgrk &Md Recreation Fluid t` 1) The full tax limit authorized by Charter. Total the City Charter is levied this year. To revenues of this fund, including property taxes, are $3,863 less than estimated expendi- tures. This difference will be covered by a transfer from the General Fund rather than permit the fund to have a deficit balance at the end of the 1957 -58 fiscal year. Library Fund (L.07) The total levy for libraries permitted by City Charter is $.10, with other estimated revenues, it is necessary to levy only a $.07 tax to provide for the yearre estimated expenditures. If total revenues should be less than estimated any deficit will be made up from the General Fund by transfer., Advertising Fund ($.Ol) Although the maximum tax levy permitted by the City Charter is $.10, a policy decision by the City Council has limited this levy to $.01. Monies remaining in this fund at the end of this year will be transferred to the General Fund to offset promotional and advertising expenditures of the General Fund. Retirement Fund (L._4) No maximum tax levy is set by the City Charter. Total revenues required for this purpose for the 1957 -58 fiscal year are estimated to be slightly lower than expenditures, with any deficit to be met by transfer from the General Fund. General City Bond Fund (.0/) This fund is used entirely to retire Page A -5 C i maturing bonds and interest during this fiscal year. Present ' balances in the fund plus tax revenue and a transfer from the General Fund will be used to offset these expenditures. ' EXPENDITURES The tables on pages B -10 thru.B -11 present the Operating Budget of ' the City for the 1957 -58 fiscal year. Comparisons of this years budget with '. actual expenditures of the 1955 -56 and 195,6 -57 fiscal years are included. Shown by function and activity, the expenditures for previous years are taken , from independent auditors reports for these years.. True comparisons are in- valid since previous accounting methods permitted the use of trust accounts ' for many types of expenditures, and payroll distribution was based on the ' charge being made to the department for which the work was performed rather than the department to which the employee was assigned. ' General City Operations budgets (Section C) and the Water Operations The t budget (Section D) reflect careful scrutiny of departmental requests. accuracy of expenditure estimates has been more difficult to establish than it , will be in future years. Changes in account classification and non - comparable records of past expenditures have caused this difficulty. , This Budget does not include appropriations for a major capital im- provement program. Careful study has been given by the City Council to the recommendations of the Citizens Advisory Committee on Capital Improvements and ' to other project proposals. As funds become available, it is expected that the City Council will approve various projects and appropriate funds at the time of approval. , For certain projects that cannot be financed from current revenues, the City Council has stated its intention to place a bond issue on the ballot , at the April, 1958 municipal election designed to include improvements which Page A -6 I ' lend themselves to bond financing. Notable features of the Operating Budgets are: ' 1. City Council: retention of the 050,000 contingency fund. 2, Purchasing & Warehousing: consolidation of the former corpo- ration yard budget (Water Fund expense) with this activity. ' 3. Planning: provides for a separate and enlarged staff to assist the Planning Commission. ' 4. Community Promotion: formerly classified as the "Advertising Budget" this activity reflects a substantial reduction from prior year expenditures. ' 5. Polices provides for increased personnel, more intensive and better supervised patrols, and greatly improved radio communi- cations. 6. Fire: estimated expenditures include costs of manning and 1 equipping new station #6, Harbor Highlands. ' 7. Harbor and Oil Operations: costs of the Harbor Department have been assumed by the Harbors District. The items in this budget ' represent costs of oil processing and engineering services in connection with oil operations, ' S. Engineering: the position of Assistant Public Works Director to ' expedite processing of water & sewer.projects. has been included. 9. General Services: consolidated under this activity are the ' Streets Division, the Sanitation Division and the Automotive. ' Shop Division, formerly collectively called the "Street Depart- ment ". ' 10. Sewers: costs of pilot installation of new sewage pump and automatic reporting of wet well conditions are provided. .Page A -7 15. Trailer Park: no. further improvements are provided pending operating experience. ' 16. Water: activity accounts have been re- arranged and other steps 11. Library: a new book charging system will be installed this ' authorized by the bond election held May 28, 1957, are not in- year and a Library employee will perform custodial services for eluded under this activity but will be recorded separately. the Library, previously provided by the City Hall custodians. ' 12. Parks, Parkways, Street Trees and Restrooms: two additional em- t ployees have been added to reduce the backlog of tree trimming ' stantially improved pay plan for city employees. These changes have reduced and park and parkway maintenance. ' 13. Recreation: a slightly expanded program, with increased part- CONCLUSIONS time and seasonal supervision is included. ' 14. Lifeguard Service: provides for two additional full time ' the citizens. Such review may prompt desirable modifications which either stations on ocean beaches and increased night patrol. Contracted ' service to the county is also included. ' 15. Trailer Park: no. further improvements are provided pending operating experience. ' 16. Water: activity accounts have been re- arranged and other steps toward utility accounting are reflected. Capital improvements ' authorized by the bond election held May 28, 1957, are not in- , eluded under this activity but will be recorded separately. Provision is made in this Budget for general salary increases for , city employees. t This budget reflects position classification changes and a sub- stantially improved pay plan for city employees. These changes have reduced ' internal. and external inequities in pay rates and have provided the basis for a more effective and easily administered pay system. CONCLUSIONS ' The judgment of the City Manager in estimating budget requirements is always, and properly, subject to critical review by the City Council and ' the citizens. Such review may prompt desirable modifications which either Page A-8 U LJ u I I 1 1 1 F �J C LJ L� increase or decrease proposed revenues or expenditures. It is clear, however, that without additional revenue the citizens cannot expect the City Government to meet the obligation of expanded services to a growing community, the need for replacement or improvement of public facilities that have become deficient through time or neglect, and the need for new facilities, however compelling. User charges (e.g., for refuse or sewer service), special assess- meats or tax levies, increases in present levies, and bond issues are among the means used by other cities and available to Newport Beach to finance a progressive capital improvement program. Clearly, there is a critical need and a genuine demand for an active program to accomplish many capital improvements. It must be presumed that the City Council, aided by the recommendations of the Citizenst Advisory Committee on Capital Improvements, can and will develop the financial basis for such a program and incorporate it in this Budget at the earliest possible time. RS:gh ROBERT SHELTON City Manager Page A-9 ' City of Newport Beach ' CMIPARISON OF ASSESSED Va.IMTION ' AND FINANCIAL DATA, J ' Library .07 .08 08 .05 .05 Advertising .01 .01 .02 .04 .05 Park & Recreation .15 .08 .08 .03 .03 ' Sewer Replacement -0- 03 .03 -0- -CM general City Bond .04 !17 :07 .10 -0- Retirement .14 .11 .11 .12 ,_.14 Total Tax Rate $ 1.24 $ 1.24 $ 1.14 $. 1.09 $ 1.13 Page 8.1 1957 -58 1956 -57 1955 -56 1954 -55 1953 -54 Estimated Actual Actual Actual Actual Assessed Valuation /65.507,79()159,383,040 35,207,020 50,929,740 43,595,660 ' Highest Tax Rate per $100 ✓ $1.24 $1.24 $1.14 $1.09 $1.13 Tax Levy / 822,272 725,605 622,157 . 553,781 515.970 RECEIPTS: ' Property Taxes 822,272 723,706 619,340 548,030 493,217 Other Taxes 419,000 386,842 262,336 239.555 214,720 ' Licenses & Permits Fines, Forfeits & Penalties 198,700 85,000 19z,641 82,202 167,729 67,716 155,026. 72,634 '118,847 58,213 Use of Money & Property 206,141 194,141 193,791 117,521' 87,654 Revenne from Other Agencies 245,530 222,283 154,032 186,266 148,997 ' Charges for Current Service 50,100 48,276 33,579 24,735 : 23,174 Other Revenues 9,525 53,258 128,831 1 159,077 147,216 Utility Revenues 48z,2oo 394,289 279,032 28,728. 290,331 ' Total Receipts 2,518,468 2,297,638 1,906,386 1..,786,572 1,582,369 ' MERDITME: General Government 432,656 357,203 319.217 305,867 352,610 Public Safety 695,156 625.545 570,293 44Da,729 344,915 Public works 627,887 636,792 678,107 472,150 383,809 ' Libraries 57,635 47,050 40.567 30,067 26.742 Parks & Recreation 194,421 167,926 119,397 100,321 74,250 Utilities 270,995 532,142 285,275 254,679. X294,410 ' 2,278,750 2,366,858 2,012,856 1,563,813 1,476,736 ' PROPERTY TAX REVENUES BY FUND: General . -� 5'53,690 502,257 412,838 378,821 330,777 Library it 45.855 46,605 42,239 25.174 22,022 Advertising 6,551 5,913 11,992 21,054 22,022 Park & Recreation 98;262 46,605 41,198 15,105 13,213 Sewer Replacement -0- 17,473 14,863 -0- -0- General City Bond 26,2o3 40,775 35,281 45,604 43.377 1915 Act Assessment -0- -0- 180 25 145 t Retirement 91,711 64,078 60,749 62,247 `61,661 Total Tax Revenues %822,2?2 723,706 619,340 548,030 493,217 PROPERTY TAR RATE BY P'UMt x.83 General 1 $ $ .86 $ .75 $ .75 $ .75 ' Library .07 .08 08 .05 .05 Advertising .01 .01 .02 .04 .05 Park & Recreation .15 .08 .08 .03 .03 ' Sewer Replacement -0- 03 .03 -0- -CM general City Bond .04 !17 :07 .10 -0- Retirement .14 .11 .11 .12 ,_.14 Total Tax Rate $ 1.24 $ 1.24 $ 1.14 $. 1.09 $ 1.13 Page 8.1 u H M m E A 0 m P7 F w 0 y U Page H-Z n +n m H ,n p� ao d "O 'O N H H vl O N %n Cl N n �o ri OD . rl N m M ppff� to v-% c0 m �O rI .7 OnD &C N A.�4 O P m r4 v v v n Pi v ri a es .. .. mn cc) CQ v N 1�v r�i S9 1"I 0 14 PAS v ri Pq 5 v m rl A m p .wi V% rl F m O rl C N 3. ri u1 O m 4 W rni H N O Ri r♦ ® A 0% N n O H N to ? n vN ON ri , tv o o ° 9� o 0 T m o�. chi vni rrai n +n rn °-i n Fa H W tI] A w H b o O 0 1 H �pp 'fi q Vii w $4 Cl . �E �o-m .1 . H �� N ® F� 19 +�> + � to ++ 1d+ Pa a M a m H . ,1 q dd H lafFm m `�Fn y AMaI +Pm + � cq tto �H a a�i/d cW 0 P9 cn p H 1 1 1 1 1 1 z H H m E co m P11 H O w 0 +1 U P w PC M s N co O W H p'I m v .H O H � b m m � W m m a as o m P t3 q +� o W w� m.� m U m.� ay b w F P4 CO pi � m PIo m P, to %0 W .my W O iIQ m FI �d m b H CH r-4 m 1 E H m N Po awm1 O C Ln mPaE�W r01 m 14 } m � m m m q W ai a�a m m P CD PAW m H m Il P4 ill v H (7% m W t` u1 Pa ri rl Ea �1 q h I o Vr� -I O ti m O0 S 0 m 0 0 m N V0j H N H M 00 O A8 M d d N uc "i O+ 40 ; OO �o ND 00 H ON Vi t: 00 Vr� -I O ti O, O0 S 0 0 0 N N V0j N N A8 pN d d 40 ; OO �o ND 00 ri Vi t: rri r�-I N i�-I 7 no�dd °moo MAO C% H 11 00 0\ C� N %rrl, ON li OD m VHl H v1 H N N H N n %C) N O H pO� W Hr�-1 NO O d O 1-1 M M L� N N H v M VIA H v H vv v 0� V Vr� -I O ti O, %r% 1 r-I O O t \D 00 0000 O 00 \O �D V1 O M O O V\ O 00 O� CO N u> V1 O \0 C� V1 C� h H N \O VIM N hM �O+ H OD r1 VlMO V\ i m N 1 M 1''10 d n O N�D3��o 0 NH HO C, 00O Ol O N u\ M N 1 L-,D H I OD h O 1 N M v cl-' N . i '� 0 v C- Vl N H v H N v O q a o a� "✓s •d rn W M r� y� a Wry] to W •8 3a -P Of O .yyi 11 'ID mmq � Hg P b m fq-i qq ro C7 [37 W 0.4 pg H N (a ch us Pi q W P yII rrGGG�4iii P W H Page B-3 O q a o a� "✓s •d rn W M r� y� a Wry] to W •8 3a -P Of O .yyi 11 'ID mmq � Hg P b m fq-i qq ro C7 [37 W 0.4 pg H N (a ch us Pi q W P yII rrGGG�4iii P W H Page B-3 q W P yII rrGGG�4iii P W H Page B-3 1 1 1 1 t 1 City of NeWort Beach MAIL ON TRANSFERS ANALYSIS OF SURPLUS BY FUMS Transfers from: Advertising 3,194 State Gas Tax 37,712 Traffic Safety 57,000 Submerged Land Oil 12,071 Weed Abatement 627 Water 6,o6o Transfers to: Park & Recreation 3,863 Library 15 Retirement 44 General City Bond 1,643 Net Transfers to General Fund Table III 116,664 5;565 111,099 Page B-5 City of Newport Beach Table IV ' ACTUAL & ESTIMATED REVENUES ' OTHER THAN PROPERTY TAXES BY CLASSIFICATION ' 1955 -56 1956 -57 1957 -58 Actual Actual Estimated t Revenues Revenues Revenues ' OTHER TAXES 318 Franchises 30093 38,291 39,000 319 City Sales & Use Tax 2319743 348,551 380,000 ' Total 2629336 3862842 419,000 LICENSES & PERMTS 400 General Business Licenses 89,826 68,679 73,500 401 Contractors Licenses -0- 14,954 15,500 402 Truck Permits -0- 7,975 8,400 ' 410 Bicycle Licenses 396 356 350 411 Dog Licenses 2,671 2,897 3,000 420 Building Permits 17,352 27,806 28,000 ' 421 Electrical Permits 39946 6,532 6,500 422 Chimney Permits 205 253 250 423 Lathing & Plastering Permits 1,011 1,693 1,700 ' 424 Plumbing &'Heating Permits 7,633 10,535 102500 425 Tile Permits 286 454 400 440 Pier Permits 3,079 3,412 2,500 450 Parking Meters 22,005 28,450 303000 ' 451 Balboa Parking Lot 10,442 82816 82000 452 CDM Parking Lot 8,179 82769 90000 455 Pacific Nik -O-Lok 597 1,060 1,100 ' Total 167,628 192 :0 1 198,700 , FINES, FORFEITS & PENALTIES 475 Justice Court Fines - Municipal 19,612 273,085 28,000 476 Justice Court Fines - Traffic 48,104 55,117 57,000 , Total 67,716 82,202 8%000 ' USE OF MONEY & PROPERTY 500 Lease of Property 76,994 680578 73,066 510 Concessions 15,671 14,718 15,075 ' 520 Royalty - Petroleum 97,157 101,079 107,000 521 Royalty - Gas -0- 3,252 32500 550 Interest on Bank Deposits 3,770 6,514 7,500 ' Total 193,992 194,141 2062141 page B-6 ' ' Page B-7 Oity of Newport Beach 'Table IV ACTUAL & ESTIMATED REVENUES OTHER THAN PROPERTY TAXES ' BY CLASSIFICATION (conttd.) 1955 -56 1956 -57 1957 -58 ' Actual Actual Estimated Revenues Revenues Revenues ' REVENUE FROM OTHER AGENCIES 600 County Lifeguard Service 13,200 13,200 26,800 601 County Highway Maintenance -0- 4,460 -0- 620 State Highway Maintenance -0- 772 3 +500 ' 621 State Gas Tax Apportionment 20,192 61,691 60,530 622 State Gas Tax Engineering Aid -0- 4,500 5,000 623 State Motor Vehicle License Fees 104,770 109,739 117,900 ' 624 Trailer Coach Fees -0- 2,210 2,300 625 State Liquor License Fees 151870 19,141 22,000 650 Park Site Fees -0- 6,570 7,500 1 Total 154,032 222,283 245,530 700 CHARGES FOR CURRENT SERVICE Zoning & Subdivision Fees 2,685 3,40 3,400 701 Plan Checking Fees 6,786 12,013 12,000 702 Examination Fees -0- 17 '50 ' 703 Reinspection Fees -0- -0- 100 706 Sewer Connection Fees 16,419 14,098 14,000 710 Engineering Service Fees 1,410 8,009 7,000 711 Map Checking Fees -0- 144 150 ' 720 Mooring Inspection fees. 6,560 4,673 -0- 725 Library Fines & Fees 3,850 4,945 4,500 730 Police Service Fees 47 390 400 ' 735 General Services Fees -0- -0- 5,000 740 Recreation Service Fees -0- 410 500 750 Park Service Fees -0- 172, 500 ' 795 Weed Abatement Fees -4-, -0- 2,500 Total 37,757 48,276 50,100 ' OTHER REVENUES 800 Sale of Property 21,195 37,851 �0- 801 Sale of Maps & Publications 49 863 500 802 Sale of Street Materials 6,095 7,947 8,500 ' 803 Sale of Recreation Materials -0- 6 25 805 Sale of Refuse -0- 166 -0- 806 Sale of Unclaimed Property -0- 664 500 ' 807 Damages to City Property -0- 701 -0- 850 Refunds & Rebates 13,208 1,868 -0- 890 Revenues, IT. 0. It. 3,110 3,191 -0- ' Total 43,657 5J,257 9,525 Total General City Revenues 926,918 1,179,642 1,213,996 ' Page B-7 City of Newport Beach ACTUAL & ESTDFATED REVENUES OTHER THAN PROPERTY TAXES BY CLASSIFICATION (cont�d) Table IV Page B-8 1955 -56 1956 -57 1957 -58 Actual Actual Estimated Revenues Revenues Revenues UTILITIES: WATER REVENUE 900 Sale,of Water 240,708 343,784 385,000 910 Ibter Turn -On Charges 333 851 11200 930 Connection Charges 189926 20,879 64,500 940 Water 1,580 172199 1,000 Total Water Revenues 261047 383,713 451,700 TRAILER PARK REVENUE 530 Trailer Park Rentals 15,933 7,315 30,000 531 Trailer Park, N.O.C. 1,552 262 500 Soo Sale of Property -0- 4,000 -0- Total Trailer Park Revenue 170485 11,577 30,500 Total Utility Revenues 279,032 3949290 4829200 Total Other Revenues 1,205,950 11573,932 1,696,196 REVENUE FROM PROPERTY TAXES 310 Secured Property Taxes 510,766 618,654 696,854 311 Unsecured Property Taxes 85,192 92,350 115,443 312 Redemptions 21,185 10,409 7,982 313 Solvent Credits 584 723 796 314 Penalties & Interest 1,613 1,570 1,197 Total Property Taxes 619,340 723,706 822,272 Total All City Revenues 1,825,290 2,297,638 2,518,468 Page B-8 I P U City of Newport Beach RECAPITULATION OF REVENUES BY FOSS FUND 1955 -56 Actual REVENUE OTHER THAN PROPERTY TARES Revenue General ' Park & Recreation Library Advertising ' State Gas Tax Traffic Safety Parking Meter ' Submerged Land Oil Weed Abatement Water Trailer Park F 1 1 Total other than Property Taxes REVENUES FROM PROPERTY TARES General Park & Recreation Library Advertising Retirement General City Bond Sewer Replacement 1915 Act Assessment Total Property Taxes Total All City Revenues 672,641 100,031 3,850 -0- 20,192 -0- 33,047 97,157 -0- 261,547 17,485 1,205,950 412,838 41,198 42,239 11,992 60,749 35,281 14,863 180 619,340 1,825,290 Table IV 1956 -57 1957 -58 Actual Estimated Revenue Revenue 858,524 879,866 76,522 21,250 4.945 4,500 2 -0- 68,694 65,530 -0- 57,000 38.147 38,600 132,808 144,750 -0- 2,500 382,713 451,700 11,577 30,500 1,573,932 1,696,196 502,257 553,690 46,605 98,262 46,605 45,855 5,913 6,551 64,078 91,711 40,775 26,203 17,473 -0- -0- -0- 723,706 822,272 2,297,638 2,518,468 Page B-9 i City of Newport Beach Table Y ' COMPARISON OF ACTUAL & ESTIMATED EXPENDITURES BY FUNCTION Total 570,293 625,545 695,156 ' PUBLIC WORKS 1955 -56 1956 -57 1957 -8 3000 Activity 17,539 Actual Actual Approved , Code Function and Activity Expenditures Expenditures Budget 334,959 374,381 439,302 5500 Sewers 47,295 ' 69,160 , GENERAL. GOVERNMENT Parking Maters & Lots 242420 23,575 14,070 0100 City Council 8,108 112952 56,300 0200 City Clerk- Treasurer 13,894 17,575 22,051 ' 0300 Administrative 16,955 212952 32,413 0500 Civil Service 11079 5,405 1,850 0600 Finance 25,848 29,423 40,114 0700 Purchasing & Warehousing 22,403 24,629 417698 ' 0800 City Attorney 14,342 16,457 19,650 0900 Planning 6,207 16,129 16,002 1000 City Hall 360073 26,580 23,003 ' 1100 Community Promotion 11,605 16,755 3,900 1200 Elections 5,392 3,114 3,100 1300 Debt Service 51,715 49,303 37,960 ' 1400 Insurance 31,347 33,484 42,500 1500 Retirement 74249 84,445 922115 Total 319,217 357,203 .432,656 ' PUBLIC SAFETY ' 2000 Police 254,598 327,937 3900807 2300 Fire 153,726 169,969 249,874 2500 Harbor & Oil Operations 125,692 86,036 82000 2700 Civil Defense 382 628 300 ' 2900 Building & Safety 35,895 40,975 46,175 Total 570,293 625,545 695,156 ' LIBRARIES ' 7000 Library 40,567 47,050 57,635 1 Page B-10 ' PUBLIC WORKS 3000 Engineering 17,539 42,116 ' 58,705 3200 Electrical 38,981 412688 461650 3300 General Services 334,959 374,381 439,302 5500 Sewers 47,295 60,419 69,160 , 5600 Parking Maters & Lots 242420 23,575 14,070 5700 Capital Improvements 159,366 94,613 -0- , Total 622,560 6367792 627,887 LIBRARIES ' 7000 Library 40,567 47,050 57,635 1 Page B-10 ' tCity of Newport Beach Table 9 ' COMPARISON OF ACTUAL & ESTIMATED EIPENDITURES BY FUNCTION (oont'd) ' 1955 -56 195057 1957 -58 �t+ Actual Actual Approved ' Code Code Function and Activity Expenditures Expenditures Budget PAM & RECREATION ' 7500 Parks, Beaches & Recreation 58,375 109,468 1199354 7800 Lifeguard Service 402564 580458 75,067 ' Total 98,939 167,926 194,421 Total General City Operations 1,651,576 1,8341,516 2,0079755 ' UTILITIES 8000 Trailer Park 46,812 122,614 190361 ' 9000 Water 2389463 409,528 251,634 Total Utilities 285,275 532,142 270,995 ' Total All City Operations 1,936,851 2,3669658 .2,278,750 RECAPITULATION OF BUDGET EXPENDITURES ' BY FUND 1955 -56 1956 -57 1957 -58 Actual Actual Approved FUND Expenditures Expenditures Budget General 1,2242389 11,3252595 1,599,654 ' Park & Recreation Library 58,375 409,567 130,334 47,050 119,354 57,635 Advertising 11,605 16,755 3,900 Retirement 742249 84,445 92,115 ' State Gas Tax -Q 12,965 -0- Parking Meter 24,420 23,575 14070 Submerged Land 011 166,256 144,494 83,067 ' General City Bond 51,715 49,303 37,960 Trailer Park 46,812 122,614 19,361 Water 238,463 409,528 2519634 ' Total 129369851 2,3660658 2,278,750 ' Page B-il City of Newport Beach SUMMARY OF 1957-58 BUDGET Salaries Maintenance Activity and and Code Function & Activity Wages Operation GENERAL GOVERNMENT 0100 City Council 0200 City Clerks Treasurer 0300 Administrative 0500 Civil Service 0600 Finance 0700 Purchasing & Warehousing 0800 City Attorney 0900 Planning 1000 City Hall 1100 Community Promotion 1200 Elections 1300 Debt Service 1400 Insurance 1500 Retirement Total PUBLIC SAFETY 2000 Police 2300 Fire 2500 Harbor & Oil Operations 2700 Civil Defense 2900 Building & Safety Total Total LIBRARIES 7000 Library Page B-12 -0- 14,381 30,250 -0- 33,489 31,273 12,120 13,302 10,903 -0- -0- -0- -0- -0- 145,718 318,247 221,799 -0- -0- 42,730 582,776 54,345 17,850 313,202 49,760 10,945 446,102 42,014 56,300 7,525 1,713 1,850 6,625 9,390 6,930 2,700 12,100 3,900 3,100 37,960 42,500 92.,115 284,708 40,985 15,575 8,000 300 3,300 3,560 26,385 103,635 9,700 3,125 146,405 7,786 Table VI Capital Outlay . -0- 145 450 -0.. -0- 1,035 boo -0- -0- -o- -0- -0- -0- -0- 2,230 31,575 12,500 -0- -a 145 44,220 800, 2,415 22,465 9,700 -0- 35,3QO 7,835 Total 56,300 22,051 32.413 1,850 40,114 41,698 19,650 16,002 23,003 3,900 3,100 37,960 42,500 92,115 432,656 390,807 249,874 8,000 300 46,175 695,156 58,705 46,650 439,302 69,160 14,070 1 1 1 1 F7 1 57,635 ' 1 PUBLIC WOMB 3000 Engineering 3200 Electrical 3300 General Services 5500 Sewers 5600 Parking Meters & Lots Total LIBRARIES 7000 Library Page B-12 -0- 14,381 30,250 -0- 33,489 31,273 12,120 13,302 10,903 -0- -0- -0- -0- -0- 145,718 318,247 221,799 -0- -0- 42,730 582,776 54,345 17,850 313,202 49,760 10,945 446,102 42,014 56,300 7,525 1,713 1,850 6,625 9,390 6,930 2,700 12,100 3,900 3,100 37,960 42,500 92.,115 284,708 40,985 15,575 8,000 300 3,300 3,560 26,385 103,635 9,700 3,125 146,405 7,786 Table VI Capital Outlay . -0- 145 450 -0.. -0- 1,035 boo -0- -0- -o- -0- -0- -0- -0- 2,230 31,575 12,500 -0- -a 145 44,220 800, 2,415 22,465 9,700 -0- 35,3QO 7,835 Total 56,300 22,051 32.413 1,850 40,114 41,698 19,650 16,002 23,003 3,900 3,100 37,960 42,500 92,115 432,656 390,807 249,874 8,000 300 46,175 695,156 58,705 46,650 439,302 69,160 14,070 1 1 1 1 F7 1 57,635 ' 1 1 1 1 City of Newport Beach SUMMARY OF 1957 -58 BUDGET Table YI Page B-13 Salaries Maintenance Capital Total Activity and and Outlay Code Punction & Activity Wages Operation - PARKS & RECREATION 7500 Parks, Beaches & Recreation 95,569 18,115 5,670 119,354 7800 Lifeguard Service 65,747 6,040 3,280 75,067 Total 161,316 24,155 8,950 194,421 Total General City Operations1,377,926 531,214 98,615 2,007,755 UTILITIES 8000 Trailer Park 10,401 6,860 2,100 19,361 9000 Water 86,079 155,955 9,600 251,634 Total 96,480 162,815 11,700 270,995 Total Budgets 1,474,406 694,029 110,315 2,278,750 Page B-13 r u t CITY OF NEWPORT BEACH tGENERAL CITY OPERATIONS BUDGETS 1957 -55 1 1 1 1 I IJ 1 1 1 1 1 1 1 1 1 City of Newport Beach CITY COUNCIL General Government Account Code 0100 Page 0-1 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES -0- -0- MA.INTENANOE & OPEPATION 0120 Allowances 4,800 0136 Conference & Travel 1,000 0140 Publishing Expense 500 0182 Expense, N. 0. C. 50,000 Total 11,952 56,300 CAPITAL OUTLAY -0- -0- TOTAL BUDGET 11,952 56,300 Page 0-1 1 1 1 1 City of Newport Beach CITY CLERK-TBEASURER General Government Account Code 0200 PERSONNEL Authorized Classification Positions City Clerk- Treasurer 1 Clerk III 1 Account Clerk II 1 3 Page C-2 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Gadget SALARIES & WAGES 0201 Regular Salaries 13,667 0203 Temporary Salaries 574 0204 Overtime Salaries 140 Total 11,441 14,381 MAINTENANCE & CPEBATION 0216 Office Supplies 3,500 0222 Htc. Office Equipment 225 0234 Dues, Subscriptions & Training 50 0235 Automobile Allowance 75 0236 Conference & Travel 175 0240 Publishing Expense 3,500 Total 57397 7,525 CAPITAL OUTLAY 0290 Office Equipment 1. Piling Equipment 145 Total 738 145 TOTAL BMGET 17,575 22,051 PERSONNEL Authorized Classification Positions City Clerk- Treasurer 1 Clerk III 1 Account Clerk II 1 3 Page C-2 1 1 1 1 1 1 1 City of Newport Beach General Government Account Code 0300 PERSONNEL Authorised Classification Positions City Manager l Administrative Assistant 1 Administrative Secretary 1 Steno Clerk II 1 4 Page C-3 ADMINISTRATIVE 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 0301 Regular Salaries 30,150 0304 Overtime Salaries . 100 Total 20,490 30,250 MAINTENANCE & OPERATION 0315 Motor Fuels & Oils 125 0316 Office Supplies 500 0321 Mtc. Communication Equipment g0 0322 Mtc. Office Equipment 83 0323 Mtc. Rolling Equipment 75 0334 Dues, Subscriptions & Training 205 0335 Auto Allowance 25 0336 Conference & Travel 610 Total 1,020 1,713 CAPITAL OUTLAY 0391 Rolling Equipment 1. Radio for Sedan 450 Total 442 450 TOTAL BUDGET 21,952 32.413 PERSONNEL Authorised Classification Positions City Manager l Administrative Assistant 1 Administrative Secretary 1 Steno Clerk II 1 4 Page C-3 1 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach General Government Account.Code '.6500 PERSONNEL & CIVIL SERVICE 196-57 Account Actual Code Object Account Expenditures SALARIES & WAGES 0501 Regular Salaries MAINTENANCE & OPERATION 0516 Office Supplies 0581 Professional Services = Other Total CAPITAL OUTLAY TOTAL BUDGET 1,321 4,084 _0_ 5,405 1957 -58 Approved Budget' -0- 50 1,800 1,850 -0- 1,850 Page C-4 1 1 1 1 1 1 1 1 City of Newport Beach FINANCE General Government Account Code 0600 PERSONNEL Authorized Classification Positions Finance Director 1 Business License Inspector I Supervising Account Clerk 1 Account Clerk II 2 Clerk II 1 Clerk I 1 7 Page C$ 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 0601 Regular Salaries 20,685 33.489 MAINTENANCE & OPERATION 0615 Motor Fuels & Oils 100 0616 Office Supplies 1,100 0621 Mtc. Communication Equipment 100 0622 Mtc. Office Equipment 550 0623 Mtc. Rolling Equipment 100 0636 Conference & Travel 175 0680 Professional Services — Accounting 4,500 Total 8,622 . 6,625 CAPITAL OUTLAY 116 -0- TOTAL BUDGET 29,423 40,114 PERSONNEL Authorized Classification Positions Finance Director 1 Business License Inspector I Supervising Account Clerk 1 Account Clerk II 2 Clerk II 1 Clerk I 1 7 Page C$ t 1 1 1 1 City of Newport Beach PURCHASING & WAREHOUSING General Government Account Code 0700 CAPITAL OUTLAY 0790 Office Equipment 1. Adding - Calculator 700 2. Typetariter 225 3. Storage Cabinet 110 Total 1,544 1,035 TOTAL BUDGET 24,629 41,698 PERSONNEL Authorised Classification Positions Purchasing Agent 1 Storekeeper II 2 Purchasing Clerk 1 Storekeeper I 1 Account Clerk II 1 Laborer 1 7 Page C=6 1956 -57 1957 -58 Account Actual Approved Code Object Account Eapenditures Budget SLIARIES & WAGES 0701 Regular Salaries 31,103 0704 Overtime Salaries 170 Total 22,371 31,273 MAINTENANCE & OPER&TION 0712 Custodial Supplies 500 0714 Medical Supplies 50 0715 Motor Fuels & Oils .175 0716 Office Supplies 600 0718 Small Tools, Expendible 200 0721 Mtc. Communication Equipment 400 0722 Mtc. Office Equipment 100 0723 Mtc. Rolling Equipment 50 0727 Mtc. Buildings 300 0732 Utilities Expense 6,850 0733 Communication Expense -0- 0734 Dues, Subscriptions & Training 40 0736 Conference & Travel 125 Total 714 9,390 CAPITAL OUTLAY 0790 Office Equipment 1. Adding - Calculator 700 2. Typetariter 225 3. Storage Cabinet 110 Total 1,544 1,035 TOTAL BUDGET 24,629 41,698 PERSONNEL Authorised Classification Positions Purchasing Agent 1 Storekeeper II 2 Purchasing Clerk 1 Storekeeper I 1 Account Clerk II 1 Laborer 1 7 Page C=6 1 1 1 1 1 1 1 1 City of Newport Beach CITY ATTORNEY General Government Account Code 0800 Page C-7 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 0801 Regular Salaries 8,856 12,120 MAINTENANCE & CPERATION 0816 Office Supplies 2$0 0822 Mtc. Office Equipment 30 0835 Automobile Allowance 150 0836 Conference & Travel 500 0878 Professional Services - Legal 6,000 Total 7533 6.930 CAPITAL OUTLAY 0893 Work Equipment, N. 0. C. 1,068 600 TOTAL, BUDGET 16,457 19,650 PERSONNEL Authorized Classification Positions City Attorney 1 Legal Secretary 1, 2 Page C-7 1 1 1 t 1 1 1 City of Newport Beach PLANNING General Government Account Code 0900 PERSONNEL Authorized Classification Positions Planning Director 1 Planning Assistant 1 Steno Clerk II 1 3 Page C-8 .1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 0901 Regular Salaries 13,182 0904 Overtime Salaries 120 Total 5,159 13,302 MAINTENANCE & OPERATION 0916 Office Supplies 125 0934 Dues, Subscriptions & Training 50 0935 Automobile Allowance 175 0936 Conference & Travel 850 0940 Publishing Expense 500 0981 Professional Services - Other 1,000 Total 10,970 2,700 CAPITAL OUTLAY -0- -0_ TOTAL BUDGET 16,129 16,002 PERSONNEL Authorized Classification Positions Planning Director 1 Planning Assistant 1 Steno Clerk II 1 3 Page C-8 1 1 1 1 1 1 1 1 .1 1 City of Newport Beach t_ CITY RAU General Government Account Code 1000 PERSONNEL Authorised Classification Positions Custodian II 1 Custodian I 1 Switchboard Operator 1 3 Page C -9 1.956 -5? 1957_58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 1001 Regular Salaries 10,519 10,903 MAINTENANCE & OPERATION 1012 Custodial Supplies 600 1016 Office Supplies 600 1027 Mtc. Buildings 2,500 1032 Utilities Expense 3,000 1033 Communication Expense 5,400 Total 15,307 12,100 CAPITAL OUTLAY 754 -0- TOTAL BUDGET 26,580 23,003 PERSONNEL Authorised Classification Positions Custodian II 1 Custodian I 1 Switchboard Operator 1 3 Page C -9 1 1 1 1 1 1 1 1 1 1 City of Newport Beach General Government Account Code 1100 COMMUNITY PROMOTION 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SAiARIES & WAGES _0- -0- MAINTENANCE & OPERATION 1184 Miscellaneous Promotions 31900 Total 16,755 3.900 CAPITAL OUTLAY -0- -0- TGT&L BUDGET 16,755 3,900 Page 0-10 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach ELECTIONS General Government Account Code 1200 Page.•C�11 1956 -57 1957 -58 Account Actual Approved Code Object Account E2penditures Budget SALARIES & WAGES -0- -O- MAINTENANCE & OPERATION 1216 Office Supplies 200 1219 Supplies, N. 0. C. 1,550 1281 Professional Services, Other 1,350 Total 3,114 3,100 CAPITAL OUTLAY -0- -0- TOTAL BUDGET 3,114 3,100 Page.•C�11 1 1 1 1 1 1 1 1 1 City of Newport Beach DEBT SERVICE General Government Account Code 1300 Page C-12 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES -0- -0- MAINTENANCE & OPERATION 1398 Retirement of Bonds 42,000 32,000 1399 Interest on Bonds 7,303 5,960 Total 49,303 37790 CAPITAL OUTLAY -0- -0- TOTAL BUDGET 49,303 37,960 1925 Water Bonds - Principal 10,000 1925 Water Bonds - Interest 1,925 1927 Jetty Bonds - Principal 15,000 1927 Jetty Bonds - Interest 3,300 1940 Pier Bonds - Principal 7,000 1940 Pier Bonds - Interest 735 37,960 Page C-12 1 1 1 1 1 1 City of Newport Beach INSURANCE General Government Account Code 1400 Page C-13 1956 -57 1957 -58 Account Actual Approved Code ObJect Account Expenditures Budget SALARIES & WAMS -0- -0- MAINTENANCE & OPERATION 1460 Insurance - Compensation 22,000 1461 Insurance - Fire 1,200 1462 Insurance - Comprehensive Liability 8,000 1463 Insurance - Fleet Liability 4,000 1464 Insurance - Auto Material Damage 1,200 1465 Insurance - Employee Life 5,600' 1466 Surety Bonds & False Arrest 500 Total 33,484 42,500 CAPITAL OUTLAY -0- -0- TOTAL BUDGET 33,484 42,500 Page C-13 1 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach General Government Account Code 1300 Page C-14 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES -G- -0- MAINTENkNCE & OPERATION 1570 Retirement Expense - Current 70,571 1571 Retirement Expense - Prior Years 20,224 1572 Retirement Expense - Adm. Costs 1,320 Total 84, 5 92,115 CAPITAL OUTLAY -0- -0- TOTAL BUDGET 84,445 92,115 Page C-14 11 1 1 1 !J 1 1 lJ ►I City of Newport Beach POLICE Account Cede Object Account Public Safety Account Code 2000 1956 -57 1957 -58 Actual Approved Expenditures Budget Page C-15 SALARIES & WAGES 2001 Regular Salaries 298,753 2003 Temporary Salaries 14,494 2004 Overtime Salaries 5,000 Total 262,387 318,247 MAINTENANCE & OPERATION 2012 Custodial Supplies 300 2014 Medical Supplies 200 2015 Motor Fuels & Oil 9,000 2016 Office Supplies 3,500 2019 Supplies, N. 0. C. 600 2020 Uniforms, Badges & Ammunition 1,660 202I Mtc. Communication Equipment 300 2022 Mtc. Office Equipment 100 2023 Mtc. Rolling Equipment 10,500 2027 Mtc. Buildings 400 2032 Utilities Expense 75 2033 Communication Expense 3,600. 2034 Dues, Subscriptions & Training 2,000 2036 Conference & Travel 750 2037 Subsistence Expense 2,250 2045 Uniform Allowance 4,750 2046 Laundry & Cleaning 200 2081 Professional Services - Other 800 Total 49,606 40,985 CAPITAL OUTLAY 2091 Rolling Equipment 1. 3 -Wheel Motorcycle (Replacement) 1,700 2. 4 Sedans, Equipped (New) 10,000 3. 7 Sedans, Equipped (Replacement) 10,525' 4. Radio Frequency Change -over 9,150 2093 Work Equipment, N. 0. C. 1. Star Reloader 200 Total 15,944 31,575 TOTAL BUDGET 327,937 3901807 Page C-15 1 1 1 1 1 1 1 1 1 City of Newpert Beach POLICE (Contd.) PERSONNEL Ol:asification Police Chief Police Oaptain Police Lieutenant ° Police Sergeant Detective Sergeant ° Police Patrolman Policewoman Humane Officer Assistant Humane Officer Clerk III Steno Clerk II Clerk II Total Regular Employees Temporary Employees: Crossing Guard Matron Reserves Public Safety Account Code 2000 Authorized Positions 1 2. 7 1 36 1 1 1 1 1 3 5s 2 1 as assigned ° Personnel assigned to Motorcycle receive $25.00 extra per month. Page 0-16 ' City of Newport Beach Public Safety Account Code 2300 FIRE ' 1956 -57 1957 -58 Account Actual Approved ' Code Object Account Expenditures Budget SALARIES & WAGES 2301 Regular Salaries 211,425 ' 2303 Temporary Salaries 4,574 2304 Overtime Salaries 535 2305 vacation wages 535 2306 Holiday wages 2,055 2307 Sick Leave wages 2,675 Total 146,231 221,799 ' MAINSFANCE & OPERATION 2312 Custodial Supplies 1,500 2313 2315 Horticultural Supplies Motor Fuels & Oils 50 900 2316 Office Supplies 300 2318 Small Tools - Expendible 100 ' 2319 Supplies, N. 0. C. 500 2321 Mtc. Communication Equipment 1,500 2322 Mtc. Office Equipment 75 2323 Mtc. Rolling Equipment 1,200 t 2324 Mtc. Shop Equipment 50 2327 Mtc. Buildings 500 2332 Utilities Expense 1 1,500 ' 2333 Communication Expense 2,900 2334 Dues, Subscriptions & Training 500 2336 Conference & Travel 400 2345 Uniform Allowances 3,150 ' 2346 Laundry & Cleaning 450 Total 16,041 15,575 ' CAPITAL OUTLAY 2391 Rolling Equipment ' 1. Hose & Equipment, Engine #6 2. Replacement Fire Equipment 6,000 2,000 2394 Furniture & Fixtures 1. Furnishings for Station #6 4,500 ' Total 7,697 12,500 TOTAL BUDGET 169,969 249,874 1 1 Page 0-17 1 1 1 1 1 City of Newport Beach FIRE (contld.) PERSONNEL Classification Fire Chief Assistant Fire Chief Fire Marshal Fire Captain Fire Inspector Fire Engineer Fireman Fire Dispatcher Total Regular Employees Temporary Employees: Reserves Laborer Public Safety Account .Code 2300 Authorized Positions 1 2 1 12 1 9 2 40 as assigned as assigned Page C-18 1 1 1 1 1 1 1 1 City of Newport Beach Account Cade 2531 2579 HARBOR & OIL OPERATIONS Object Account SALARIES & WAGES MAINTENANCE & OPERATION Dehydration Chemicals Prof, Services - Engineering Total CAPITAL OUTLAY TOTAL BUDGET Public Safety Account Code 2500 1956 -57 1957 -58 Actual Approved Expenditures Budget 60,890 .0- 2,348 5,652 17,152 89000 7„994 -a 86,036 8,000 Page C-19 1 1 1 1 i 1 1 1 1 1 1 i 1 1 1 1 1 1 1 City of Newport Beach Public Safety Account Code 2700 Page 0-20 CIVIL DEFENSE 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES .0- -0- MAINTENANCE & OPERATION 2716 Office Supplies 100 2719 Supplies, N.O.C. 100 2733 Communication Expense 100 Total 628 300 CAPITAL OUTLAY •4- .0- TOTAL BUDGET 628 300 Page 0-20 City of Newport Beach Public Safety ' Account Code 2900 BUILDING & SAFETY 1 1956-57 1957 -58 ' Account Actual Approved Code Object Account Expenditures Budget ' SALARIES & WAGES 2901 Regular Salaries 40,530 2905 Vacation Wages 1,463 2907 Sick Leave Wages 73? Total 33,110 42,730 ' MAINTENANCE & OPERATION 2915 Motor Fuels & Oils 750 2916 Office Supplies 600 ' 2921 Mtc, Communication Equipment 450 Positions 2923 Mtc, Rolling Equipment 1 550 Structural Inspector 2934 Dues, Subscriptions & Training Electrical Inspector 100 ' 2936 Conference & Travel 200 ' 2940 Publishing Expense 1 450 2981 Prof. Services:- Other ..200 tTotal 3,815 3,300 CAPITAL OUTLAY 2990 Office Equipment ' 1: Legal File Cabinet 145 Total 4,050 145 ' TOTAL BUDGET 40,975 469175 1 ' Page C =21 PERSONNEL Authorized Classification Positions ' Building & Safety Director 1 Structural Inspector 2 Electrical Inspector 1 ' Plumbing Inspector 1 Zoning Investigator 1 Clerk III 1 ' 7 ' Page C =21 City of Newport Beach Public Norke ' Account code 3000 ' ENGLJIEERING 1956 -57 1957 -58 Account Code Object Account Actual Expenditures Approved Budget SALARIES & WAGES ' 3001 Regular Salaries 38,145 54,345 MAINTENANCE & OPERATION 3015 Motor Fuels & Oils 500 ' 3016 Office Supplies 1,000 3021 Mtc. Communication Equipment 360 3022 Mtc. Office Equipment 50 ' 3023 Mtc. Rolling Equipment 350 3025 Mtc. Equipment N. 0. C. 50 3034 Dues, Subscriptions & Training 100 3036 Conference & Travel 150 3079 Professional Services - Engineering 500 3081 Professional Services - Other 500 ' Total 3,709 3.5560 CAPITAL OUTLAY 3091 Rolling Equipment ' 1. Police Sedan Replacement 800 Total 2 2 800 TOTAL BUDGET 42,116 58.705 ' PERSONNEL ' Authorized Classification Positions Public Works Director 1 ' Assistant Public Works Director 1 Associate Engineer & Street Superintendent 1 ' Assistant Engineer 2 Junior Engineer 2 Steno Clerk II 1 ' 8 1 ' Page 0-22 1 1 1 t City of Newport Beach Public Works Account Code 3200 PERSONNEL Authorized Classification Positions City Electrician 1 Maintenance Electrician 2 3 Page C-23 ELECTRICAL 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SUARIES & WAGES 3201 Regular Salaries 17,100 3204 Overtime Salaries 750 Total 16,172 17,850 MAINTENANCE & OPERATION 3215 Motor Fuel & Oils 325 3216 Office Supplies 25 3218 Small Toole Expendible .125 3220 Mtc. Traffic Signals 1,800 3221 Mtc. Communication Equipment 185 3223 Mtc. Rolling Equipment 125 3231 Mtc. Street Lighting 3,800 3232 Utilities Expense 20,000 Total 22,623, 26,385 CAP ITAL OUTLAY 3297 Land Improvements 1. Standards at Hiway 101 & Marguerite & Marigold Soo 2. Standards at Balboa Blvd. & 30th & 31st Sts. 1,615 Total 2,893 2,415 TOTAL BO GET 41,688 46,650 PERSONNEL Authorized Classification Positions City Electrician 1 Maintenance Electrician 2 3 Page C-23 1 1 1 t City of Newport Beach GENERAL SERVICES SUMMARY Public Works Account codes 3300 -5400 Page G-24 1956 -57 1957 -58 Actual Approved Object Account Expeaditures Budget SALARIES & WAGES Streets 91,588 126,319 Sanitation 148,378 158,313 Automotive Shop 1,817 28,570 Total 241,783 313,202 MAINTENANCE & OPERATION Streets 88,229 86,645 Sanitation 1,104 15,290 Automotive Shop 3,345 1,700 Total 92,678 103,635 CAPITAL OUTLAY Streets 39,605 7,128 Sanitation -0- 11,890 Automotive Shop 315 3,447 Total 39,920 22,465 TOTAL BUDGET 374,381 439.302 Page G-24 I I I I I I I I I I I I I F I I I I w City of Newport Beach Public Works Account Code 3300 -4500 GENERAL SERVICES (Streets) 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 3301 Regular Salaries 110,655 3303 Temporary Salaries 6,864 3304 Overtime Salaries 4,576. 3305 Vacation Wages 4,224 Total 91,588 126,319 MAINTENANCE & OP.ERATION 3315 Motor Fuels & oils 2;700 3316 Office Supplies 50 3318 Small Tools Expendible 100 3321 Mtc. Communication Equipment 270 3323 Mtc. Rolling Equipment 3,600 3336 Conference & Travel 125 3420 Storm Drains 2,000 3520 Street Cleaning 2,000 3720 Traffic Control & Street Striping 9,000 3820 Maintenance of Streets 55,000 3920 Maintenance of Sidewalks 3,500 4,020 Mtc. Bridges, Viaducts & Grade Separations 500 4120 Maintenance of Piers 2,000,4/ 4220 Maintenance of Harbor 1,800 4520 Weed Abatement 2,500 7420 Beach Cleaning 1,500 Total 88,229 81,645 CAPITAL OUTLAY 3391 Rolling Equipment 1. One 4x4 22 Ton Beach Truck (Replacement) 4,103 2. Air Compressor (Replacement) 3,025 Total 39,605 7,128 TOTAL BUDGET 219,422 220,092 PERSONNEL: Authorized Classification Positions General Services Director 1 Concrete Foreman 1 Service Man III 1 Maintenance Carpenter l Silk Screen Technician i Service Man II 7 Truck Driver 4 Service Man I 6 Laborer 2 Total Regular Employees 24 Temporary Employees Laborer as assigned Page C-25 I r r. City of Newport Beach SERVICES Public Works Account Code 5000 PERSONNEL Author12ed Classification Positions Sanitation Foreman 1 Service Mau II 3 Truck Driver 9 Service Man I 6 Laborer 15 34 Page C-26 (Sanitation) 1956 -57 1957-58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 5001 Regular Salaries 134,813 5003 Temporary Salaries 3,000 5004 Overtime Salaries 10,000 5005 Vacation Wages 10,500 Total 148,378 158,313 MAINTENANCE & OPERATION 5015 Motor Fuels & Oils 6,300 5018 Small Tools Eapendible 500 5021 Mtc. Communication Equipment 90 5023 Mtc. Rolling Equipment 8,400 Total 1,104 15,290 CAPITAL OUTLAY 5091 Rolling Equipment 1. One 22000 GVW Garbage Truck (Replacement) 4,600 2. Toro 16000 GVW Trash Trucks (Replacements) 7,290 Total -0- 11,890 TOTAL BUDGET 149,482 185,493 PERSONNEL Author12ed Classification Positions Sanitation Foreman 1 Service Mau II 3 Truck Driver 9 Service Man I 6 Laborer 15 34 Page C-26 1 1 1 1 1 1 1 1 1 1 City of Newport Beach SERVICES Public Works Account Code 5200 PERSONNEL Authorised Classification Positions Chief Mechanic 1 Equipment Mechanic II I Equipment Mechanic I 2 Mechanic Helper 1 5 Page 0-27 Automotive Shop) 1956 -57 195758 Account Actual Approved Code Object Account Expenditures Budget SU ARIES & WAGES 5201 Regular Salaries 26,070 5204 Overtime Salaries 2,500 Total 1,817 28,570 MAINTENANCE & OPERATION 5218 Small Tools Expendible 1 X 500 5219 supplies, N. 0. 0. 200 Total 3,345 1,700 CAPITAL OUTLAY 5292 Shop Equipment .1. Master Distributor Tester 782 2. Master Motor Tester 800 3. Hoist (Incl. Installation) 1,665 4. Tire Changer 200 Total 315 3,447 TOTAL BUDGET 5,477 33,717 PERSONNEL Authorised Classification Positions Chief Mechanic 1 Equipment Mechanic II I Equipment Mechanic I 2 Mechanic Helper 1 5 Page 0-27 11 1 1 1 u 1 11 1 1 1 City of Newport Beach Public Works Account Code 5500 CAPITAL OUTLAY 5591 Rolling quipment: 1. � Ton Pickup Truck (Addition) 20200 5597 Lend Improvements 1. Automatic Signals -all pump stations 5,000 2. Pneumatic Sewage Ejector - station at 47th & Balboa Blvd. 2,500 Total 4,802 9,700 TOTAL BUDGET 609419 69,160 PERSONNEL Authorized Classifications Positions Asst. Water & Sewers Supt. 1 Service Man III 2 Ramp Operator 3 Sewer Technician 1 Service Man I 3 Pap C -28 SEWERS 1956 -57 1957 -58 Account Actual Approved Code Object .Account Expenditures Budget SALARIES & WAGES 5501 Regular Salaries 46,560 5504 Overtime Salaries 3,200 Total 429386 49„760 MAINTENANCE & OPERATION 5511 Chemical Supplies 500 5515 Motor Faels & Oils 1,100 5519 Supplies, N.O.C. 2 X 000 5520 Supplies, New Services 600 5523 Mtc. Rolling Equipment 500 5528 Mttc. Plant Machinery 1 s 000 5532 Utilities Expense 3,500 5579 Professional Services- Engineering 500 Total 13,231 99700 CAPITAL OUTLAY 5591 Rolling quipment: 1. � Ton Pickup Truck (Addition) 20200 5597 Lend Improvements 1. Automatic Signals -all pump stations 5,000 2. Pneumatic Sewage Ejector - station at 47th & Balboa Blvd. 2,500 Total 4,802 9,700 TOTAL BUDGET 609419 69,160 PERSONNEL Authorized Classifications Positions Asst. Water & Sewers Supt. 1 Service Man III 2 Ramp Operator 3 Sewer Technician 1 Service Man I 3 Pap C -28 1 1 City of Newport Beach Public Yorks Account Code 5600 I4 01 :TY4N11 a# Authorized Classification Positions Parking Meter Repairman 2 Temporary Employees: Parking Lot Supervisor as assigned Parking Lot Attendant as assigned Page C-2g. PARKING METERS & LOTS 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & TAGES 5601 Regular Salaries 8,745 5603 Temporary Salaries 20200 Total 12,726 102945 MAINTENANCE & OPERATION 5615 Motor Fuels & Oils 75 5618 Small Tools Expendible 300 5620 Meters & Meter Parts 2,000 5623 Mtc. Rolling Equipment 50 5630 Mtc. Land Improvements 700 Total 1,501 3,125 CAPITAL OUTLAY 9048 -0- TOTAL BUDGET 23,575 14,070 I4 01 :TY4N11 a# Authorized Classification Positions Parking Meter Repairman 2 Temporary Employees: Parking Lot Supervisor as assigned Parking Lot Attendant as assigned Page C-2g. I [l U 1 11 h 1 I 1 U I 1 City of Newport Beach LIBRARY Libraries Account We 7000 CAPITAL OUTLAY 7093 Work Equipment, N.O.C. 1. Books & Recordings 7,725 2. Book Truck 110 Total 82856 7,835 TOTAL BUDGET 47,050 57,635 Authorized Classification Positions City Librarian 1 Assistant City Librarian 1 Library Assistant II 1 Libra-- Assistant I 3 Steno Clerk I 5 Service Man I 1 Total Regular Employees Temporary Employees: Library Page as assigned Page 0-30 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 7001 Regular Salaries 282969 7002 Part -time Salaries 11,797 7003 Temporary Salaries 10248 Total 32,081 42,014 MAINTENANCE & OPERATION 7012 Custodial Supplies 200 7013 Horticultural Supplies 150 7016 Office Supplies 1,700 7018 Small Tools Expendible 50 7020 Library Periodicals 1,175 7022 Mtc. Office Equipment 50 7026 Mtc. Library Books 1,000 7027 Mtc. Buildings 800 7032 Utilities Expense 11600 7033 Communication Expense 250 7034 Dues, Subscriptions & Training 135 7035 Auto Allowance 250 7036 Ccyferenca & Travel 225 7040 Publishing Expense 50 7050 Equipment Rental 150 7051 Land &,/or Building Rental Z Total 69113 71786 CAPITAL OUTLAY 7093 Work Equipment, N.O.C. 1. Books & Recordings 7,725 2. Book Truck 110 Total 82856 7,835 TOTAL BUDGET 47,050 57,635 Authorized Classification Positions City Librarian 1 Assistant City Librarian 1 Library Assistant II 1 Libra-- Assistant I 3 Steno Clerk I 5 Service Man I 1 Total Regular Employees Temporary Employees: Library Page as assigned Page 0-30 1 t 1 1 1 1 t City of Newport Beach Parka & Recreation Account Code 7500 -7700 PARKS, BEACHES & RECREATION �S' WRY) 1956 -57 1957 -58 Actual Approved Expenditures Budget SALARIES & WAGES P B & R Administration 9,822 11,175 Recreation Activities 16,830 21,510 Parks, Parkways, Street Trees & Restrooms 53084 62,884 Total 78,036 95,569 MAINTENANCE & OPERATION P & R Administration 10307 2,060 Recreation Activities 2,577 3,160 Parks, Parkways, Street Trees & Restrooms 109770 12,895 Total 149654 18,115 CAPITAL OUTLAY P B & R Administration 3,170 -0- Recreation Activities 282 440 Parks, Parkways, Street Trees & Restrooms 13,326 5,230 . Total 16,778 5,670 TOTAL BUDGET 109,468 119,354 Page C -31 1 1 1 1 1 t 1 1 1 City of Newport Beach Parks &.Recreation Account Cade 7500 PERSONNEL Authorised Classification Positions Parks, Beaches & Recreation Director 1 Steno Clerk II l 2 Page C-32 PARSS BEACHES & RECREATION B & R Administration 1956 -57 1957 -58 Account Actual Approved Code. Object Account Expenditures Budget SALARIES & WAGES 7501 Regular Salaries 11,055 7504 Overtime Wages 120 Total 9,822 11,175 MAINTENANCE & OPERATION 7515 Motor Fuels & Oils 200 7516 Office Supplies 600 7521 Me. Communication Equipment 90 7522 Me. Office Equipment 40 7523 M o. Rolling Equipment 100 7527 Mtc. Buildings 210 7532 Utilities Expense 300 7534 Dues, Subscriptions & Training 45 7536 Conference & Travel 475 Total 1,307 23,060 CAPITAL OUTLAY 3,170 —0- TOTAL BUDGET 14,299 13,235 PERSONNEL Authorised Classification Positions Parks, Beaches & Recreation Director 1 Steno Clerk II l 2 Page C-32 I 1 11 C 11 1 11 F City of Newport Beach Parks & Recreation Account Cade 7600 . �,..� L] Classification ' Recreation Supervisor Temporary Employees: Recreation Leafier II ' Recreation Leader I Special Activities Leader Authorized Positions 3 as assigned as assigned as assigned Page C -33 PARKS, BEACHES & RECREATION (Recreation Activities) 1956_57 1957_58 Account Actual Approved Code Object Account Expenditures Budget SALARIE S & WAGES 7601 Regular Salaries 149725 7603 Temporary Salaries 6,785 Total 16,830 21,510 MAINTENANCE & OPERATION 7616 Office Supplies 75 7617 Recreational Supplies 1,500 7618 Small Tools Expendible 25 7619 Supplies, N. 0. C. 50 7622 Mtc. Office Equipment 15 7625 Mtc. yquipment, N. 0. C. 90 7627 Mtc. Buildings 275 7633 Communication Expense 150 7634 Dues, Subscriptions & Training 60 7635 Auto Allowance 720 7636 Conference & Travel 100 7640 Publishing Expense 100 Total 2,577 3,160 CAPITAL OUTLAY. 7690 Office Equipment 1, Legal File Cabinet 145 2. Two Desk Chairs 50 7693 Work Equipment, N. 0. C. 1. Court Marker 40 2. C- ,mera, Case & Flash Attachment 125 3• 81 Folding Tables 80 Total 282 440 TOTAL BUDGET 19,689 25,110 . �,..� L] Classification ' Recreation Supervisor Temporary Employees: Recreation Leafier II ' Recreation Leader I Special Activities Leader Authorized Positions 3 as assigned as assigned as assigned Page C -33 City of Nowport Beach Parks & Recreation ' Account Code 7700 PARKS, BEACHES & RECREATION ' (Par';s, Parkways, Street Trees & Restrooms) ' 7718 Small Tools Expendible 400 7719 Supplies, N.O.C. 300 7721 Mtc. Communication Equipment 90 7723 Me, Rolling Equipment 1956 -57 1957 -58 ' Account 50 Actual Approved Buildings Code Object Account Expenditures Budget ' 7750 SALARIES & piAGE3 150 7701 ReCular Salaries 60,019 7703 Temporary Salaries 10,770 21,505 ' 7704 Overtime Wages 360 7791 Total 512384 622884 'MAINTE-NANCE & OPE.'tATIGN 2,000 ' 7711 Chemical Supplies 405 7712 Custodial Supplies 12800 ' 7713 Horticultural Supplies 41700 ' 7715 r:Iotor fi,1als & Oils 1 1400 7716 Office Supplies 20 ' 7718 Small Tools Expendible 400 7719 Supplies, N.O.C. 300 7721 Mtc. Communication Equipment 90 7723 Me, Rolling Equipment 11200 ' 7725 Uc. Equipnnont, N.O.C. 50 7727 V'Uc, Buildings 350 -Wage R -34 7732 Utilities Experse 500 ' 7734 Duct, Suoscriptions & Training 30 7736 Confarancs & Travel 500 7750 Equipment Rental 150 7781 Prof. Services, Other 1,000 Total 10,770 12,895 CAPITAL OUTLAY 7791 Rolling .quipment 1. z ton pick -up (addition) 2,000 ' 7793 Tork Pquipinor.t, N.O.C. 1. Farb Pover Mower (raplaccment) 700 ' 2. Manual 4 Mower 30 3. 170 Co­�late Fire Rings 1,900 4. 71 Beach Cans 400 1 5. 12 Boach Signs 200 Total 13,326 5,230 ' TOTAL BUDG;,T 75,480 81,009 -Wage R -34 1 1 City of Newport Beach Parke & Recreation Account Code 7700 PARKS, BEACHES & RECREATION (conttd) (Parks, Parkways, Street Trees & Restrooms) PERSONNEL Authorized Classification Positions Park Foreman 1 Tree Crew Leadman 1 Groundsman Gardener II 3 Groundsman Gardener I S Custodian II 1 Custodian I 1 Total Regular Employees 15 Temporary Employees: Groundsman Gardener I as assigned Janitress as assigned Page q-35 I 1 1 I I 1 City of Newport Beach LIFE GUARD SERVICE Account Code Object Account SALARIES & WAGES 7801 Regular Salaries 7803 Temporary Salaries Total YI�ii1�l� 1► H PERSONNEL Classifications Regular Employees: Lifeguard Captain Lifeguard Lieutenant Lifeguard Total Regular Employees Seasonal Employees: Lieutenant Lifeguards Parks & Recreation Account Code 7800 1956 -57 Actual Expenditures 49,397 6,513 2,548 58,458 Authorized Positions 1 2 1 4 as assigned as assigned 1957 -58 Approved Budget 20,625 45,T22 65,747 50 300 800 150 300 370 80 50 1,500 50 8o 150 300 350 1,200 50 150 110 6,040 3,280 3,280 75,067 Page C -36 MAINTENANCE & OPERATION 7812 Custodial Supplies 7814 Medical Supplies 7815 Motor Fuels & Oils 7816 Office Supplies 7818 Small Tools Expendible 7819 Supplies, i7 O.C. 7821 Mtc. Communication Equipment 7822 Mtc. Office Equipment 7823 Mtc. Rolling Equipment 7824 Mtc. Shop Equipment 7825 Mtc. Equipment N.O.C. 7827 Mtc. Buildings 7829 Mtc. Other Structures 7832 Utilities Expense 7833 Communication Expense 7836 Conference & Travel 7846 Laundry & Cleaning 7881 Professional Services - Other Total CAPITAL OUTLAY 7891 Rolling Equipment 1.. Station Wagon (additional) Total YI�ii1�l� 1► H PERSONNEL Classifications Regular Employees: Lifeguard Captain Lifeguard Lieutenant Lifeguard Total Regular Employees Seasonal Employees: Lieutenant Lifeguards Parks & Recreation Account Code 7800 1956 -57 Actual Expenditures 49,397 6,513 2,548 58,458 Authorized Positions 1 2 1 4 as assigned as assigned 1957 -58 Approved Budget 20,625 45,T22 65,747 50 300 800 150 300 370 80 50 1,500 50 8o 150 300 350 1,200 50 150 110 6,040 3,280 3,280 75,067 Page C -36 ' City of Newport Beach Parks & Recreation Account Code 8000 ' TRAILER PARK ' 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES ' 8001 8003 Regular Salaries Temporary Salaries 91540 861 Total 8,624 19,401 ' MAINTENANCE & OPERATION 8012 Custodial Supplies 100 ' 8013 8015 Horticultural Supplies Motor Fuels & Oils 500 75 8016 Office Supplies 50 8017 Recreational Supplies 50 t 8018 Small Tools Expendible 100 8021 Maint. Com. Equipment 240 8023 Maint. Rolling Equipment 200 8027 Maint. Buildings 75 ' 8030 Maint. Land Improvements 230 8032 Utilities Expense 4590' 8033 Communication Expense 75 8034 Dues, Subscriptions & Training 100 8035 Automobile Allowance 175 8036 Conference & Travel 50 8039 Promotional Expense 250 Total 3,619 6.,860 CAPITAL OUTLAY 8097 Land Improvements 1. Trailer Site Slabs 1,500 ' 2. Trailer Site Piers 600 Total 110,371 2,100 TOTAL BUDGET 122,614 199361 ' PERSONNEL ' Classification Authorized Positions ' Trailer Park Manager Trailer Park Clerk 1 1 Trailer Park Attendant 1 Total Regular Employees Temporary Employees: 3 Groundsman- Gardener I as assigned Page C-37 i 11 1 11 1 1 CITY OF NEWPORT BEACH WATER OPERATIONS BUDGET 1957 -58 1 11 1 1 1 1 C 1 1 1 1 1. City of Newport Beach WATER (SUMRY) SALARIES & WAGES Administration Production & Purchase Distribution Expense Total MAINTENANCE & OPERATION Administration Production & Purchase Distribution Expense Total CAPITAL OUTLAYS Administration Production & Purchase Distribution Expense Total TOTAL BUDGET Utilities Account Codes 9000- 9200 1956 -57 1957 -58 Actual Approved Expenditures Budget 30,272 18,234 5435 69516 55,875 61,329 91,982 86,079 31,063 20,260 701,604 87,520 60,445 48,175 162,112 155,955 4,235 -0- -0- 5,750 151,199 3,850 .155,434 99600 409,528 251,634 Page D-1 ' City of Newport Beach Utilities Account Codes 9000 1 PLATER ' (ADMINISTRATION) 1956 -57 1957 -58 t Account Actual Approved Code Object Account Expenditures Budget ' SALARIES & WAGES. 9001 Regular Salaries 30,272 18,234 MAINTENANCE & OPERATION 9015 Motor Fuels & Oils SO 9016 Office Supplies 3,000 9021 Mtc. Communication Equipment 90 9022 Mtc. Office Equipment 400 9023 Mtc. Rolling Equipment 200 9034 Dues, Subscriptions & Training 25 ' 9036 Conference & Trawl 175 9040 Publishing Expense 500 9051 Land &/or Building Rental 3,600 ' 9060 Insurance - Compensation 1,500 9062 Insurance - Comp. Liability 600 9063 Insurance - Comp. Fleet Liability 700 ' 9064 Insurance - Auto Mat'3. Damage 200 9065 Insurance - Employee Life 450 9070 Retirement Expense - Current 4925 9071 Retirement Expense - Prior 11650 9072 Retirement Expense -.Adm. Costs 115 9075 Tax Expense 19550 ' 9081 Professional Services - Other 500 Total 31,063 209260 ,. CAPITAL OUTLAY 40235 TOTAL BUDGET 65.570 38,494 PERSONNEL Authorized ' Classification Positions Water & Sewer Superintendent 1 Account Clerk 11 2 ' Account Clerk I 1 4 Page D-2 I 1 t 1 t t 1 City of Newport Beach Utilitie's Account Code 9100 WATER (PRODUCTION & PURCHASE OF WATER) PERSONNEL Authorized Classification Positions Pump Operator l 1957 -58 Approved Budget 4,680 1,836 6,516 2,400 60 50 70,000 100 3,000 11,500 410 87,520 5,000 750 5,750 99,786 Page D-3 1956 -57 Account Actual Code Object Account Expenditures SALARIES & WAGES 9101 Regular Salaries 9104 Overtime Salaries Total 5835 MAINTENANCE & OPERATION 9111 Chemical Supplies 9115 Motor Fuels & Oils 9118 Small Tools Expandible: 9120 Water for Resale 9123 Mtc. Rolling Equipment 9128 Mtc. Plant MachirAry 9132 Utilities Expense 9133 Communication Expense Total 70.604 CAPITAL OUTLAY 9195 Structures: 1. Aeration Tank Roof at Monrovia Reservoir 2. Automatic Water Level Recorder at Reservoir Total -0- TOTAL BUDGET 760439 PERSONNEL Authorized Classification Positions Pump Operator l 1957 -58 Approved Budget 4,680 1,836 6,516 2,400 60 50 70,000 100 3,000 11,500 410 87,520 5,000 750 5,750 99,786 Page D-3 City of Newport Beach Utilities ' Account Code 9200 ' WATER (DISTRIBUTION EXPENSE) ' 1956 -57 1957 -58 Account Actual Approved Code Object Account Expenditures Budget SALARIES & WAGES 9201 Regular Salaries 57,765 ' 9204 Overtime Salaries 3,564 Total 55 875 61029 ' MAINTENANCE & OPERATION 9211 Chemical Supplies q0D 9215 Motor Fuels & Oils 2p200 ' 9218 Small Tools Expendible 1.800 9220 Meters & Meter Parts 15,000 9221 Mtc, Communication Equipment 1,100 ' 9223 9224 Mtc. Rolling Equipment Mtc. Shop Equipment 51400 700 9228 Mtc, Plant Machinery 100 9231 Mtc. water Lines 20,000 ' 9232 Utilities Expense 575 9250 Equipment Rental 600 Total 60,445 48,175 CAPITAL OUTLAY 9291 Rolling Equipment: 1.. t Ton Pickup n /special Body, Radio Equipped (Replacement) , 2 ' 9293 Mork Equipment, N.O.C. .,850 11000 Total 151,199 3,850 ' TOTAL BUDGET 267.519 113,354 PERSONNEL Authorised Classification Positions Water Foreman 1 Service Man III 2 Service Man II 2 Meter Reader , 2�- ' Service Man I 6 Total 13 Page D-4