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HomeMy WebLinkAboutAnnual Budget 1959�x"4�- �"� =,��c �F'x '}';a4i<•"A i7: t f� M.:- a u, _ '' i4' f"i � ita ;;z '3T�'P•[ ��'� 7u75+". i 1 1 CITY OF NEWPORT BEACH 1958-59 PRELIMINARY BUDGET ESTIMATES ,--A, . I1 u • CITY OF NEWPORT BEACH SCHEDULE "A" REVISED 714/58 CLASSES OF F�)SITIONS AND SALARY RANGE NUMBERS EFFECTIVE JULY 1. 1958 . RANGE RANGE NUMBER CLASSIFICATION NUMBER CLASSIFICATION 5 Trailer Park Clerk 27 Assistant Humane Officer Legal Secretary Meter Reader II 20 Clerk I Parking Enforcement Officer Library Clerk 28 Equipment Mechanic I Humane Officer 21 Account Clerk I Maintenance Carpenter Steno Clerk I Maintenance Electrician Switchboard Operator Serviceman III Sewer Technician Silk Screen Technician 22 Clerk II Tree Crew Leadman Library Assistant I 29 Concrete Foreman 23 Account Clerk II Fireman Custodian I Police Patrolman Groundsman Gardener I Policewoman * Library Assistant II Recreation Supervisor Serviceman I Water Shop Foreman Steno Clerk II 30 Administrative Secretary 24 Clerk III Equipment Mechanic II Custodian II Fire Engineer Purchasing Clerk Fire Inspector Storekeeper I Junior Engineer Truck Driver Lifeguard Lieutenant Planning Draftsman Trailer Park Manager 25 Cataloguer Groundsman Gardener II Meter Reader I 31 Building Inspector Trailer Park Attendant 32 Business License Inspector 26 Fire Equipment Dispatcher Chief Mechanic Lifeguard Detective Sergeant Mechanic Helper Fire Captain Parking Meter Repairman Police Sergeant Pump Operator Recreation Superintendent Serviceman II Rescue Boat Operator Storekeeper II Sanitation Foreman Engineering Aide 33 Park Superintendent 0 r1 u RANGE RANGE NUMBER CLASSIFICATION NUMBER CLASSIFICATION 34 Accountant 37 Associate Engineer & Assistant Engineer Street Superintendent City Electrician City Librarian Fire Marshal 39 Building & Safety Director Police Lieutenant Parks, Beaches 8 Recreation Director 35 Assistant Fire Chief Assistant to the City Manager 40 Fire Chief Assistant Water fs Sewer Supt. General Services Director Police Captain * Police Chief 36 Chief Lifeguard 42 Assistant Public Works Director Planning Director P Finance Director Purchasing Agent Water 8 Sewer Supt. 45 Public.Works Director . SPECIAL RATES CLASSIFICATION Police Matron School Crossing Guard Laborer (Seasonal) Library pa ?e Lifeguard (seasonal) Lifeguard Lieut.(seasonal) Paid Call Fireman * Parking Lot Attendant Parking Lot Supervisor Police Reserve Recreation Leader I Recreation Leader II Recreation Leader III MONTHLY RATE 70.00 100.00 HOURLY RATE 1.58- 1.65 - 1.72 -1.81 -1.90 1.00 1.60- 1.70 -1.80 -1.90 -2.00 1.90 -2.00- 2.10 - 2.20 -2.30 1.50 1.75 1.65 -1.75- 1.85 -1.95 -2.05 1.20 -1.30 -1.40 1.50 -1.60 -1.70 1.80 -1.90 -2.00 * Police personnel assigned to motorcycles receive additional $25.00 /mo. Police personnel assigned to Detective Bureau receive following additional monthly compensation: Police Captain - $35.00; Police Sergeant and Detective Sergeant - $30.00; Police Patrolman and Policewoman - $25.00. *e Paid $15.00 per month for attendance at two monthly drills and emergency calls • not in excess of three hours each. Calls in excess of three hours each paid at $1.00 per hour. 0 CITY OF NEWPORT BEACH • MONTHLY SALARY RANGES AND SALARY RATES EFFECTIVE JULY 1, 1958 0 RANGE STEP STEP STEP STEP STEP NUMBER A B C D E 26 330 345 360 375 390 1 100 105 110 116 122 2 105 110 116 122 128 3 110 116 122 128 135 4 116 122 128 135 142 5 122 128 135 142 149 6 128 135 142 149 156 7 135 142 149 156 164 8 142 149 156 164 172 9 149 156 164 172 181 10 156 164 172 181 190 11 164 172 181 190 200 12 172 181 190 200 210 13 181 190 200 210 220 14 190 200 210 220 230 15 200 210 220 230 240 16 210 220 230 240 250 17 220 230 240 250 262 18 230 240 250 262 274 19 240 250 262 274 287 20 250 262 274 287 300 21 262 274 287 300 315 22 274 287 300 315 330 23 287 300 315 330 345 24 300 315 330 345 360 25 315 330 345 360 375 SCHEDULE "B" RANGE STEP STEP STEP STEP STEP NUMBER A B C D E 26 330 345 360 375 390 27 345 360 375 390 410 28 360 375 390 410 430 29 375 390 410 430 450 30 390 410 430 450 470 31 410 430 450 470 490 32 430 450 470 490 515 33 450 470 490 515 540 34 470 490 515 540 565 35 490 515 540 565 590 36 515 540 565 590 620 37 540 565 590 620 650 38 565 590 620 650 680 39 590 620 650 680 710 40 620 650 680 710 745 41 650 680 710 745 780 42 680 710 745 760 820 43 710 745 780 820 860 44 745 780 820 860 900 45 780 820 860 900 950 46 820 860 900 950 19000 47 860 900 950 19000 1,050 48 900 950 1,000 1,050 1,100 49 950 19000 1,050 1,100 11150 50 10000 1,050 1,100 19150 1,210 0 0 0 CITY OF NEWPORT BEACH SCHEDULE "C" MONTHLY SALARY RATES AND HOURLY EQUIVALENTS EFFECTIVE JULY 1, 1958 RANGE # STEP A SALARY RATE HOURLY WAGE RANGE # STEP A SALARY RATE HOURLY WAGE 1 100 .58 28 360 2.07 2 105 .60 29 375 2.16 3 110 .63 30 390 2.24 4 116 .67 31 410 2.36 5 122 .70 32 430 2.47 6 128 .74 33 450 2.59 7 135 .78 34 470 2.70 8 142 .82 35 490 2.82 9 149 .86 36 515 2.96 10 156 .90 37 540 3.10 11 164 .94 38 565 3.25 12 172 .99 39 590 3.39 13 181 1.04 40 620 3.56 14 190 1.09 41 650 3.74 15 200 1.15 42 680 3.91 16 210 1.21 43 710 4.08 17 220 1.26 44 745 4.28 18 230 1.32 45 780 4.48 19 240 1.38 46 820 4.71 20 250 1.44 47 860 4.94 21 262 1.51 48 900 5.17 22 274 1.58 49 950 5.46 23 287 1.65 I 50 1000 5.75 24 300 1.72 51 1050 6.03 25 315 1.81 52 1100 6.32 26 330 1.90 53 1150 6.61 27 345 1.98 54 1210 6.95 I II L City Of Newport Beach 1958 -59 PRELIMINARY BUDGET TABLE OF CCNTENTS INTRODUCTION PAGE City Managers Budget Message ............. . ........................ A -1 -3 Exhibit A - Personnel Comparison by Activity Budget .................A -4 Exhibit B - Tentative Budget Adoption Calendar............ ...A -5 SUMMARY TABLES 1 Table I - Assessed Valuations and Tax Rates .........................B -1 Table II - Preliminary Analysis of Surplus, 6/30/59.••.......•.•••.•B -2 Table III - Summary of Revenues ......... ............................B -3 ' Table IV - Revenues by Classification .. .............................B -4-7 Table V - Summary of Expenditure Estimates ..........................B -8 Table VI - Expenditures by Function and Activity ....................B -9 -10 1 Table VII - Summary of 1958 -59 Budgets ...... ........................B -11 -12 Table VIII - Per Capita Comparisons ... ..............................B -13-14 GENERAL CITY BUDGETS Activity Code CityCouncil ..... ............................... 0100 C-1 City Clerk. 0200 C-2 Administrative ... ............................... 0300 C -3 Personnel & Civil Service ........................ 0400 C-4 ' City Treasurer ....................... I........... 5 C-5 Finance........... 0600 c-6 .......................0.. Purchasing & Warehousing ........................ 0700 C-7 ' City Attorney .... ............................... 0800 0-8 Planning .... .... ..............................6 0900 C-9 City Nall ....................................... 1000 C -10 Community Promotion ............................. 1100 0-11 ' Elections ........ ............................... 1200 C -12 Debt Service ..... ............................... 1300 C-13 Insurance ....................................... 1400 0-14 Retirement. ...... ............................. .. 1500 0-15 Police ........... ............................... 2000 C -16-17 ?ire... 2300 C -18-19 0 .. Harbor & Oil Operations.......... 2900 C-20 .............................�� Civil Defense.... .. 2700 C -21 Building & Safety ............................... 2900 0-22. Engineering 3000 C -23 ' Electrical. ...... ............................... 3200 0-24 General Services . ............................... 33 -5200 0-25 -30 Sewers ........... ............................... 5500 C -31 ' Parking Meters & Lots ........................... 5600 C -32 Library .......... ............................... 7000 0-33 -34 Parks, Beaches & Recreation ..................... 74 -7700 C -35-40 ' Lifeguard Service ............................. 7800 C -41 -42 UTILITIES Water ........................................... 9000 D -1-4 Marinapark ...................................... 9900 D-6 ' APPENDICES II L City Manager's ' BUDGET MESSAGE This budget provides only for the continuance of essential City services and the most urgently needed capital outlays. Expenditure esti- mates have been carefully examined to eliminate least necessary costs. A ' number of desirable expenditures requested by department heads, totaling $165,907, have been omitted. Other major items of capital outlay, all pre-' viously recognized by the Citizens Advisory Committee on Capital Improvements ' and the City Council as important, cannot be included unless revenues are in- creased. Below is 'a comparison of expenditures for 1957 -58 and 1958 -59 show- ' May 16, 1958 through April 30, 1958. It reflects the substantial expenditures for capital outlays author- TO THE CITY COUNCIL ized during this fiscal year. Gentlemen: Pursuant to City Charter Sections 504 and 1102, submitted herewith Amended is a proposed Preliminary Budget for the City of Newport Beach for the 1958 -59 ' Fiscal Year. Budget This is a balanced budget. It contemplates expenditures totaling ' $2,746,287, a 6.6% increase over estimated total expenditures . for .1957 -58, exclusive of Water Bond expenditures. Of the total,.$2,452,638.is for General City operations, and $293,649 is for Utility operations (Water Utility and April 30,1958 Marinapark). For detailed expenditure comparisons see Tables V & VI. 1958-59 Assuming Salaries &Wages $1,474,406 continuance of the present total property tax rate of (1,09) $1.24 per $100 of assessed valuation, it is estimated that all City revenues for 1958 -59 will total $2,746,287, a 7.6% increase over the estimated total ' for 1957 -58. Of the total, $2,225,876 accrues from property taxes and other 908,'624 General City revenues and $520,411 from Utility operations. For detailed ' revenue comparisons see Tables III & IV. 269.70 R.RDRA7nTTiiDR}.` This budget provides only for the continuance of essential City services and the most urgently needed capital outlays. Expenditure esti- mates have been carefully examined to eliminate least necessary costs. A ' number of desirable expenditures requested by department heads, totaling $165,907, have been omitted. Other major items of capital outlay, all pre-' viously recognized by the Citizens Advisory Committee on Capital Improvements ' and the City Council as important, cannot be included unless revenues are in- creased. Below is 'a comparison of expenditures for 1957 -58 and 1958 -59 show- ' ing the effect of amendments to the current year budget through April 30, 1958. It reflects the substantial expenditures for capital outlays author- ized during this fiscal year. Adopted Amended Proposed ' Budget Budget % Budget July 1,1957 April 30,1958 Change 1958-59 ' Salaries &Wages $1,474,406 $1,458,225 (1,09) $1,605,701 Maintenance & Operation 694,029 709,090 2.17 908,'624 Capital Outlays 110,315 407,840 269.70 231.962 ' Total $2,278,750 $2,575,155 13.01 $2,746,287 Page A -1 I The difference between the amended 1957 -58 budget and the pro- posed 1958 -59 budget (all City operations) is $171,132. This corresponds ' to the $180,853 of new expense in the first year's retirement of 1957 Water Bonds, to be paid from Water revenues in 1958 -59. Thus, contemplated expenditures herein for all operations other than bond retirement are lower ' by $9,721 than estimated for the current year. The increases in total Salaries and Wages ($147,476) reflects $87,740 in normal salary step adjustments for eligible personnel, and ' $59,736 for a net increase of 12 1/2 new positions. (See Exhibit A). The total for Salaries and Wages represents 58.5% of the total budget. .Accord- ing to the League of California Cities 1958 Salary Survey, such costs nor- , orally represent 65 -75% of a city's budget. No provision is made for a general salary adjustment, for payment of backlog accumulations of overtime and vacation leave, or for a City con - ' tribution to employee health insurance costs. Reports pending or to be pre -, seated to the Council deal with these matters in detail. They represent potential costs which cannot be ignored if the City expects to obtain and ' retain competent personnel. Maintenance and Operation estimates for 1958 -59, exclusive of bond retirement costs, reflect an $18,681 increase. ' Proposed Capital Outlays are $175,878 less than estimated for expenditure in 1957 -58. ' It is clear that a substantial proportion of the-cost of City services in Newport Beach is attributable to the influx of recreation- seek -. ' ing visitors. Most of the activity of the Lifeguard Service, for example, is necessitated by non - residents. Over 99% of all rescues last summer.involved , out- of- towners. The impact of visitors to Newport Beach, together with our unusual geography, combine to aggravate traffic and.other, enforcement problems and affect police manpower requirements. The City employs.(including re- ' serves) the equivalent of 2.3 full -time police officers per thousand popu- lation (year around), as compared to a national average of about 1.5 per thousand for cities of this size. , Likewise, the costs of street maintenance, pier maintenance, erec- tion and replacement of signs, and beach cleaning are all affected by the . in- and -out tourist, who pays little or nothing to offset the costs he creates. ' If local taxpayers are not to pay for more City service than they themselves require, then effective ways must be found to recover these extra ' costs from those who necessitate them. REVENUES.. ' Estimates for 1958 -59 are based on careful examination of current and prior year revenues. Because of the effect of uncertain economic condi- tions on City revenues, care has been taken to estimate income. conservatively. Total assessed valuation of taxable property in the City is esti- mated at $75,000,000, reflecting normal growth plus the effect of reassess- Page A -2. ' ' ment of land values by the County Assessor. Final assessed value data will not be available until early August. ' Total estimated Revenue for 1958 -59, assuming the present tax rate, is $193,665 above the current year estimates. The major increases are $107,728 (net) from property taxes, $25,000 from City sales and use taxes, $24,505 from water operations, $22,836 from Marinapark operations. Appreciation is due all who have worked so diligently on the pre- ' paration of this budget, especially Finance Director A. N. Broussard and the clerical staff of the Finance Department. ' RS:MM ROBERT SHELTON City Manager Page A -3 Present sources of City income at their current levels, will not pro- duce funds for needed capital improvements or other desirable expenditures which have been omitted from this preliminary budget. Sources of additional revenue for Council consideration include: M(1) Recreational Parking Charges (2) Refuse Collection Charge (3) Increased Miscellaneous Licenses, Fees and Permits (4) Sewer Service Charge (5) Street Lighting Maintenance Districts ' (6) Increase in General Property Tax Limit (15o maximum increase) Consolidation of water and sewer operations into a single, self - supporting utility, (if water rates were adjusted), could relieve the ' General Fund of sewer maintenance and improvement costs. These costs are estimated at $95,434 for 1958 -59 and are destined to remain high until sewer system deficiencies are corrected. ' SURPLUS ' As previously reported to the City Council, unrestricted (General Fund) surplus at the end of the current fiscal year will be low, due to excess of appropriations over revenues for general City operations during the current and past years. If the City Council adopts the preliminary ' budget and revenues are not increased, such unrestricted surplus at the end of the coming fiscal year will not increase. Appreciation is due all who have worked so diligently on the pre- ' paration of this budget, especially Finance Director A. N. Broussard and the clerical staff of the Finance Department. ' RS:MM ROBERT SHELTON City Manager Page A -3 City of Newport Beach COMPARISON OF Exhibit A FULL -TIME POSITIONS- PRESENT & PROPOSED, ' BY ACTIVITY Activity Budget Present Proposed Increase Decrease ' Positions Positions City Clerk 2 3 1 ' Administrative 4 4 City Treasurer 1 12 2 Finance 7 8 1 Purchasing & Warehousing 6 6 City- Attorney 2 2 ' Planning 3 3 City Hall 3 3 Police 59 60 1 ' Fire 40 42 2 Building & Safety 7 8 1 Engineering 8 8 ' Electrical 3 3 General Services - Streets, etc. 23 22 1 ' General Services - Sanitation 35 39 4 General Services - Auto Shop 6 6 ' Sewers 10 10 Parking Meters & Lots 2 2 Library 11 9 2 tP.B.& R. - Administration 2 2 P.B.& R. - Recreation 3 3 ' P.B.& R.-- Parks, Parkways, etc. 15 17 2 Lifeguard Service 6 9 3 Water - Administration 4 4 ' Water - Production & Purchase 1 1 Water - Distribution 14 14 Marinapark 4 4 281 2932 152 3 ' Net Increase 123 ' Page A -4 t 1 City of Newport Beach 1958 -59 Budget Adoption Calendar (Tentative) 1958 Exhibit B May 26 Regular Council meeting. Presentation of Preliminary Budget estimates. (Charter Section 1102). Council sets budget hearing for June 9. Nlay 28 Publish notice of public hearing to be held June 9. June 9 Regular Council meeting. Preliminary Budget hearing. June 16 Adjourned Council meeting. Continue budget hearing. June 23 Regular Council meeting. Complete budget hearing. Adopt Budget (by motion). August 11 Regular Council meeting. Fix tax rate (following receipt of final assessed valuation data from County and State). . Page A -5 I 1 1 1 1 1 LJ 1 1 CITY OF NEWPORT BEACH SUMMARY TABLES FOR 1958 -59 PRELIMINARY BUDGET City of 9erport Beach- TABLE OF ESTI14ATED PROPERTY TAX YIELD Total Estimated Assessed Valuation" 75,000,000 APPROXIMATE IF TOTAL APPROXIMATE TAX YIELD TAX RATE TAX YIELD PER 10 I3 WILL BE 10 - 7,500 1.10 825,000 20 - 15,000 1.11 832,500 30 - 22,500 1.12 840,000 W - 30,000 1.13 847,500 50 - 37,500 1.14 855,000 6o - 45,000 1.15 862,500 70 - 52,500 1.16 870,000 80 - 60,000 1.17 877,500 9� - 67,500 1.18 885,000 100 - 75,000 1.19 892,500 110 - 82,500 1.20 900,000 12¢ - 90,000 1:21 907,500 130 - 97,500 1.22 915,000 14fi - 105,000 1.23 922,500 150 - 112,500 1.24 930,000 160 - 120,000 1.25 937,500 170 - 127,500 1.26 945,000 180 - 135,000 1.27 952,500 190 - 142,500 1.28 96o,000 20¢4 - 150,000 1.29 967,500 21¢ - 157,500 1.30 975,000 220 - 165,000 1.31 982,500 230 - 172,500 1.32 990,000 24¢ - 18o,000 1.33 997,500 250 - 187,500 1.34 1,005,000 1.35 1,012,500 1.36 1,020,000 1.37 1,027,500 oeNOTE: At the present total 1.38 1,035,000 tax rate of $1.24, each add- 1.39 1,042,500 itional $1,000,000 in assessed 1.40 1,050,000 valuation adds only $12,400 to 1.41 1,057,500 the property tax yield. 1.42 1,065,000 1.43 1,072,500 1.44 1,080,000 1.45 1,087,500 11 1 1] H 1 ' City of Newport Beach Table I C01,91ARISON OF ASSESSED VALUATIONS & TAX RATE t1955 1956 -56 -57 1957 -58 1958 -59 Actual Actual Actual Estimated ' Secured Property 47,289,760 51,070,580 56,197,910 64,350,000 Unsecured Property 7,917,260 8,312,460 9,309,880 10,650,000 Total 59,207,020 59,383,040 65.507,790 75,000,000 10 Tax Yield (Ap-orox.)oo 5,521 5,938 6,551 7,500 ' PROPERTY TAX REVEITUES: General Fund (75) 412,838 (86) 510,668 (83) 553,690 (8$) 637,500 Library Fund (08) 42,239 (08) 47,504 (07) . 45,855 (07) 52,500 ' Advertising Fund (02) 11,993 (01) 5,938 (01) 6,551 (01) 7,500 Park Fund (08) 41,198 (08) 47,504 (15) 98,262 (15) 112,500 Sewer Replacement Fund (03) 14,863 (03) 17,814 ( -0) -0- ( -0) -0.. General City Bond Pund (07) 35,281 (07) 41,566 (04) 26,203 (03) 22,500 ' Retirement Fund (11) 60,749 (11) 65,318 (14) 91,711 '(13) 97,500 1915 Act Assessment Fund 180 -0- -0- -0- Total (1.14) 619,341 (1.24) 736,312 (1.24) 822;272 (1.24) 930,000 eo Delinquencies and Collection Charged not deducted. 1 1 ' Page B -1 11 1 ' O Ocr ,pays En ' O rn W m ' a A a H a �a 1 1 U F 0 z 0 y M U CD 41 q NOOCNlOOf�rlO d0 a OI OI E �q,` N N I 1 0 I •�' I I 1 O�� � q I ri a0 Cl Ol N Em "0 v 1 r♦ E E ' vtll vv W v B M' N 06 a, N N Co C'1 0 F b O tOi Il N co � vl Oj 01 c pVmp Vl m'.�d• , C, ONDash� '60 l0O (rl � co H r-i ,q o vl td 1 ' O Ocr ,pays En ' O rn W m ' a A a H a �a 1 1 U F 0 z 0 y M U m CD 41 q mF 0 4 OI OI �O O � ��+ <• L�Oj O O O N O�� � q I woo cl .3 Cl Ol N W O v 1 v E E N vtll vv m CD 41 q N 4 Q N lu w m o c y N u O ON WF % woo W O W E r 1 O W co m 0% CD 41 y Vl N 4 Q N lu w m o c y N u O ON WF % woo V K td 6 O W E r 1 O W Id y Vl N 4 Q N r-1 8 O F rN W sn b C4 q Ch oI 00008888 �V-%�rn rl .�i OOr-II baO a +no I o000 noon. -i000 Nom' \D Ll-nti 88861c,-�6 -Ctq8 1 1 1 1 N 1 Cl 1 m 3 (a ri o O M Id y3 N 50 E y a � •dN q m � v (s a is ,mi 9 0 4n P4 -b F ..� m •ti q F A. g F F m W ••+ m 'd ry •� F W W P.a 4r Gt UE WU wl Oa b Ull I I N N 0 a v I f b "l O 1 � co ri E �]� H E � z aP4 - P9 xn E U ri W Q F F WWWW q .) c 4 00 rl N N N rN m (n q v N 06 a, N N 0 i 0 F b O N ,q o vl td V Y N QI s7 N UN Oj N r-I W r O •N r-1 d U r1 H Cl m o F c'1 cd N j W N ii N W m r-4 m N p m dmi m d F m V m N m ,y mma v qj 3 �d qi rVi p q �Ra a 0 co ri m q+� q 0 q `•� - lb Ii � q P O d m .. m O mrV N N 00 O m O b O IO O �i q W V'% 1 1 f ! O O F [�- W -i p• o m II+o Yfl w0 O ¢ P a0 td pO, H dd b o cm Id �r-I P, 4 Z, r-, V F V v m td p., b d1 ter+ w w° m .+9 3 d N g m ®.� m Id p.ID � 0 ID go �rl 1T 1 N 14 0) O •- N F Cl") td c W 00 ++ W ~ V d F ♦ m • •N UV�dj a1 td N F v E V •rl M F N O V% 51 fA (IN ON O dD O A F m V 94 u0l F O V N ri N t� tqd ti V pC d a.a q q m V V O m ? U rl m m W m t3 ) m R q O U q q U •rOi m V L� M d M v1 } O Me - V fn +-I M r-4 i x •d q 2 i" rl Fy 6m¢ O .rqa "a�a rr, OF p 0O l v G m N F q v Cd op q H 6 r4 W F F WON td fs77 •.� r-I H Da W E W !> E ® O o P E 1 o 1 1 1 1 1 1 City of Newport Beach SM,GAARY OF ACTUAL & ESTIMATED REVENUES Funds REVENUES OTHER THAN PROPERTY TAXES General Park & Recreation Library Advertising State Gas Tax Traffic Safety Parking Meter Submerged Land Oil Weed Abatement Total General City Revenues UTILITIES Water Marinapark Total Utility Revenues BOND ACTIVITIES Water Bond 1957 Construction TOTAL OTHER REVENUES REVENUES FROM PROPERTY TAXES General Park & Recreation Library Advertising Retirement General City Bond Sewer Replacement TOTAL PROPERTY TAXES TOTAL ALL CITY REVENUES Table III 1956-57 1957 -58 1958 -59 % of Actuai Actual & Estimated Revenues Revenues Estimated Revenues 1958 -59 5,913 Revenues 7,500 .81 858,524 871,349 906,191 69.93 76,522 27,016 25,575 1.97 4,945 6,126 5,500 .42 2 17 -0- - -- 68,694 71,076 68,710 5.30 -0- 69,000 75,000 5.79 38,147 38,866 39,600 3.06 132,808 172,330 173,200 13.37 -0- 1.500 2,100 .16 1,179,642 1,257,280 1,295,876 100.00 382,713 431,006 455,511 87.53 11.577 42.o64 64.900 12.47 394,290 473,070 520,411 100.00 -0- 1,800,466 -0- 1,573,932 3,530,816 1,816,28? 502,257 553,690 637,500 68.55 46,605 98,262 112,500 12.10 46,605 45,855 52,500 5.64 5,913 6,551 7,500 .81 64,0 ?8 91,711 97,500 10.48 40,775 26,203 22,500 2.42 17,473 -0- -0- 723,706 822,272 930,000 100.00 2,297,638 4,353,088 2,746,287 Page B-3 ICity of Newport Beach ACTUAL & ESTIMATED REVENUES BY CLASSIFICATION Table IV 1956 -57 1957 -58 1958 -59 of Account _ Actual Actual & Estimated Revenues Code Classification Revenues Estimated Revenues 1958 -59 ' Revenues REVENUES OTHER THAN PROPERTY TAXES 1 OTHER TAXES 318 Franchises 38,291 39,000 40,000 3.09 319 City Sales & Use Tax J48,551_ 400,200 42 200 32.81 386,842 439,200 465,200 35.90 t LICENSES & PERMITS 400 General Business Licenses 50,679 52,527 55,000 4.24 ' 401 402 Contractors Licenses Truck Permits 21,954 18,975 23,143 21,730 24,400 23,000 1.88 1.77 410 Bicycle Licenses 356 500 500 04 411 Dog Licenses 2,897 2,700 2,800 .22 ' 412 Gun Permits -0- 20 25 - -- 420 Building Permits 27,806 26,000 26,000, 2.01 421 Electrical Permits 6,532 5,500 5,500 .42 422 Chimney Permits 253 330 330 .03 ' 423 Lathing & Plastering Permits 1,693 1,400 1,400 .11 424 Plumbing & Heating Permits 10,535 9,000 9,000 .69 425 Tile Permits 454 125 -0- - -- t 440 Pier Permits 3,412 1,900 2,000 .15 450 Parking Meters 28,450 30,000 32,000 2.47 451 Balboa Parking Lot 8,816 8,000 7,000 .54 ' 452 C.D.M. Parking Lot 8,769 11,000 12,000 .93 453 C.D.M. Annual Pass -0- 250 500 .04 455 Pacific Nik- O--Lok 1,060 1,150 1,250 .10 1 41 195,275 202, 705 1T64 FINES, FORFEITS & PENALTIES 475 Justice Court Fines - Municipal 27,085 21,000 23,000 1,77 t 476 Justice Court Fines - Traffic 55,117 82,202 69,000 90,006 75,000 98,000 5:79 7.5� USE OF MONEY & PROPERTY LEASE OF PROPERTY 500 American Legion 1 1 1 - -- ' 501 Balboa Bay Club 56,245 58,095 60,000 4.64 502 J.A. Beek - Beacon Bay 3,169 3,380 3,500 .27 ' 503 504 J.A. Beek - St. Ends & Ferry W.J. Carden - Telescopes 2,046 625 2,043 600 2,100 .16 600 .05 505 Civil Aeronautics Adm. 10 10 10 - -- 506 Josie Fulton 150 150 150 '. 507 Lido Isle Community Assn. 750 750 750 .01 .06 508 Lido Shope Assn. -0- 60 -0- - -- 509 Pacific Tele. & Tele. Co. 167 185 200 .02 510 South Coast Company 1,760 1,920 1,920 .15 ' 511 G.R. Sullivan 150 150 150 .01 512 ;dater Dept. - Corp. Yard -0- 3,600 3,600 .28 ' 520 530 Npt. Harbor Lawn Bowling Assn. Laguna -Santa Ana Stage 207 300 255 300 275 .02 300 .02 531 L.A. Metropolitan Transit Auth. 300 300 300 .02 ' Page B-4 I City of Newport Beach Table IV ' ACTUAL & ESTIMATED REVENUES BY CLASSIFICATION ' (Cont'd) 1956 -57 1957 -58 1958 -59 of Account Actual Actual & Estimated Revenues ' Code Classification Revenues Estimated Revenues 1958 -59 Revenues ' Page B -5 LEASE OF PROPERTY (Cont'd) 1 535 Walter Lotse 2,700 -0- -0- - -- 540 Library Rental -0- 20 -0- - -- t 550 CONCESSIONS: Balboa Pier - Kirk 625 1,100 1,200 .09 551 Newport Pier - Elston 2,669 3,000 3,200 .25 552 Newport Pier - Hiner 1,600 1,600 1,600 .12 ' 555 C.D.N. Park - Poudrier 1,625 1,825 1,850 .14 556 C.D.M. Park - Tate 8,182 9,380 9,000 .69 560 Royalties - Petroleum 101,079 130,000 120,000 9.26 561 Royalties - Gas 3,252 3.750 3,500 .27 570 Int. on Term Deposits - General 6,514 4.461 4,000 .31 571 Int, on Term Deposits - Gas Tax -0- 2,337 1,000 .08 580 Int. on Bonds - General -0- 770 -0- - -- ' 1 �,126 230,042 21 9,206 16.92 REVENUE FROM OTHER AGENCIES. 600 County Lifeguard Service 13,200 26,800 40,000 3.09 601 County Highway Mtc. 4,460 -0- -0- - -- ' 620 State Highway Mtc. 772 3,500 1,500 .12 621 State Gas Tag - Apportionment 61,691 63;739 62,710 4.84 ' 622 623 State Gas Tax - Engineering Aid State Motor Vehicle Lie. Fees 4,500 109,739 5,000 110,471 5,.000 113,300 .38 8.74 624 Trailer Coach Fees 2,210 2,210 2,210 .17 625 State Liquor License Fees 19,141 23,233 25,000 1.93 650 Park Site Fees 6,570 690 -0- - -- 222,283 235,643 249,720 19.27 CHARGES FOR CURRENT SERVICE. 700 Zoning & Subdivision Fees 3,405 3,300 3,400 .26 701 Plan Checking Fees 12,013 11,600 12,000 .93 702 Examination Fees 17 150 150 .01 ' 703 706 Reinspection Fees Sewer Connection Fees -0- 14,098 25 12,500 25 14,000 - -- 1.08 710 Engineering Service Fees 8,009 5,000 5,000 .39 711 Map Checking Fees 144 140 150 .01 ' 719 Mooring Fees 4,673 -0- -0- --- 720 Lifeguard Service Fees -0- 1,646 1,700 .13 725 Library Fines & Fees 4,945 6,100 5,500 .42 730 Police Service Fees 390 2,061 2,000 731 Animal Vaccination Fees -0- 4 10 _15 735 General Services Fees R;' -0- 60 100 .01 ' 740 750 Recreation Service Fees Park Service .gees 410 172 460 115 500 200 ._.04 .02 795 Weed Abatement Fees -0- 1.500 2.100 � 16 48,276 44,661 46,835 3.61 t ' Page B -5 ICity of Newport Beach ' Account Code L' I L L 1 1 F L Classification Table IV ACTUAL & ESTIMATED REVENUES BY CLASSIFICATION OTHER REVENUES (Cont'd) Sale pf Property 1956 -57 1957 -58 1958 -59 Actua3 Actual & Estimated Revenues Estimated Revenues 804 Revenues TOTAL GENERAL CITY REVENUES OTHER REVENUES 800 Sale pf Property 801 Sale of Maps & Publ. 802 Sale of Street Mat'ls. 803 Sale of Unclaimed Property 804 Sale of Charter 805 Sale of Master Plan 806 Refunds & Rebates 807 Donations & Contributions 808 Revenues N.O.C. 809 Damage to City Property TOTAL GENERAL CITY REVENUES TOTAL UTILITY REVENUES BOND ACTIVITIES WATER BOND 1957. CONSTRUCTION 950 Bonds Sold 951 Premium on Bonds Sold 952 Int, on Term Deposits 953 Int. on Bonds TOTAL OTHER REVENUES 37,857 863 7,947 664 -0- -0- 1,868 -0- 3,372 701 53,272 1,179,642 343,784 851 20,879 -0- 17,199 -0- 382,713 4,000 7,315 -0- 262 11,577 394,290 -0- -0- -0- -0- -o- 1,573,932 563 500 1,700 556 8 11 9,100 8,646 75 1..300 22,459 1,257,280 385,000 2,000 41,000 2,680 296 0 431,006 125 40,000 839 1.100 42,064 473,070 1,780,000 2,891 1,975 15,600 3,800, 3,530,816 -0- 500 2,000 600 10 100 5,000 5,000 -0- 1,000 14,210 1,295,876 410,000 2,000 43,511 -0... -0- -0- 455,511 -0- 63,000 1,200 700 64,900 520,411 -0- -0- -0- -0- -0- 1,816,287 56 of Revenues 1958 -59 .15 .05 O1 .39 _39 .07 1.10 100.00 78.77 .40 8.36 87.53 12.11 .23 .13 12.47 100.00 ' Page B-6 UTILITIES WATER goo Sale of Water 901 Meter Turn -on Charges 902 Connection Charges 906 Refunds & Rebates 908 Revenues N.O.C. 909 Damage to City Property MARINAPARK 990 Sale of Property 991 Space Rentals 997 Donations & Contributions 998 Revenues N.O.C. TOTAL UTILITY REVENUES BOND ACTIVITIES WATER BOND 1957. CONSTRUCTION 950 Bonds Sold 951 Premium on Bonds Sold 952 Int, on Term Deposits 953 Int. on Bonds TOTAL OTHER REVENUES 37,857 863 7,947 664 -0- -0- 1,868 -0- 3,372 701 53,272 1,179,642 343,784 851 20,879 -0- 17,199 -0- 382,713 4,000 7,315 -0- 262 11,577 394,290 -0- -0- -0- -0- -o- 1,573,932 563 500 1,700 556 8 11 9,100 8,646 75 1..300 22,459 1,257,280 385,000 2,000 41,000 2,680 296 0 431,006 125 40,000 839 1.100 42,064 473,070 1,780,000 2,891 1,975 15,600 3,800, 3,530,816 -0- 500 2,000 600 10 100 5,000 5,000 -0- 1,000 14,210 1,295,876 410,000 2,000 43,511 -0... -0- -0- 455,511 -0- 63,000 1,200 700 64,900 520,411 -0- -0- -0- -0- -0- 1,816,287 56 of Revenues 1958 -59 .15 .05 O1 .39 _39 .07 1.10 100.00 78.77 .40 8.36 87.53 12.11 .23 .13 12.47 100.00 ' Page B-6 1 1 1 1 1 1 City of Newport Beach ACTUAL B, ESTII ✓ATED REVENUES BY CLASSIFICATION (Cont'd) Table IV TOTAL ALL CITY REVENUES 2,297,638 4,353,088 2,746,287 Page B-7 1956 -57 1957-n38 1958-59 96 of Account Actual Actual & Estimated Revenues Code Classification Revenues Estimated Revenues 1958 -59 Revenues REVENUE FROM PROPERTY TAXES 310 Secured Property Taxes 618,654 695,212 785,605 84.47 311 Unsecured Property Taxes 92,350 115,442 132,060 14.20 312 Redemptions 10,409 9,625 10,000 1.08 313 Solvent Credits 723 796 835 .09 314 Penalties & Interest 1 70 1,197. 1,500 .16 TOTAL PROPERTY TAXES 732,706 822,272 930,000 100.00 TOTAL ALL CITY REVENUES 2,297,638 4,353,088 2,746,287 Page B-7 1 1 t 1 1 1 1 1 1 City of Newport Beac.if COMPARISON OF EXPENDITURE ESTIMATES GENERAL CITY BUDGETS & UTILITIES Table V Marinapark Sa3eries && Wages 1957 -58 Budget 1958 -59 Increase Maintenance & Operation Amended to Estimated (Decrease) Capital outlay April 30, 1958 Budgets GENERAL CITY_ -. - 2471�91 22555 (2—,'6-06) Salaries & Wages 1,35.9,545 1,503,257 143,712 Maintenance & Operation 544,171 757,539 213.368$ Capital Outlay 378,874 191,842 (187,032) Total 2,282,590 2,452,638 2,638 17 .0 M UTILITIES Water Salaries & Wages 85,779 89,124 3.345 Maintenance & Operation 157,215 142,450 (14,765) Capital Outlay Total 24 610 2 7, 06 39,720 271,294 15,110 3, 90 Marinapark Sa3eries && Wages 12,901 13,320 419 Maintenance & Operation 7,704 8,635 931 Capital outlay 4,356 400 Total 2471�91 22555 (2—,'6-06) TOTAL UTILITIES 292.565 293.649 1,084 BOND ACTIVITIES Water Bond 1957 Construction 1,482,084 -0- -0- TOTAL ALL CITY EXPENDITURES 4,057,239 2,746,287 r Includes redemption and interest of 1957 Water Bonds, $180,853 (payable from Water Fund revenues). Page B -8 City of Newport Beach Table VI ' COMPARISON OF ESTIMATED EXPENDITURES ' BY FUNCTION & ACTIVITY ' Adopted Amended City Manager % of Account Budget Budget Recommends Budget Code Function & Activity July 1,1957 April 30.,1958 1958 -59 1958 -59 ' GENERAL GOVERNMENT 0100 City Council 56,300 17,543 6o,7oo 2.47 0200 City Clerk 22,051 22,711 20,172 .82 ' 5500 0300 Administrative 32,413 32,713 33,215 1.35 ' 0400 Personnel & Civil Service 1,850 2,600 2,165 •09 0500 City Treasurer -0- -0- 7,550 .31 ' 0600 0700 Finance Purchasing & Warehousing 40,114 41,698 41,379 37,568 48,535 31,913 1.98 1.30 0800 City Attorney 19,650 27,888 27,735 1.13 0900 Planning 16,002 16,602 17,525 .71 ' 1000 City Hall 23,003 24,253 24,675 1.01 1100 Community Promotion 3,900 6,890 7,500 .31 1200 Elections 3,100 6,848 -0- -0- ' 1300 Debt Service 37,960, 37,960 217,193 8.86 ' 1400 Insurance 42,500 45,028 46,550 1.90 1.500 Retirement 92 115 657 93,818 95,468 640,89 3.8 9 43z 413,801 26-13 ' PUBLIC SAFETY 2000 Police 390,807 397,837 422,947 17.25 2300 Fire 249,874 250,774 252,112 10.28 ' 2500 Harbor & Oil Operations 8,000 8,700 7,700 .31 2700 Civil Defense 300 600 775 .03 2900 Building & Safety 46.175 50,025 2.o4 695,156 .46.175 704,086 733,559 29.91 PUBLIC 'AORKS 3000 Engineering 58,705 58,705 63,405 2.59 3200 3300 Electrical General Services - Streets,etc. 46,650 220,092 46 ;650 359,675 46,700 306,834 1.90 12.51 5000 General Services- Sanitation 185,493 181,090 210,475 8.58 5200 General Services -Auto Shop 33,717 36.597 37,960 1.55 ' 5500 Sewers 69,160 93,510 95,434 3.89 5600 Parking Meters & Lots 1.4,070 627,8 7 22,270 798,497 18 488 7777 9a .75 31.77 ' Page B -9 LIBRARIES ' 7000 Library 57,635 89,385 58_,792 2.40 57T , 35 89,385 58,792 2.40 ' 7400 PARKS & RECREATION Corona del Mar State Perk -0- 6,150 -0- -0- 7500 P.B.& R. - Administration 13,235 12,278 14,370 .59 7600 P.B.& R. - Recreation 25,110 25,360 29,055 1.18 ' 7700 P.B.& R. - Parks,Parkways,etc. 81,009 133,281 85,429 3.48 7800 Lifeguard Service 75,067 99,752 111,241 4.54 194,421 276,821 240,095 9.79 ' TOTAL GENERAL CITY BUDGETS 2,007,755 2,282,590 2,452,638 .100.00 ' Page B -9 ' City of Newport Beach Table VI ' COMPARISON OF ESTIMATED EXPENDITURES 1 BY FUNCTION & ACTIVITY (Cont'd) ' Adopted Amended City Manager % of Account Budget Budget Recommends Budget Code Function & Activity July 1,1957 April 30,1958 1958 -59 1958 -59 11 IPage B -10 UTILITIES ' 9000 ,later - Administration 38,494 54.464 39,759 13.54 9100 :later - Production & Purchase 99,786 99,786 94,305 32.12 9200 `dater - Distribution 113,354 113,354 137,230 46.73 t 9900 Marinapark 19,361 24,961 22,355 7.61 270,995 292,565 293,649 100.00 ' BOND ACTIVITIES 9500 Water Bond 1957 Construction -0- 1,482,084 -0- -0- ' TOTAL ALL CITY BUDGETS 2,278,750 4,057,239 2,746,287 -0- ' EXPENDITURES BY FUND General 1,599,654 1,746,746 1,807,402 65.82 Park & Recreation 119,354 177,069 128,854 4.69 ' Library 57,635 89,385 58,792 2.14 Advertising 3,900 6,890 7,500 .27 Retirement 92,115 93,818 95,468 3.48 Parking Meter 14,070 22,270 18,488 .67 Submerged Land Oil 83,067 108,452 118,941 4.33 General City Bands 37,960 37,960 36,340 1.32 'dater Bond 1957 B.& I. -0- -0- 180,853 6.59 ' Marinapark 19,361 24,961 22,355 .81 Water 251,634 267,604 271,294 9.88 ' !later Bond 1957 Construction -0- 2,278,750 1.482,084 4,057,239 -0- 2,746,287 -0- 100.00 11 IPage B -10 ' City of iievroort Beach Table VII ' SMA? IARY OF 195 9 PR LIi'I <JtY BUTWI T ' Page B -11 Salaries "aintonance Activity & & Capital code Function & Activity ;Jagos Operation Outlay Total ' 0100 WmaL 00VMwMw City Council -0- 60,700. -0- 60,700 0200 City Clark 13,912 5.750 510 20,172 0300 Administrative 30,930 2,285 -0- 33.215 ' 0400 =personnel P_• Civil Service -0- 2,165 -0- 2,165 0500 City Treasurer 5,880 1,215 455 7,550 0600 Finance 40,175 7.525 835 48.535 0700 Purchasing e� - earehousing 27,418 4,495 -0- 31,913 ' 0800 City elttorney 16,725 10,290 720 27.735 0900 Planning 14,690 2,635 200 17.525 ' 1000 1100 City ! :all Cormunity Promotion 10,856 -0- 13,819 7,500 -0- 24,675 -0- 7,500 1200 - loctions -0- -0- -0- -0- 1300 Debt Service -0- 217,193 -0- 217.193 ' 1400 Insuranoo -0- 46,550 -0- 46,550 1500 Retirement -0- 95._468 -0- 95.468 i60,j86 x,590 2,720 6 0,896 PUBLIC S.aFSFL'Y 2000 Police 347,602 52,965 22.380 422,947 2300 7?ire 229.112 23,000 -0- 252,112 2500 Yarbor 2. Oil Operations -0- 7,700 -0- 7,700 ' 2700 Civil Defense -0- 100 675 775 2900 Building &s 3?,fety 45.250 4.775 -0- 50.025 216 .934 8546 23,055 ?33.55° PUBLIC TORUS ' 3000 ;ogineeri.ng 57,080 3,925 2,400 63,405 3200 'electrical 17,700 27.055 1.945 46,700 3300 5000 General Servicos- Streets, etc. General Services- SanitRtion 124,184 83,250 99,400 306,834 177,135 17,340 16,000 210,475 5200 General Services -into Shop . 32,08.0 3.950 1,930 37,960 5500 5600 Severs Parking 49.559 12,375 33.500 95,434 ' Meters ^:: Lots 10,583 7.905 -O- 18 488 488,321 155.800 155.175 779,296 LIBRARIES 7000 Library 44,216 6�756 7,820 58,792 b 796 7.820 58.792 °a?tiCS A. '3ECTiE1TI0Id ' 74CO 7500 Coronn del W,,r State Oa.rk ?.B.& R. Administration -0- 12,555 -0- -u- -0- 1,440 375 14,370 7600 P.B.& R. .Recreation 25,166 3,.528 361 29,055 7700 P.B.& R. Parks,Parkoa.Ys,etc. 72.719 12,300 410 85.429 7800 Lifeguard : Service 97,730 11,585 1,926 1111241 208,170 28,853 3.072 240,095 ' TOTAL GMUR,AL CI-Y BrDGBTS 1,503.257 757.539 191,842 2,452,638 ' Page B -11 1 1 1 1 1 1 1 City of Newport Beach Activity code 9000 9100 9200 9900 SUMMARY OF 1958-59 PRELIMINARY BUDGET (Cont,d) Function & Activity UTILITIES Water - Administration Water- Production & Purchase Water - Distribution Marinapark BOND ACTIVITIES 9500 eater Bond 1957 Construction TOTAL ALL CITY BUDGETS Table VII Salaries Maintenance & & Capital Wages Operation Outlay Total 18,299 21,46o -0- 39,759 5,040 89,265 -0— 94,305 65,785 31,725 39,720 137,230 13,320 8,635 400 22,355 102,444 151,085 40,120 293,649 -0- -0- 1,605,701 908,624 -0- -0- 231,962 2,746,287 Page B -12 ' City of Newport Beach Table VIII ' PER CAPITA COITARISONS OF EXPENDITURES 1957 -58 and 1958 -59 (est. pop.) (est. pop.) ' Amended ( 22,809 ) Budget ( 24,360 ) Function & Activity Budget $ per Estimates $ per ' April 30, 1958 Capita 1958 -59 Capita GENERAL GOVERNMENT 0100 City council 17,543 .77 60,700 2.49 ' 0200 City Clerk 22,711 1.00 20,172 •83 0300 Administrative 32,713 1.43 33,215 1.36 0400 Personnel & Civil Service 2,600 .11 2,165 .09 0500 City Treasurer -0- -0- 7,550 .31 ' 0600 Finance 41,379 1.81 48,535 1.99 0700 Purchasing & Warehousing 37,568 1.65 31,913 1.31 0800 0900 City Attorney Planning 27,888 16,602 1.22 .73 27,735 17,525 1.14 •72 1000 City Hall 24,253 1.o6 24,675 1.01 1100 Community Promotion 6,890 .30 7,500 .31 1200 Elections 6,848 .30 -0- -0- 1300 Debt Service 37,960 1.66 217,193 8.92 1400 Insurance 45,028 1.98 46,550 1.91 1500 Retirement 93,818 4.12 95.468 3.92 ' 413,801 18.14 640,896 26.31 PUBLIC SAFETY ' 2000 2300 Police Fire 397,837 250,774 17.44 10.99 422,947 252,112 17.36 10.35 2500 Harbor & Oil Operations 8,700 .38 7,700 .32 2700 Civil Defense 600 .03 775 .03 ' 2900 Building & Safety 46.175 2.03 50.025 2.05 7o4,o86 30.87. 733,559 30.11 PUBLIC 'STORKS 3000 Engineering 58,705 2.57 63,405 2.6o 3200 Electrical 46,650 2.05 46,700 1.92 3300 General Services - ' 5000 Streets, etc. General Services - 359,675 15.77 306,834 12.59 Sanitation 181,090 7.94 210,475 8.64 5200 General Services - ' Auto Shop 36,597 1.6o 37,960 1.56 5500 Sewers 93,510 4.10 95,434 3.92 5600 Parking Meters & Lots 22,270 .97 18,488 .76 798,497 35.00 779,296 31.99 ' LIBRARIES 7000 Library 89,385 3.92 58,792 2,41 ' PARKS & RECREATION 89.385 3.92 587792 2.41 7400 Corona del Mar State Park 6,150 .27 -0- -0- 7500 P.B.& R. - Administration 12,278 .54 14,370 .59 ' 7600 P.B.& R. - Recreation 25,360 1.11 29,055 1.19 7700 P.B.& R. - Parks, Parkways, etc. 133,281 5.84 85,429 3.51 ' 7800 Lifeguard Service 99.752 276,821 4.38 11 1,241 240,095 12.14 H.86 TOTAL GENERAL CITY BUDGETS 2,282,590 100.07 2,452,638 lo0.68 ' Page B-13 t 1 1 1 1 City of Dewport Beach Table VIII PER CAPITA COMPARISONS OF EXPENDITURES 1857 -58 and 1858 -59 (Cont'd) (est.pop.) (est. pop.) Amended ( 22,809 ) Budget ( 24,360 ) Function &.Activity Budget $ per Estimates $ per April 30, 1958 Capita 1958'59 Capita UTILITIES 9000 Pater - Administration 54,464 2.39 39,759 1.63 9100 Water - Production & Purchase 99,786 4.38 94,305 3.87 9200 Water - Distribution 113,354 4.97 137,230 5.64 9900 Marinapark 24.961 1.09 22.355 2 Total Utility Revenues 292,565 12.83 293,649 12.00 BOND ACTIVITIES 9500 Water Bond 1957 Const.. 1,482,084 64.98 -0- -0- TOTAL ALL CITY 4,057,239 177.88 2,746,287 112.74 Page B. 14 I 1 1 1 !.1 u n CITY OF NEWORT BEACH PRELIMINARY GEISRAL CITY BUDGETS 1958 -59 City Council I 1 1 This budget provides for the increase in Council memberst reimbursement for out -of- pocket expense approved by the voters April 8,19$8. ' The past practice of providing a contingency appropriation of $50,000 in the City Council budget is being continued. The purpose ' of this account is to provide, by'Council action only, for unbudgeted and unanticipated expenditures of an essential nature during the 1 fiscal year. Dues to Orange County Division of the League of California Cities (account 0134) formerly in this budget have been transfered to the Community Promotion budget (account 1184). Account 0139 provides $500 for the publishing of an annual City report for distribution to citizens. 1 n U 1 1 1 1 1 1 1 City of Newport Beach Account Code Object Account MAINTENANCE & OPERATION 0109 Allowances 0116 Office Supplies 0134 Dues & Subscriptions 0136 Conference & Travel 0137 Departmental Meetings 0139 Promotional Expense 0140 Publishing Expense 0176 Prof. Services - Legal 0179 Other Charges N.O.C. Total TOTAL BUDGET CITY COUNCIL 1957 -58 Budget mended to April 30, 1958 4,800 -0- 265 1,000 -0- 132 500 1,104 9,742 17,543 17,543 General Government Account Code 0100 1958 -59 Budget City Manage r ouncil Recommends Action 9,000 100 -0- 1,000 100 -0- 500 -0- 6n,700 Page C -1 City Clerk This budget does not include estimates for the City Treasurer function .which are contained in a separate activity budget (account code 0500). Salaries & Wages: Due to the increasing backlog of clerical work in connection with indexing and maintenance of City records, this budget provides for an additional Steno Clerk II position. Maintenance & Operation: The reduction in estimates for these accounts results from the transfer of the Treasury activity to a separate budget. Capital Outlays: A second electric typewriter is included for more efficient processing of the volume of typing performed by the Clerk's office. 1 1 t 1 1 1 t 1 t 1 1 City of Newport Beach General Government Account Code 0200 CITY CLERK Present Proposed Classification Positions Positions City Clerk 1 1 Clerk III 1 1 Steno Clerk II 0 1 3 Page C -2 1957 -58 Budget 1958 -59 Bud et Account Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES: 0201 Monthly Salaries 13,667 13,782 0202 Hourly Wages 1,234 -0- 0203 Overtime Wages 140 1 00 Total 15,041 13,912 MAINTENANCE & OPERATION 0216 Office Supplies 3,272 1,800 0222 Mtc. Office Equipt. 225 200 0234 Dues & Subscriptions 50 50 0235 Automobile Allowance 75 25 0236 Conference & Travel 175 150 0237 Departmental Meetings -0- 25 0240 Publishing Expense Total 3 500 3,500 77'T 51750 CAPITAL OUTLAY 0289 Library Books 1) Government Codes 40 0290 Office Equipment 373 1) Electric Typewriter 470 Total 373 510 TOTAL BUDGET 22,711 20,172 Present Proposed Classification Positions Positions City Clerk 1 1 Clerk III 1 1 Steno Clerk II 0 1 3 Page C -2 1 1 1 1 1 1 1 City of Newport Beach Account Code 0301 0303 0315 0316 0321 0322 0323 0334 0335 0336 0337 0391 ADMINISTRATIVE Object Account SALARIES & WAGES Monthly Salaries Overtime Wages Total MAINTENANCE & OPERATION Motor Fuels & Oils Office Supplies Mtc. Commun. Equipt. Mtc. Office Equipt. Mtc. Rolling Equipt. Dues & Subscriptions Automobile Allowance Conference & Travel Departmental Meetings Total CAPITAL OUTLAY Rolling Equipment TOTAL BUDGET PERSONMEL Classification City Manager Assistant to City Manager & Personnel Manager Administrative Secretary Steno Clerk II 1957 -58 Budget Amended to April 30, 1958 30,150 100 30,250 125 700 158 100 230 25 585 -0- 1,996 467 32,713 Present Positions 1 1 1 1 4 General Government Account Code 0300 1958 -59 Budget City Manager Council Recommends Action 30,930 30,930 125 900 80 125 75 205 25 600 150 2,285 WE 33,215 Proposed Positions 1 1 1 1 4 Page C -3 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach PERSONNEL & CIVIL SERVICE General Government Account Code 0400 Page C-4 1957 -58 Bud et 1958 -59! Budget Account Amende t0 City A6anager Council Code Object Account April 30, 1958 Recommends Action MAINTENANCE & OPERATION 0416 Office Supplies 350 200' 0434 Dues & Subscriptions 75 50 0437 Departmental Meetings 125 145 0440 Publishing Expense 350 270 0478 Prof. Services - Other 1.700 1,500 Total 2,600 2,165 TOTAL BUDGET 2;600 2,165 Page C-4 I" City Treasurer 1 This budget provides for the establishment of a separate ' Treasurer's office and reassignment of Treasury and Finance department ' functions to comply with City Charter provisions. This action is re- commended V the'City's staff and independent auditors. ' Salaries & Wages: ' Provision is made for a part -time City Treasurer and one clerical position, formerly assigned to Office of the City Clerk- , Treasurer. Cashiering functions now performed by the Finance Depart- ment will be handled by the Treasurer's office. , Maintenance & Operation: , Amounts included are based on expenditure experience in the combined City Clerk - Treasurer office. A corresponding reduction in esti- , mates for the City Clerk's budget has been made. Capital Outlays: ' Office equipment listed is necessary in addition to equip- ' ment that can transfered from the City Clerk's Office. 1 1 FI .1 1 1 1 1 City of Newport Beach CITY TREASURER 1957 -58 Budget Account Amended to Code Object Account April 30, 1958 SALARIES & WAGES 0501 Monthly Salaries -0- MAINTENANCE & OPERATION 0516 Office Supplies 0522 Mtc. Office Equipt. 0535 Automobile Allowance 0536 Conference & Travel 0537 Departmental Meetings 0540 Publishing Expense Total -0- CAPITAL OUTLAY 0590 Office Equipment 1) One desk and chair 2) One 4- drawer Legal File Total -0— TOTAL BUDGET -0.. PERSONNEL Classification City Treasurer Account Clerk II Present Positions 0 1 General Government Account Code 0500 1958 -59 Budget City Manager Council Recommends Action ONE 1,000 50 25 75 25 ,215 315 140 7,550 Proposed Positions Part -time 1 Page C -5 I Finance ' 17.3 $ Increase over 1957 -58 Budget ' Salaries & Wages: ' Normal salary step increases for all eligible personnel are ' provided. Provision is made for a new position of Accountant. This year ' the municipal Corporation of Newport Beach will process over .$4,000,000 of receipts and disbursements, all of which is subject to detailed accounting ' and controls. Despite solid progress in accounting methods, it is impossible ' for the City's one trained accountant to give both necessary supervision to accounting operations and devote proper time to general fiscal management. , Trained manpower is not available to move ahead promptly with utility accounting for the City's Water System and Marinapark, detailed inventory ' control of City-owned assets, modernized accounting for pooling of motorized equipment, a 1 and variety of statistical analyses and financial studies which a corporation of this size should undertake if it is to operate on a ' business -like basis. Most cities of this size with centralized finance departments ' have larger staffs and a minimum of two trained accountants. Maintenance & Cperation: ' Modernizatdon of office: records. and increased use of warrants, ' payroll checks, office forms and supplies, maintains same level of ex- penditures for 1958-59. Provision is made for continuance of the present level of services by an independent auditor. Such services would include assistance on establishment of up -to -date physical asset records and con- version to utility accounting for the Water Fund. ' Capital outlays: Equipment for new accounting position is provided, ' 1 1 City of Newport Beach Account Code 0601 0615 0616 0621 0622 0623 0634 0636 0637 o678 r.•E FINANCE Object Account SALARIES & WAGES Monthly Salaries MAINTENANCE & OPERATION Motor Fuels & Oils Office Supplies Mtc. Commun. Equipt. Mtc. Office Equipt. Mtc. Rolling Equipt. Dues & Subscriptions Conference & Travel Departmental Meetings Prof. Services - Other Total CAPITAL OUTLAY Office Equipment 1) Desk and Chair 2) Adding Machine 3) Typewriter Total TOTAL BUDGET PERSONNEL Classification Finance Director Accountant Business License Inspector Supervising Account Clerk Account Clerk II Clerk II Clerk I 1957 -58 Budget Amended to April 30, 1958 33,489 100 1,775 100 550 100 65 175 -0- 77.35 525 41,379 Present Positions 1 0 1 1 2 1 1 7 General Government Account Code 0600 1958 -59 Budget City Manager Council Recommends Action 40,175 100 2,000 100 550 100 75 75 25 4,500 7,52 -0- 275 350 210 7'35 48;535 Proposed Positions 1 1 1 0 3 1 1 8 Page C -6 City of Newport Beach LJ ' Account Code 1 1 1 1 1 LJ I Object Account PURCHASING & WAREHOUSING 1959 -58 Budget .-Ki ended £o April 30, 1958 General Government Account Code 0700 1958-59 Budget City Manager Council Recommends Action PERSONNEL SALARIES & WAGES 0701 Mogthly Salaries 28,223 27,149 0703 Overtime Wages 550 269 Storekeeper II Total 28,773 27,418 1 MAINTENANCE& OPERATION Account Clerk 1I 1 0712 Custodial Supplies 500 450 0714 Medical Supplies 50 100 0715 Motor Fuels & Oils 175 175 0716 Office Supplies 600 800 0718 Small Tools Expendible 200 25 0721 Mtc. Co.-=un. Equipt. 400 200 0722 Mtc. Office Equipt. 100 100 0723 Mtc. Rolling Equipt. 100 100 0727 Mtc. Building 390 300 0732 Utilities Expense 3,100 2,000 0734 Dues & Subscriptions 70 60 0736 Conference & Travel 125 125 0737 Departmental Meetings �O 60 Totals 5,810 4,495 CAPITAL OUTLAY 0790 Office Equipment 876 -0- 0791 Rolling Equipment 1,950 -0- 0793 Equipment N.O.C. 159 -0-.., Total 2,985 -0- TOTAL, BUDGET 37,568 31,913 PERSONNEL Present Proposed Classification Positions Positions Purchasing Agent 1 1 Storekeeper II 1 1 Purchasing Clerk 1 1 Account Clerk 1I 1 1 Storekeeper I 1 1 Laborer 1 6 6 ' Page C -7 ' City of Newport Beach General Government Account Code 0800 ' CITY ATTORNEY ' 1957 -58 Budget 1958 -59 Budget Account Amended to City Manager Council Code Object Account April 30; 1958 Recommends Action ' SAWIES & WAGES 0801 Monthly Salaries 16,632 16,725 ' MAINTENANCE & OPERATION 0816 Office Supplies 475 500 0822 Mtc. Office Equipt. 35 50 ' 0827 Mtc. Buildings 310 150 0832 Utilities Expense 9C 120 0834 Dues & Subscriptions 100 75 0835 Automobile Allowance 300 300 0836 Conference & Travel 65 200 0838 Training Expense -0- 25 ' 0840 0851 Publishing Expense Land / Building Rental -0- 480 150 720 0876 Prof. Services - Legal 4,375 6,000 0878 Prof. Services - Other 2.726 2,000 ' Total 8,956 10,290, CAPITAL OUTLAY 0889 Library Books 600 720 0891 Office Equipment 1,700 -0- Total 2,300 720 TOTAL BUDGET 27,888 27,735 PERSONNEL Present Proposed ' Classification Positions Positions City Attorney 1 1 Legal Secretary 1 1 1 ' Page C -8 11 Planning ' _ Increase over 1957 -58 Budget 1 Salaries & Wages: ' Normal salary step increases are provided for all eligible personnel. This .request also provides for the Planning Draftsman for , the full year. The position was created during March, 1958. Maintenance & Operation: ' Costs of notices to property owners now required under the ' State Conservation & Planning Act are provided for under Office Supplies, as are estimated expenditures for drafting supplies. No provision has ' been made for professional services of outside Planning consultants. Capital Outlays: ' Purchases of Books for the nucleus of a Planning Library ' include Deeringts Calif. Govt. Code on Planning & Subdivisions, and other related books. ' 11 �J I ' City of Neorport Beach General Government Account Code 0900 ' PLANNING 19577 8 Budd 1958-59 Budget Account Amended to city' Manager Council Code Object Account April 30, 19511 Recommends Action ' SALARIES & WAGES 0901 Monthly Salaries 10,491 14600 0903 Overtime Wages 105 90 ' Total 10,59`7 24�90 ' 0915 MAINTENANCE & OPERATION Motor Fuels & Oils 25 125 0916 Office Supplies 1225 850 0922 Mtc. Office Equipt. 40 35 0923 Mtc. Rolling Equipt. 20 300 ' 0934 Dues & Subscriptions 150 100 0935 Automobile 115 -0- 0936 .Allowance Conference & Travel 850 125 ' 0937 Departmental Meetings -0- 600 " 0940 Publishing Expense 475 500 ✓ 0978 Prof. Services Other 1600 '�/ / `/ ' Total 4,500 2635 CAPITAL OUTLAY 0989 Library Books -0- 200 " 1 ' 0990 . 7KV, oauw 1001 —e"-- 0991 Rolling Equipt. 525, -0- Total 150 6 200 TOTAL BUDGET l6k02 17325 9 ' PERSONNEL ' Classification Present Positions Proposed Positions Planning Director 0 1 Planning Assistant 1 ' Planning Draftsman 1 1 Steno Clerk II 1 1 1 3 1 Page C -9 City of Newport Beach General Government Account code 1000 CITY HALL ' 1957 -58 Budget 1958 -59 Budget Account Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 1001 Monthly Salaries 10,903 10,856 ' MAINTENANCE & OPERATION 1012 Custodial Supplies 850 800 1016 1018 .Office Supplies Small Tools Expendible 500 25 200 50 1022 Mtc. Office Equipt. 100 175 1025 Mtc. Equipt. N.O.O. 50 50 ' 1027 Mtn. Buildings 3,411 3,000 1032 Utilities Expense 3,000 3,000 1033 Commun. Expense 5,350 644 ' Total 13,286 13,819 CAPITAL OUTLAY ' 1090 Office Equipment 64 -a TOTAL BUDGET 24,253 24,675 1 PERSONNEL Classification Present Positions Proposed Positions Custodian II 1 1 Custodian I 1 1 ' Switchboard Operator 1 1 3 3 1 ' Page 0-10 City of Newport Beach COMMUNITY PROMOTION 1957 -58 Budget Account Amended to Code Object Account April 30, 1958 MAINMIWCE & OPERATION 1136 Conference & Travel 210 1139 Promotional Expense 6,680 Total TOTAL BUDGET 6,890 1 t 1 General Government Account Code 1100 1958 -59 Budget City Manager Council Recommends Action 500 7,500 7,500 Page C -11 1 1 1 1 City of Newport Beach ELECTIONS General Government Account Code 1200 Page C -12 1957 -58 Budget 1958 -59 Budget Account Amended to City Manager ouncil Code Object Account April 30, 1958 Recommends Action MAINTENANCE & OPERATION 1216 Office Supplies 410 -0- 1219 Supplies N.O.C. 3,195 -0- 1278 Prof. Services - Other x,24 -0- Total 6,848 -0- TOTAL BUDGET 6,848 -0- Page C -12 ' City of Newport Beach General Government Account Code 1300 ' Debt Service 1957 -58 Budget 1958 -59 Budget ' Account Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action MAINTENANCE & OPERATION 1398 Retirement of Bands 32,000 102,000 1399 Interest on Bonds 5,960 115,193 ' Total 37,960 217,193 1 Principal Interest 1925 Water Bonds 10,000 1,375 ' 1927 Jetty Bonds 15,000 2,475 1940 Pier Bonds 7,000 490 ' 1957 eater Bonds Total 70,000 102,000 110,853 115,193 1 1 1 1 ' Page C -13 1 1 1 1 1 1 1 1 1 1 City of Newport Beach INSURANCE 1957 -58 Budget Account ;Amend" ed to" "-' Code Object Account April 3o, 1958 MAINTENANGS & OPERATION 1460 Ins. - Compensation 23,623 1461 Ins. - Fire & E. C. 2,350 1462 Ins. - Comp. Liability 7,493 1463 Ins. - Comp. Fleet Liab. 4,112 1464 Ins. - Auto Mat'l Damage 1,200 1465 Ins. - Employee Life /ACC 5,600 1466 Surety Bonds & False Arrest 500 1467 Ins. - Marine 150 Total 45,028 TOTAL BUDGET 45,028 General Government Account Code 1400 1958 -59 Budget City Ranage"��ouncil Recommends Action 25,000 2,350 8,000 4,300 800 5,600 500 -0- 46,550 46,550 Page C -14 C Retirement 1.7 °h Increase over 1957 -58 Budget ' This budget is based on estimates of total retirement expense , for all monthly salaried personnel provided for in the 195859 estimates, except for Water Division personnel, whose retirement-expense is charged to the Water Fund. Computation for current expense is as follows: ' $ 1,441,001 - Total Monthly Salaries A 6.082 - Rate established by Retirement System , $ 187,642 - Total City Contribution 1 90% - Estimated participation of regular employees $ 78,878 - Estimate for Current expense (including ' $5.200 for Water Division personnel) Prior Years expense has been determined by contract with the , State Employee's Retirement System and provides for annual payments by July. 1, 1981. Of ' the City of $21,873.68 for the period July 1, 1956 to this amount, $650.00 is chargeable to the Water Fund for Water Division , personnel. Administrative expense is determined annually by the System ' and is based on per- member cost. Estimates indicate a per - member cost 1 of $6.00 for 195859; ae.compared with $5.85 fpr 1957 -58. The anticipated tax rate for retirement purposes is 13¢ as ' compared to 14¢ for the current year. 1 ' City of Newport Beach General Government Account.Code 1500 ' RETIREMENT ' 1957 -58 Budget 1958 -59 Budget Account Amends to City Manager Council Code Object Account April 30, 1958 Recommends Action ' MAINTENANCE & OPERATION 1570 Ret. Expense - Current 70,571 73,678 ' 1571 Ret. Expense - Prior Years 21,927 20,224 1572 Ret. Expense - Administrative 1,320 1,566 ' Total 93, SIT 9T,+ w 1 1 1. 1 1 1 1 ' Page C -15 I Police ' 6.3 Increase over 1557 -58 Budget ' Salaries & Wages: ' In addition to normal step increases for all eligible personnel, an additional Clerk II position is included for increased record ' keeping and clerical duties, including transcribing of tape recorded case reports. ' Also included are Special Enforcement Officers for patrol of the Corona Del Mar State Park Beach and enforcement of metered and limited time parking areas ' during the summer months. Provision is also made for the hourly employment of 40 Reserve Police Officers. ' Maintenance & Operation: ' Principal increases are in Motor Fuels & Oils and in Maintenance ' of Rolling Equipment. One -man patrol operations while materially increasing the level of law enforcement have increased patrol operations costs ' because of increased rolling equipment usage. Capital Outlays_ ' Normal replacement of eleven police sedans, one solo ' motorcycle and Humane Officer's truck are provided. Additional estimates for equipment are: ' 1) Radar equipment - to inaugurate a more accurate and efficient method of speed checking. ' 2) Riot guns - replacements and additions, to provide to ' one each patrol unit. 3) Electric typewriters - to expedite the preparation ' of reports, forms and statistical work of the Department. 1 ' City of Newport Beach Public Safety Account Code 2000 ' POLICE ' Account 1957 -58 Budget Amended o - 1958 -59 met City aT aagar Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES ' 2001 Monthly Salaries 289,303 317,107 2002 Hourly wages 14,494 19,995 ' 2003 Overtime Wages Total 1.0,230 10,500 347, 62 31 ,027 2010 MAINTENANCE & OPERATION Ammunition Supplies -0- 1,350 2012 Custodial Supplies 925 900 2014 Medical Supplies 200 300 2015 Motor Fuels & Oils 10,800 13,500 ' 2016 Office Supplies 3,400 3,400 2018 Small Tools Expendible 100 125 2019 Supplies N.O.C. 925 1,000 ' 2021 Mtc. Common. Equipt. 375 500 2022 Mtc. Office Equipt. 100 100 ' 2023 2027 Mtc. Rolling Equipt. Mtc. Buildings 12,500 400 14,500 400 2033 Commun. Expense 4,350 4,200 2034 Dues & Subscriptions 100 100 2036 Conference & Travel 1,400 300 1 2037 Departmental Meetings -0- 300 2038 Training Expense 1,900 900 2041 Investigation Expense -0- 1,600 ' 2045 Uniform Expense 6,410 5,000 2046 Laundry & Cleaning 200 200 2052 Range Fees -0- 240 2058 Animal Custody 1,000 1,000 2059 Board of Prisoners 2,250 2,.250 2078 Prof.-Services- Other 2 50 800 ' Total 49-385 52,965 CAPITAL OUTLAY 2090 Office Equipment ' 1. Two Electric Typewriters -0- 935 2091 Rolling Equipment 1. Replacement - 11 Sedans 20,525 15,100 ' 2. Replacement - I ton Panel Truck -0- 2,300 3. Replacement - solo Motorcycle 1,700, 1,600 Total 22,225 19,000 ' 2093 Equipment N.O.C. 11,900 1. Radar Speedmeter -0- 1,800 ' 2. Ten Model 870-R riot guns 3. Two gun locks -D- -0- 600 45 Total 11,900 21,445 ' Total Outlay 34,125 22,380 TOTAL BUDGET 397,837 422,947 ' Page C -16 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach POLICE (Cont'd. PERSONNEL Public Safety Account Code 2000 Page C -17 Present Proposed Classification Positions Positions Police Chief 1 1 Police Captain 3 3 Police Lieutenant 2 2 Police Sergeant 7 7 Detective Sergeant 1 1 Police Patrolman 36 36 Police Woman 1 1 Humane Officer 1 1 Assistant Humane Officer 1 1 Clerk III 1 1 Steno Clerk II 1 1 Clerk II 4 5. Total Monthly Employees 59 60 Hourly Employees: Crossing Guard 2 2 Matron 1 1 Reserves As assigned As assigned Page C -17 I Fire ' 5 Increase over 1957 -58 Budget ' Salaries & Wages: ' Normal salary step increases are provided for.all eligible , personnel. Additional personnel included are: One Captain, to serve as the master mechanic for maintenance of apparatus and equipment, ' and an additional Engineer to become a vacation relief Engineer on a year -round basis. The amount shown for 1957 -58 is less than originally , budgeted and reflects salary savings due to delay in filling authorized ' positions. Maintenance & Operation: ' Largest item of increase is the request for Fire.Supplies. The amount budgeted provides for the replacement of fire hose on a ' 10 -year plan - 110 to be replaced each year. Approximately 4,900 , feet of hose all over 15 -years old will be replaced at a cost of $ 6,680 in 1958 -59. The hose replaced will be turned over to the ' Street, Water & Sewer activities for their use. Other requests include normal operating supplies, replace- , ment of mattresses and bunks at Station #4 and remodeling of the ' engine room door at Station #4 to accomodate modern equipment. Capital Outlays: ' None recommended, pending review of possibilities of financing replacement of Engine #4, Balboa Island. ' I. City of Newport Peach 1 ' Account Code Object Account LJ� LJ 1 F LI r O Y Public safety Account Code 2300 1957 -58 Budget 1958 -59 Budget 'Amended to City Manager Council April 30, 1958 Recommends Action ' Page C -18 SALARIES & 11AGFS 2301 Monthly Salaries 207,117 222,230 2302 hourly Wages 4,574 3,690 2303 Overtime Wages 6,250 3,192 Total 217,941 229,112 MAINTENANCE & OPERATION 2312 Custodial Supplies 1,500 1,000 2313 Horticultural Supplies 50 50 2315 Motor Fuels & Oils 900 1,000 2316 Office Supplies 550 300 2318 Small Tools Expendible 150 100 2319 Supplies N.O.C. 750 200 2320 Fire Supplies -0- 7,500 2321 Mtc. Commun. Equipt. 1,500 1,500 2322 Mtc. Office Equipt. 75 50 2323 Mtc. Rolling Equipt. 1,622 1,200 2324 Mtc. Shop Equipt. 50 50 2325 Mtc. Equipt. N.O.C. 200 600 2327 Pttc. Buildings 500 1,200 2332 Utilities Expense 1,500 1,700 2333 Commun. Expense 2,900 2,900 2334 Dues & Subscriptions 500 150 2336 Conference & Travel 400 150 2337 Departmental Meetings -0- 150 2338 Training Expense -0- 200 2345 Uniform Expense 3,150 2,500 2346 Laundry & Cleaning 450 500 Total 26',747 237000 CAPITAL OUTLAY None recommended. 16,086 -0- TOTAL BUDGET 250,774 252,112 ' Page C -18 t 1 1 1 1 1 1 City of Newport Beach FIRE (Cont'd.) PERSONNEL Public Safety Account Code 2300 Page C -19 Present Proposed Classification Positions Positions Fire Chief 1 1 Assistant Fire Chief 2 2 Fire !Marshall 1 1 Fire Captain 12 13 Fire Inspector 1 1 Fire Engineer 12 13 Fireman 9 9 Fire Dispatcher 2 2 Total Regular Employees 40 42 Paid -Call Fireman As assigned As assigned Page C -19 1 1 1 t 1 1 City of Newport Beach Public Safety Account Code 2300 Page C -20 HARBOR & OIL OPERATIONS 195? 58 Budget 1958 -59 Budget Account Amended to City manager ­66uncil Code Object Account April 30, 1958 Recommends Action MAINTENANCE & OPERATION 2531 Dehydration Chemicals 2,3118 2,000 2532 Utilities Expense 700 _0_ 2579 Prof. Services - Engineering 5,652 5-L-799 Total 8,700 7,700 TOTAL BUDGET 8,700 7,700 Page C -20 1 1 1 1 1 1 1 1 1 1 City of Newport Beach Account Code 2716 2719 2733 2751 Public Safety Account Code 2700 CIVIL DEFENSE 1957 -58 Budget_ 1958 -59 Budget Amended to City Manager Council Object Account April 30, 1958 Recommends Action MAINTENANCE & OPERATION Office Supplies 100 50 Supplies, N.O.C. 100 50 Commun. Expense 100 -0- Land &for Bldg. Rental .3000 -0- Total 600 100 CAPITAL OUTLAY 2793 Equipment N.O.C. -0- 1) Portable Radio 675 TOTAL BUDGET 600 775 Page C -21 Building and Safety 5.. Increase over 1957 -55 Budget Salaries & Wages`: In addition to normal step increases for all eligible personnel, an additional inspector is provided to assist in the prosecution of the Task Force building inspection program. Maintenance & Operation: Principal increases are Office Supplies and Professional Services. The current year's expenditures for Office Supplies have exceeded the original request because of increased costs of printed forms and useage. Professional Services request provides for use of outside agencies for checking plans of complex industrial type buildings. .. Capital Outlays: None recommended. 1 k 1 1 1 1 1 ' Page C-22 City of Newport Beach Public Safety Account Code 2900 ' BUILDING ,& .SAFETY ' 1957 -58 Budget 1958 -59 Budget Account Amended. to City Manager Council ' Cade Object Account April 30, 1958 Recommends Action SALARIES & WAGES 2901 Monthly Salaries 40,270 45,250 '. 2902 Hourly Wages -0- -0- 2903 Overtime Wages 300 -0- Total 40,570 45,250 ' MAINTENANCE & OPERATION 2915 Motor Fuels & Oils 750 750 ' 2916 2921 Office.Supplies Mtc..Commun. Equipt. 1,200 450 1,000 450 2922 Mtc. Office Equipt. 50 50 2923 Mtc. Rolling Equipt. 550 750 2934 Dues & Subscriptions 100 100 1 2936 Conference & Travel 200 300 2937 Departmental Meetings -0- 75 2940 Publishing Expense 450- 300 ' 2978 Prof. Services - Other 850 1,000 Total 4,�0 x,775 ' CAPITAL OUTLAY 2990 Office Equipment 1,005 -0- ' TOTAL BUDGET 46,175 50,025 ' PERSONNEL Present Proposed Classification Positions Positions Building & Safety Director 1 1 Structural IBspector 2 0 Electrical Inspector Plumbing Inspector 1 1 0 0 Zoning Inspector 1 0 Building Inspector 0 6 ' Clerk III 1 1 Total 7 8 1 1 ' Page C-22 H 1 BNGINMING 8.0 % Increase over 1957 -58 Budget t Salaries & Wages: ' Normal step increases are provided for all eligible person- t nel. The increase is due primarily to the provision of the salary of the Assistant Public Works Director for the full year. ' Maintenance & Operation: Slight reduction from current year's level of expense is ' attributable to reduced need for field supplies. ' Capital Outlays: It is proposed to replace a 1948 Pick -up Truck driven over ' 1CQg00 miles, with a Sedan Delivery. This vehicle will be used by field inspectors and survey crews. A 25 -year old level which cannot be satis- factorily repaired, is proposed for replacement. 1 1 1 u r 1 11 ■ 1 1 [1 1 1 1 City of Newport Beach Account ENGINEERING Code Object Account SALARIES & WAGES 3001 Monthly Salaries 3003 Overtime Wages Total MAINTENANCE & OPERATION 3015 Motor Fuels & oils 3016 Office Supplies 3020 Field Supplies 3021 Mtc. Commun. Equipt. 3022 Mtc. Office Equipt. 3023 Mtc. Rolling Equipt. 3025 Mtc. Equipt. N.O.C. 3034 Dues & Subscriptions 3036 Conference & Travel 3037 Departmental Meetings 3077 Prof. Services - Engineering 3078 Prof. Services - Other Steno Clerk II Total 1957 -58 Budget mended —to April 30, 1958 CAPITAL OUTLAY 3090 Office Equipment 3091 Rolling Equipment 1) Sedan Delivery - Replacement 3093 Equipment N.O.C. 1) Surveyor's Level - Replacement Total TOTAL BUDGET PERSONNEL 52,585 1,000 53,585 500 1,150 400 360 100. 350 50 100 280 -0- 500 00 4,290 R I M 58,705 Public Works Account Code 3000 1958 -59 Budget City Manager Council Recommends Action 56,330 750. 57,080 450 1,100 100 300 125 500 100 50 175 25 500 500 3.925 -0- 2,100 300 2. 4?50 M Page C -23 Present Proposed Classification Positions Positions Public Works Director 1 1 Asst. Public works Director 1 1 Associate Engineer &. Street Superintendent 1 1 Assistant Engineer 2 2 Junior Engineer 2 2 Steno Clerk II 1 1 8 8 Page C -23 Electrical 1 Increase over 1957 -58 Budget , Salaries & Wages: Monthly salaries remain the same. Overtime requests have been reduced, based on this years expenditures and estimated emergency , work for 1958 -59. ' Maintenance & Operation: Estimated increases in maintenance of traffic signals and street lighting costs are expected because of increased number of ' signals and street lights within the City. Capital Outlays: , Replacement of Light Standards at Via Antibes.at Lido Soud and and Via Antibes at Lido Nord is provided., New installations at Via Lido and Lafayette, Coast Highway ' and Heliotrope and Balboa Blvd, between 18th & 19th Streets are recommended to improve traffic and pedestrian safety. ' 1 1 11 1 ' City of Newport Beach 1 11 1 C LE ELECTRICAL TOTAL BUDGET 46,650 tPERSONNEL 1957 -58 Budget Account Am— edeT to Code Object Account April 30, 1958 SALARIES &WAGES 1 3201 Monthly Salaries 17,100 3203 Overtime '.-rages 295 Total 17,395 MAINTENANCE &. OPERATION 3215 Motor Fuels & Oils 575 3216 Office Supplies 25 3218 Small Tools Expendible 125 3220 Mtc. Traffic Signals 1,800 3221 Mtc. Commun. Equipt. 185 3223 Mtc. Rolling Equipt. 325 3231 Mtc. Street Lighting 3,800 3232 Utilities Expense 20,000 3236 Conference & Travel 5 3279 Other Charges N.O.C. -0- Total 26,W CAPITAL OUTLAY 3297 Land Improvements 2.415 1) Replace Standards - Via Antibes at Lido Nord & Lido Soud -0- 2) New Standard - Via Lido & Lafayette -0- 3) New Standard - Pedestrian Crossing at Coast Hwy. & Heliotrope 4) New Standard - Balboa Island between 18th & 19th Streets -0- Total 271$ TOTAL BUDGET 46,650 tPERSONNEL ' Classification Present Positions City Electrician 1 ' Maintenance Electrician 2 3, 1 1 Public Works Account Code 3200 1958 -59 Budget City Manager Council Recommends Action 17,100 600 7 00 350 10 100 2,100 185 250 4,000 20,000 50 10 27,0 -0- 700 310 405 530 X9+5 46,700 Proposed Positions 1 2 3 f Page C -24 General Services 1 The coming fiscal year will be the second year of operations ' under the reorganized General Services Department. Changes in account ' classification are shown in the "Streets" budget to better segregate costs of major Street Division activities. t It will be noted that the Sanitation Division budget totaling , $210,475 represents one of the major tax supported services of the city (equaling approximately 28¢ of the General tax rate). The Council may ' wish to consider seriously placing this service on a self- supporting, or partially self- supporting basis through the use of a service charge. ' Authority for such a charge exists in the Municipal Code. 1 I 1 1 1 1 1 1 1 1 City of Newport Beach GENERAL SERVICES SUMMARY Object Account SALARIES &.WAGES Streets Sanitation Automotive Total MAINTENANCE & OPERATION Streets Sanitation Automotive Total CAPITAL OUTLAY Streets Sanitation Automotive Total TOTAL M3R&L SERVICES BUDGETS 1957 -58 Budget Amended to April 30, 1958 124,983 149,060 29.825 303.868 91,646 17,390 3,600 11_ 2,63 143,o46 14,640 3,172 1 0, W8 577,362 Public Works Account Codes 3300 -5200 1958- -59 Budget City Manager Council Recommends Action 124,184 177,135 32,080 333,399 83,250 17,340 3,950 104,540 99,400 16,000 1,930. 177,330 555,269 rage c -25 General Services 14,7---% Decrease from 1957 -58 Budget The arrangement of accounts in the Streets Budget has been modified to better reflect the activities of the Streets Division of the General Services Department, which are: Street Construction and Maintenance Storm Drain Construction and Maintenance Traffic Control Harbor and Pier Maintenance `deed Abatement Beach Cleaning Labor costs for all activities are consolidated for budget purposes, however, secondary distribution of monthly payrolls permit distribution of labor costs to each activity at the end of each fiscal year. Thus;:the.. annual financial report reflects the true cost of these activities. Salaries & Wages: Normal salary step increases are provided for all eligible personnel. Due to reassignment of Street and Sanitation divisions positions in keeping with duties performed, a net reduction of one position is reflected in this budget. Some changes in classification of positions are also included based on duties being performed. Street Construction and Maintenance: [J [_1 H I I U 1 CIS Proposed street maintenance projects for 1958 -59 total ' $42,500 of which approximately $25,000 would be financed by Gas Tax funds. ' The projects include: 1) Complete resurfacing of macadamized streets in Corona del Mar $15,000 ' 2) Resurface 17th Street from Coast Hiway to Dover.Drive 8,000 3) Slurry coat and resurface selected streets - Newport Heights 7,500 ' ' City of Newport Beach Public Works ' Account Codes 3300 -21600 GENERAL SERVICES 1 1 1 ' Page C -26 1957 -58 Budget 1958 -59 Budget Account Amended to City-!Tanager Louncil ' Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 3301 Monthly Salaries 103,225 103,470 3302 Hourly Wages 13,640 12,372 3303 Overtime Wages 8,118 8,342 Total 124,983 124,184 Street Construction & Maintenance 3315 MAINTENANCE & OPERATION Motor Fuels & Oils 5,200 5,500 3316 Office Supplies 115 150 3318 Small Tools Expendible 540 600 ' 3321 Mtc. Commun. Equipt. 270 300 3323 Mtc. Rolling Equipt. 10,100 10,000 3324 Mtc. Shop Equipt. 50 100 3334 Dues & Subscriptions 9 25 ' 3336 Conference & Travel 200 95 3337 Departmental Meetings -0- 25 3346 Laundry & Cleaning -0- 75 ' 3354 Street Cleaning Expense 2,000 2,000 3355 Street Maintenance Expense 44,910 42,500 3356 Bridges, Viaducts & Grade Separations Mtc. 500 500 3357 Sidewalk Mtc. 3,500 2 000 Total 67,394` 3,850 CAPITAL OUTLAY 3391 Rolling Equipment -0- 1) 4 -wheel drive, 1 yard Skip- Loader (Replacement) 13,500 3393 Equipment N.O.C. 4,398 -0- 3397 Land Improvements 111,590 1) Dover & Irvine Project 33,700 ' Total -M-79-n- 7 p ' Total Street Construction & Maintenance 183,382 111,050 1 1 1 ' Page C -26 General Services (Cont'd) 4) Repair failures and sealcoat Seashore Drive $2,000 , 5) Patch crew materials 5,000 ' 6) Miscellaneous alley paving projects (Reimbursable) 5,000 The proposed improvement of Irvine Avenue between 17th ' Street & 19th Street and the improvement of Dover Drive between Irvine Avenue and Mariners Drive is estimated to cost $33,700 of which approximately $25,000 ' is eligible for Gas Tax monies. Provision is made to replace a 2 -wheel drive yard Skip - loader with a 4 -wheel drive 1 -yard machine to perform varied operations, ' including assistance in beach cleaning. Storm Drain Construction and Maintenance: ' Five projects totaling $47,000 are proposed. The Beacon ' Bay and Margaret Drive projects are considered urgent to avoid damage to private property from future heavy rains. The Mariners Drive project anticipates ' participation by Costa Mesa and the developers for 100% of the costs. Traffic Control: ' Current levels of expense for street signing and painting ' are expected to continue. This cost is reimbursable to the General Fluid from the Parking Meter Fund if past practice is continued. ' Harbor and Pier Maintenance: Pier and float maintenance costs are expected to increase ' because of the need of repairs for city owned installations.. Lighting cost ' on the Ocean piers is shown under this budget rather than the Harbor and Oil Operations budget, as it has been in the past. The cost of this activity is ' reimbursable to the General Fund from the Submerged Land Oil Fund. Weed Abatement: ' The increase in this activity is based on lot cleaning ' requirements in newly annexed areas. Costs of cleaning of private lots is reimbursed thru Weed Abatement Assessments. ' 1 1 1 1 1 �I I H 1 1 City of Newport Beach Public Works Account Codes 3300 - 4600 195859 Budget City Manager Council Recommends Action 2,000 21,000 5,000 2,000 4,000 15,000 7 000 49,000 6,000 2,000 8,000 700 4,000 � 2 0000 6 ,700 Q 6,700 2,100 400 2,500 Page C -27 GENERAL SERVICES (Coat Id) 1957 -58 Budget Account Ameuded to Code Object Account April 30, 1958 Storm Drain Construction & Maintenance MAINTENANCE & OPERATION 3454 Maintenance Expense 3,905 CAPITAL OUTLAY 3497 Storm Drain Construction 11,595 1) Mariners Drive Drain 2) Beacon Bay Project 3) 35th Street near Ocean 4) 26th Street Project 5) Margaret Drive Project Total 11,595 Total Storm Drains 15,500 Traffic, Control MAINTENANCE & OPERATION 3654 Traffic Control Supplies 9,907 3655 Street Striping Supplies 2,000 Total Traffic Control 11,907 Harbor and Pier Maintenance MAINTENANCE & OPERATION 4132 Utilities Expense -0- 4154 Piers & Floats Mtc. 1,440 4155 Mtc, of Harbor Total 3,400 4,840 CAPITAL OUTLAY 4197 Harbor Improvements 11,040 Total Harbor and Pier Maintenance 15,880 Weed Abatement MAINTENANCE & OPERATION 4554 Weed Abatement - Private 1,700 4555 Weed Abatement - City 400 Total Weed Abatement 2,100 Public Works Account Codes 3300 - 4600 195859 Budget City Manager Council Recommends Action 2,000 21,000 5,000 2,000 4,000 15,000 7 000 49,000 6,000 2,000 8,000 700 4,000 � 2 0000 6 ,700 Q 6,700 2,100 400 2,500 Page C -27 1 1 1 1 1 1 1 City of Newport Beach GENERAL SERVICES Cont'd 1957 -58 Budget Account KM-6-067 to Code Object Account April 30, 1958 Beach Cleaning MAINTENANCE & OPERATION 4654 Beach Cleaning Expense 1,500 CAPITAL OUTLAY 4691 Rolling Equipment 4,423 1) 4 -wheel drive Truck (Replacement) Total Beach Cleaning 5,923 TOTAL BUDGET 359,675 PERSONNEL Seasonal Laborers as assigned Public Works Account Codes 3300 -4600 1958 -59 Budget City Manager Council Recommends Action � 5,200 5,400 306,834 Proposed Positions 1 1 1 1 1 7 5 0 22 as assigned Page C -28 Present Classification Positions General Services Director 1 Concrete Crew Foreman 1 Silk Screen Technician 1 Maintenance Carpenter 1 Service Man III 1 Service Man II 7 Truck Driver 3 Service Man I 6 Laborer 2 23 Seasonal Laborers as assigned Public Works Account Codes 3300 -4600 1958 -59 Budget City Manager Council Recommends Action � 5,200 5,400 306,834 Proposed Positions 1 1 1 1 1 7 5 0 22 as assigned Page C -28 Sanitation 16.2 Increase over 1957 -58 Budget Salaries & Wages: Normal salary step increases are provided for all eligible personnel. Of the four additional positions proposed, one is transferring from the Street Division and three represent an additioial refuse pick- up crew. This crew is needed to maintain present service levels as the City grows and to eliminate excessive substitution of Street Division personnel normally assigned to other duties. Maintenance & Operation: Present levels of expense for these accounts are expected to continue. Capital Outlays: The proposed 20 -yard Packer Truck, to replace a 1951 open trash truck, would be used primarily in new subdivisions with standard width streets. Test runs with a demonstrator unit show that the larger capacity packer reduces trips to the dump by one - third, thus providing more efficient use of vehicle and man -power time. The second item is a garbage truck Cab & Chassis on to which a existing body would be transferred. It replaces a 1952 unit. Both trucks being turned in have traveled over 75,000 miles. I 1 1 I I I 1 1 t 1 1 1 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach Public Works Account Code 5000 1.958-59 Budget City Manager Council Recommends Action 156,519 20,616 177,135 7,000 50 200 90 10,000 1717 12,000 4,000 _ -a 16,000 TOTAL BUDGET 181,090 210,475 PERSONNEL GENERAL SERVICES Classification. (Sanitation) Positions Sanitation Foreman 1957 -58 Budget Account Service Man III Amended to Code Object Account April 30, 1958 3 SALARIES & *YAGES 10 5001 Monthly Salaries 131,654 5003 Overtime Wages 17,406 -0- Total 149.,060 39 MAINTENANCE & OPERATION 5015 Motor Fuels &. Oils 7,200 5016 Office Supplies 50 5018 Small Tools Expendible 500 5021 Mtc. Commun. Equipt. 90 5023 Mtc. Rolling Equipt. 9,550 Total 17,390 CAPITAL OUTLAY 5091 Rolling Equipment 14,240 1) One 20 yd. Packer 24000 GVW Truck (Replacement) 2) One 16,000 GVW Cab & Chassis (Replacement) 5097 Land Improvements 400 Total 14,640 Public Works Account Code 5000 1.958-59 Budget City Manager Council Recommends Action 156,519 20,616 177,135 7,000 50 200 90 10,000 1717 12,000 4,000 _ -a 16,000 TOTAL BUDGET 181,090 210,475 PERSONNEL Page C -29 Present Proposed Classification. Positions Positions Sanitation Foreman 1 1 Service Man III 1 1 Service Man II 3 3 Truck Driver 10 10 Service Man I 6 24 Laborer 14 -0- 35 39 Page C -29 1 1 1 1 1 1 1 1 1 City of Newport Beach Account Code 5201 5203 5215 5216 5218 5219 5223 5224 5238 5246 5292 GENERAL SERVICES Automotive Shop) 1957 -58 Bridget Amended to Object Account April 30, 1958 Public Works Account Code 5200 1958 -59 Budget City Manager Council Recommends Action. SALARIES & WAGES Monthly Salaries 28,050 30,270 Overtime Wages 1,775 1 810 Total 29,825 32,080 MAINTENANCE & OPERATION Motor Fuels & Oils 200 200 Office Supplies 70 75 Small Tools Expendible 1,275 1,000 Supplies N.O.C. 1,100 1,000 Mtc. Rolling Equipt. 5 100 Mtc. Shop Equipt. 300 900 Training Expense 75 75 Laundry & Cleaning 575 60O Total 3,600 3 CAPITAL OUTLAY Shop Equipment 3,172 1) Rebuild Hoist & Install Electric Pumps 1,000 2) We Are Brake Shoe Grinder 230 3) Air Impact Tool - 1" drive 450 4) Bench Grinder 50 5) Floor Jack 200 Total 3,172 - 1,930 TOTAL BUDGET 36,597 37,560' PERSONNEL Present Proposed Classification Positions Positions Chief Mechanic 1 1 Equipment Mechanic II 1 1 Equipment Mechanic I 2 2 Mechanic Helper 1 1 Storekeeper II 1 1 Page C -30 Sewers 2.1 Increase over 1957 -58 Budget Salaries & Wages: Normal step increases are provided for all eligible personnel. Maintenance & Operation: The net increase in operating costs is due primarily to underbudgeting for chemical supplies and sewer cleaning tools in the current ,year. No expense for consulting engineering is anticipated. Capital Outlays: This budget contemplates further steps to correct sewer system deficiencies including the elimination of wet wells and reduction of sulfide content which creates odors and deteriorates structures. The work proposed is based on the recommendations in the report of the City's engineering consultant dated July, 1957 and the Public Works Directors report of August, 1957• Also included is $15,000 for relocation of the sewer.which was exposed in the April, 1958 rains. This constitutes a hazard to private property if not replaced before next winter. 1 1 [_] I n d ' City of Newport Beach 1 L 1 1 I 1 11 Action Code Object Account SEWERS 1957 -58 Budget Amended to April 30, 1958 Public Works Account Code 5500 1958 -59 Budget City Manager Council Recommends Action Page C-31 SALARIES & WAGES 5501 Monthly Salaries 46,560 47,535 5503 Overtime Wages 3,200 2,024 Total 49,760 49,559 MAINTENANCE & OPERATION 5511 Chemical Supplies 500 1,500 5515 Motor Fuels & Oils 1,100 1,200 5518 Small Tools Expendible 800 500 5519 Supplies N.O.C. 1,200 2,000 5520 Supplies - New Services 600 600 5521 Mtc. Commun. Equipt. -0- 350 5523 Mtc. Rolling Equipt. 500 1,000 5524 Mtc. Shop Equipt. -0- 50 5528 Mtc. Plant Machinery 1,000 1,100 5531 Main Repairs 500 1,000 5532 Utilities Expense 3,500 3,000 5534 Dues & Subscriptions.' -0- 25 5537 Departmental Meetings -0- 50 5577 Prof. Services - Engineering 1.000 -0- Total 10,700 12,375 CAPITAL OUTLAY 5591 Rolling Equipment 2,200 -0- 5597 Land Improvements 29,350 1) Main Extensions - River Ave. & Seashore 1,500 1,500 2) Replace Pump - Section 5,13..I. -0- 2;000 3) Replace 2 Pumps - Diamond St. Pump Station, B.I. -0- 4,000 °O 4) Rebuild & relocate Carnation Pump Station -0- .8,000 ° 5) Replace & relocate main above Bayside Place -0- 15,000 °o 6) Install signal system all stations -0- 3,000 Total 33,050 33,500 TOTAL BUDGET 93,510 95,434 ° Contract 00 Contract and Force Account PERSONNEL Present Proposed Classification Positions Positions Asst. .,later & Sewer Supt. 1 1 Sewer Technician 1 1 Service Man III 2 2 Pump Operator 3 3 Service Man I 3 3 .0 Page C-31 1 Parking Meters & Lots 16.9 Decrease from 1957 -58 Budget 1 Salaries & Wages: 1 Normal salary step increases are prorided for all eligible 1 personnel. Hourly Wages provide for the Supervisor and two attendants at the Balboa Parking Lot during the summer season. 1 Maintenance & Operation: Provision is made for the replacement of approximately 1 200 12 -year old meters, whose maintenance cost.is high and which do 1 not operate efficiently.. Capital Outlays., 1 None included pending Council determination of policies and plans for additional on- street meters and development of off- street 1 lots. 1 1 7 I I 1 1 1 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach PARSING METERS & LOTS Public Worke Account Code 5600 PERSONNEL Present Proposed Classification Positions Positions Parking Meter Repairman 2 2 Parking Lot Supervisor 1 1 Parking Lot Attendant as assigned as assigned Page C-32 1957 -58 Budget 1958 -59 Budget Account mender ed to City anagt err Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 5601 Monthly Salaries 8,745 8,925 5602 Hourly Wages 2,100 1,658 Total 10,845 0 -,583 MAINTENANCE & OPERATION 5615 Motor Fuels & Oils 75 100 5616 Office Supplies 10 15 5618 Small Toole Expendible 300 200 5620 Meters &.Parts 2,000 7;000 5621 Mtc. Commun. Equipt. 81 80 5623 Mtc. Rolling Equipt. 50 50 5630 Mtc. Land Improvements 619 360 5632 Utilities Expense 40 50 5646 Laundry & Cleaning 50 50 5678 Prof,:Servioee - Other 2,150 -0- Total 5,375 7,905 CAPITAL OUTLAY 5697 Land Improvements 6,050 -0- TOTAL BUDGET 22,270 18,488 PERSONNEL Present Proposed Classification Positions Positions Parking Meter Repairman 2 2 Parking Lot Supervisor 1 1 Parking Lot Attendant as assigned as assigned Page C-32 Library 34,2 Decrease from 1957 -58 Budget Salaries & Wages: Normal salary step increases are provided for all eligible personnel. Minor changes in title and job classification are included to better reflect the assignment of duties to Library staff members. Maintenance & Operation: This budget contemplates continuance of present levels of service at the main and branch libraries. Adjustments in these accounts will be necessary if the Corona del Mar branch Is moved to a new location Capital Outlays: The proposed addition of 3,000 current titles, including replacements, continues to represent almost double the rate of additions recommended by the American Library Association for a city the size of Newport Beach. 1 C 1 1 1 1 [J 1 1 1 tCity of Newport Beach Libraries Account Code 7000 ' LIBRARY Account I 1957 -58 Budget 1958 -59 Budget Amended to City Manager Council Code Object Account April 30,1958 Recommends Action 1 1 ' Page C -33 SALARIES & IfAGES 7001 Monthly Salaries 28,969 36,448 7002 Hourly *loges 13,045 7 768 ' Total 217 4t21 MAINTENANCE & OPERATION 7012 Custodial Supplies 200 200 ' 7013 Horticultural Supplies 150 ?5 7016 Office Supplies 1,500 1;700 7018 7020 Small Tools Expendible Library Periodicals 50 1,175 25 725 7022 Mtc. Office Equipt. 50 75 7026 ldtc. Library Books 1,000 1,000 ' '027 Mtc. Buildings 800 200 7032 Utilities Expense 1,600 1,300 7033 Commun. Expense 250 500 7034 Dues & Subscriptions 135 80 ' 7035 Automobile Allowance 250 250 7036 Conference & Travel 225 330 7037 Departmental Meetings -0- 45 ' 7040 Publishing Expense 50 100 7050 Equipt. Rental 150 150 7051 Land and/or Building Rental 1 1 7078 Prof. Services - Other 1,500 -0- 7079 Other Charges N.O.C. 200 -0- Total 9- ,W 6;759- ' CAPITAL OUTLAY 7089 Library Books 7,725 -G- 1) 3,000 Current Titles -0- 7,350 ' 2) 125 Recordings -0- 470 7093 Equipment N.O.C. 110 -0- 7096 Land & Land Rights 30,250 -0- ' Total 3,085 7,820 ' TOTAL BUDGET 89,385 58,792 1 1 ' Page C -33 1 1 t 1 City of Newport Beach LIBRARY (Cont'd) PERSONNEL Hourly Employees: Library Assistant II 0 Library Assistant I 1 Library Clerk 0 Library Page as assigned Libraries Account Code 7000 Proposed Positions 1 0 1 1 1 4 0 1 9 1 1 1 as assigned Page C -34 Present Classification Positions City Librarian I Asst. City Librarian 1 Cataloger 0 Library Assistant II 1 Library Assistant I 2 Library Clerk 0 Steno Clerk I 5 Service Man I I —T1 Hourly Employees: Library Assistant II 0 Library Assistant I 1 Library Clerk 0 Library Page as assigned Libraries Account Code 7000 Proposed Positions 1 0 1 1 1 4 0 1 9 1 1 1 as assigned Page C -34 1 1 1 City of Newport Beach PARKS, BEACHES & RECREATION SUMMARY Parks & Recreation Account Codes 7400 -7700 Page C -35 1957 -58 Budget 1958 -59 Budget Amended to City Manager Council Object Account April 30, 1958 Recommends Action SALARIES & WAGES Corona del Mar State Park -0- -0- Administration 9,460 12,555 Recreation 21,760 25,166 Parks, Parkways, etc. 62j259 72:719_ Total 94,479 110,440 MAINTENANCE & OPERATION Corona del Mar State Park 6,150 -0- Administration 2,350 1,440 Recreation 3.160 3,528 Parks, Parkways, etc.. 13,207 12,300 Total 24,867 17,268 CAPITAL OUTLAY Corona del Mar State Park -0- -0- Administration 468 375 Recreation 440 361 Parks, Parkways, etc. 56.815 410 Total 57,723 1,146 TOTAL P.B.& R. BUDGETS 177,069 128,854 Page C -35 1 1 1 City of Newport Beach CORONA DEL MAR. STATE PARS BEACH 1957 -58 Budget Account Amended .to — Code Object Account April 30, 1958 MAINTENANCE & OPERATION 7478 Professional Services - Other 6,150 Parks & Recreation Account Code 7400 1958 -59 Budget City Vanager bouncil Recommends Action -0- Page C -36 11 ' PERSONNEL City of Newport Beach Parke & Recreation Positions Positions Account Code 7500 ' Parks, Beaches & Recreation 1 Clerk III Administration 1 2 1957 -58 Budget 1958 -59 Budget Account - Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 7501 Monthly Salaries 9,340 12,435 7503 Overtime Wages 120 120 ' Total 9 -. 12,555 ' 7515 MAINTENANCE & OPERATION Motor Fuels & Oils 200 200 7516 Office Supplies 600 200 7521 Mtc. Commun. Equipt. 90 80 7522 Mtc. Office Equipt. 40 40 ' 7523 Mtc. Rolling Equipt. 200 100 7527 Mtc. Buildings 210 150 7532 Utilities Expense 300 350 ' 7534 Dues & Subscriptions 70 75 7536 Conference & Travel 640 180 7537 Departmental Meetings -0- 50' ' 7580 Ferry Travel -0- 15 Total 2,350 1,440 CAPITAL OUTLAY ' 7590 Office Equipment 468 -0- 1) Two Typewriter Stands -0- 50 ' 7594 Furniture & Fixtures 1) Lounge Furniture (Replacement) -0- 325 Total 375 TOTAL BUDGET 12,278 14,370 11 ' PERSONNEL Present Proposed Classification Positions Positions P.B.&R. Director 1 1 Clerk III 1 1 2 2 [J ' Page C -37 Recreation 14.6 % Increase over 1957 -58 Budget The scope of the City's recreation program is directly related to appropriations for part -time recreation leadership. Recreation Division estimates for a program which would meet apparent demand reflect over 75% increase in part -time leadership coats for the coming fiscal year. While this increase is not reflected in the accompanying budget it is recommended that the Council weigh the demand for an expanded Recreation program against other needs for City funds before acting finally on this budget. Salaries & Wages: Normal salary step increases are provided for all eligible personnel. The same number of full time personnel is provided for 1958 -59. The amount estimated for hourly wages contemplates the same number of man -hours of recreation leadership as provided in 1957 -58, but includes an increase in the hourly rate for the class of Recreation Leader I, from $ 1.00 to $ 1.50 per hour. This increase is considered essential to employ experienced leaders at a competitive rate. Maintenance & Operation: Redistribution of office supply expenses among the P.B.& R. budgets causes the principal increase in these accounts. Capital Outlays: The proposed portable loudspeaker would be used in connection with supervising recreation programs and special events, It is proposed to construct pairs of shuffleboard courts at the Newport and Balboa piers in conjunction with existing programs at those areas. I I 11 H I I I I I I I P I [1 I I I I I ' City of Newport Beach C 11 1 1 11 PARKS, BEACHES & RECREATION Recreation Account Code Object Account 1957 -58 Budget Amended to April 30, 1958 Parks & Recreation Account Code 7600 1958 -59 Budget City Manager Council Recommends Action PERSONNEL Present Proposed Classification Positions Positions Recreation Superintendent 1 1 Recreation Supervisor 2 2 3.., 3_ Hourly Employees: Special Activities Leader as assigned as assigned Recreation Leader II as assigned as assigned Recreation Leader I as assigned as assigned Page C -38 SALARIES & WAGES 7601 Monthly Salaries 12,536 14,640 7602 Hourly Wages 9,224 10,526 Totals 766 25,166 MAINTENANCE & OPERATION 7616 Office Supplies 75 400 7617 Recreational Supplies 1,500 1,550 7618 Small Tools Expendible 25 30 7619 Supplies N.O.C. 50 50 7622 Mtc. Office Equipt. 15 50 7625 Mtc. Equipt. N.O.C. 90 117 7627 Mtc. Buildings 275 75 7633 Commun. Expense 150 175 7634 Dues & Subscriptions 60 40 7635 Automobile Allowance 720 776 7636 Conference & Travel 100 50 7637 Departmental Meetings -0- 65 7638 Training Expense -0- 25 7639 Promotional Expense 100 125 Total 3710 3.529 CAPITAL OUTLAY 7690 Office Equipment 195 -0- 7693 Equipment N.O.C. 245 -0- 1) Portable Loudspeaker -0- 103 2) Dry line Marker -0- 38 3) Shuffleboard Courts (2 at each pier) -0- 220 Total 440 361 TOTAL BUDGET 25,360 29,055 PERSONNEL Present Proposed Classification Positions Positions Recreation Superintendent 1 1 Recreation Supervisor 2 2 3.., 3_ Hourly Employees: Special Activities Leader as assigned as assigned Recreation Leader II as assigned as assigned Recreation Leader I as assigned as assigned Page C -38 Parks, Parkways, Street Trees & Restrooms 33, Decrease from 1957 -58 Budget Salaries & Wages: Normal salary step increases are provided for all eligible personnel, The growing number of separate planted areas.to be main.- tained (now 30) and the increase in street tree maintenance obligations require the addition of two gardeners to the staff. The present year - round work force provides only 8 men to maintain all planting on public property throughout the City. Maintenance & Operation: Current year expenditure experience permits a slight re- duction in these accounts. Capital Outlays: Only minor items are listed. Substantial expenditures have been authorized in the Current year for the acquisiti.on and first stages of development of park property. Further development is.desireable but is ommitted from this budget pending decisions of the Citys' major capital outlays for 1958 -59. 11 I I 1 I 0 11 I 1 1 1 ❑ City of Newport Beach Parks & Recreation Account Code 7700 PARKS, REACHES & RECREATION (Parka, Parkways, Street Trees & Restrooms) 1957- 58 Budget 1958 -59 Budget Account Amended City Manager — council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 7701 Monthly Salaries 7702 Hourly Wages 7703 Overtime Wages Total MAINTENANCE & OPERATION 7711 Chemical Supplies 7712 Custodial Supplies 7713 Horticultural Supplies 7715 Motor Fuels & Oils 7716 Office Supplies 7718 Small Toole Expendible 7719 Supplies N.O.C. 7721 Mtc. Common. Equipt. 7723 bitc. Rolling Equipt. 7724 Mtc. Shop Equipt. 7725 Mtc. Equipt. N.O.C. 7727 Mtc. Buildings 7732 Utilities Expense 7734 Dues & Subscriptions 7736 Conference & Travel 7739 Promotional Expense 7750 Equipt. Rental 7778 Prof. Services - Other 7780 Perry Travel Total TOTAL BUDGET 6o,o19 2,753055 36 259 405 1,600 3,900 1,200 20 700 300 170 1,600 250 50 350 550 30 400 -0- 50 1,632 -O- 13,207 11,475 3.575 -0- i0 -0- 19.965 10,200 llx 56.815 133..281 69,591 2,792 6 3 72 9 240 . 1,800 4,200 1,400 35 500 50 80 1,500 100 100 100 500 30 100 115 150 1,000 300 12,300 -0- -0- 135 75 200 -0- -0- -0- 85,429 Page C -39 CAPITAL OUTLAY 7791 Rolling Equipment 7793 Equipment N.O.C. 1) 3 Picnic Tables 19th St. Beach 2) Water Cart for Youth Center 3) 10 Bus Stop Benches 7795 Structures 7796 Land & Land Rights 7797 Land Improvements Total TOTAL BUDGET 6o,o19 2,753055 36 259 405 1,600 3,900 1,200 20 700 300 170 1,600 250 50 350 550 30 400 -0- 50 1,632 -O- 13,207 11,475 3.575 -0- i0 -0- 19.965 10,200 llx 56.815 133..281 69,591 2,792 6 3 72 9 240 . 1,800 4,200 1,400 35 500 50 80 1,500 100 100 100 500 30 100 115 150 1,000 300 12,300 -0- -0- 135 75 200 -0- -0- -0- 85,429 Page C -39 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 City of Newport Beach Parks & Recreation Account Code 7700 PARKS, BEACHES & RECREATION (Parks, Parkways, Street Trees & Restrooms Cont'd.) PERSONNEL Page C-40 Present Proposed Classification Positions Positions Park Superintendent 1 1 Tree Crew Leadman 1 1 Groundsman Gardener II 3 6 Groundsman Gardener I 8 7 Custodian II 1 1 Custodian I 1 _ 1__ 15 17 Hourly Employees: Groundsman Gardener I As assigned As assigned Janitress 1 1 Page C-40 I Lifeguard Service ' 11. i Increase over 1957 -58 Budget , Following are tentative recommendations for the Life- ' guard Service budget, pending the terms of the annual Contract with the County for lifeguard services. , Salaries & Wages: ' Normal salary step increases are provided for all eligible personnel. The Rescue Boat operator and deckhand are , included for the full year. Three additional full time positions ( 1 Lieutenant and 2 Lifeguards) are included to provide a minimum ' of 5 on -duty men year - round. Without these additions the rescue boat ' cannot be operated all year and during off- season vacation periods there would be only 1 guard for the entire City and County Contract ' areas. Increases for hourly rate employees (seasonal lifeguards) ' returning from last year have been provided. One additional seasonal , employee to be assigned to night patrol is included. Overtime for regular personnel working holidays has been ' provided. Maintenance & Operation: ' Largest items of increase are attributable to the operation ' and maintenance of the rescue boat. Costs of installation of 4 new beach phones and PBX Board at Headquarters and communication lines ' with the new Upper Bay station in the County Water Park are included in Communication Expense (account 7833). ' Capital Outlays: , Office equipment for the station at the County Water Park are provided, plus additional work equipment for use by the Department. ' City of Newport Beach 1 LIFEGUARD SERVICE Parke & Recreation Account Code 7800 I ' Page_ C -41 1957 -58 Budget 1958 -59 Budget Account Amended to city Manager Council Code Object Account April 30, 1958 Recommends Action SALARIES & WAGES 7801 Monthly Salaries 24,255 44,235 7802 Hourly.Wages 43,922 52,795 ' 7803 Overtime Wages 1,200 700 Total 9� ,377 9r, Uo- MAINTENANCE & OPERATION 7812 Custodial Supplies 100 150 7814 Medical Supplies 300 300 7815 Motor Fuels & oils 1,700 2,800 7816 Office Supplies 150 150 7818 Small Tools Expendible 300 300 7819 Supplies N.O.C. 330. 480 ' 7821 Mtc. Commun. Equipt. 105 200 7822 Mtc. Office Equipt. 50 50 7823 Mtc. Rolling Equipt. 1,500 2,000 7824 Mtc. Shop Equipt. 50 50 7825 Mtc. Equipt. N.O.C. 80 150 7827 Mtc. Buildings 150 150 7829 Mtc. Other Structures 450 300 ' 7832 Utilities Expense 350 400 7833 COmmun. Expense 1,900 2,000 7836 Conference & Travel 50 50 ' 7845 Uniform Expense 400 18o 7846 Laundry & Cleaning 150 150 7867 Insurance - Marine 1,650 1,600 7878 Prof. Services - Other 183 125 Total 9,9+V 11,595 7890 CAPITAL OUTLAY Office Equipment -0- 1) Desk, Table, 8 Chairs. 631 2) One 4- drawer Legal File 145' 3) Typewriter & Stand (Rebuilt) 100 4) Bookcase 95 7891 Rolling Equipment 3,451 -0- 7893 Equipment N.O.C. 16,326 ' 1) Portable Battery Charger 140 2) Three pair 7 A 50 Binoculars 240 ' 3) Surf Dory 4) Resuscitator & 4 Oxygen Bottles 250 325 7897 Harbor Improvements (boat mooring) 650 -0- Total O l TOTAL BUDGET 99,752 111,241 I ' Page_ C -41 1 1 City of Ilevrport Beach Reg LIFEGUARD SERVICE Cont�d) PERSONNEL Classification Lifeguard Captain Lifeguard Lieutenant Boat Operator Lifeguard Total Regular Seasonal Lifeguard Lieutenant Lifeguards Present Positions 1 1 1 3._ 6 as assigned as assigned Parks & Recreation Account Code 7600 Proposed Positions 1 2 1 5 9 as assigned as assigned Page C -42 L 1 1 u 11 1 1 CITY OP FEWPORT BEACH PRELIMINARY UTILITY BUDGETS 1958 -59 I Water Utility , Water Utility operations are again segregated from General ' City operations for proper accounting. It is anticipated that full ' utility accounting for the ',dater System will be accomplished in the coming fiscal year with the addition of an accountant to the staff , of the Finance Department. The Water Fund will bear its proportionate share of this and other administrative services rendered by General , Fund departments. ' The :later Bond 1957 Construction Fund activities are shown separately. The final budget for 1958 -59 will include amounts previously ' encumbered but not paid for bond construction projects in order to re- flect these costs in the year of actual expenditure. ' Outstanding 1925 Water Bonds & interest maturing in 1958-59 , will be retired from Water Funds rather than General Funds as in the past. ' L 1 ' City of Newport Beach Utilities Account Code 9000 -9200 WATER U144AR ' 1957 -58 Budget 1958 -59 Budget ' Object Account Amended to April 30, 1958 City Maier, council Recommends Action SALARIES & WAGES ' Administration 17,934 18,299 Production & Purchase 6,516 5,040 Distribution 61,329 65,785 Total 9T, 779. 9,12 MAINTENANCE 8, OPERATION ' Administration Production & Purchase 36,470 87,520 21,460 89,265 Distribution 33,225 31;725 Total 157,215 142,450 CAPITAL OUTLAY Administration 60 -G- Production & Purchase 5,750 -0- ' Distribution 18,800 39,720 Total 2424 -4710 39,720 ' TOTAL WATER BUDGETS 267,604 271,294 1 ' Page D-1 City of Newport Beach Utilities Account Code 9000 WATER ADMINISTRATION ' 1957 -58 Budget 1958 -59 Budget Account Amended to City Manager Coundil Code Object Account April 30, 1958 Recommends Action 1 ' SALARIES & WAGES PERSONNEL 9001 Monthly Salaries 17,934 18,299 ' Proposed MAINTENANCE & OPERATION Classification Positions Positions 9015 Motor Fuels F Oils 1 80 9016 Office Supplies 2,890 2,000 ' 9021 Mtc. Commun. Equipt. 90 90 4 9022 Mtc. Office Equipt. 425 425 9023 Mtc. Rolling Equipt. 200 125 ' 9034 Dues & Subscriptions 25 25 9036 Conference& Travel 175 75 9037 Departmental Meetings -0- 25 9051 Land & /or Building Rental 3,600, 3,600 ' 9060 Insurance - Compensation 1,610 1,800 9062 Insurance - Comp. Liability 2.,422 2500 9063 Insurance - Comp. Fleet Liability 1,018 1,100 ' 9064 Insurance - Auto Mat'l Damage 200 200 9065 Insurance - Employee Life Acc. 450 450 9070 Retirement Expense - Current 4,925 5,200 ' 9071 Retirement Expense - Prior Years 1,650 1,650 9072 Retirement Expense - Administrative 115 115 9075 Tax Expense 1,750 2,000 9078 Prof. Services - Other 14,330 -0- 9082 Expense Y.O.C. 300 -0- 9085 Uncollectible Accounts 215_ -0- Total 36,470 21,460 CAPITAL OUTLAY 9090 Office Equipment 60 -0- ' TOTAL BUDGET 54,464 39,759 1 ' PERSONNEL Present Proposed Classification Positions Positions ' Water & Sewer Superintendent 1 1 Account Clerk II 2 2 Account Clerk I 1 1- ' 4 4 1 ' Page D -2 Production & Purchase 5.5 - Decrease from 1957 -58 Budget Salaries & Wages: These accounts cover the services of the resident Pump Operator at the Bushard Street Pumping Plant. The reduced provision for Overtime Wages results from a redistribution of vacation relief costs. Maintenance & Operation: This budget contemplates the operation of one water well on the City owned property at Adams & '.fright Streets, pending completion of Big Canyon Reservoir. Increased purchase of M.W.D. water is anticipated to keep pace with growing demand. In the past 12 months the City purchased 2716.75 acre feet at a total cost of $ 58,414.80 . Capital Outlays: Bono recommended. t 1 1 City of Newn_ort Beach Utilities Account Code 9100 PRODUCTION & PURCHASE OF WATER ' 1957 -58 Budget 1958 -59 Budget Account Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action tSALARIES & WAGES 9101 Monthly Salaries 4,680 4,680 ' 9103 Overtime Wages Total �1- 18,336, 360 TI-0-46, 6,51 ' 9111 MAINTENANCE & OPERATION Chemical Supplies 2,400 2,200 9112 Custodial Supplies -0- 75 9115 Motor Fuels & Oils 60 200 9118 Small Tools Expendible 50 20 ' 9120 Purchase of Water 70,000 75,000 9123 Mtc. Rolling Eouipt. 100 100 9127 Mtc. Buildings -0- 50 ' 9128 Mtc. Plant Machinery 3,000 1,500 9132 Utilities Expense 11,500 10,000 9133 Commun. Expense 410 120 ' Total 87,520 89,265 CAPITAL OUTLAY ' 9195 Structures 5,750 -0- ' TOTAL BUDGET 99,786 94,305 PERSONNEL Present Proposed ' Classification Positions Positions ' Pump Operator 1 1 1 1 Page D -3 Distribution Expense 21.1 Increase over 1957 -58 Budget , Salaries & Wages: ■ Normal salary step increases are provided for all ' eligible personnel. These accounts include a full year salary for an additional Meter Reader I added in the last half of the current ' fiscal year. Maintenance & Operation: ' r Variations in these accounts result from current year ' expenditure experience. New meter installations (account 9220) vary with construction activity and are reimbursed by new water customers. ' From July 1, 1957 to April 30, 1958, Z new services were added to the water system. On April 30, 1958 the City had 94-40 active and ' inactive accounts. Capital Outlays: ' It is proposed to replace a second -hand Backhoe (hydraulic ' ditchdigger mounted on a 4 -wheel tractor) with a new and more efficient unit. This is one of the most versatile and most used piece of , equipment in the Water Division. The Mechanical Tamper will speed , backfilling operations. Routine enlargements of sub - standard water lines and , minor extensions are a continuing Water Division Activity. These projects are exclusive of major deficiencies to be corrected with t Water Bond funds, t 1 1 City of Newport Beach 1 CAPITAL OUTLAY 9291 Rolling Equipment Account 9293 Code 1,000 9201 ' 9203 I1 1 1 1 1 1 1 1. 11 1 1 1 1 9211 9212 9215 9218 9219 9220 9221 9223 9224 9227 9228 9231 9232 9250 DISTRIBUTION E%PENSE Object Account SALARIES & 14AGES Monthly Salaries Overtime Wages Total MAINTENANCE & OPERATION Chemical Supplies Custodial Supplies Motor Fuels & Oils Small Tools Expendible Supplies N.O.C. New Services Mtc. Common. Equipt. Mtc. Rolling Equipt. I4tc. Shop Equipt. Mtc. Buildings Mtc. Plant Machinery Water Main Repairs Utilities Expense Equipt. Rental Total 1957 -58 Budget Amended to April 30, 1958 57,765 X56.4 b1,329 700 -0- 2,200 1,800 50 15,000 1,100 5,400 700 -0- 100 5,000 575 600 33,225 TOTAL BUDGET PERSONNEL Classification Water Shop Foreman Service Man III Service Man II Meter Reader II Meter Reader I Service Man I 113,354 Present Positions 1 2 2 1 2 IT- Utilities Account Code 9200 1958 -59 Budget City Manage e— r Uouncil Recommends Action 62,530 3,255 5 550 50 2,000 1,200 50 18,000 550 2,500 600 25 125 5,000 575 500 31,.725 -o- -0 820 800 6,300 15,000 16,800 39,720 137,230 Proposed Positions 1 2 2 1 2 6 ' 14 Page D -4 CAPITAL OUTLAY 9291 Rolling Equipment 2,850 9293 Equipment N.O.C. 1,000 1) Two Pavement Breakers -0- 2) One Jay Mechanical Tamper -0- 3) Backhoe with yyd. Bucket -0- 9297 Land Improvements 1) Main Enlargements & 14,950 Extensions. 2) Irvine Drive & Mariners Drive -0- Water Line Loop. Total 18,800 TOTAL BUDGET PERSONNEL Classification Water Shop Foreman Service Man III Service Man II Meter Reader II Meter Reader I Service Man I 113,354 Present Positions 1 2 2 1 2 IT- Utilities Account Code 9200 1958 -59 Budget City Manage e— r Uouncil Recommends Action 62,530 3,255 5 550 50 2,000 1,200 50 18,000 550 2,500 600 25 125 5,000 575 500 31,.725 -o- -0 820 800 6,300 15,000 16,800 39,720 137,230 Proposed Positions 1 2 2 1 2 6 ' 14 Page D -4 IN FINAL BUDGET THIS PAGE WILL SHOW CARRY -CVER APPROPRIATIONS FOR WATER BOND ACTIVITIES 1 1 1 1 1 1 Page D-$ Marinapark ' 10.4 96 Decrease from 1957 -58 Budget ' Salaries & Wages: ' Normal salary step increases are provided for all eligible , personnel. Maintenance & Operation: ' Largest item of increase is in Horticultural Supplies. Funds budgeted in 1957 -58 were insufficient with all areas planted. , Of the $1100.00 provided in acct. 9930, Mtc. Land Improve- ' ments, it is estimated that the City will be reimbursed by the tenants for $500.00 of this amount, , Capital Outlays: Amount for 1958 -59 is for cost of patio slabs and side- ' walk extensions at various spaces. All of this expenditure is re- , imbursable by the tenant. Estimated Revenues for 1958 -59 are: ' Space Rentals $ 63,000 Trailer Connections 500 ' Patio Slabs 400 Revenues N.O.C. 700 ' $ 64,600 Excess of Revenue over Expenditures in 1958 -59 will be ' used to retire a portion of the $160,000 advance from the General Fund ' for Marinapark redevelopment in 1956. ' City of Newport Beach Utilities Account Code 9900 ' MARINAPARK 1957 -58 Budget 1958 -59 Budget ' Account Amended to City Manager Council Code Object Account April 30, 1958 Recommends Action t SALARIES & WAGES 9901 Monthly Salaries 12,040 - 13,320 9902 Hourly Wages 861 -0- ' Total yr. 9ff 13,320 MAINTENANCE & OPERATION 9911 Chemical Supplies -0- 180 ' 9912 Cqustodial Supplies 100 200 9913 Horticultural Supplies 1,000 1,000 9915 Motor Fuels & Oils 75 75 ' 9916 Office Supplies 50 100 9917 Recreational Supplies 50 -0- 9918 Small Tools Expendible 100 100 ' 9921 Mtc. Common. Equipt. 240 250. 9923 Mtc. Rolling Equipt. 200 200 9924 Mtc. Shop Equipt. 50 175 9927 Mtc. Buildings 75 400 9930 Mtc. Land Improvements 1,174 1,100 9932 Utilities Expense 3,840 4,000 9933 Common. Expense 95 150 ' 9934 Dues & Subscriptions 100 100 9935 Automobile Allowance 175 85 9936 Conference & Travel 50 100 9939 Promotional Expense 250 100 ' 9950 Equipt. Rental -0- 220 9978 Prof. Services - Other 100 100 Total 7� 0 8,b35 CAPITAL OUTLAY 9991 Rolling Equipment 2,500 -0- 9997 Land Improvements 1,856 -0- 1) Patio Slabs & Sidewalk Extensions. -0- 400 ' Total 4,356 TOTAL BUDGET 24,961 22,355 PERSONNEL Present Proposed ' Classification Positions Positions ' Trailer Park Manager Trailer Park Clerk 1 1 1 1 Trailer Park Attendant 1 1 Groundsman Gardner 1 1 1 4 4 Page D-6 A P P E N D I C E S Classes of Positions & Salary Ranges Salary Ranges & Rates Salary Rates & Hourly Equivalents Automotive Equipment List Account Codes 1 1 1 1 OF C I T Y OF N E W P O R T B E A C H ' CURRENT CLASSES OF POSITIONS (As of April 30, AND SALARY 1958) RANGES , Subject to change, effective July 1, 1958 , RANGE RANGE NUMBER CLASSIFICATION NUMBER CLASSIFICATION A H ' 20 Account Clerk I" 28 Humane Officer 23 Account Clerk II 34 Administrative Assistant J , 30 Administrative Secretary Special Janitress 29 Assistant City Librarian 30 Junior Engineer 34 Assistant Engineer , 37 Associate Engineer and L Street Superintendent 22 Laborer 35 Assistant Fire Chief 26 Legal Secretary 27 Assistant Humane Officer 22 Library Assistant I ' 42 Assistant Public Works Director 25 Library Assistant II 35 Assistant Water and Sewer Supt. Special Library Page 26 Lifeguard , B Special Lifeguard (seasonal) 38 Building and Safety Director, 35 Lifeguard Captain 32 Business License Inspector 29 Lifeguard Lieutenant , Special Lifeguard Lieut. (seasonal) C_ 32 Chief Mechanic M ' 34 City Electrician 28 Maintenance Carpenter 34 City.Librarian 28 Maintenance Electrician 19 Clerk I 26 Mechanic Helper 22 Clerk II 25 Meter Reader I ' 24 Clerk III 27 Meter Reader II 29 Concrete Foreman 22 Custodian I ? ' 24 Custodian II Special Paid -Call Fireman 32 Park Superintendent D Special Parking Lot Attendant , 31 Detective Sergeant Special Parking Lot Supervisor 26 Parking Meter Repairman E 39 Parks, Beaches and 31 Electrical Inspector Recreation Director ' 28 Equipment Mechanic I 34 Planning Assistant 30 Equipment Mechanic II 39 Planning Director F 30 Planning Draftsman ' 42 Finance Director 31 Plumbing Inspector 29 Fireman 35 Police Captain 31 Fire Captain 40 Police Chief ' 40 Fire Chief 34 Police Lieutenant 24 Fire Dispatcher Special Police Maton o 30 Fire Engineer 29 Police Patrolman , 30 Fire Inspector Special Police Reserve 34 Fire Marshal 31 Police Sergeant ° 29 Policewoman G 45 Public Works Director ' 39 General Services Director 26 Pump Operator 23 Groundsman Gardener I 35 Purchasing Agent 25 Groundsman Gardener II 24 Purchasing Clerk ' oPersonnel assigned to Motorcycle receive $25/mo.extra I ' RANGE ' School Crossing Guard NUMBER CLASSIFICATION ' Trailer Park Manager R Janitress Special Recreation Leader I ' Special Recreation Leader II Lifeguard Lieut. (Seasonal) 29 Recreation Supervisor 31 Rescue Boat Operator Police Reserve 32 Recreation Superintendent ' Recreation Leader II S Special Activity Leader 32 Sanitation Foreman Special School Crossing Guard ' 23 Serviceman I 26 Serviceman II 28 Serviceman III 28 Sewer Technician ' 28 Silk Screen Technician Special Special Activity Leader 20 Steno Clerk I ' 23 Steno Clerk II 23 Storekeeper I ' 26 31 Storekeeper II Structural Inspector 27 Supervising Account Clerk 20 Switchboard Operator ' ' CLASSIFICATION `' RANGE NUMBER CLASSIFICATION Police Matron ' School Crossing Guard Special Trailer Park Clerk Special Trailer Park Manager 28 Janitress 24 Library Page ' Lifeguard (Seasonal) 36 Lifeguard Lieut. (Seasonal) ' ° Paid -Call Fireman Parking Lot Attendant Parking Lot Supervisor Police Reserve Recreation Leader I Recreation Leader II Special Activity Leader `' RANGE NUMBER CLASSIFICATION Z 30 Zoning Investigator SPECIAL RATES MONTHLY SALARIES 70.00 100.00 140.00 330.00 137.00 HOURLY RATES 1.00 1.60- 1.70- 1.80 -1.90 -2.00 1.90 -2.00 -2.10- 2.20 -2.30 1.50 1.75 1.65- 1.75 -1.85 1.00 1.65 2.00 o Paid $15.00 per month for attendance at two drills per month and all emergency calls not in excess of 3 hours each. Excess time over 3 hours paid at rate of $1.00 per hour. Regular Firemen called back to duty for emergency fires receive $5.00 for first three hours and regular hourly pay thereafter for each emergency. T 25 Trailer Park Attendant Special Trailer Park Clerk Special Trailer Park Manager 28 Tree Crew Leadman 24 Truck Driver - W 36 Water & Sewer Superintendent 29 Water Foreman Z 30 Zoning Investigator SPECIAL RATES MONTHLY SALARIES 70.00 100.00 140.00 330.00 137.00 HOURLY RATES 1.00 1.60- 1.70- 1.80 -1.90 -2.00 1.90 -2.00 -2.10- 2.20 -2.30 1.50 1.75 1.65- 1.75 -1.85 1.00 1.65 2.00 o Paid $15.00 per month for attendance at two drills per month and all emergency calls not in excess of 3 hours each. Excess time over 3 hours paid at rate of $1.00 per hour. Regular Firemen called back to duty for emergency fires receive $5.00 for first three hours and regular hourly pay thereafter for each emergency. C I T Y 0 E N E W P O R T B E A C H Salary Ranges Effective July 1, 1957 RANGE NUMBER STEP A STEP B STEP C STEP D STEP E II RANGE NUMBER STEP A STEP B STEP C STEP D STEP E 1 100 105 110 116 122 26 330 345 360 375 390 2 105 110 116 122 128 27 345 . 360 375 390 410 3 110 116 122 128 135 28 360 375 390 410 430 4 116 122 128 135 142 29 375 390 410 430 450 5 122 128 135 142 149 30 390 410 430 450 470 6 128 135 14z 149 156 31 410 430 450 470 490 7 135 142 149 156 164 32 436 450 470 490 515 8 142 149 156 164 172 33 450 470 490 515 540 9 149 156 164 172 181 34 470 490 515 540 565 10 156 164 172 181 190 I 35 490 515 540 . 565 590 11 164 172 181 Igo 200 36 515 540 565 590 620 12 172 181 190 200 210 37 540 565 590 620 65o 13 181 190 200 210 220 38 565 5g0 .. 620 650 680 14 190 200 210 22D 230 39 590 62o 650 680 710 15 200 210 220 230 240 4o 620. 650 680 710 745 16 210 220 230 240 250 41 65o 68o 710 745 780 17 220 230 240 250 262 42 680 710 745 780 820 18 230 240 250 262 274 43 710 745 780, 820 860 39 240 250 262 274 287 44 745 780 820 860 goo 20 250 262 274 287 300 45 780 820 860 900 950 21 262 274 287 300 315 46 820 860 900_ 950 1,000 22 274 287 300 315 330 47 860 900 950 1,000 1,050 23 287 300 315 330 345 48 906 950 1,000 1,050 1,100 24 300 315 330 345 360 49 fl 950 1,000 1,056 1,100 1,150 25 315 330 345 360 375 50 1,000 1,050 1,100 1,150 1,210 1 1 t 1� I 1 1 1 1 1 0 I.T Y O F N E W P O R T B E A C H SALARY RANGES AND HOURLY EQUIVALENTS BUDGET COMPUTATION 1958 -59 WOR AT.T. PMPT,nVFF.fi (1TITFIT TITAN RP.rM.AR VM.T_.TTMV. FMPLOVRPS RANGE # STEP 1 SALARY RATE HOURLY WAGE RANGE # STEP 1 SALARY RATE HOURLY WAGE 1 100 .58 28 360 2.07 2 105 .6o 29 375 2.16 3 110 .63 30 390 2.24 4 116 .67 31 410 2.36 5 122 .70 32 430 2.47 6 128 .74 33 450 2.59 7 135 .78 34 470 2.70 8 142 .82 35 490 2.82 9 149 .86 36 515 2.96 10 156 .90 37 540 3.10 11 164 .94 38 565 3.25 12 172 .99 39 590 3.39 13 181 1.04 40 620 3.56 14 190 1.09 41 650 3.74 15 200 1.15 42 680 3.91 16 210 1.21 43 710 4.08 17 220 1:26 44 745 4.28 18 230 1.32 45 780 4.48 19 240 1.36 46 820 4.71 20 250 1.44 47 860 4.94 21 262 1.51 48 90o 5.17 22 274 1.58 49 950" 5.46 23 287 1.65 50 1000 5.75 24 300 1.72 51 1050 6.03 25 315 1.81 52 1100 6.32 26 330 1.90 53 1150 6.61 27 345 1.98 54 1210 6.95 GI.TY'OF NEWPORT REACH A_utomotive'Equipment List June.-30. 1958 .. _ 'Equipment Activity Code Year Make Model Number 'ADMINISTRATIVE 0300 ' 1958 FORD 4 DR SEDAN 230 FINANCE' = -.= 0600 1954 PLYMOUTH 4 DR SEDAN 251 PURCHASING 9- ' WAREHOUSING 0700 1958 CHEVROLET 2 DR STA WAGON 252 PLANNING, 0900 1955 FORD 4 DR SEDAN 810 ' POLICE "` 2000 1958 FORD 4 DR SEDAN 201 1958 1958 202 , 203 1958 ��'; �:.. 204 1958 n: 205 1958 206 ' - 1958 " " 207 1957 CHEVROLET '! j 208 1958 FOP , 209 1958 "- ' ° 210 1 :8958 n! n 1958 121 94957 HALEY DAVIDSON 2 WHL. :MOTORCYCLE 212 1957 n n 2 �3 1955 " ,,LL 214 1956 0 .. 1 415 ' 01956 " " 1 216 1956 217 3 WHL,MOTORCYCLE 1955 221 ' :1956 FdRD PANEL, TRUCK 227 1948 i� 228 1455 WILLYS r JEEP c... .226 , FIRE 2300 1956 MACK FIRE TRUCK 101 1952 LA FRANCE 162 ' '1931 " n 103 1931 a 104 '1950 MACK u.. 405 1957 StAGRAVE it 106 ' _.1955 FQRD 2 DR SEDAN 109 1956 1956 CHEVROLET FORD I PICK UP 1952 or ; 2 DR STA WAGON ; 107 1958 CHEVROLET SEDAN:'kLIVERY 140 1951 ° SQUAD TRUCK 111 , BUILDING & SAFETY 2900 1955 FbRD 4 DR SEDAN 801 1955 " 1 2 DR SEDAN 802 _ 1955 +' I " :803 , "7.956 CHEVROLET I ,_t, 804 1956 " 805 1 1 i ,I ivi ' ELECTRICAL 1 1 1 1 ■ 1 1 1 �J CITY OF NEWPORT REACH Automotive Equipment Litt Contid) June 30, 19 Code 3000 3200 GENERAL SERVICES (Streets)3300 REACH TRUCK REACH TRUCK BEACH TRUCK GENERAL SERVICES (Sanitation) eo Year 1955 1956 1957 1947 1954 1951 1956 1948 1951 1951 1950 1952 1952 1954 1957 1958 1950 1953 1953 1954 1952 1944 1950 1944 1955 1936 1955 1948 1948 1940 1952 Z 1957 1934 1956 1955 1957 1952 1951 1951 1957 1951 1950 1952 1955 1951 1957 1956 1957 Make FORD CHEVROLET FORD FORD ell CHEVROLET FORD FORD INTERNATIONAL G. M. C. FORD It it G.M.C. WILLYS CHEVROLET DODGE it WAYNE u AUSTIN HOUGH CASE FORDSON CATERPILLAR FORD INTERNATIONAL MODEL QTY$ 5 TONY HOME 1qm LIFFLEFORD INGERSOLL -RAND JAEGER FORD G.M.C. it FORD n u G.M.C. 11 n FORD G.14. C. FORD G. Ill. 0. u ii Model 4 DR SEDAN It 2 DR SEDAN PICKUP PICK UP LADDER TRUCK 2 DR SEDAN PICK UP It TRUCK n n u n ii u n ii SWEEPER n SKIP LOADER it TRACTOR is to it GRADER TRAILER it TRAILER ROLLER COMPRESSOR MIXKR P ICK UP TRUCK n to n n n It u n Equipment Number 701 703 704 702 501 502 326 330 312 325 303 308 309 316 321 327 331 337 338 340 341 342 302 322 305 315 323 333 332 r 303 r 304 343 r 305 r 306 335 304 3o6 307 311 313 314 317 318 319 320 324 328 329 334 CITY OF NEWPORT BEACH Automotive Equi ment List (Cont'd) une 30, 1958 - Activity Code Year Make GENERAL SERVICES 15000 (Sanitation Cont'd) GENERAL SERVICES (Automotive) SEWERS 5500 1 PARKING METERS & LOTS 15600 i PARS, BEACHES B- RECREATION (Administration) 7500 PARK, BEACHES & RECREATION (Parks, Parkways, Street Tree's & Rest Rooms) 17700 LIFE GUARD SERVICE TRAILER PARK eo WATER (Administration) WATER (Production & Purchase) WATER (Distribution) Equipment 1958 FORD TRUCK 339 1956 G.M.C. LOAD PACKER 336 1951 CATERPILLAR BULLDOZER 310 1935 HOME MADE TRAILER T 301 4 7 CARRYALL T 302 1950 FORD PICK Up 301 1950 FORD PICK UP 408 1958 it it 412 1958 G.M.C. " 415 1951 FORD " 418 1952 If TRUCK 406 1957 G.M.C. " 417 1956 CHEVROLET PICK UP 253 1956 CHEVROLET 4 DR STA WAGON 607 1950 FORD PICK UP 601 1954 n if 605 1951 " If 606 1957 " If 608 1952 " TRUCK 602 1952 u it 603 1947 n if 604 1958 " LADDER TRUCK 609 1957 FORD 4 DR STA WAGON 245 1953 If PICK UP 241 1956 INTERNATIONAL If 242 4 HOME 14AM TRAILER T 249 1952 WILLYS PICK UP 901 1958 If JEEP 902 1957 GOLDEN STATE HOUSE TRAILER T 902 1957 GOLDEN STATE HOUSE TRAILER T 903 1955 FORD 2 DR SEDAN 410 1952 FORD PICK UP 414 1954 FORD PICK UP 403 1957 CHEVROLET if 404 1956 INTERNATIONAL it 407 1956 " " 409 1 1 1 1 r ' Activi ' WATER (Distribution Cont'd.) 1 1 1 1 1 1 F- CITY OF NE'VPORT REACH_ Automotive Equipment List Cont'd) June 30, 1958 Code 9200 Year Make 1948 FORD 1954 " 1948 ,r 1949 INTERNATIONAL 1951 FORD 19 19 19 19 7 1943 1955 1931 1946 1946 1952 1949 1937 1947 1935 1990 1955 n n REX u n u DOMESTIC u MARLO" CASE SMALLCOMB LINCOLN HOME MADE LE ROI FORDSON Model PICK UP u TRUCK It TRACTOR AIR COMPRESSOR u s n PUMP u u n DLSPERAM PUMP it MUD'HOG PUMP DITCH DIGGER BLOWER LIGHT PLANT WELDER u TRAILER CEMENT MIXER BACK -HOE Equipment 413 416 401 405 411 T 401 T 413 T 415 T 420 T 404 T 406 T 417 T 419 T 403 T 414 T'. 416 T 402 T 405 T 407 T 408 T 409 T 410 T 412 T 418 TOTAL 153 PIECES OF NUMBERED EQUIPIvaNT INCLUDING EQUIPMENT ORDERED BUT NOT RE- CE IVED . NOT INCLUDED IN THE 153 PIECES IS TEE FOLLO ?^LING UNNUMBERED EQUIPMENT BELONGING TO PARK, BEACHES & RECREATION - Parks, Parkways, Street Tree's & Rest Rooms (Code 7700) Miscellaneous Park unnumbered equipment: 1 Toro Mower 1 40' extension ladder 1 Eclipse Mower 1 15 gal. gas spray rig 1 2 -man gas chain saw 1 150 gal. gas Bean sprayer 1 1 -man gas chain saw 1 Jacobsen Mower #922 -13170 1 1 -man electrical chain saw 1 Penn. Lawn Mower, Model 40221A 3 electric hedge shears Motor #455570, Model 6BS -oe ORDERED BUT NOT R-CEIVED AS OF MAY 7, 1958 CITY OF NEWPORT BEACH ' FINANCE DEPARTICK ACTIVITY EXPENDITURE ACCOUNT CODES BY FUNCTION ' GENERAL GOVERrTiMNT 0100 City Council UTILITIES ' 0200 0300 City Clerk Administrative Water 0400 Personnel & Civil Service 9000 Administration 0500 City Treasurer 9100 Production & Purchase ' 0600 Finance 9200 Distribution 0700 Purchasing & Warehousing 9500 '.dater Bond Activities 0800 City Attorney 9900 Marinapark 0900 Planning ' 1000 City Hall 1100 Community Promotion 1200 Elections 1300 Debt Service 1400 Insurance 1500 Retirement ' PUBLIC SAFETY 2000 Police ' 2300 Fire 2500 Harbor & Oil Operations 2700 Civil Defense ' 2900 Building & Safety PUBLIC WORKS ' 3000 Engineering 3200 Electrical ' 3300 General Services Street Construction & Maintenance 3400 Storm.Draia Construction & Maintenance 3600 Traffic Control ' 4100 Harbor & Pier Maintenance 4500 bleed Abatement 4600 Beach Cleaning 5000 Sanitation ' 5200 Automotive Shop 5500 Sewers ' 5600 Parking Meters & Lots LIBRARIES ' 7000 Library PARKS B, RECREATION ' Parks, Beaches 61 Recreation 7400 Corona del Mar State Park ' 7500 7600 Administration Recreation 7700 Parks, Parkways, Street Trees & Restrooms 7800 Life Guard Service 1 I I 11 j n 11 CITY OF NEWPORT BEACH FINANCE DEPARTMENT CUUMM EDENSES SALARIES & WAGES 01 Monthly Salaries 02 Hourly Wages 03 04 Overtime Wages 05 Vacation Wages 06 Holiday Wages 07 Sick Leave Wages 08 MATERIALS, SUPPLIES & SERVICES 09 Allowances 10 Ammunition Supplies 11 Chemical Supplies 12 Custodial Supplies 13 Horticultural Supplies 14 Medical Supplies 15 Motor Fuels & Oils 16 Office Supplies 17 Recreational Supplies 18 Small Tools — Expandible 19 Supplies, N. 0. C. 20 Fire Supplies 21 Maintenance, Communication Equipment 22 Maintenance, Office Equipment 23 Maintenance, Rolling Equipment 24 Maintenance, Shop,Equipment 25 Maintenance, Equipment N. 0. C. 26 Maintenance, Library: Books 27 Maintenance, Buildings 28 Maintenance, Plant Machinery 29 Maintenance, Other Structures g0 Maintenance, Land Improvements 31 32 Utilities Expense 33 Communication Expense 34 Dues & Subscriptions 35 Automobile Allowance 36 Conference & Travel 37 Departmental Meetings 38 Training Expense 39 Promotional Expense 40 Publishing Expense 41 42 43 I 1 1 1 1 n II CITY' OF NEWPORT BEACH FINANCE DEPARTMENT MATERIALS, SUPPLIES & SERVICES cont'd 44 45 Uniform Expense 46 Laundry & Cleaning 47 48 49 50 Equipment Rental 51 Land Oor Building Rental 52 Range Fees 53 54 56 57 58 "imal Custodv 59 Board.of Prisoners OTHER CHARGES 60 Insurance - Compensation 61 Insurance - Fire 62 Insurance - Comprehensive Liability 63 Insurance - Comprehensive Fleet Liability 64 Insurance - Auto Material Damage 65 Insurance - Employee Life & Accident 66 Surety Bonds & False Arrest 67 Insurance - Marine 68 69 70 Retirement Expense - Current 71 Retirement Expense - Prior Years 72 Retirement Expense - Administrative 73 74 75 Tax Expense 76 Professional Services - Legal 77 Professional Services - Engineering 78 Professional Services - Other 79 Other Charges, N. 0. C. 80 Ferry Travel 81 82 83 84 85 Uncollectible Accounts 86 87 Inventory Adjustments 88 ' CITY OF NEWPORT BEACH ' FINANCE DEPARTMENT CMUWM EMNSES cont'd CAPITAL OUTLAY 1 89 Library Books 90 Office Equipment 91 Rolling Equipment ' 92 Shop Equipment 93 Equipment, N. 0. C. 94 95 Furniture & Fixtures Structures 96 Lands & Land Rights 97 Land Improvements ' DEBT SERVICE 98 Retirement of Bonds ' 99 Interest on Bonds 1 I k r 1 ' CITY OF NEWPORT BEACH ' ZIFU ITION OF EXPENDITURE CODES 01 Monthly Salaries ' Charge Salary payments to regular full -time Personnel paid on a monthly Salary basis. 02 Hourly Wages ' Charge Salary payments to part -time or temporary Personnel paid on an hourly wage basis. ' 03 04 Overtime Wages Charge Salary payments to regular full -time Personnel for time worked ' in excess of the normal work week. ' 05 Vacation Wages 06 Holiday Wages ' 07 Sick Leave Wages 08 ' 09 Allowances Charge Reimbursement to Council in accordance with Section 402, City ' Charter. 10 Ammunition Supplies Charge expenditures for ammunition supplies and repairs to reloading ' equipment for Police Department. 11 Chemical Supplies Charge expenditures for Chemicals purchased for 'dater Purification, ' Sewage Treatment or Weed Abatement purposes. 12 Custodial Supplies Charge expenditures for Janitorial and Institutuional Supplies such as Sweeping Compound, Floor ;lax, Disinfectants, Paper Towels, Broome, Mops, Soap, Rags, Vindow Cleaner, Light Bulbs, Extension Cords, Padlocks, etc. 13 Horticultural Supplies Charge expenditures for Agricultural and Horticultural Supplies such as ' Seed, Plants, Fertilizer, I secticide, Nursery Burlap, etc. 14 Medical Supplies Charge expenditures for Medicines, Drugs, Chemicals, % -Ray Films, Serums, ' Surgical Instruments and other Medical Supplies used in Departmental Operations. ' 15 Motor Fuels & Oils Charge expenditures for Gasoline, Diesel Fuel, Lubricating Oils and Greave used in the operation of City -Owned Equipment. ' 16 Office Supplies Charge expenditures for Office Supplies designed primarily for office consumption, including Blueprinting & Drafting Supplies, Cost of Printed ' Forms, Postage, Staplers, Daters, Rubber Stamps, etc. �JJ Fire Extinguishers, Floor Refinishing Supplies, Shelving. CITY OF NEWPORT BEACH 31PLANaTION OF EXPENDITURE CODES 17 Recreational Supplies ' Charge expenditures for Sporting Goods, Gymnastic Supplies, Athletic Apparel, Arts & Crafts Materials and other Recreational Supplies used in City sponsored programs. ' 18 Small Tools - Expendible Charge expenditures for Small Hand Tools, Flashlight, Locks, Keys, Small ' Garden Tools, Rain Gear, Shovels, Picks, Street Brooms. 19 Supplies, N. 0. C. Charge expenditures for Supplies not otherwise specifically provided for, ' including Photographic Supplies, Linen Supplies, Blankets, Dishes, Flatware, Kitchen Utensils. 20 Fire Supplies ' Charge expenditures for replacement of fire hose, extinguisher supplies, replacement of nozzles, smoke ejectors and other fire fighting supplies. ' 21 Maintenance - Communication Equipment Charge expenditures for Parts, Repairs, Services and Maintenance of Communication Equipment such as Repeater Stations and Stationary or Mobile ' Radio Transmitters and Receivers, Television Maintenance & Parts. 22 Maintenance - Office Equipment Charge expenditures for Bartz, Repairs, Services and Maintenance of Office ' Machinery such as Typewriters, Adding Machines, Accounting Machines, Calculators, Duplicating Equipment, Desks, Chairs. ' 23 Maintenance - Rolling Equipment Charge expenditures for Parts, Repairs, Service and Maintenance of work Equipment such as Motorcycles, Automobiles, Trucks, Fire Trucks, Rollers, Loaders, Dozers, Graders, Compressors, etc. Expenditures ' charged shall include Tires, Tubes, Batteries and usual accessories. ' 24 Maintenance - Shop Equipment Charge expenditures for Parts, Repairs, Service and Maintenance of Shop Equipment such as Testing Apparatus, Drill Presses,.Bench Saws, Grinders, Lathes, Power Hand Tools, Lawn Mowers, Edgers, Welding Equipment, Topping ' Machines, Power Saws & Blades, Concrete Saw. 25 Maintenance - Equipment, N. 0. C. Charge expenditures for Parts, Repairs, Service and Maintenance of Work ' Equipment not elsewhere provided for such as Cameras, Transits, Microscopes, Recreation Tables, Pipe Locators, Motion Picture Projectors, Record Players, Microphones. ' 26 Maintenance - Library Books Charge expenditures for Repairs, Binding and Rebinding of Books, ' Periodicals and Pamphlets of established libraries. 27 Maintenance - Buildings Charge expenditures for Parts, Repairs, Service and Maintenance of Buildings, ' Attached Fixtures and Service Improvements such as Heating, Electrical and Plumbing Systems. Expenditures charged shall include Building Materials, Electrical Supplies (not bulbs), Plumbing Supplies, Heating Supplies, Paint and other materials or services required for Repairs or Maintenance, Filling Fire Extinguishers, Floor Refinishing Supplies, Shelving. ;ter 1 1 r 1 • 5• 1 L_ • r ' CITY OF NEWPORT BEACH EXPLANATION OF EXPENDITURE CODES ' 28 Maintenance - Plant Machinery Charge expenditures for Parts, Repairs, Service and Maintenance of Plant Machinery and Equipment such as Water Pumping Station Equipment, Water ' Treatment Plant Equipment, Chlorination Equipment, Sewage Treatment Plant Equipment, etc. Expenditures charged shall include all Materials, 1 Supplies and Services required for Repairs or Maintenance. 29 Maintenance - Other Structures Charge expenditure for Parts, Repairs, Service and Maintenance of other ' structures such as Bulkheads, Piers, Wharves, etc, 30 Maintenance - Land Improvements Charge expenditures for Parts, Repairs, Service and Maintenance of Land ' Improvements such as Sidewalks, Curbs & Gutters, Roadways, Parking Areas, Sewer Mains, & Laterals, Water Mains & Services, Street Lighting & Traffic Signal Systems, Fences, Sprinkling Systems. Expenditures charged shall include ' all Materials, Supplies, and Services required for Repairs or Maintenance. 31 ' 32 Utilities Expense Charge expenditures for Heat:, Light, Power and ?later Service purchased on ' a contractual basis from public utilities or supplies purchased in lieu of such services,. 33 Communication Expense ' Charge expenditures for Telephone, Telegraph, and Teletype Services, including moving and installation charges.. 34 Dues & Subscriptions Charge expenditures for Subscriptions for publications of Periodicals, Municipal Professional Association Dues, Purchase of Books. ' 35 Automobile Allowance Charge expenditures for monthly allowances to employees who regularly use Privately owned automobiles on Official Business. Do not charge Conference ' Transportation Expense. 36 Conference & Travel Charge Expenditures for Conference Attendance including Transportation, ' Registr$tion, Meals., Lodging and other expense incidental to authorized travel on Official Business ' 37 Departmental Meetings Charge expenditures for meals and expenses incidental thereto, including transportation. Do not charge Conference expenses to this account, ' 38 Training Expense Charge expenditures for training courses attended by City employees, ' including subsistence and transportation. 39 Promotional Expense Charge expenditures for Advertising and Promotional Activities such as ' contributions to the Chamber of Commerce., Trailer Park Brochures. 1 1 .v . I.` r ... __ • ....a.. .. -. - • .. •.- rc 1 r ' CITY OF NEWPORT BEACH EXPLANATION OF =NDITURE CODES ' 4o Publishing Expense Charge expenditures for Advertising, Publishing and Printing of Official or Legal Notices, Bid Advertisements, Election Notices, Ordinances, ' Educational Brochures, Annual Reports, Do not charge printing of Office Forms, use Code 16. ' 41 42 43 45 Uniform Expense Charge expenditures for uniforms, badges, caps and coats. 46 Laundry & Cleaning Charge expenditures for Laundry & Cleaning Service. ' 47 48 49 50 Equipment Rental Charge expenditures for rental of equipment such as Typewriters, Postage Meters, Boats, Motors, Trucks, Tractors, etc. ' 51 Land /Building Rental Charge expenditures for rental of Land and Buildings. 52 Range Fees Charge costs for use of firing range for regular & reserve police personnel. ' 53 54 ' 55 56 57 58 Animal Custody ' Charge expenditures for boarding and disposing of animals. ' 59 Board of Prisoners 60 Insurance - Compensation Charge expenditures for Workmen's Compensation Insurance. ' (Finance Department Use Only) CITY OF 11014PORT BFUCH EXPL',D712ION OF F- XP EYDITUR_E CODES t61 Insurance - Fire Charge expenditures for Fire and Extended Coverage Insurance. (Finance Department Use Only) ' 62 Insurance - Comprehensive Liability Charge expenditure for Comprehensive Liability Insurance other than Liability carried on Automotive. ' (Finance Department Use Only) 63 Insurance - Comprehensive Fleet Liability ' Charge expenditure for Public Liability and Property Damage on City Automotive Fleet Schedule (Finance Department Use Only) 64 Insurance - Auto Material Damage ' Charge expenditure for Fire, Theft, Comprehensive and /or Collision for City Automotive Fleet Schedule. (Finance Department Use Only) t69 Insurance - Employee Life & Accident Charge expenditure for City's Contribution to Employees Life and Accident Insurance. ' 66 Surety Bonds & False Arrest Charge expenditure for Public Official Bonds, Fidelity Bonds, False Arrest, Libel & Slander, Blanket Honesty Bonds, Faithful Performance Bonds. (Finance Department Use Only) ' 67 Insurance - Marine Charge expenditures for liability and hull coverage for City owned Boats. (Finance Department Use Only) ' 68 69 ' 70 Retirement Expense - Current Charge expenditure for Employer's Contribution to State Employees' Retirement System for Current Service. ' (Finance Department Use Only) 71 Retirement Expense - Prior Years Charge expenditure for Employer's Contribution to State Employees' ' Retirement System for Prior service costs. (Finance Department Use Only) ' 72 Retirement Expense - Administrative Charge expenditure for Employer's annual share of State Administration Cost. (Finance Department Use Only) t 73 ' 74 75 Tax Expense ' Charge expenditures for Ad Valorem, Franchise and Miscellaneous Taxes. (Finance Department Use Only) CITY OF ITLnT -OPT BEACH EXPLAMLTIO'? OF ryP7- DITT-:E CODES 76 Professional Services - Legal Charge expenditure for Professional Services rendered the City by Lawyers, Appraisers, and Consulting Firms employed on Bond issues. Travel, materials and other expenses incidental to the services rendered also charged here. 77 Professional Services - Engineering Charge expenditures for Professional Services rendered the City by Engineering Consultants, Plan checking individuals or organizations, Architects, etc. Travel, material & other expenses incidental to the services rendered also charged here. 78 Professional Services - Other Charge expenditures for Professional Services rendered the City by Organizations and Individuals such as Doctors, Optomertrists, Dentists, Practitioners, etc. Expenses incidental to the services rendered also charged here. 79 Other Charges, N. 0. C. Charge expenditures for miscellaneous expense such as Entertainment, Notary Fees and expense not provided for elsewhere. 80 Ferry Travel Fees for use of Balboa Ferry by city equipment. 81 [FI 83 84 85 Uncollectible Accounts Charge off uncollectible accounts receivable. 86 87 Inventory Adjustments Adjusts to stores inventories. 88 89 Library Books Charge expenditures for additions to Library facilities such as books and records and for additions to Law Library. 90 Office Equipment Charge expenditures for the acquisition of Office Equipment such as Typewriters, Adding Machines, Accounting Machines, Calculators, Duplicating Equipment, Desks, Chairs, Tables, etc. 91 Rolling Equipment Charge expenditures for the acquisition of Rolling Stock such as Motorcycles, Automobiles, Trucks, Fire Trucks, Rollers, Loaders, Dozers, Compressors, etc. ICITY OF NEWPORT BEACH ' ERPLAN&TION OF EMDIDITUM CODES 92 Shop Equipment 1 Charge expenditures for the acquisition of Shop Equipment such as Testing Apparatus, Drill Presses, Bench Saws, Grinders, Lathes, Power Hand Tools, etc. i 1 1 F 93 Equipment, N. 0. C. Charge expenditures for the acquisition of Work Equipment not elsewhere provided for such as Cameras, Transits, Microscopes, Pipe Locators, 1 Motion Picture Projectors, Fire Rings, Trash Cans, Signs, Power Mowers, Miscellaneous Fire Equipment, Fire Hose. 94 Furniture & Fixtures ' Charge expenditures for acquisition of items such as beds, mattresses, wardrobes, stoves, refrigerators, non - office furniture, etc. 95 Structures ' Charge expenditures for the acquisition, construction or major improvement of Buildings, Attached Fixtures and Service Improvements such as Heating ' Electrical and Plumbing Systems. 96 Land and Land Rights Charge expenditures for the acquisition of Land or Interest in Land, and Land Rights, including appraisal costs, escrow fees, condemnation filing ' Pees. 99 Land Improvements Charge expenditures for the acquisition or construction of major Land Improvements such as Sidewalks, Curbs & Gutters, Roadways, Parking Areas, Sewer Mains & Laterals, Vater Mains & Services, Street Lighting & Traffic Signal Systems, Fences, Trailer Slabs & Piers. 98 Retirerient of Bonds Chn.rele expenditures for Principal Redemption of Long Ten.. Debt. (Finance Department Use Only) 99 Interest on Bonds Charge expenditures for Interest on Short or Long Term obligations. (Finance Department Use Only) i 1 1 F 1 CITY OF NEWPORT BEACH FINANCE DEPARTMENT t REVENUES ACCOUNT CODES TAXES ' 310 Secured Property Taxes 311 Unsecured Property Taxes 312 Redemptions 313 Solvent Credits t 314 Penalties & Interest 318 Franchises 319 City Sales & Use Tax ' LICENSES & PERMITS 400 General Business Licenses 401 Contractor Licenses ' 4o2 Truck Permits 410 Bicycle Licenses 411 Dog Licenses ' 412 Gun Permits 42o Building Permits 421 Electrical Permits 422 Chimney Permits ' 423 Lathing & Plastering Permits 424 Plumbing & Heating Permits 425 Tile Permits ' 440 Pier Permits 450 Parking Meters 451 Balboa Parking Lot 452 C. D. M: Parking Lot 453 C. D. M. Annual Pass 455 Pacific Nik -O -Lok ' FINES. FORFEITS & PENALTIES 475 Justice Court Fines - Municipal 476 Justice Court Fines - Traffic ' USE OF MONEY & PROPERTY 500 American Legion 501 Balboa Bay Club 502 J. A. Beek - Beacon Bay 503 J. A. Beek - St. Ends & Ferry 5o4 W.`J. Carden Telescopes 505 Civil Aeronautics Administration 506 Josie Fulton 507 Lido Isle Community Association ' 508 Lido Shops Association 509 Pacific Telephone & Telegraph Co. 510 South Coast Company 511 G. H. Sullivan I LJ F CITY OF NEWPORT BEACH FINANCE DEPARTMENT REVENUES ACCOUNT CODES USE OF MONEY & PROPERTY cont'd. 520 Newport Harbor Lawn Bowling Association 530 Laguna - Santa Ana Stage 531 L. A. Metropolitan Transit Authority 540 Rental of Library 550 Balboa Pier Concession - Kirk 551 Newport Pier Concession - Elston 552 Newport Pier Concession - Hiner 555 C.D.M. Concession - Paudrier 556 C.D.M. Concession - Tate 560 Royalties - Petroleum 561 Royalties - Gas 570 Interest on Term Deposits - General 571 Interest on Term Deposits - Gas Tax 572 Interest on Term Deposits - Water Bonds 580 Interest on Bonds - General 581 Interest on Bonds - Gas Tax 582 Interest on Bonds - Water Bonds ' REVENUES FROM OTHER AGENCIES 1 1 L 600 County Lifeguard Service 620 State Highway Maintenance 621 State Gas Tax Apportionment 622 State Gas Tax Engineering Aid 623 State Motor Vehicle License Fees 624 Trailer Coach Fees 625 State Liquor License Fees 650 Park Site Fees CHARGES FOR CURRENT SERVICE 700 Zoning & Subdivision Fees 701 Plan Checking Fees 702 Examination Fees 703_ Reinspection Fees 706 Sewer Connection Fees 710 Engineering Service Fees 711 Map Checking Fees 720 Lifeguard Service Fees 725 Library Fines & Fees 730 Police Service Fees 731 Animal Vaccination Fees 735 General Services Fees 740 Recreation Service Fees 750 Park Service Fees 795 Weed Abatement n n C! I �I 1 1 1 1 1 I CITY OF NEWPORT BEACH FINANCE DEPARTMENT REVENUES ACCOUNT CODES OTHER REVENUES GEhTERAL FUND 800 Sale of Property 801 Sale,of Maps & Publications 802 Sale of Street Materials 803 Sale of Unclaimed Property 804 Sale of Ctgrter 805 Sale of Master Plan 806 Refunds & Rebates 807 Donations & Contriutions 808 Revenues N.O.C. 809 Damage to City Property PARK & RECREATION FUND 810 Sale of Property 816 Refunds & Rebates 817 Donations & Contributions 81$ Revenues N.O.C. 819 Damage to City Property ii WAR 820 Sale of Property 826 Refunds & Rebates 827 Donations & Contributions 828 Revenues N.O.C. 829 Damage to City Property ADVERTISING FUND 836 Refunds & Rebates 838 Revenues N.O.C. PARKING METER FUND 840 Sale of Property 846 Refunds & Rebates 848 Revenues N.O.C. 849 Damage to City Property SUBMERGED LAND OIL FUND 850 Sale of Property 856 Refunds & Rebates 857 Donations & Contributions 858 Revenues N..O..C. 859 Damage to City Property ' CITY OF NEWPORT BEACH ' FINANCE DEPARTMENT TRAILER REVENUES ACCOUNT CODES ' 950 Sale of Property UTILITY REVENUES tWATER FUND Refunds & Rebates goo Sale of Water Donations & Contributions 901 Meter Turn -on Charges ' 902 Connection Charges Damage to City Property 906 Refunds & Rebates 907 Donations & Contributions 908 Revenues N.O.C. 909 Damage to City Property I I I rv. yb vJ TRAILER PARS FUND. 950 Sale of Property 951 Space Rentals 956 Refunds & Rebates 957 Donations & Contributions ' 958 Revenues N.O.C. 959 Damage to City Property 1 I I I rv. yb vJ