HomeMy WebLinkAbout11 - Storm Drain Operations Fiscal Year 2018/19 Budget AmendmentP0 @ CITY OF
i NEWPORT BEACH
City Council Staff Report
April 23, 2019
Agenda Item No. 11
TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
FROM: Mark Vukojevic, Utilities Director - 949-644-3011,
mvukojevic@newportbeachca.gov
PREPARED BY: Jim Auger, Utilities Manager
0auger newportbeachca.gov
PHONE: 949-644-3011
TITLE: Storm Drain Operations Fiscal Year 2018/19 Budget Amendment
ABSTRACT:
The Utilities Department is requesting a Budget Amendment in response to the current
heavy rain season which required many emergency repairs to the Storm Drain system
and storm pumping during rain events.
RECOMMENDATION:
a) Determine this action is exempt from the California Environmental Quality Act (CEQA)
pursuant to Sections 15060(c)(2) and 15060(c)(3) of the CEQA Guidelines because
this action will not result in a physical change to the environment, directly or indirectly;
and
b) Approve Budget Amendment No. 19BA-041 appropriating $550,000 from FY 2018/19
General Fund unappropriated fund balance to the Storm Drain Program.
FUNDING REQUIREMENTS:
The Budget Amendment appropriates $550,000 in increased expenditure appropriations
from the FY 2018/19 General Fund unappropriated fund balance to the General Fund
Storm Drain and Street Sweeping Program within the Utilities Department.
DISCUSSION:
The current rain season has produced above average rainfall in the area. According to
the Orange County Water District, which tracks county rainfall for groundwater purposes,
the County received over 21 inches of rain, significantly above the average of
approximately 13 inches. At times, the rainfall intensity has been significant and
noticeable in the community. The rain necessitated additional resources by the Storm
Drain Division of the Utilities Department. Among other items, this Division is responsible
for operating, maintaining, and repairing the City's Storm Drain and Tide Valve System.
Storm Drain Operations Fiscal Year 2018/19 Budget Amendment
April 23, 2019
Page 2
The Tide Valve system consists of 89 tide valves which prevent tide water from backing
up into streets and cause flooding. Using tide charts, historical information, and
experience, Utilities Department crews plan and carry out near daily operations to open
and close tide valves. While some valves use electric motors, most are manually
operated. Even electric and automated tide valves require staff intervention if debris
blocks the valve or there is a power failure.
High tides coupled with a forecasted rain event requires staff to prepare a deployment of
up to 34 pumps and personnel to pump water from the various streets on the Peninsula
and Balboa Island. This season had dozens of forecasted rain events that were coupled
with morning high tides, including many holidays and weekends. Staff from the Utilities
Department, Public Works and even the Recreation Department were scheduled for these
early morning hours or weekends to deploy and operate pumps. Many of these pumping
efforts resulted in overtime and require a budget amendment of $105,000 to balance the
Storm Drain Program budget.
In addition, the rain storms caused and exposed damage to several underground storm
drains pipes and systems requiring emergency repairs, imminent repairs, or urgent
preventative repairs. These items were beyond the budgeted repairs in the Storm Drain
Program Budget and beyond the programmed repairs in the Capital Improvement
Program. Coupled with some planned street sweeping savings this fiscal year, a budget
amendment of $445,000 is required to complete this work and balance the Storm Drain
Program budget.
The Storm Drain repairs included:
1. $165,000 emergency repair, Mariners Mile, (completed)
2. $30,000 preventative repair, Mariners Mile (scheduled)
3. $50,000 emergency repair, Jamboree at San Diego Creek (completed)
4. $75,000 preventative repair, Jamboree at San Diego Creek (scheduled)
5. $50,000 imminent repair, San Joaquin Hills Road at Back Bay Drive (underway)
6. $95,000 imminent repair, upper Buck Gully (underway)
7. $30,000 preventative repairs throughout the City (scheduled)
ENVIRONMENTAL REVIEW
Staff recommends the City Council find this action is not subject to the California
Environmental Quality Act (CEQA) pursuant to Sections 15060(c)(2) (the activity will not
result in a direct or reasonably foreseeable indirect physical change in the environment)
and 15060(c)(3) (the activity is not a project as defined in Section 15378) of the CEQA
Guidelines, California Code of Regulations, Title 14, Chapter 3, because it has no
potential for resulting in physical change to the environment, directly or indirectly.
NOTICING:
The agenda item has been noticed according to the Brown Act (72 hours in advance of
the meeting at which the City Council considers the item).
ATTACHMENT:
Attachment A — Budget Amendment
11-2
ATTACHMENT City of Newport Beach
BUDGET AMENDMENT
2018-19
EFFECT ON BUDGETARY FUND BALANCE:
Increase Revenue Estimates
X Increase Expenditure Appropriations
Transfer Budget Appropriations
SOURCE:
from existing budget appropriations
from additional estimated revenues
X from unappropriated fund balance
EXPLANATION:
NO. BA- 19BA-041
AMOUNT:j $550,000.00
This budget amendment is requested to provide for the following:
To increase expenditure appropriations from General Fund unappropriated fund balance to increase overtime, Medicare, and
maintenance and repair funding for emergency repairs related to the heavy rains earlier this year.
ACCOUNTING ENTRY:
BUDGETARY FUND BALANCE
Fund Obiect
010 300000
REVENUE ESTIMATES
Org Object Project
EXPENDITURE APPROPRIATIONS
Description
General Fund - Unappropriated Fund Balance
Description
Org Object Project Description
0109062 713001 Storm Drains/Street Sweeping - Overtime Misc
0109062 Storm Drains/Street Sweeping - Medicare
0109062 851037 Storm Drains/Street Sweeping - Maint & Repair
Signed:
Financial Approval: Finance
Signed
City Council Approval: City Clerk
Amount
Debit Credit
$550,000.00 *
Automatic
$103,477.50
$1,522.50
$445,000.00
Li
Date
Date
11-3
Increase in Budgetary Fund Balance
ANDX
Decrease in Budgetary Fund Balance
No effect on Budgetary Fund Balance
ONE-TIME?
FXI
Yes
No
This budget amendment is requested to provide for the following:
To increase expenditure appropriations from General Fund unappropriated fund balance to increase overtime, Medicare, and
maintenance and repair funding for emergency repairs related to the heavy rains earlier this year.
ACCOUNTING ENTRY:
BUDGETARY FUND BALANCE
Fund Obiect
010 300000
REVENUE ESTIMATES
Org Object Project
EXPENDITURE APPROPRIATIONS
Description
General Fund - Unappropriated Fund Balance
Description
Org Object Project Description
0109062 713001 Storm Drains/Street Sweeping - Overtime Misc
0109062 Storm Drains/Street Sweeping - Medicare
0109062 851037 Storm Drains/Street Sweeping - Maint & Repair
Signed:
Financial Approval: Finance
Signed
City Council Approval: City Clerk
Amount
Debit Credit
$550,000.00 *
Automatic
$103,477.50
$1,522.50
$445,000.00
Li
Date
Date
11-3