HomeMy WebLinkAbout2023-38 - Adopting the Budget for the 2023-24 Fiscal YearRESOLUTION NO. 2023-38
A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF NEWPORT BEACH, CALIFORNIA, ADOPTING THE
BUDGET FOR THE 2023-24 FISCAL YEAR
WHEREAS, the City Manager of the City of Newport Beach ("City") has prepared
and submitted to the City Council a proposed annual budget for the Fiscal Year 2023-24
consistent with the City Charter Article XI (Fiscal Administration);
WHEREAS, the City's Finance Committee has reviewed and discussed the City
Manager's proposed annual budget for Fiscal Year 2023-24;
WHEREAS, the proposed annual budget was submitted to the City Council at
least thirty-five days (35) prior to the beginning of the fiscal year as required by City
Charter Section 1102 (Budget Submission to City Council);
WHEREAS, the City Council has reviewed the proposed annual budget,
determined the time for the holding of a public hearing thereon, and caused a notice of
the public hearing to be published not less than ten (10) days prior thereto in the official
newspaper of the City, and copies of the proposed annual budget were made available
for inspection by the public in the Office of the City Clerk and the Finance Department at
least ten (10) days prior to the public hearing;
WHEREAS, the City Council held a public hearing on the proposed budget on
June 13, 2023;
WHEREAS, the City Manager has the authority to approve budget increases not
to exceed Ten Thousand Dollars ($10,000) in any Budget line item or activity or Capital
Project, in accordance with City Council Policy F-3 (Budget Adoption and Administration);
WHEREAS, the City Manager may accept certain donations and grants on behalf
of the City and appropriate funds for the purpose intended, in accordance with City
Council Policies;
WHEREAS, all requirements of the City Charter and Newport Beach Municipal
Code relating to the preparation and consideration of the annual budget and
establishment of employee salary ranges have been complied with;
WHEREAS, all appropriations in the Capital Improvement Budget for projects
currently underway and remaining unexpended as of June 30, 2023, as approved by the
City Council in prior years, are hereby appropriated to the 2023-24 Fiscal Year; and
Resolution No. 2023-38
Page 2of3
WHEREAS, at the close of the 2022-23 Fiscal Year unexpended appropriations in
the operating budget will be encumbered as necessary to underwrite the expense of
outstanding purchase commitments and unexpended appropriations for authorized but
uncompleted projects, as approved by the City Council, may be carried forward to the
2023-24 Fiscal Year budget upon approval of the City Manager.
NOW, THEREFORE, the City Council of the City of Newport Beach resolves as
follows:
Section 1: The City Council does hereby adopt the budget of the City of Newport
Beach for the 2023-24 Fiscal Year. Total new appropriations of $440,104,284
($399,304,261 without internal charges) have been allocated to the funds in the amounts
shown in Attachment A, which is incorporated herein by this reference.
Section 2: An interfund transfer is a governmental accounting term used to
describe an internal flow of resources between funds and these transfers do not constitute
expenditures by the City. The total approved interfund transfers include the amounts, by
fund, set forth in Attachment B, which is incorporated herein by this reference.
Section 3: An interfund reimbursement is an accounting term to describe
"repayments from funds responsible for particular expenditures" to the funds that initially
paid for them. The transfer into the General Fund, from the Tidelands Operating Fund,
as described in Section 2, shall be reclassified as an interfund reimbursement when
actual expenditures are known at the end of the fiscal year.
Section 4: A copy of the approved budget, certified by the City Clerk shall be
filed with the persons retained by the City Council to perform auditing functions for the
City Council, and a further copy shall be placed, and shall remain on file, in the Office of
the City Clerk where it shall be available for public inspection.
Section 5: The budget so certified shall be reproduced and copies made
available for the use of the public and of departments, offices, and agencies in the City.
Section 6: The recitals provided in this resolution are true and correct and are
incorporated into the operative part of this resolution.
Section 7: If any section, subsection, sentence, clause or phrase of this
resolution is, for any reason, held to be invalid or unconstitutional, such decision shall not
affect the validity or constitutionality of the remaining portions of this resolution. The City
Council hereby declares that it would have passed this resolution, and each section,
subsection, sentence, clause or phrase hereof, irrespective of the fact that any one or
Resolution No. 2023-38
Page 3 of 3
more sections, subsections, sentences, clauses or phrases be declared invalid or
unconstitutional.
Section 8: The City Council finds the adoption of this resolution 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, Division 6, Chapter 3,
because it has no potential for resulting in physical change to the environment, directly or
indirectly.
Section 9: This resolution, the employee positions and salary ranges set forth
in the budget, shall take effect immediately upon adoption of this resolution by the City
Council, and the City Clerk shall certify the vote adopting the resolution.
ADOPTED this 13th day of June, 2023.
ATTEST:
Leilani I. Brewn
City Clerk
APPROVED AS TO FORM:
CITY ATTORNEY'S OFFICE
C.
Aaron C. Harp
City Attorney
0-C,1FOR�'
Attachments: A - Total New Appropriations by Fund
B - Interfund Transfers by Fund
Attachment A
Total New Appropriations by Fund
Fund
Operating
Expenditures
Capital
Budget
Total
Budget
010
Gen oral Fund*
293.917.485
-
293,917,485
012
General Fund Capital Projects
-
6.000,000
6,000,000
100
Tidelands Operating Fund'
23.312,029
750,000
24,062,029
101
Harbor & Beaches Capital Plan Fund
-
2,600,000
2.600,000
105
Asset Forfeiture Fund
65.000
-
65.000
111
SLESF - COPS Fund
200,000
-
200,000
120
CDBG Fund
394,134
394,134
121
State Gas Tax Fund
-
2,700,000
2,700,000
122
Measure M 2
-
3,000.000
3,000,000
126
SB1 Gas Tax RMRA Fund
-
1.500,000
1,500.000
141
Building Excise Tax Fund
-
300.000
300,000
142
AQMD Fund
-
200,000
200,000
160
Environmental Liability Fund
714.469
-
714459
164
Fostering Interest in filature (HN) Fund
147,000
-
147,000
167
Oceanfront Encroachment Fund
-
150,000
160,000
513
Facilities Financing Plan Fund'
1,711,044
1,711,044
562
Parks& Community Centers
1,711,044
1,711.044
570
Parks Maintenance Fund
-
1,000,000
1,000,000
571
Facilities Maintenance Plan (FMP)
-
2,500,000
2.500,000
701
Water Enterprise Fund"
33,623,346
-
33,623.346
702
Water Capital Fund
-
6,214.000
6,214.000
711
Wastewater Enterprise Fund
5,097,917
750,000
5,847,917
148
Other Insurance Fund
3,024,662
3,024.862
749
uninsured Claims Reserve
1,846,000
-
1,845,000
750
Workers Camp Reserve
3,670,062
-
3,670,062
751
Gen oral LiabiiityResenre
6,897,770
-
6.897,770
752
Equipment Maintenance
5,958,698
6.958.598
763
Police Equipment Fund
1,578,426
-
1,578425
755
Parking Equipment Fund
400.000
400,000
766
Fire Equipment Fund
142,000
-
142.000
757
RSS Equipment Fund
200,000
200,000
760
Compensated Absence Fund
2,030,000
-
2,030,000
762
Retiree Medical Fund Res
7,458.998
-
7,468,998
764
Information Technology Fund - Operations
6,232,811
-
6,232.811
766
Information Technology Fund - Strategic
1,361.496
-
1,361496
800
Debt Service Fund
10,741,804
-
10,741,804
$31
Ackerman Donation Fund
5,000
-
5,00D
�Includes Transfers Out
410,729.240
29,375,044
440,104284
010
012
100
101
167
513
562
570
571
701
702
752
800
Attachment B
Interfund Transfers by Fund
Fund Transfers In Transfers Out
General Fund
General Fund Capital Projects
Tidelands Operating Fund
Harbor & Beaches Capital Plan Fund
Oceanfront Encroachment Fund
Facilities Financing Plan Fund
Parks & Community Centers
Park Maintenance Fund
Facilities Maintenance Plan (FP.41P)
Water Enterprise Fund
Water Capital Fund
Equipment Maintenance
Debt Service Fund
19,020,967
34,489,271
6,000,000
-
11,152,510
19,020,967
4,715,000
-
444,141
1,711,044
1,711,044
-
1,000,000
-
2.500,000
-
-
3,637,843
3,637,843
-
8,677,620
-
58,859,125
%859,125
STATE OF CALIFORNIA }
COUNTY OF ORANGE } ss.
CITY OF NEWPORT BEACH }
I, Leilani I. Brown, City Clerk of the City of Newport Beach, California, do hereby certify that the
whole number of members of the City Council is seven; the foregoing resolution, being Resolution
No. 2023-38 was duly introduced before and adopted by the City Council of said City at a regular meeting
of said Council held on the 13th day of June, 2023; and the same was so passed and adopted by the
following vote, to wit:
AYES: Mayor Noah Blom, Mayor Pro Tern Will O'Neill, Council Member Brad Avery, Council
Member Robyn Grant, Council Member Lauren Kleiman, Council Member Joe Stapleton,
Council Member Erik Weigand
NAYS: None
IN WITNESS WHEREOF, I have hereunto subscribed my name and affixed the official seal of
said City this 14th day of June, 2023.
Leilani I. Bro
City Clerk
Newport Beach, California
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