HomeMy WebLinkAbout2008-65 - Budget Adoption for FY 2008-2009RESOLUTION NO. 2008 - 65
A RESOLUTION OF THE CITY COUNCIL
OF THE CITY OF NEWPORT BEACH
ADOPTING THE BUDGET FOR THE 2008 -09 FISCAL YEAR.
WHEREAS, the City Manager of the City of Newport Beach has prepared and
submitted to the City Council a preliminary annual budget for the 2008 -09 Fiscal Year;
WHEREAS, the City Council has reviewed said preliminary budget, determined the
time for the holding of a public hearing thereon, and caused a notice of said hearing to be published not
less than ten (10) days prior thereto in the official newspaper of the City, and copies of the proposed
budget were made available for inspection by the public in the Office of the City Clerk and the
Administrative Services Department at least ten (10) days prior to said hearing; and
WHEREAS, the City Council has held a public hearing on said preliminary budget on
June 10, 2008, and has made such revisions in the preliminary budget as it deemed advisable; and
WHEREAS, the City Manager has the authority to approve budget increases not to
exceed $10,000 in any Budget Activity or Capital Project, in accordance with Council Policy F -3
(Budget Adoption and Administration), and
WHEREAS, the City Manager may accept donations or grants of up to $10,000 on
behalf of the City and appropriate the funds for the purpose intended, in accordance with Council
Policy F -3 (Budget Adoption and Administration), and
WHEREAS, all requirements of the City Charter relating to the preparation and
consideration of the annual budget have been complied with.
NOW THEREFORE, BE IT RESOLVED by the City Council of the City of Newport
Beach that the budget of the City of Newport Beach for the 2008 -09 Fiscal Year as revised by the City
Council via the Budget checklist is hereby adopted. The total approved appropriation of $256,221,159
($265,938,722 with Transfers Out), plus any items on the approved Budget Checklist attached as
Attachment A, has been allocated to the following funds in the amounts hereinafter shown:
Total Budget
Operating
Interfund
with Transfers
Fund
Budget
Capital Budget
Total Budget
Transfers Out
Out
General Fund
$145,025,656
$11,835,815
$156,861,471
$3,270,713
$160,132,184
Ackerman Fund
24,400
0
24,400
0
24,400
CDBG Fund
320,740
34,900
355,640
15,450
371,090
AQMD Fund
26,415
0
26,415
0
26,415
OTS Grant Fund
184,751
0
184,751
0
184,751
NAF Fund
66,310
0
66,310
0
66,310
SLESF- Cops Fund
162,000
0
162,000
0
162,000
State Gas Tax Fund
0
2,736,000
2,736,000
160,000
2,896,000
Prop 1B Transportation
0
1,354,500
1,354,500
1,354,500
Traffic Cong. Relief
0
750,000
750,000
0
750,000
Measure M Fund
0
4,303,455
4,303,455
0
4,303,455
Transportation Efficiency
0
0
0
0
0
AHRP Fund
0
0
0
0
0
Tidelands Fund
2,968,995
3,077,800
6,046,795
4,791,400
10,838,195
Contribution Fund
0
4,669,400
4,669,400
0
4,669,400
Circulation Fund
0
1,428,040
1,428,040
80,000
1,508,040
Building Excise Tax
0
271,200
271,200
0
271,200
Environmental Liab.
70,000
0
70,000
0
70,000
Oil Spill Remediation Fund
0
13,500
13,500
0
13,500
Newport Annexation
1,200,000
0
1,200,000
1,400,000
2,600,000
Library Debt Service
570,713
0
570,713
0
570,713
Replacement
0
4,352,300
4,352,300
0
4,352,300
CIOSA Fund
0
1,753,500
1,753,500
0
1,753,500
Bonita Canyon Dev.
0
0
0
0
0
Marina Park
0
237,400
237,400
0
237,400
OASIS Senior Center
0
20,058,250
20,058,250
0
20,058,250
Fire Station #7
0
0
0
0
0
Back Bay Science Center
0
100,000
100,000
0
100,000
SAH Community Center
0
0
0
0
0
Misc. SAH Projects Fund
0
7,445,890
7,445,890
0
7,445,890
Newport Bay Dredging
0
0
0
0
0
Insurance Reserve Fund
5,183,256
0
5,183,256
0
5,183,256
Retiree Medical Fund
3,484,000
0
3,484,000
0
3,484,000
Comp. Absence Fund
2,000,000
0
2,000,000
0
2,000,000
Equipment Fund
4,578,322
80,000
4,658,322
0
4,658,322
Water Fund
18,758,361
3,418,500
22,176,861
0
22,176,861
Wastewater Fund
2,840,759
3002,200
5,842,959
0
5,842,959
Total Appropriations
$187,464,677
$70,922,650
$258,387,327
59,717,563
$268,104,890
BE IT FURTHER RESOLVED that a copy of said approved budget, certified by the
City Clerk shall be filed with the persons retained by the City Council to perform auditing functions for
the 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.
BE IT FURTHER RESOLVED that the budget so certified shall be reproduced and
copies made available for the use of the public and of departments, offices and agencies of the City.
ADOPTED the 24th day of June, 2008.
kyj
ATTEST:
CITY CLERK
Attachment A
Budget Checklist Items
Fiscal Year 2008 -09
City Council
7013- C2002026
MacArthur Boulevard: median trees
$
100,000
One -time
7013- C3170904
Add'I funds for Irvine Terrace /Coast Hwy Landscaping
$
30,000
One -time
various General
Waiver of special event permits and fees for the 20th
Fund accounts
anniversary of the Taste of Newport
$
17,000
One -time
2720 -8250
Increase in NB Restaurant Association Bid Matching
$
35,000
One -time
Sponsorship of January 2009 Restaurant Week (prior two
0110 -8250
years were funded at $50,000 each)
$
50,000
One -time
0110 -8250
Sponsorship of Fall 2009 Restaurant Week - new event
$
50,000
One -time
7013- C2002027
CdM State Beach Parking Lot Landscape Improvements
$
95,000
One -time
2720 -8250
Bid Match for CdM Visioning Phase II
$
100,000
One -time
7015- C4002003
Artificial turf for Bonita Creek Park Study /Re -turf
$
200,000
One -time
7013- C2002028
Landscape improvements on Bristol
$
120,000
One -time
0110 -8250
Contribution towards re- sodding of Newport Harbor High
School football field.
$
30,000
One -time
7014- C4402001
Harbor Dredging Project Planning and Permitting
$
100,000
One -time
7013- C2002029
Balboa Boulevard median and parkway landscape design
and feasibility
$
100,000
One -time
0410 -7'
New full -time Department Assistant in HR to support front
counter needs
$
57,000
On -going
0110 -8250
Newport Bay Naturalist & Friends
$
24,000
One -time
Public Works Department
7284- C3002003.
Traffic Signal Modernization Phase 3
$
249,500
One -time
Planning Department
2710 -8105
Customer Service Training
$
15,000
One -time
2710 -7'
New Permit Tech position to guide applicants through the
permit process
$
90,000
On -going
2720 -8080
Professional services related to the implementation of the
strategic plan.
$
50,000
On -going
Recreation Department
4510 -8250
Recreation mailers to Newport Coast
$
30,000
On -going
Utilities Department
5300 -8116
20% increase in electricity for street lighting
$
100,000
Ongoing
5500 -8295
Reduction in amount of imported water purchases
$
(83,142)
On -going
5500 -8296
Reduction in amount of groundwater purchases
$
(185,058)
Ongoing
TOTAL SUPPLEMENTAL EXPENDITURE BUDGET REQUESTS
$
1,374,300
, GENERAL SERV.CES_COfd,T,EACT S4d1N9S i. �;
General Services Department - Expenditure
Cost savings associated with CR &R Contract (approved
various General
by Council on June 10, 2008) to provide residential solid
Fund accounts
waste transfer services and material processing /recycling
$
(607,482)_
TOTAL GENERAL SERVICES CONTRACT SAVINGS.
$
(607,482)
WWI
ES
Public Works
7011- C1002004
PD Upper Level Office Remodel
$
39,900
7011- C2320856
Repiping of Fire Station 3
$
30,000
7013- C5200407
Neighborhood Traffic Management Improvements
$
50,000
7013- C5200932
Coast Highway Median Improvements
$
(50,500)
7014 - 05002000
Newport Coast Runoff Reduction
$
(68,000)
7014- C5100814
Miscellaneous Slope Repair
$
9,350
7014- C5100889
Areas of Bio Significant Assessment
$
8,100
General Services Department - Revenue
610 -6830 Sale of Vehicle associated with the CR &R Contract to
Budget Checklist Items
provide residential solid waste transfer services and
material processing /recycling
Fiscal Year 2008 -09
Utilities Department - Revenue.
Department/Account Number /Description
$ (550,980)
Amount Approved
7014- C5100912.
Newport Coast Watershed Program
$
47,200
7015- C3170933
Back Bay View Park
$
(4,675)
7017- C2310620
Fire Facilities Management System
$
7,200
7017- CS002026
Tsunami Warning System
$
198,100
7019- C1820918
Police Facility Generator Replacement
$
108,360
7019- C5100977
Newport Coast Community Center FF &E
$.
133,500
7028- C3002004
River Avenue Pedestrian Access Improvements
$
(7.,500)
7028- C5100282
Beach Replenishment Program
$
1,730
7181- C5100733
Records Management Program Implementation
$
10,000
7181- C5200974
Newport Coast/Pelican Hill Study
$
498,200
7231- C2370522
Eel Grass Mitigation. Bank.
$
15,700
7231- C5100709
Big Canyon Creek Restoration
$
27,300
7231- C5100836
Ocean Pier Repairs
$
2,000
7231- C5100890
Areas of Bio Significant Implementation
$
7,150
7231 - 05400053
Oil Field Improvement Program
$
1,750 _
7261- C2700813
City -wide Wayfinding /Entrance Signs
$
(48,800)
7261 - 05100784
Jamboree Road Bridge Widening
$
2,440
7271- C2320856
Repiping of Fire Station 3
$
65,000
7281= C3002002
Traffic Signal Modernization Phase 2
$
38,155
7281- C5100733
Records Management Program Implementation
$
17,000
7411- C4002002
Marina Park
$
237,400
7453 - 01002007
OASIS Senior Center New
$
(16,750)
7457 - 00310600
Back Bay Science Center
$
100,000
7459- C5100866
SAH Equestrian Arena
$
(42,960)
TOTAL CAPITAL PROJECT REBUDGETSICHANGES -
$
1,416,350
riREYEIVUE AADJUSTMENTS ��t1
General Services Department - Revenue
610 -6830 Sale of Vehicle associated with the CR &R Contract to
provide residential solid waste transfer services and
material processing /recycling
$ 226,000
Utilities Department - Revenue.
500 -5170 Decrease in sale of potable water (revenue decrease)
$ (550,980)
500 -5400 Interest Earnings in the Water Fund (revenue increase)
$ 400,000
500 -5620 Increase in petroleum royalties (revenue increase)
$ 900,000
530 -5400 Interest Earnings in the Wastewater Fund (revenue
increase)
$ 80,000
TOTAL REVENUE /CONTRACT ADJUSTMENTS
$ 1,055,020
SUMMARY BY TYPE OF REQUEST
Supplemental Expenditure Budget Requests
300)`'+,'
"'
General Services Contract Savings
*`�7#
"
IS:13 �rt6�2)=
Net Change to FY 2008-09 Exp Budget
78=0_7 66 810A
Capital Improvement Program Re- Budget
Revenue Adjustments
SUPPLEMENTAL EXPENDITURE BUDGET REQUESTS BY FUND
General Fund
Measure M Competitive WIN 9 5001
m d
Bristol Street Relinquishment 00001' Water Fund 8 200)=
Total, Supplemental Expenditure Budget Requests'$u`�.1'3Y4 300;
Budget Checklist Items
Fiscal Year 2008 -09
DepartmentlAccount Number /Description
GENERAL SERVICES CONTRACT SAVINGS BYFUND
General Fund
Total General Services Contract Savings
CAPITAL IMPROVEMENT PROGRAM REBUDGET /CHANGES BY FUND
General Fund
Gas Tax
Tidelands Fund
Building Excise Tax
Measure M Fund
Circulation& Transportation Fund
OASIS Senior Center
Marina Park
Miscellaneous Santa Ana Heights Projects
Back Bay Science Center
Total CIP Rebudgets /Changes
REVENUE ADJUSTMENTS BY FUND
Water Fund
Wastewater Fund
Equipment Fund
Total Revenue Adjustments
Amount
42,07T, 07;482]
Approved
STATE OF CALIFORNIA }
COUNTY OF ORANGE
CITY OF NEWPORT BEACH }
I, LaVonne M. Harkless, City Clerk of the City of Newport Beach, California, do
hereby certify that the whole number of members of the City Council is seven; that the foregoing
resolution, being Resolution No. 2008 -65 was duly and regularly introduced before and adopted by
the City Council of said City at a regular meeting of said Council, duly and regularly held on the
24th day of June 2008, and that the same was so passed and adopted by the following vote, to wit:
Ayes: Henn, Rosansky, Daigle, Webh, Curry, Gardner, Mayor Selich
Noes: None
Absent: None
Abstain: None
IN WITNESS WHEREOF, I have hereunto subscribed my name and affixed the
official seal of said City this 25th day of June 2008.
(Seal)
6l
City Clerk
Newport Beach, California