HomeMy WebLinkAbout25 - Consideration of Changing the Structure of the Finance Committee - Additional InfoJune 12, 2018
Item No. 25
From: Kiff, Dave
Cc: Brown, Leilani; Harp. Aaron; Matusiewicz, Dan; Jacobs, Carol
Subject: Finance Committee Workplan summary 2016-2018
Date: Tuesday, June 12, 2018 1:40:35 PM
Attachments: 2016-2018 FC Workplans and Status per Scott Peotter Request..pdf
Council Members—
Because this has a connection to Item #25, 1 think this warrants having you all see it.
Council Member Peotter had asked Dan M for this summary.
Dave
Scheduled Date Agenda Title Agenda Description Status
FISCAL YEAR 2015-2016
JULY
Tuesday, July 21, 2015 Audit Planning and Communication Receive and file a letter from the City's Independent Auditor communicating Completed
the scope and responsibilities associated with the 2014-15 Financial
Council Reserve Policy F-2 Review Council Reserve Policy F-2 provides guidance to City Staff regarding target Completed
reserve levels that are an integral part of prudent financial planning.
Questions/Answers Pertaining to FY16 Adopted Budget Asa follow up to the previous Finance Committee meetings, the Committee Completed
is welcome to continue its questions and comments about the FY 2015-16
Adopted Budget. All questions and comments are still relevant even
following Council adoption of the FY 2015-16 Budget as the input will help
frame both budget adjustments and planning for the FY 2016-17 Budget,
Thursday, August 13, 2015 Annual Investment Portfolio Performance Review A Staff and a City investment advisor will provide of brief fixed income Completed
market review of the past year and comment on the performance of the
Citv's investment Dortfolio
Annual Investment Policy Review and Update In furtherance of Section K-2 of Council Policy F-1, Statement of Investment Completed
Policy (the Policy), the Finance Department has completed an annual review
of the Policy to ensure its consistency with the overall objectives of
preservation of principal, liquidity and return, and its relevance to current law
and financial and economic trends. Staff is proposing two modifications to
the Investment Policy as recommended by the City's investment advisors,
Public Financial Management (PFM) and Chandler Asset Management
(Chandler), and supported by the City's Finance Director/Treasurer.
Recommendations for the Annual Finance Committee Budget During the July 21, 2015, Finance Committee meeting, members discussed Completed
Review Process the need for greater transparency and accountability during the annual
budget development process. This report provides recommendations and
associated action items to improve budget transparency and to increase the
Finance Committee's involvement during the annual review of the City's
h -1—f
Wastewater Service in Newport Beach The City Council has requested a review of the City's Wastewater Operation Completed
as part of the City's on-going effort to review operations for effectiveness,
efficiency and cost. This report provides the roles and responsibilities of the
Diviainn_
City Council Policy F-9 City Vehicle/Equipment Guidelines City Council Policy F-9 establishes the service life of vehicles and equipment Completed
and helps determine funding requirements for their replacement. At the
request of City Council and due to a number of changes in operations, staff
requests the Finance Committee to review and comment on the proposed
Quarterly ERP Update Staff will provide the Committee with a progress report on the Enterprise Completed
Resource Plan Droiect.
Finance Committee Schedule Update The Finance Committee work plan represents the planned topics of Completed
discussion; however, is subject to change based on the availability of
Committee members, information and the need to schedule other topics as
they arise. This item allows Committee consideration of an update to the
Wednesday, September 16, 2015 Recommended Budget Practices for the Development of the During the August 13, 2015, Finance Committee meeting, members Completed
Annual Budget discussed three recommended actions for bringing greater transparency and
accountability during the annual budget development process. Staff will
present a proposed framework for improving budget practices. Staff will also
present proposed broad community goals that can be incorporated into the
PicI Vcor 91)19-91)17 K -1—f
Public Employees Retirement System and Other Post- Staff will provide a pension and other post -employment benefits presentation Completed
Employment Benefits Primer that will describe the basic mechanics and challenges associated with
OCTOBER
Thursday, October 15, 2015 Discuss Schedule for Next Finance Committee Meeting of Due to a scheduling conflict, the Finance Committee should discuss an Completed
November 12. 2015 alternate meeting date and/or time for the November meeting.
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Scheduled Date Agenda Title Agenda Description Status
Retiree Health Liability (OPEB) The City obtains an actuarial valuation for its retiree health program every Completed
other year. The purpose of the valuation is to measure the City's liability for
retiree health benefits and to determine the City's accounting requirements
under the Government Accounting Standards Board (GASB) Statement No.
45. Marilyn Jones, Consulting Actuary, from Nyhart will be present to answer
any questions regarding the June 30, 2015, valuation.
Implementation of Budget Preparation Framework - Review of During the August 13, 2015, Finance Committee meeting, members Completed
Operating Budget, Session 1 discussed pursuing actions for bringing greater transparency and
accountability during the annual budget development process. Staff believes
that following a proposed budget preparation framework consisting of budget
principles, and associated strategies and tactics can be a reliable vehicle for
improving the City's budget process. In furtherance of Budget Framework
Tactic T.10.1, the goal of this presentation will be to familiarize members of
the Finance Committee with the elements of the FY 2015-16 Recreation and
Senior Services Department departmental budget, provide opportunity for
questions, and to gain clarity in the funding allocations for departmental
programs. Staff will schedule similar Finance Committee presentations
covering the operating budgets of other departments over the next few
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Thursday, November 12, 2015 Implementation of Budget Preparation Framework - Review of During recent Finance Committee meetings, members discussed pursuing Completed
Operating Budget, Session 2 actions for bringing greater transparency and accountability during the
annual budget development process. Staff believes that following a
proposed budget preparation framework consisting of budget principles, and
associated strategies and tactics can be a reliable vehicle for improving the
City's budget process. In furtherance of Budget Framework Tactic T.10.1,
the goal of this presentation will be to familiarize members of the Finance
Committee with the elements of the Fiscal Year 2015-2016 Police
Department budget, provide opportunity for questions, and to gain clarity in
the funding allocations for departmental programs.
Thursday, December 10, 2015 Underground Utility Assessment Deferral Program
At its October 13, 2015, meeting the City Council considered an Completed
Underground Utility Assessment Deferral Program and referred
consideration of potential program ideas to the Finance Committee for
recommendation. The general plan would be designed to help resident
property owners that may not have sufficient disposable income to pay the
undergrounding assessment or utility connection costs. The purpose of this
staff report is to analyze potential options for recommendation to the City
Implementation of Budget Preparation Framework - Review of
During recent Finance Committee meetings, members discussed pursuing Completed
Operating Budget, Session 3
actions for bringing greater transparency and accountability during the
annual budget development process. Staff believes that following a
proposed budget preparation framework consisting of budget principles, and
associated strategies and tactics can be a reliable vehicle for improving the
City's budget process. In furtherance of Budget Framework Tactic T.10.1,
the goal of this presentation will be to familiarize members of the Finance
Committee with the elements of the Fiscal Year 2015-2016 Fire Department
budget, provide opportunity for questions, and to gain clarity in the funding
allocations for departmental programs.
Life Safety Services Program Evaluation
Staff will discuss the results of a recent review of the City's Fire Department Completed
Life Safety Service as part of the on-going effort to review operations for
effectiveness, efficiency and cost. This report provides the roles and
responsibilities of the Division and summarizes the results of the study.
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Scheduled Date Agenda Title Agenda Description Status
City Council Policy F-9 City Vehicle/Equipment Guidelines At the City Council Meeting of October 27, 2015, the City Council reviewed Completed
and approved changes to the City Council Policy F-9 — City
Vehicle/Equipment Guidelines. These changes will extend the life of the
City's fleet, eliminate several types of equipment the City no longer owns and
add vehicles to the Equipment Maintenance Fund that were previously not
included. The revision to Policy F-9 on October 27, 2015, resulted in an
annual savings of approximately $1,039,000 to the City's General and
Enterprise Funds. The City Council requested that the Finance Committee
review Policy F-9 to determine if additional savings are available. After a
thorough review of the policy and the financial resources necessary to
maintain the Equipment Replacement Fund, staff is not recommending any
JANUARY
Thursday, January 14, 2016 Semi -Annual Investment Portfolio Review
Staff and/or one or more investment advisors will describe the performance
Completed
authorized to issue bonds, notes, and other evidences of indebtedness to
of the Citv's investment Dortfolio.
public entities and private developers in order to promote economic
Implementation of Budget Preparation Framework - Review of
The goal of this presentation will be to familiarize members of the Finance
Completed
Operating Budget, Session 4 (Public Works Department)
Committee with the elements of the Fiscal Year 2015-2016 Public Works
the Shopoff and Picerne Real Estate Joint Venture Investment Group) is
Department budget, provide opportunity for questions, and to gain clarity in
development of the multifamily rental housing projects collectively known as
the fundinn Alonntionc fnr dennrtmentA nrnnrnmc.
the Uptown Newport Village. The law requires a public hearing be held to
Review of Facilities Financial Planning Tool (FFPT)
Staff will present the timing, means of financing, and fiscal impacts
Completed
and approve or disapprove the issuance of bonds for the project. Any
associated with funding high-priority capital projects approved by the City
project not approved by the local jurisdiction will not be financed through
Council.
Work Plan Overview
Staff will present and seek approval of the tentative Finance Committee
Completed
agenda topics scheduled for the calendar year. The work plan represents
Quarterly ERP Update
Staff will provide the Committee with a progress report on the Enterprise Completed
the planned topics of discussion; however, is subject to change based on
the availability of information and the need to schedule other topics as they
Issuance of Multi -Family Housing Revenue Bonds for the Uptown
The California Statewide Communities Development Authority (CSCDA) is Completed
Newport Project by the California Statewide Communities
authorized to issue bonds, notes, and other evidences of indebtedness to
Development Authority to TPG/TSG Venture I Acquisition, LLC
public entities and private developers in order to promote economic
development, including the provisions and maintenance of multi -family
housing. TPG/TSG Venture I Acquisition, LLC (the borrower also known as
the Shopoff and Picerne Real Estate Joint Venture Investment Group) is
seeking financing from CSCDA for the acquisition, construction and
development of the multifamily rental housing projects collectively known as
the Uptown Newport Village. The law requires a public hearing be held to
allow members of the public and the governing board the ability to comment
and approve or disapprove the issuance of bonds for the project. Any
project not approved by the local jurisdiction will not be financed through
CSCDA. As the Program Participant, the City of Newport Beach will not
incur any liability of this CSCDA financing.
Year -End Closing Results
Staff will present the preliminary year-end closing results for Fiscal Year Completed
2014-2015.
Quarterly ERP Update
Staff will provide the Committee with a progress report on the Enterprise Completed
FEBRUARY
Thursday, February 11, 2016 Implementation of Budget Preparation Framework - Review of The goal of this presentation will be to familiarize members of the Finance Completed
Operating Budget, Session 5 (Municipal Operations Department) Committee with the elements of the Fiscal Year 2015-2016 Municipal
Operations Department budget, provide opportunity for questions, and to
gain clarity in the funding allocations for departmental programs.
Review of Public Employees Retirement System (PERS) Valuation Staff will summarize the results from our latest actuarial valuation and Completed
financial options to manage the current obligation. Discussion will include
fresh start options as well as the California Employers' Benefit Trust
(CERBT) Fund, which is a Section 115 trust fund dedicated to prefunding
Other Post -Employment Benefits (OPEB) for all eligible California public
Budget Amendments Staff will report on the budget amendments for the prior quarter. All budget Completed
amendments are in compliance with City Council Policy F-3, Budget
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Scheduled Date
MARCH
Thursday, March 10, 2016
Agenda Title Agenda Description Status
Finance Committee Charter Review and Update The resolution authorizing the purpose and responsibilities of the Finance Completed
Committee was last updated by Resolution No. 2015-5, as adopted January
13, 2015. Staff reviews this resolution with the Finance Committee on an
annual basis and welcomes any discussion or consideration for updating.
Any changes to the resolution will require formal City Council approval.
Work Plan Overview Staff will present and seek approval of the revised Finance Committee Completed
agenda topics scheduled for the calendar year. Proposed changes include
additional committee meetings to review the entirety of the proposed FY 17
budget. The work plan represents the planned topics of discussion;
however, is subject to change based on the availability of information and
Fiscal Year 2014-2015 Audit Results The City's external audit firm, White Nelson Diehl Evans LLP will meet with Completed
the Finance Committee to discuss the audit findings for the Fiscal Year
ending June 30 2015. The Committee will have an opportunity to discuss
any potential areas of concern and the auditors can discuss any changes in
accounting standards or disclosures that were relevant for the audit year.
Proposed Fiscal Year 2016-2017 Budget Assumptions
Staff will provide an overview of the Proposed Fiscal Year 2016-2017 Budget Completed
Assumptions.
Update on Status of Subcommittee Recommendations
An update will be provided regarding the Finance Subcommittee. Completed
Quarterly ERP Update
Staff will provide the Committee with a progress report on the Enterprise Completed
Resource Plan Droiect.
Would Like Placed on a Future Agenda for Discussion, Action or
EDUCATE AND DEVELOP STRATEGIES TO MANAGE ITS PENSION AND OPEB.
Thursday, April 28, 2016 Fiscal Year 2016-2017 Proposed Budget Presentation and CIP
First Look
The City Manager's Fiscal Year 2016-2017 Proposed Budget will be Completed
reviewed with a PowerPoint presentation, with a more detailed look at the
proposed Capital Improvement Program (CIP). Budget Documents will also
City Council General Fund Surplus Utilization Policy Staff will propose a new City Council policy for the use of surplus funds Completed
resulting from unrestricted General Fund annual revenues exceeding total
actual expenditures. encumbrances and commitments for that vear.
Budget Amendments Staff will report on the budget amendments for the prior quarter. All budget Completed
amendments are in compliance with City Council Policy F-3, Budget
Adoption and Administration
Wednesday, May 4, 2016 Fiscal Year 2016-2017 Budget Discussion Continue review of the City Manager's Fiscal Year 2016-2017 Proposed Completed
Subcommittee Recommendations
An update will be provided regarding the Finance Subcommittee.
Completed
Finance Committee Announcements on Matters Which Members
A. RECOMMEND THE CITY HIRE AN INDEPENDENT ACTUARY TO ADVISE,
Completed
Would Like Placed on a Future Agenda for Discussion, Action or
EDUCATE AND DEVELOP STRATEGIES TO MANAGE ITS PENSION AND OPEB.
Report (Non -Discussion Item)
B. RECOMMEND THE CITY CONSULT WITH AN INDEPENDENT THIRD PARTY
Completed
AGENCY (E.G., ORANGE COUNTY AUDITOR CONTROLLER'S OFFICE, CONSULTANT,
GFOA, OR A REGISTERED INDEPENDENT MUNICIPAL ADVISOR) TO EITHER
(1) REVIEW THE CITY'S DEBT ISSUANCE PROCEDURES AND PROVIDE
RECOMMENDATIONS TO IMPROVE AND INCORPORATE BEST PRACTICES FOR
DEBT ISSUANCE AND ADMINISTRATION INTO THE CITY'S POLICIES AND
PROCEDURES; (2) EVALUATE THE ECONOMIC FEASIBILITY OF REDUCING AMOUNT
OF OUTSTANDING CERTIFICATES OF PARTICIPATION; OR (3) BOTH.
Thursday, May 12, 2016 Fiscal Year 2016-2017 Budget Discussion Continue review of the City Manager's Fiscal Year 2016-2017 Proposed Completed
Subcommittee Recommendations An update will be provided regarding the Finance Subcommittee. Completed
APRIL morw
Thursday, June 2, 2016 Auditor Recommendation Per Council Policy F-15, External Financial Reporting, Disclosure and Annual Completed
Audits, the City issued a Request for Proposal (RFP) for audit services dated
March 21, 2016, to audit its financial statements for the fiscal year ending
June 30, 2016, with the option of auditing its financial statements for four
subsequent fiscal years. After a thorough selection process, staff
recommends to the Finance Committee the services of White, Nelson, Diehl,
Subcommittee Recommendations An update will be Drovided reaardino the Finance Subcommittee.
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Scheduled Date Agenda Title Agenda Description Status
Finance Committee Fiscal Year 2016-2017 Budget Continue review of the City Manager's Fiscal Year 2016-2017 Proposed Completed
Recommendations Budget and prepare/discuss Finance Committee recommendations to
Thursday, June 16, 2016 Quarterly ERP Update Staff will provide the Committee with a progress report on the Enterprise Completed
Resource Plan Droiect.
Debt Issuance Best Practices During the April 28, 2016, Finance Committee meeting Committee Member Completed
O'Neill asked the Committee to consider the merits of hiring a third parry
consultant to assist staff implement best practices in debt issuance.
Pension and OPEB Advisory Services During the April 28, 2016, Finance Committee meeting Committee Member Completed
Gorczyca proposed bringing on an independent actuary to assist the
Council, the Committee, and staff to analyze various pension and OPEB
funding and cost containment strategies. Such strategies may include a
Section 115 Benefit Trust, PERS pre -payment options, improvements to the
City's OPEB program, and various incentives to reduce the pension liability.
Staff recommends that the Committee discuss the merits of engaging an
independent actuary or other financial professional to provide Pension and
OPEB advisory services and provide staff direction as to an initial scope of
services.
Finance Subcommittee Recommendations During the April 28, 2016, Finance Committee meeting Subcommittee Completed
Members presented written recommendations as to general business
practices of the City. The Committee, as a whole, provided general
comments on the content and quality of the report. The Committee will
discuss of each idea specifically and determine actions items associated
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Annual Fee Schedule Update In partnership with the City's cost allocation plan consultant, staff reviewed Completed
and updated the city-wide cost allocation plan and direct user fee
calculations for Recreation and Senior Services (RSS), Library, Finance, and
Municipal Operations Department (MOD), as well as analyzed the separation
of mileage costs from Fire Emergency Medical Services (EMS) fees and the
establishment of flat fees for certain Community Development Department
(CDD) services. The purpose of this meeting is to review staffs
recommendation to revise the Master Fee Schedule according to CPI and to
review the specific changes recommended for departmental related fees.
SEPTEMBER
Thursday, September 15, 2016 Annual Investment Performance Review Staff and/or one or more investment advisors will describe the performance Completed
of the Citv's investment portfolio.
Investment Portfolio Recommendation Staff will present a proposal to further segment the investment portfolio to Completed
better align assets with related objectives.
Investment Advisor Recommendation Staff will summarize the results of our recent investment advisor RFQ and Completed
make recommendations for the contracting of investment advisory services.
Budget Amendments Staff will report on the budget amendments for the prior quarter. All budget Completed
amendments are in compliance with City Council Policy F-3, Budget
Adoption and Administration.
Implementation of Finance Subcommittee Recommendations During the June 16, 2016 Finance Committee meeting, the Committee Completed
reviewed the Subcommittee's 16 recommendations to improve the City's
general business practices. The Subcommittee members proposed, and the
Committee as a whole assigned, each of the recommendations according to
one of the following categories: 1) Incorporate into existing or new City
Council policy; 2.) Create new or update General Plan policies; 3.) Action
items only, no policy required; and 4.) Comment only - no policy or action
required. Staff recommends that the Finance Committee make
recommendations(s) to the City Manager as to the next steps related to the
report.
Committee Discussion of future Pension\OPEB agenda items Provide staff further direction concerning Pension Primer presentation and Completed
Pension OPEB management strategy discussions at the October and
November Finance Committee meetinas.
Quarterly ERP Update Staff will provide the Committee with a progress report on the Enterprise Completed
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Scheduled Date
Agenda Title Agenda Description Status
OCTOBER
investment policy's conformance to the overall objectives of preservation of
Thursday, October 13, 2016
Pension and OPEB Primer and Preliminary Staff Pension Funding At this meeting staff will present a status update and primer on the City's Completed
Recommendations for Fiscal Year 2017-2018 Pension and OPEB liabilities. A consulting actuary will be present should the
Committee have specific questions for an actuary. Based on a review of the
most current valuations, staff has prepared preliminary pension funding
Pension Update
recommendations prior to the input and comment from our consulting
h
Budget Amendments Receive and file a staff report on the budget amendments for the prior Completed
auarter.
NOVEMBER
implementing the phased -in implementation plan contemplated by the
Thursday, November 10, 2016
City CaIPERS Pension Issues John Bartel (Bartel Associates) will discuss CalPERS pension issues, such Completed
Review of Facilities Financing Program
as, current unfunded liability; projected contribution rates, including impact of
investment return volatility; and CalPERS Risk Mitigation Policy and possible
discount rate changes. In addition, there will be a review of the City's current
funding policy and of alternatives the City might consider.
FEBRUARY
Thursday, February 16, 2017 Annual Investment Policy, Financial Markets and Investment
Staff and/or one or more investment advisors will discuss the City's Completed
Portfolio, and Investment Strategies Review
investment policy's conformance to the overall objectives of preservation of
principal, liquidity and return, and its relevance to current law and financial
and economic trends. The Committee will receive a financial markets
overview and a performance report of the City's investment portfolio through
December 31, 2016. Staff will also recommend changes to the City's
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Pension Update
Staff will provide a status update of our CaIPERS Pension plans based on Completed
recently announced discount rate changes. Staff will review the impact to
our plans and make recommendations how to lessen the long-term cost of
implementing the phased -in implementation plan contemplated by the
(:aIPFRC h—M
Review of Facilities Financing Program
Staff will present a draft of Facilities Financing Program reviewing the timing, Completed
means of financing, and fiscal impacts associated with funding Council
Review of Initial Draft of Long -Term Financial Forecast Staff will present the bare bones of a high-level Long-term Financial Completed
Forecast that summarizes future assumptions and key elements of the City's
finances culled from other long-term plans such as the Facilities Financing
Prnnram_ Pensinn Prniertinns_ Harhnr Master plan_ eta
Annual Work Plan Overview Staff will present and seek approval of the tentative Finance Committee Completed
agenda topics scheduled for the calendar year. The work plan represents
the planned topics of discussion; however, is subject to change based on
the availability of information and the need to schedule other topics as they
Budget Amendments Receive and file a staff report on the budget amendments for the prior Completed
auarter.
MARCH
Thursday, March 16, 2017
Review of Budget Preparation Framework/Principles The Finance Committee meeting will review and provide comment on the Completed
Budget Preparation Framework, last reviewed by the Committee in August of
2015. The Budget Preparation Framework consists of goals/principles,
strategies and associated tactics to facilitate the allocation of resources.
Annual Review of Reserve Policy F-2 The Finance Committee will review and provide comment on Council Policy Presented but Committed deferred action until
Review of Other Financial Policies Staff will present a new pension policy and update to Budget Policy to Subcommittee created to review other policies
account for multi-vear funds and the need for Iona ranae fiscal Dlannina. Der Committee Member O'Neill
Review of Long Range Fiscal Forecast Staff will report on progress made towards the development of the Long Completed
Demonstration of New Fiscal Transparency Software Staff will demonstrate "Socrata," a new software that allows for access and Completed
transoarencv to Citv information by the Dublic.
Pension Discussion Staff will prepare a presentation illustrating payment options to mitigate the Completed
Citv's exDosure to its Iona -term Derision obligation.
Thursday, March 30, 2017 HarborfTidelands Master Plan Review Staff will present the timing, means of financing, and fiscal impacts Completed
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Scheduled Date Agenda Title
FY 2015-16 Audit Review (with Auditor)
Pension Discussion - Discuss Stanford University Report
The City's external audit firm, White Nelson Diehl Evans LLP will meet with Completed
the Finance Committee to discuss the audit findings for the fiscal year
ending 6/30/2016. The committee will have an opportunity to discuss any
potential areas of concern and the auditors can discuss any changes in
accounting standards or disclosures that were relevant for the audit year.
The Committee will review and discuss Stanford University Professor Joe Completed
Nation's report: "Newport Beach's Pension Plans: Forecast and Key Metrics"
Status
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Review of Finance Committee Work plan
Staff will review with the Committee the agenda topics scheduled for the
Completed
remainder of the calendar vear.
APRIL
Thursday, April 13, 2017
Pension Discussion including presentation by Senator Moorlach
Agenda item reserved for any discussion regarding the status of the City's
Completed
pension liability.
Review of FY 2017-18 Proposed Budget
Staff will provide an overview of the Proposed FY 2017-18 Operating Budget
Completed
and or CIP.
Long -Term Fiscal Forecast
Review of City's long-term forecast plan model.
Completed
Budget Amendments
Receive and file a staff report on the budget amendments for the prior
Completed
quarter.
Review of Finance Committee Work plan
Staff will review with the Committee the agenda topics scheduled for the
Completed
remainder of the calendar vear.
Thursday, April 27, 2017
Review of FY 2017-18 Proposed Budget
Staff will provide an overview of the Proposed FY 2017-18 Operating Budget
Completed
and or CIP.
Pension Discussion
Agenda item reserved for any discussion regarding the status of the City's
Completed
pension liability.
Update on Long -Term Financial Forecast
Staff will review with the Committee an updated high-level long-term financial
Completed
forecast including future assumptions and other key elements of the City's
Review of Finance Committee Work plan
finances.
Staff will review with the Committee the agenda topics scheduled for the
Completed
remainder of the calendar vear.
MAY
Thursday, May 11, 2017
Review of FY 2017-18 Proposed Budget
Staff will provide an overview of the Proposed FY 2017-18 Operating Budget
Completed
and or CIP.
Pension Discussion
Agenda item reserved for any discussion regarding the status of the City's
Completed
oension liabilitv.
Update on Long -Term Financial Forecast
Staff will review with the Committee an updated long-term financial forecast
Completed
including future assumptions and other key elements of the City's finances
Review of Finance Committee Work plan
Staff will review with the Committee the agenda topics scheduled for the
Completed
remainder of the calendar vear.
Tuesday, May 23, 2017
Joint Study Session on the Budget with the City Council
Completed
JUNE
Thursday, June 1, 2017
Review of FY 2017-18 Proposed Budget
In accordance with Sections 504 and 1101 of the City Charter, the Finance
Completed
Committee will review the City Manager's proposed budget and give
recommendations to the City Manager in advance of the budget's
presentation to the City Council. The Committee's recommendations shall
be provided in writing to the City Council along with the City Manager's
cnf—A h -1—f
Pension Discussion
Agenda item reserved for any discussion regarding the status of the City's
Completed
pension liability.
Review of Finance Committee Work plan
Staff will review with the Committee the agenda topics scheduled for the
Completed
remainder of the calendar vear.
Thursday, June 29, 2017
Wastewater Rate Increase
The Municipal Operations Department retained the consulting services of H
Completed
F & H Consultants, LLC ("HF&H") to prepare a wastewater rate study. The
purpose of this presentation is to review the results of the wastewater rate
study, receive input, and seek the Committee's direction to move the item to
Cihi cniincil fn r d i—i—inna 4nnncnual
Update on Long -Term Financial Forecast
Staff will review with the Committee an updated high-level long-term financial
Completed
forecast including future assumptions and other key elements of the City's
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Scheduled Date Agenda Title
Agenda Description
Status
Scope of Work for Risk Based Analysis of General Fund Reserve
The City is seeking consultant services to assist staff analyze risks through
Completed
Requirements
an analytical framework intended to determine a custom reserve level
and the results of emolovee cost sharina.
Engaging CalPERS
appropriate for the City of Newport Beach. The Consultant will provide a
engage CalPERS staff and policymakers with the intent to influence future
thorough examination of the City's primary and secondary risk factors that
nension Dolicies and oractices
Opposition Letter to CaIPERS Board Imposed Divestment
generally influence the amount of reserves the City should hold. The
Directives
CalPERS Investment Office to promote certain social objectives.
Consultant will also provide recommendations on new, or changes to
Divestment directives can create enormous opportunity costs to the pension
existing, financial policies, risk management methods, and ideas to support
Treasury Report
The Finance Committee requested that staff provide the monthly Treasury
Completed
Report for periodic review. As of May 31, 2017, the City's entire investment
portfolio totaled over $269 million. The report can be accessed at
www_ newnnrtheach ra nnv/trea ci i rv_
Pension Discussion
Agenda item reserved for any discussion regarding the status of the City's
Completed
pension liabilitv.
Review of Finance Committee Work plan
Staff will review with the Committee the agenda topics scheduled for the
Completed
SEPTEMBER
Thursday, September 14, 2017 Investment Advisor Contract Discussion & Recommendation
Staff will review the previous request for proposal process and Completed
recommendations.
Review of Public Employees Retirement System (PERS) Valuation Staff will discuss the latest actuarial valuation, changes to actuarial Completed
assumptions, review investment returns, the potential impact of future rates,
and the results of emolovee cost sharina.
Engaging CalPERS
The Chair will provide a brief oral update on her plans and recent activities to Completed
engage CalPERS staff and policymakers with the intent to influence future
nension Dolicies and oractices
Opposition Letter to CaIPERS Board Imposed Divestment
From time to time, the CalPERS Board imposes divestment directives on the Completed
Directives
CalPERS Investment Office to promote certain social objectives.
Divestment directives can create enormous opportunity costs to the pension
system at a time when the system, plan sponsors and plan participants
Long Range Financial Planning Staff will demonstrate the "Govinvest" software tool that the City is using to Completed
assist in the modeling of lona-term pension plan liabilities and cost.
Bonita Canyon Community Facilities District Update The City entered into a Joint Powers Agreement (JPA) to form a Community Completed
Facilities District (CFD) in 1997 to finance certain road, park and school
improvements associated with the Bonita Canyon development. The JPA
board believes there is an opportunity to refinance outstanding bonds of the
JPA on a current refunding basis to provide an economic benefit to the
assessed property owners in excess of $2.5 million. The Committee will be
provided a brief report summarizing the financing effort.
Budget Amendments Receive and file a staff report on the budget amendments for the prior Completed
Review of Finance Committee Workplan Staff will review with the Committee the agenda topics scheduled for the Completed
remainder of the calendar vear.
OCTOBER I _
Thursday, October 12, 2017 Investment Performance Review Staff and/or one or more investment advisors will describe the performance Completed
of the Citv's investment portfolio.
Investment Advisor Contract Discussion Committee member Gorczyca requests that the Finance Committee Completed
reconsider its recommendation to award investment advisor contract, solely,
Budget Amendments Receive and file a staff report on the budget amendments for the prior Completed
Debt Policy Staff and a municipal advisor from KNN will present changes to current Debt Completed
Policy F-6 that are required per SB1029 and other aspects of the policy the
committee wishes to discuss.
Long Range Financial Planning Staff will review the performance and provide future projections of the City's Completed
Pension Discussion Agenda item reserved for any discussion regarding the status of the City's Completed
Review of Finance Committee Workplan Staff will review with the Committee the agenda topics scheduled for the Completed
remainder of the calendar vear.
NOVEMBER
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Scheduled Date Agenda Title Agenda Description Status
Thursday, November 9, 2017 Review of Post Employment Retiree Insurance Actuarial Valuation The City's OPEB actuary will review the City's latest OPEB valuation and Completed
(AKA OPEB) liabilitv.
Long -Term Financial Forecast The item is reserved for a review and discussion of budget decisions that Completed
need to be considered in conjunction with the development of the budget
and revision to the Long -Term Financial Forecast. This discussion will
include proposed revenue estimate revisions, the funded status of worker's
compensation and general liability reserves and other forecast scenarios.
Risk Based Reserve Analysis Staff will provide a brief oral update on the status of consulting engagement Completed
Review of Finance Committee Workplan Staff will review with the Committee the agenda topics scheduled for the Completed
remainder of the calendar vear.
JANUARY
Tuesday, January 9, 2018 Council Study Session 9th - Economic Overview (Optional) Broad Local Economic Overview to be provided by Beacon Economics. Completed
Thursday, January 11, 2018 Risk Based Reserve Analysis Overview Consultant will provide an update and overview of the Risk -based Reserve
Consultant Overview of Property and Sales Tax Revenues
Consulting specialists in Property and Sales Tax will provide an overview of Completed
revenue prospects.
Long Range Financial Forecast (LRFF)
City staff will provide an update on efforts to improve the City's Long Range Update Delivered
Financial Forecast and provide a comparative review of best practices to
other cities.
Review of Finance Committee Resolution
The Committee will review its objectives as set forth in Council resolution 94- Completed
110 as amended by 2017-58.
Budget Amendments
Receive and file a staff report on the budget amendments for the prior
quarter.
Pension Discussion
Agenda item reserved for any discussion regarding the status of the City's
pension liability.
Review of Finance Committee Workplan
Staff will review with the Committee the agenda topics scheduled for the Completed
remainder of the fiscal year and highlight those work plan items that were
carried forward from the prior fiscal year. The Committee will also consider
setting up a subcommittee to review finance related Council Policies.
FEBRUARY
Thursday, February 15, 2018 Create a Subcommittee to Review Council Finance Policies The Finance Committee will consider the creation of a Finance Completed
Subcommittee to review Council Finance policies, discuss membership,
Risk -Based Reserve Subcommittee Update Discuss Finance Committee Drogress since the last meeting. Update Delivered
Debt Policy Review Subcommittee Update Subcommittee will discuss revisions of Debt Policy and discuss next steps.
In preparation of the 2018-2019 Budget, staff will review budget assumptions Completed
Review of Police Department Budget to Actual Results against actual results for Fiscal Year 2016-2017 and pertinent updates
Year -End Closing Results Staff will present year-end closing results for Fiscal Year 2016-2017. Completed
Agenda item reserved for discussion regarding the status of the City's Completed
pension liability, payment strategies, CaIPERS policy updates and or
Pension Discussion advocacv efforts.
Staff will review with the Committee the agenda topics scheduled for the Completed
remainder of the fiscal year and highlight those work plan items carried
forward from the prior fiscal year. The Committee will also consider setting
Review of Finance Committee Work Plan up a subcommittee to review finance related Council Policies.
MARCH
Thursday, March 15, 2018 Audit Closing The City's external audit firm, White Nelson Diehl Evans LLP will meet with Completed
the Finance Committee to discuss the audit findings for the fiscal year
ending 6/30/2017. The committee will have an opportunity to discuss any
potential areas of concern and the auditors can discuss any changes in
accounting standards or disclosures that were relevant for the audit year.
Harbor & Beaches Master Plan Review Harbor & Beaches Master Plan for financial solvency based on Completed
known Council Priorities
Review of Fire Department Budget to Actual Results In preparation of the 2018-19 Budget, staff will review budget assumptions Completed
Facilities Financial Plan Review Facilities Financial Plan for financial solvency based on known Completed
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Scheduled Date Agenda Title Agenda Description Status
Agenda item reserved for discussion regarding the status of the City's Completed
pension liability, payment strategies, CaIPERS policy updates and or
Pension Discussion advocacy efforts.
Review of Finance Committee WorkPlan Staff will review with the Committee the agenda topics scheduled for the
remainder of the fiscal year and highlight those work plan items carried
forward from the prior fiscal year. The Committee will also consider setting
up a subcommittee to review finance related Council Policies.
APRIL
Thursday, April 12, 2018 Fiscal Year 2018-19 Budget Brief Overview Staff will prepare brief presentation of key initiatives proposed in the City Completed
Internal Controls Staff will prepare a brief presentation summarizing of internal and external Completed
review of internal control efforts.
Reserve Policy Subcommittee Update Staff and or Subcommittee members will provide the Finance Committee a Completed
brief update on the status of the Risk -Based Reserve Studv.
Budget Amendments Receive and file a staff report on the budget amendments for the prior Completed
quarter.
Workplan Review Staff will review with the Committee the agenda topics scheduled for the Completed
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Scheduled Date Agenda Title Agenda Description Status
MAY
Thursday, May 10, 2018 Finance Committee Budget Review Staff will provide a high-level variance analysis and will address certain Completed
Long -Range Financial Forecast Staff will provide a preview and update on the latest draft of our new Long Completed
Range Financial Forecast.
Agreed Upon Audit Procedures for Internal Control The Finance Department is working with the City's audit firm, White Nelson Completed
Diehl Evans LLP, to develop agreed upon procedures for the audit of the
City's internal control processes and procedures. Staff will present these
agreed upon procedures for the Finance Committee's review.
Assessment District (AD) 117 Update Staff will provide an oral update on the progress of AD 117. Completed
Uptown Newport Community Facilities District (CFD) Update Staff will provide an oral update on the progress of the Uptown Newport Continued due to conflicts causing lack of
CFD. quorum
Risk Based Reserve Status Update Staff will provide an oral update on the Risk Based Reserve Study being Completed
Work Plan Review Staff will review with the Committee the agenda topics scheduled for the Completed
Tuesday May 22, 2018 Council Budget Study Session (Joint FC Study Session) District discretionary grants, position count changes, pensions operating Completed
budget expenditures and other topics will be covered with both the City
Thursday, May 24, 2018 FY 2018-19 Budget Review & Recommendation(s) to Council Completed
Reserved For Policy Discussion(s) Pending Subcommittee Completion
Uptown Newport Community Facilities District (CFD) Update Staff will provide an oral update on the progress of the Uptown Newport Completed
CFD.
JUNE
Thursday, June 14, 2018 Reserve Policy Presentation of Draft Report: GFOA Risk Based Analysis of General Fund Ready
Parametric Insurance Teleconference with SwissRE and the GFOA to discuss parametric Ready
Master Fee Schedule Staff will present the Master Fee Schedule to the Finance Committee and Ready
subsequently will present to the City Council at the July 24, 2018, meeting.
Proposed Revisions to Council Policy F-14 -Authority to Contract Staff will propose changes to Policy - F14 pursuant to the specified Ready
requirements in the Federal Uniform Guidance for Federal Awards.
Changes are required to be approved by the City Council prior to June 30,
Discuss Potential Ballot Initiative that May Require a Vote of the On the June 12th City Council agenda, Council members will discuss a Pending Direction
Electorate Prior to the Issuance of Certain Certificates of potential ballot initiative that would require a vote of the electorate prior to the
Participation (COPS) and Other Lease Revenue Obliaations issuance of certain COPs and other lease revenue obliaations
Discuss Potential Reorganization of the Finance Committee On the June 12th City Council agenda, Council members will discuss Pending Direction
reorganizing the Finance Committee to be a 7 -member all citizen's
committee (versus one with 3 Council Members and 4 citizens), starting July
Workplan Review Staff will review with the Committee the agenda topics scheduled for the Ready
remainder of the calendar vear.
Thursday June 28, 2018 Agreed Upon Audit Procedures for Internal Control The Finance Department is working with the City's audit firm, White Nelson Complete - Presentation Scheduled
Diehl Evans LLP, to develop agreed upon procedures for the audit of the
City's internal control processes and procedures. The Auditor will present
Master Fee Schedule (reserved for continuation if needed) Staff will present the Master Fee Schedule to the Finance Committee and Ready
subseauently will Dresent to the Citv Council at subsecuent date.
Reserve Policy (tentative based on progress made on June 14) Further discussion and consideration of Draft Report: GFOA Risk Based Ready
Water Enterprise Advanced Metering Infrastructure Financing Discussion with Acting Utilities Director to discuss financing plan for Tentative
(tentative) advanced metering infrastructure (AMI). AMI s an integrated system of
smart meters, communications networks, and data management systems
Workplan Review Staff will review with the Committee the agenda topics scheduled for the Ready
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