HomeMy WebLinkAbout05/13/2003 - Study SessionCITY OF NEWPORT BEACH
City Council Minutes
Study Session
May 13, 2003 - 4:00 p.m.
ROLL UALL
Present: Heffernan, Proctor, Ridgeway, Adams, Webb, Nichols, Mayor Bromberg
Absent: None
CURRENT BUSINESS
1. CLARIFICATION OF ITEMS ON THE CONSENT CALENDAR.
Prior to the evening meeting, Council Member Heffernan requested a
clarification on who has the option to extend the term of the service agreements,
as referenced in Section 5.15.080 of Item No. 3, Tow Truck Ordinance Revisions.
He additionally asked to be provided with the amount of the parking meter
revenues for West Newport and the Balboa Peninsula for the prior fiscal year, as
discussed in Item No. 4, Amendment to Municipal Code Section 12.44.027,
Neighborhood Enhancement Reserve. Regarding Item No. 13, Gas Sale
Agreement with Hoag Memorial Hospital Presbyterian, Council Member
Heffernan asked for an explanation as to why the gas rate has not been adjusted
since 1996. Lastly, Council Member Heffernan asked what the average price
was for the oil that was sold, as referenced in Item No. 15, Oil Field Operation —
Water Pump Purchase.
2. 2003 -04 BUDGET REVIEW.
Using a PowerPoint presentation, City Manager Bludau stated that the City's
budget philosophy is to base the budget on conservative revenue projections, to
fund the required reserves first, to give essential City services a priority and to
emphasize efficiency. He stated that the primary budget objective is to ensure
continuity of essential municipal services in a volatile financial environment.
The requirements of the budget are to have a fiscal year that runs from July 15L
to June 30th, to delegate budget preparation to the City Manager, to submit the
budget to the City Council at least 35 days prior to the beginning of each fiscal
year and hold a legally noticed public hearing. City Manager Bludau stated that
the City Charter provisions also allow for the City Council to modify the budget
before it is adopted, amend the budget after adoption and reduce appropriations,
if necessary. He stated that the City Council is required to adopt the budget
prior to June 30th and that there must also be an annual independent audit of
the budget.
City Manager Bludau stated that the budget preparation process takes
approximately nine months, and begins in November of the prior fiscal year.
The process includes projecting current year financial forecasts, preparing
preliminary revenue estimates, making assumptions on how much money will
be needed to fully fund the reserves and establishing budget ceilings. In
February and March, budgets are submitted by the departments to the City
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2003 -04
Budget Review
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Manager for review, and the preliminary budget is printed and distributed in
April. The Finance Committee and the City Council review the budget in May,
and in June, the public hearings are held and the City Council adopts the
budget.
City Manager Bludau displayed a general fund revenue comparison worksheet
that included the original budget and revised estimates for the current fiscal
year, and projections for the 2003 -04 fiscal year. He noted that property taxes
are approximately 4% greater in the current fiscal year than originally
estimated and are the largest source of revenue.
Mayor Pro Tem Ridgeway asked for an explanation of "taxes other than
property ". Administrative Services Director Danner stated that the category
includes approximately $19 million in sales tax and between $8 and $9 million
in Transient Occupancy Tax (TOT).
City Manager Bludau pointed out that the intergovernmental category is
expected to be approximately 48% greater than originally estimated, as a result
of the Vehicle License Fee (VLF) assumption that was made. He stated that the
total general fund budget was originally predicated on revenues of
approximately $95.4 million and the revised estimates show that it will be closer
to $100 million, or 5% greater than estimated.
City Manager Bludau stated that the 2003 -04 budget is a balanced budget with
conservative, yet realistic revenue forecasts. He added that all known and
mandated cost increases are included, and certain funds have been set aside for
future uses. He listed the areas where the revenue projections have been
reduced, which included the VLF backfill, California Library Services Act, the
Public Library Foundation Program, police grants and Senate Bill 90 (SB 90)
mandated cost reimbursements that aren't expected from the State. City
Manager Bludau stated that new expenditure items in the budget include
National Pollutant Discharge Elimination System (NPDES), compensation and
benefit increases and fuel modification zone costs for the Newport Coast area.
City Manager Bludau displayed a chart listing the proposed water quality
expenses. He stated that this is the biggest program change for the 2003 -04
budget, and the expenses total approximately $5.3 million and include salaries,
payments to the County to run certain programs, an enhanced alley street
sweeping program, an environmental services officer and sewer spill avoidance.
City Manager Bludau stated that grant monies will help pay some of the costs.
Council Member Heffernan asked how much more is being spent in the
upcoming fiscal year than was spent during the current fiscal year.
Administrative Services Director Danner noted that the new expenses are
highlighted on the chart, and confirmed that they total approximately
$1 million. City Manager Bludau displayed a proposed organizational chart for
the 2003 -04 fiscal year, which showed the change in how water quality
enforcement would be handled. He explained that it was decided to combine the
City's current code enforcement program with the enforcement of the new
NPDES requirements, and place it in the City Manager's department. He
stated that this will provide it with a high profile, although the program will
begin as an educational effort prior to enforcement. Council Member Heffernan
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asked it the costs will be recuperated through lines. City Manager Bludau
stated that it is not anticipated to do so and is not the intention.
City Manager Bludau displayed a pie chart of all City revenues, which totals
approximately $156 million. He noted that nearly 50% of the total comes from
property taxes, and sales and other taxes. He stated that secured property tax,
sales tax and transient occupancy tax total approximately $63.8 million, and
make up 64% of the general fund revenues.
Council Member Heffernan confirmed with Administrative Services Director
Danner that "property tax" includes items such as homeowners exemption,
unsecured property taxes, penalties and delinquencies that "secured property
tax" does not.
City Manager Bludau displayed a pie chart of all City expenditures, and noted
that public safety comprises approximately 43% of the total. He listed the other
items and noted that public works comprises approximately 17% of the total and
includes the Capital Improvement Program (CIP). He stated that the proposed
total expenditures of all funds for the 2003 -04 fiscal year is approximately
$164.5 million, with the operating budget totaling $129 million. He stated that
the CIP is proposed at $30 million with $11.5 million in rebudgets. City
Manager Bludau stated that the general fund operating budget is
$100.5 million, with public safety and public works accounting for
approximately 75% of the total.
City Manager Bludau displayed a graph showing the historical trend in selected
functional operating expenditures since the 1992 -93 fiscal year. The categories
include public safety, public works, community services, general government
and community development. He noted that the fluctuation in general
government is due to the amount of money spent on the El Toro Airport effort.
City Manager Bludau displayed a list of the changes to positions for the 2003 -04
fiscal year. He noted the two positions from the planning department that
would be transferred to the city manager's department for water quality and
code enforcement. He stated that the three new positions being proposed for the
city manager's department would also specialize in water quality work. He
pointed out that part of the justification for the positions is the elimination of
two positions in the General Services Department that were handling drainage
basin and ditch cleaning. City Manager Bludau noted the new position in the
waste water division of the Utilities Department that would be necessary with
the addition of the new sewer video inspection equipment being proposed at the
evening meeting. He also noted the new position in the Fire Department for a
department assistant, which would handle some of the clerical work currently
being done by uniformed personnel.
Council Member Nichols asked how much is being saved with the elimination of
the two positions in the General Services Department. City Manager Bludau
stated that the storm drain cleaning will be contracted out for a total of 160,000.
He noted that approximately $90,000 to $100,000 was spent during the current
fiscal year.
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City Manager 131udau displayed a graph showing the number of full -time
positions in the City for each fiscal year since 1992 -93. He stated that the
proposal is for 778 full -time positions, with 385 of those being public safety
positions. He also displayed a graph showing the City's general fund reserves
each year since 1992. He noted that the significant dip in the mid 1990's was
due to the Education Revenue Augmentation Fund (ERAF) shift, and that the
City is currently in full compliance with Council Policy F -2,
Reserves/Designations of Fund Balance. City Manager Bludau stated that
reserves are important due to the uncertainty of economic conditions and
revenues, clean water legislation, lower investment earnings, and the
annexations, which increase the asset base on which the reserves must be
calculated. He emphasized that the State budget crisis is also a primary reason.
Mayor Bromberg confirmed with City Manager Bludau that any significant
costs associated with the annexation of Santa Ana Heights would come from the
redevelopment fund.
Council Member Heffernan asked if money had been reserved for the payments
that need to be made in regard to the Newport Coast annexation.
Administrative Services Director Danner stated that the fund balance estimates
for the current year include $300,000 for retroactive payments to the
homeowners associations.
City Manager Bludau displayed a graph that showed the losses since the 1992-
93 fiscal year incurred by the City due to the ERAF shift. He noted that they
are ongoing and total approximately $48 million. Referring to the list of special
reserve funds and the estimated 2003 -04 fiscal year -end balance for each,
Administrative Services Director Danner pointed out that the contingency
reserve and the stabilization reserve are fully funded, as required by Council
Policy F -2. He also noted that the reserve for capital improvements is being
increased from $2 million to $3 million due to the continued receipt of the VLF,
and the reserve for the Public Employees Retirement System (PERS) rate
changes is being set aside for expected increases in future years. City Manager
Bludau added that the money being set aside in the capital improvement
reserve could be used for the initial efforts that might be needed for
consideration of the construction of a new City Hall. He also noted that the
PERS rates have fluctuated over the past ten years due to market returns,
contract changes and the City's funding levels. He stated that the
establishment of a reserve is being proposed to help smooth the effect of the rate
changes. Administrative Services Director Danner stated that the City's PERS
contribution for 2001 -02 fiscal year was $5 million. It is $6.6 million for the
current fiscal year and is expected to be $9.3 million for the 2003 -04 fiscal year.
Council Member Nichols asked what has caused the change. Administrative
Services Director Danner stated that the primary cause has been due to the
investment loss that PERS has experienced over the past three years.
City Manager Bludau stated that one of the new developments and pending
issues with the 2003 -04 fiscal year budget is the clean water legislation that will
require new expenditures, with no new revenue expected. He stated that cost
increases have been included in the budget for the negotiated salary and benefit
increases, but there is an uncertainty about key revenues and the State's action.
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City Manager Bludau stated that the management team met on May 9, 2003,
and discussed their top ten priorities for the 2003 -04 fiscal year. He stated that
the process ensures that staff has the same priorities as the City Council, and
assigns responsibility for each priority to the appropriate staff members. City
Manager Bludau stated that the first priority discussed involved the local
coastal plan. He stated that the goal for the 2003 -04 fiscal year is to have the
land use plan certified and the implementation plan submitted to the Coastal
Commission for initial review. The second priority is to implement a program
which continues the quality of the City's code enforcement while developing a
water quality enforcement effort. He stated that the intent is to create a model
program.
Council Member Nichols stated that the public will need to be made aware of
the new code. City Manager Bludau stated that an educational component will
be a part of the program.
City Manager Bludau stated that the third priority involves the general plan
update and the goal is to complete the baseline data and analysis by December,
2003, and complete the evaluation of the land use plan by the end of the fiscal
year. The fourth priority is to temporarily reconfigure the park playfield and
complete the design development for the Mariner's library and park. The fifth
priority is to complete the design of the new Santa Ana Heights fire station. The
sixth priority is to complete the West Santa Ana Heights, country club and Mesa
Drive annexation by July 1, 2004.
Mayor Bromberg stated that the policy direction from the City Council was to
report back to the City Council with additional information on the annexation of
West Santa Ana Heights, but not to complete the annexation. City Manager
Bludau stated that the first objective is to review the possibility of the
annexation and report back to the City Council. He noted, however, that if staff
is directed to pursue it further, it will be a major effort.
City Manager Bludau stated that the seventh priority does not contain any goals
or assignment of staff, since it will be up to the City Council to provide further
direction on the replacement of City Hall and a solution for long -term space
needs. The eighth priority involves the Cable TV franchise agreements, with
the goal to negotiate new agreements with Cox and Adelphia by March 1, 2004.
The ninth priority is to develop a standardized employee evaluation process,
assessing the need for a standardized form, which incorporates the
organizational values and holds employees accountable, and to train the
organization on the new process. The tenth priority is to continue an emphasis
on disaster preparedness training.
In conclusion, City Manager Bludau stated that the City is facing tougher
financial times, but has incorporated the potential losses from the State's
actions into the budget. He stated that the good news is that the City is in a
better financial position than it was during the last economic downturn, is in
better shape than most cities and essential services have not been threatened.
He emphasized that there is not much trust in what the State will decide to do.
Referring to the committee handling the Cable TV franchise agreements,
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Council Member Heffernan stated that the City should also make an effort to
improve the cell phone service in the City.
City Manager Bludau stated that the overview just presented was an attempt to
show that the City's budget is balanced, and where the changes and challenges
are. He stated that the challenges have been met, the City has been prudent
and improvements in service efforts have even been made.
Public Works Director Badum noted the list of projects that were completed in
the 2002 -03 fiscal year, as provided to the City Council earlier. Using a
PowerPoint presentation, he stated that the 2003 -04 fiscal year Capital
Improvement Program (CIP) will consist of over 100 projects for a total cost of
approximately $30 million. He stated that input was received from the City
departments, citizen groups and council members, and that multiple funding
sources are used to try to leverage available funds in the best way possible.
Public Works Director Badum stated that the CIP is a reflection of the
community's values, and that this year's CIP will maintain quality through
difficult times. He displayed a pie chart showing where the money is being
spent, by fund. The general fund will supply approximately $1.5 million of the
money, and is usually closer to $4 to $5 million. Public Works Director Badum
noted that over 50 projects were requested, for a total cost of over $8 million. He
stated that the selection and budgeting of the projects was done very
conservatively.
Public Works Director Badum stated that the oil spill remediation fund was
created from the settlement proceeds received from the American Trader oil
spill. He noted that over $4 million has been spent and approximately
$1.3 million remains. The tide and submerged land fund accounts for
approximately $1.3 million of the CIP, and most of the money is spent on the
coastal zone area. Public Works Director Badum stated that the building excise
tax fund has been larger in previous years, and is money received from building
and remodeling projects in the City. He stated that the expenditures are
usually reserved for fire safety, libraries, parks, beaches and recreational
facilities. He noted that the 2003 -04 fiscal year includes $150,000 in projects.
The water enterprise fund will increase in the 2003 -04 fiscal year due to the
covering of the Big Canyon Reservoir. Projects will total $7.1 million, with
approximately $5 million of that being spent on the reservoir covering project
and disinfection modification. The wastewater enterprise fund is used for sewer
main and pump station improvements, and will total approximately $1.6 million
in the 2003 -04 fiscal year. Public Works Director Badum stated that cooperative
projects will total approximately $7.1 million and include the Mariners Branch
Library.
Public Works Director Badum displayed several lists, showing the individual
projects that are being proposed for the 2003 -04 fiscal year, by fund.
Council Member Webb asked if the Mariners Park recreation facility
improvements project would include the replacement of the tennis courts.
Public Works Director Badum answered in the affirmative and stated that it is a
supplement to the library project and would utilize Proposition 40 funds, so is
considered a cooperative project. He stated that the project would relocate the
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tennis courts, rebuild the ball lields and add a new restroom.
Council Member Webb asked for an explanation of the Global Positioning
System (GPS) equipment that is included on several of the lists. Public Works
Director Badum stated that the GPS equipment will allow the public works
department to defer the hiring of an additional employee in the survey division
and will also enhance the department's Geographic Information System (GIS)
and public information program.
Council Member Nichols asked for an explanation of the Coast Highway
channelization project in Corona del Mar. Public Works Director Badum stated
that several locations in Corona del Mar have striped medians. He stated that it
has been decided that these areas can be made safer by constructing raised
medians. Council Member Nichols stated that many people use these median
areas to make turns. Public Works Director Badum that this will be taken into
consideration during the design phase and when selecting which areas should
have raised medians.
Per Council Member Nichols's question, Public Works Director Badum stated
that all of the projects listed are discussed in more detail in the preliminary CIP
budget package.
Council Member Webb confirmed with Public Works Director Badum that the
southbound MacArthur Boulevard at Coast Highway project will create two left
turn lanes further back from the intersection. Public Works Director Badum
added that it will be a cost efficient way to improve the intersection since it is
mostly striping redesign.
Council Member Webb asked when the West Newport Assessment District
No. 69 project is expected to begin. Public Works Director Badum stated that
the City is working with Southern California Edison on the possibilities of doing
some roadway improvements in conjunction with their work. He stated that
construction is expected to begin in late Fall.
Public Works Director Badum concluded his comments by stating that the
projects are diverse and significant, are City -wide and are conservative. He
stated that many projects are being deferred to the future and emphasized that
City facilities are really taking their toll in regard to deferred maintenance.
Council Member Heffernan asked what specific projects are being deferred and
how they would be affected by the possible replacement of City Hall. Public
Works Director Badum stated that there is quite a bit of work to be done, but
the replacement of City Hall is one of the projects that the public would get the
most benefit from. Council Member Heffernan suggested that a list of those
projects being deferred be provided to the City Council, with a priority ranking
on what would be done if the money were available. He stated that this would
help to put things into perspective.
Council Member Webb stated that the neighborhood traffic management
improvements project includes a carryover of $100,000. He asked if this was for
the Newport Heights study. Public Works Director Badum responded in the
affirmative and stated that it is shown as a rebudget so that the money would
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not be lost. Council Member Webb stated that the project needs to get
underway.
Council Member Webb requested that an estimate be provided for fixing a gap
on the sidewalk along Dover Drive between Cliff Drive and Castaways Park. He
suggested that the design and environmental work be done in the 2003 -04 fiscal
year. Additionally, he requested that an estimate for the installation of toilet
seats in the restrooms at Castaways Park be provided.
Council Member Webb confirmed that the fire station #7 project was for the new
fire station and asked how only $10,000 could be budgeted. Public Works
Director Badum stated that it is for predesign, but the majority of the money is
expected to come from the redevelopment agency. Council Member Webb asked
if $10,000 was enough to do the steps necessary prior to implementation. City
Manager Bludau noted that the County has pledged $1.6 million towards the
project.
Council Member Nichols requested that money be budgeted to improve the
situation at Morning Canyon. He stated that responsibilities need to be
established and something needs to be done. Public Works Director Badum
stated that the City is working on some grant funding for both Morning Canyon
and Buck Gully, and has been working with some of the property owners in the
area, as well as several agencies.
Bernie Svalstad complimented the City for putting together an excellent
preliminary budget and budgeting approximately $300,000 for traffic
management. He requested that the traffic management system be included in
staffs priorities and the CIP. City Manager Bludau stated that it is a part of
the current fiscal year's top twelve priorities, and is expected to be brought to
conclusion during the 2003 -04 fiscal year.
PUBLIC COMMENTS
• Dolores Otting stated that the fiscal impact analysis and model was
introduced at the General Plan Update Committee (GPUC) meeting on
May 12, 2003. She specifically noted Tables 17 and 18, which included
the revenue received by the City from Newport Coast in the year 2000
and what is expected to be received at full build out. After looking into
the matter further, she expressed her concern that the numbers may not
be accurate and that possibly it meant that other numbers in the
analysis were also not accurate. She additionally asked where in the
budget the Newport Coast expenses are covered.
Mayor Pro Tem Ridgeway requested that information be provided to him
on whether the fiscal impact analysis includes real property taxes.
At the request of Mayor Bromberg, City Manager Bludau explained that the
supplemental budget list will be provided to the City Council in June. He stated
that the City Council will need to determine which items should be funded and
at what amount.
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ADJOURNMENT - at 5:55 p.m. to Closed Session.
The agenda for the Study Session was posted on May 7, 2003, at 2:15 p.m. on
the City Hall Bulletin Board located outside of the City of Newport Beach
Administration Building.
City Clerk
Recording Secretary
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