HomeMy WebLinkAbout01 - Proposed Fiscal Year 2020-21 Operating Budget - PowerPointMay 26, 202 Ow r
Special Meeting rv�*A
Item No. 1 '
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Joint Finance Committee/City Council Meeting
Fiscal Year 2020-21 Proposed Budget
May 26, 2020 2
Overview
• The FY 2020-21 Proposed Budget is balanced.
• The initial 2020-21 Budgetary Gap was $33.2 million.
• Budget balancing strategies rely on a number of short-
term tiered budgetary solutions.
• Budget maintains current service levels.
• Budget continues its commitment to maintaining critical CIP
infrastructure and aggressive payment schedule of
unfunded pension liability.
• Budget is a placeholder and will be reviewed after first
quarter results.
COVIDm19 Disclaimers
• COVID-1 9 dealt a sudden and significant blow to local,
national and global economies.
• Early stages of administering financial first aid.
• The Proposed Budget is an initial bridge to financial
recovery, not along-term solution if fiscal conditions
persist past June 2021!
Administering Fiscal First Aid
12 Steps
through the
process
rd
Now 3 Stages of Financial Recovery
1 %
' BRIDGING REFORM ' m TRANSFORM
o
i Recovery
Plan
Detailed
4 diagnosis Diagnosis
Time
Bankruptcy]
Receivership
Recovery
Long -Term Fimandal Planning
Planning Starts
Community July 1, 2020
�011
S {0 • �oS�
4*
I-- DECLINE DISTRESS --I I– STABILIZATION –11 RECOVERY F— FINANCIAL HEALTH ---I
Your Financial Condition U
25,000
20,000
15,000
10,000
5,000
ell
Short-term
Budgetary Solutions
Proposed Short-term solutions made to
Operations, Capital Funding and Capital
Expenditures by way of reversable levers as
an initial bridge to financial recovery.
General Fund Sources and Uses
2018-19 2019-20 2020-21
ACTUAL REVISED STARTING
BUDGET PROJECTION
SOURCES:
FY 16-17 Surplus
FY 2017-18 Surplus
FY 2015-19 Surplus
FY 2019-20 Surplus
Use of FY 2019-20 Contingency Reserve
Operating Revenues
Less: Restricted Revenues
Use of Restricted Revenues and Encumbrances
Transfers -In
TOTAL SOURCES
USES:
Operating Expenditures
Operatic)nal Savings
Transfers Out
Set aside -PERS Reserve
Increase in Contingency Reserve
TOTAL USES
UNRESTRICTED RESOURCES
CONTINGENCY RESERVE
12,090,743
-
-
1,428,885
11,591,448
-
-
11,528,065
-
-
-
12,105,574
199}583}904
F229,812,594
219,003,184
(345,135)
(1,534,114)
(730,967)
-
2,549,640
20,000
15,849,196
13,359,413
9,028,759
$
258,8361288
256,527,586
220,010,570
208,164,257
219,837,899
230,126,525
-
(4,722,705)
-
34,824,531
29,303,571
23,088,804
4,319,430
-
-
$
24713081215
244,418,762
25312151329
$
11,525,065
12,108,874
$
(33,204,759)
54,969,903
$
$
52,618,059
$
52,618,059
E
Tiered Short-term Budget Reduction Strategy - All Funds
Operating Cuts
Deferred
TOTAL GAP
Financial First Aid - initial Bridging
No Service
Temp Hiring
Capital Funding
ISF Charge
Contingency
Service Level
FUNDING
Options
Level Change
Freeze
& Spend
Reductions
Reserve
Cuts
SOLUTIONS
Tier 1
Tier 2
Tier 3
Tier 4
Tier 5
Tier 6
Salaries And Benefits
Salaries, Benefits and Other Pays
(2,000,000)
(2,000,000)
Discretionary Pension Payments
(2,316,684)
(2,316,684)
Total Salaries And Benefits
(2,000,000)
(2,316,684)
(4,316,654)
Maintenance And Operations
-
Professional & Contract Services
(1,774,131)
(1,774,131)
Internal Service Premiums
(17,511)
(4,500,000)
(4,517,511)
Workers' Compensation
(1,000,000)
(1,000,000)
General Liability
-
Uninsured Claims
(1,000,000)
(1,000,000)
OPEB
-
Equipment Replacement/Mainte
(17,511)
(500,000)
(517,511)
Information Technology
(2,000,000)
(2,000,000)
Maintenance & Repair
(179,009)
(179,009)
Supplies & Materials
(289,671)
(289,671)
Utilities
(361,201)
(361,201)
General Expenses
(98,300)
(98,300)
Travel & Training
(151,115)
(151,115)
Grant Operating Expenses
(40,000)
(40,000)
Total Maintenance And Operations
(2,910,938)
(4,500,000)
(7,410,938)
Total Transfers Out
(18,477,137)
(500,000)
(18,977,137)
Capital
(2,500,000)
(2,500,000)
General Fund Discretionary Reserves
-
Total by Tier
(2,910,938)
(2,000,000)
I (20,977,137)
(5,000,000)
(2,316,684)1
(33,204,759)
Cumulative by Tier
(2,910,938]
(4,910,938)
(25,555,075)
(30,888,075)
(33,204,759]
General Fund Sources and Uses
SOURCES:
FY 16-17 Surplus
FY 2017-18 Surplus
FY 2018-19 Surplus
FY 2019-20 Surplus
Use of FY 2019-20 Contingency Reserve
Operating Revenues
Less: Restricted Revenues
Use of Restricted Revenues and Encumbrances
Transfers -In
TOTAL SOURCES
USES:
Operating Expenditures
Operational Savings
Transfers Out
Set aside -PERS Reserve
Increase in Contingency Reserve
TOTAL USES
UNRESTRICTED RESOURCES
CONTINGENCY RESERVE
181
A
B
B -A
B/A
2018-19
2019.20
2020.21
2020-21
ACTUAL
REVISED
STARTING
PROPOSED
BUDGET
PROJECTION
BUDGET
$ VAR
% VAR
$
12,090,743-
1,428,885
11,591,448
-
-
(11,591,448)
-100.0°x6
-
11,528,065
-
-
(11,528,065)
-100.096
-
-
12,108,874
12,1D8,874
12,108,874
-
-
-
-
2,316,684
2,316,684
-
229,812,594
219,003,184
199,583,904
199,583,904
(19,419,280)
-8.9%
(345,135)
(1,534,114)
(730,967)
(730,967)
803,147
-52.4%
-
2,549,640
20,000
20,000
(2,529,640)
-99.2%
15,849,196
13,389,413
9,028,759
4,171,130
31.2%
$
258,536,283
$
255,527,535
$
220,010,570
$
230,859,038
$
(25,668,595)
-10.0%
$
208,164,257
$
219,837,899
$
230,126,525
$
219,859,038
$
21,139
0.0%
-
(4,722,705)
-
-
-
-
34,824,531
29,303,571
23,088,804
6,000,000
(23,303,571)
-79.5%
-
-
-
5,000,000
5,000,000
-
4,319,430
-
-
-
-
-100.0%
$
247,308,218
$
244,418,762
$
253,215,329
$ 230,859,038
$
(18,282,432)
-5.5%
$
11,528,065
$
12,108,874
$
(33,204,759)
$
-
$
(7,386,166)
-100.0%
$
$
(2,316,654)
-4.4%
$
52,618,059
$
52,615,059
$
54,969,903
50,301,375
181
Revenues
2018-19
SOURCE by Category ACTUAL
Property Taxes
Sales Takes
Charges for Services
Use of Money & Property
Other Takes
Transient Occupancy Tax
Licenses and Permits
Fines & Penalties
Other Revenues
Intergovernmental
TOTAL GENERAL FUND
108�365e 61
38e50 A70
0e300'379
1)609e169
51988044
4,697e446
51071e609
3A54e660
3e901e 104
3e922,453
A B B -A
2020-21
2019-20 START NG 2020-21
REVISED PROJECTION PROPOSED VAR
112�723e6 6
34e411A05
18NOX
M676e836
81316J70
191O87e031
41567,521
3+0891260
4e511e39
e800e003
1 M567�018
38�760XO
2 1e276e330
11141e43
914411789
71599e738
5J38e647
31545e50
21604e422
11995e374
117�508�227
28e690e831
17e35OX3
9e8 1e619
7e701e878
6e434,115
4e39e333
3e681e031
e509e51
1e646e716
4e784e601
(5e70e574)
(1e46%099)
(855,217)
(614e9)
( 1e65e916)
(328e188)
591771
(100e078)
(11153e87)
B/A
% VAR
4.2%
—16.6%
—7.81
—8.0%
—7.4%
—66.3%
—7.%
19.2%
—44.41
—41.2%
229,812,595 19,003, 188 241,0710x711 199,583,904 (19,413,279) -a.9
•I
Property Tax
D
4.2% Increase over Fiscal Year
2019-20
Sales Tax
16.6% Decrease over already
reduced Fiscal Year 2019 -20.
Transient
Occupancy Tax
66.3% Decrease over
already reduced Fiscal Year
2019-20
10
Expenditures
2018-19 2019-20
EXPENDITURES BY CATEGORY ACTUAL REVISED
Salaries and Benefits
$ 142,315,971
145,397,927
Professional & Contract Services
2113181540
25,987,695
Internal Service Premium
23,154,076
26,008,196
Maintenance and Repair
914691175
9,394,130
Supplies & Materials
512.351678
5,360,234
Utilities
219711221
.3,.328,840
General Expenses
212091597
2,272,634
Travel & training
8261174
9671741
Grant Operating Expenses
663,825
1,120,502
Operational Savings
-
(4,722,708)
TOTAL
208,164,257
$215,115,191
2020-21
STARTING
PROJECTION
$ 156,491,072
25,458,712
26,104,060
8,929,894
5,990,636
.31.3221958
2,223,801
964,483
640,000
2020-21
PROPOSED $VAR. o VAR
$ 149,134,523
23,684,581
26,087,458
8,750,885
5,700,965
2,961,757
2,12 5,501
81.3,.368
600,000
3,736,596
(2,303,114)
79,262
(643,245)
340,731
(367,083)
(147,133)
(154,373)
(520,502)
280,126,525 219,859,038 4,748,847
2.6
-8.9
0.3
-6.8
6.4
-11.0%
-6.5
-16.0%
-46.5%
2.2%
COVID=1 9 Impacts to Other Funds
• Tidelands: Decline in price of oil will result in revenue shortfall of $354,000
within the Tidelands Operating Fund and an additional $757,588 in the
Tidelands Capital and Operating Fund for FY 2020-21 for other tidelands
related revenue.
• Gas Tax: Reduction in fuel consumption will result in revenue shortfall of
$72,000 for FY 2020-21.
• Measure M: Reduction in taxable sales will result in revenue shortfall of
$70,000 in Measure M2 Local Fair Share Program allocation for FY 2020-21.
• Water and Wastewater: An increased number of accounts may be delinquent
as a result of Governor Newsom's Executive Order N-42-20 temporarily
suspending water shut off. However, staff does not anticipate a material impact
to the Water and Wastewater Funds.
Program Enhancements
Harbor Department - $43,316 (Tidelands Fund)
• Transfer of Code Enforcement Supervisor from the Community Development Department
• Additional part-time Code Enforcement Officer Trainees, offset by reduction of Department
Assistant and Harbor Service Workers - total overall increase of .5 FTE
Public Works - $106,658 (Environmental Liability Fund)
• Added 1.5 part-time Code Enforcement Trainee positions to be funded by the Environmental
Liability Fund
Utilities Department — $336,300 (Multiple Funds)
• Replacement of two Monochloramine water analyzers, and three chlorine water analyzers for the
16th Street Pump Station and Big Canyon Reservoir (One-time)
• Additional appropriations for contract services for street sweeping contract
Staffing Levels
FILL TIME
FY 19 FY 20 FY 21
DEPARTMENT F/T F/T F/T DEPARTMENT
City Attorney
City Clerk
City Manager
Community Development
Finance
Fire
Harbor
Human Resources
Library
Police
Public Works
Recreation & Sr Svcs
Utilities
TOTAL
PART TIM E
7.00
7.00
7.00
City Attorney
5.00
5.00
5.00
City Clerk
21.50
21.50
21.50
City Manager
50.10
50.10
49.20
Community Development
32.00
32.00
32.00
Finance
143.90
143.90
143.80
Fire
1.00
1.00
2.00
Harbor
11.00
11.00
11.00
Human Resources
36.00
36.00
36.00
Library
231.00
232.00
232.00
Police
92.50
93.00
93.00
Public Works
42.00
42.00
42.00
Recreation & Sr Svcs
53.00
53.50
53.50
Utilities
726.00
728.00
728.00
TOTAL
FY 19 FY 20 FY 21
FTE FTE FTE
1.00
1.60
1.60
1.00
1.00
1.00
2,00
1.80
1.80
7,86
10.20
10.20
4.26
4.55
4.55
42.17
43.12
43.12
9.89
8.89
9.39
0.50
1.25
1.25
22.83
22.83
22.83
13.87
14.87
14.87
6.05
6.35
7.55
38.13
38.00
38.00
1.46
3.96
3.96
151.D2
158.42
16D.12
14
Capital Appropriations by Category
Category
Assessment Districts
Facilities
Miscellaneous
Parks, Harbor, Beaches
Streets & Drains
Transportation
Waste at r
Water
Water Quality & Environment
Grand Tota
Total CIP Budget
91699,197
10,064,500
8,555,011
24,353,538
16,573,200
8,460,788
1,800,000
E12,733,475
41741,344
86,9811048
Critical Capital Infrastructure Maintenance Carries on! 9
FY20 and FY21 Project Adjustments per Council Direction
Project Title
$10,0;
............................
$80,4=
...........................
$130,0(
............................
75,0{
...........................
$295,5:
............................
$9,564,
$1,350,000
........................................
$2,555,720
........................................
200,000
........................................
$64,866
........................................
$35,000
........................................
$51005,586
........................................
i
$700,
0
$0
.............................................
$3,200,000
FY20 and FY21 Project Adjustments per Council Direction
A1�.
Project Title
PROJECTS DEFERRED - REPROGRAM TO FY 2021-22
Balboa Boulevard Median Improvement
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$1,972,236
Balboa Ward Enhancements
$0
$0
$88,400
................................................................................................................................................................................................................................
Central Library Lecture Hall
................................................................................................................................................................................................................................
................................................
$0
................................................
.....................................................
.....................................................
......................................................
$0 ......................................................
$7,360,052
Cliff Drive Mobility Improvements
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
S250,00
Cliff Drive Park Clubhouse
$0
$0
$540,000
................................................................................................................................................................................................................................
Collins Islands Bridge Replacement
................................................................................................................................................................................................................................
................................................
$0
................................................
.....................................................
.....................................................
......................................................
$0 ......................................................
$150,000
Facilities Strategic Planning
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$50,00o
Junior Lifeguards Building
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$3,179,991
Landscape Enhancement Program
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$623,512
Marine Ave Rehabilitation
$0
$0
$231,129
................................................................................................................................................................................................................................
Newport Blvd Landscape Rehab
................................................................................................................................................................................................................................
................................................
$()
................................................
.....................................................
.....................................................
......................................................
$0 ......................................................
$711,270
Ocean Boardwalk / Parking Lot Improv
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$350,00o
Orange Coast River Park Vision Plan
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$20,000
Park Walls and Staircases Rehab
$0
$0
$500000
................................................................................................................................................................................................................................
Santa Ana Avon Slope Improvements
................................................................................................................................................................................................................................
................................................
$0
................................................
.....................................................
.....................................................
......................................................
$0 ......................................................
$335,070
West Newport Park Rehabilitation
................................................................................................................................................................................................................................
$C)
................................................
.....................................................
$o ......................................................
$225,500
West Newport Streetscape
................................................................................................................................................................................................................................
$0
................................................
.....................................................
$0 ......................................................
$486,560
WC Highway Median Landscaping
................................................................................................................................................................................................................................
$()
................................................
.....................................................
$0 ......................................................
slwom
Subtotal
$0
$0
$17,073,720
................................................................................................................................................................................................................................
Grand Total
................................................
$01
.....................................................
......................................................
$0
$20,273,720
Next Budget Milestones
• Thursday, June 4 —Finance Committee to develop written comment on City
Manager's Proposed FY 2020-21 Budget. Recommendations for changes to
Proposed budget will be presented via Proposed Budget Revision (PBR).
• Tuesday June 9 —City Council Budget Adoption and GANN limit public
hearing.
• November 2020 — Review budget after first quarter results