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January 30, 2021
Planning Session
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City Council Planning Session
January 30, 2021
Financial Overview
Fiscal Year 2020-21 General Fund Revenue Update
Revenue Category
2019 Actual
2020%
Change
2020 Actual over PY
2021 Original
Budget
2021%
Change
2021 Projected over PY
Property Tax
108,365,261
113,313,535 4.6%
117,508,227
117,508,227 3.7%
Sales Tax
38,502,470
36,232,969 -5.9%
28,690,831
34,540,800 -4.7%
Transient Occupancy Tax
24,697,446
20,847,883 -15.6%
6,434,115
15,077,669 -27.7%
Other Revenue (budgeted)
55,838,208
56,348,080 0.9%
46,950,731
47,108,184 -16.4%
Other Revenue (unbudgeted)
2,409,210
3,210,549 33.3%
N/A
3,101,227 -3.4%
Total General Fund
229,812,594
1 229,953,017 0.06%
199,583,904
217,336,107 -5.5%
• Net result is $17.8 million projected favorable revenue variance
• Projections continuing to evolve as new information is available
on the pandemic response and reopening
Top Three Revenues - Fiscal Year 2020-21
Property Tax — no change from adopted budget
• 4.7% assessed valuation growth and 3.7% revenue growth
• Minimally impacted by the pandemic
Sales Tax — updated with latest consultant conservative estimate
• Revenue down from prior year, but not as much as initially projected
• Staff is currently refining the projection for the remainder of the fiscal year with
the assistance of the City's sales tax consultant
Transient Occupancy Tax — updated with year-to-date actuals and revised
projections
• Forecast has evolved as more information has become available on occupancy
trends
• Current projection assumes recovery to 60% of pre -pandemic revenue by June
• Renaissance Hotel expected to reopen on February 1st
Fiscal Year 2020-21 Expenditures Update
• The Finance Committee will review the second quarter report
on February 18th, followed by City Council review on February
23rd
• 44.7% of the General Fund budget had been expended
through the end of the second quarter, indicating that
expenditure savings are likely materializing
• CARES Act Funds allocated to public safety costs totaling $1.0
million have been received and FEMA claims totaling $565,000
are in progress
• Overall, departments are on track to stay within their budgets
and generate General Fund savings for the year
• Savings
may not
be as sizable
as in past years due to an
already
reduced
expenditure
budget
2020-21 Unrestricted Resources ("Surplus")
• Projected budget surplus dependent on many variables
• Changing revenue landscape
• Expenditure savings
• Tier 3 and tier 4 budget reductions have largely not been
restored
• May be considered later in the year if positive revenue
trends are realized
• Staff recommend deferring further decisions until the end
of the fiscal year to provide budget flexibility
• Restoration of cuts should be evaluated in parallel to allocating
funds to long-term obligations and/or infrastructure &
neighborhood capital improvements
Tiered Short -Term Budget Reduction Strategy
Professional and Contract Svcs. $ 1,621,760 $ - $ - $ - $ - - $ 1,621,760
Other Non -Personnel Budgets 1,136,807 - - - - - 1,136,807
Personnel Services - 2,000,000 - - - - 2,000,000
Transfers Out - - 18,477,137 500,000 - - 18,977,137
Capital Budgets - - 2,500,000 - - - 2,500,000
Insurance - - - 2,000,000 - - 2,000,000
Equipment Replacement - - - 2,500,000 - - 2,500,000
Contingency Reserve Draw - - - - 2,304,399 - 2,304,399
Cuts Restored in First Quarter - - - (500,000) (2,304,399) - (2,804,399)
• Public Works will provide an update on deferred capital
projects later in this presentation
• ISF charge reductions can be evaluated at year-end
Fiscal Year 2021-22 Preliminary Revenue Outlook
Revenue Category
2019 Actual
2020 Actual
2021 Original
Budget
2021
Projected
2022%
Change
2022 over PY
Projected Projected
Property Tax
108,365,261
113,313,535
117,508,227
117,508,227
121,610,251 3.5%
Sales Tax
38,502,470
36,232,969
28,690,831
34,540,800
36,553,400 5.8%
Transient Occupancy Tax
24,697,446
20,847,883
6,434,115
15,077,669
19,027,493 26.2%
Other Revenue (budgeted)
55,838,208
56,348,080
46,950,731
47,108,184
51,602,552 9.5%
Other Revenue (unbudgeted)
2,409,210
3,210,549
N/A
3,101,227
N/A N/A
Total General Fund
229,812,595
229,953,017
199,583,904
217,336,107
228,793,696 5.3%
• $11.5 million of projected revenue growth
• Projections continuing to evolve as new information is available
on the pandemic response and reopening
Top Three Revenues - Fiscal Year 2021-22
Property Tax — estimating 3.5% increase in revenue
Inflation factor for 2021 assessment roll only 1.036% (values assessed as of January
1, 2021)
• First time below 2% since fiscal year 2016-17
• Home sales strong, but AV growth has been trending down for the last few years
Sales Tax — used consultant's conservative estimate
• Continued recovery/growth expected
• May be revised upward as the current year progresses
Transient Occupancy Tax — expected continued gradual improvement
• Conservative forecast, with revenue growing from 60% to 80% of the pre -pandemic
level by the end of the fiscal year
• Full recovery would likely follow in fiscal year 2022-23
Operating Budget Development
Budget Process Timeline
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JANUARY
NOVEMBER
FEBRUARY
COUNCIL PLANNING SESSION
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FINALIZECITY
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LIABILITIES & LONG-
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JUNE
CITY COUNCIL REVIEW
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Public Review of the Budget
..
Department
Sat, Jan 30, 2021
Special Council Fleeting
Council Planning Session
Thurs, Feb 18, 2021
Finance Committee
Long-range Financial Forecast (LRFF) Update
Feb 8 — 19, 2021
City Manager/ Departments
City Manager?Department budget meetings to discuss
department budgets & Program Enhancement Requests
Tues, March 9, 2021
City Council Study Session
Early Look CIP Budget
Thurs, March 11. 2021
Finance Committee
Discuss revenue budget assumptions
Thurs, April 15, 2021
Finance Committee
Review FY 21 budget & FY 22 assumptions
Fri, April 23, 2021
City Manager/Finance
Finalize budget; prepare, print proposed budget documents
Tues, May 11, 2021
City Council Study Session
FY 22 1s, Budget Review
Tues, May 25, 2021
Joint City CouncillFinance
Fly 22 2^d Budget Review
Committee Study Session
Tues, June 8, 2021
City Council Meeting
Public hearing and adoption of Fly 22 budget and GANN
limit
Operating Budget Pressures
• Continuation of Pension Investment Loss Mitigation
• Service Needs
• Funding for Homeless Strategies
• Refuse /Recycling Contract Increase
• Increased Enforcement
• Code Enforcement Staffing
• Boardwalk Ambassador Program
• Harbor Department Staffing
13
Recent Unfunded Actuarial Liability Payment History
Minimum UAL Contribution
Base Annual Discretionary Payment
CaIPERS Investment Loss Mitigation
Total UAL Payment
2017-18
2018-19
2019-20
2020-21
2021-22
Actual
Actual
Actual
Projected
Projected
$24,959,949
$25,569,840
$26,196,003
$29,078,448
$30,029,330
8,914,622
8,930,160
8,803,997
5,921,552
4,970,670
-
-
-
5,000,000
TBD
33, 874, 571
34, 500, 000
35, 000, 000
40, 000, 000
35, 000, 000
• The City has directed additional resources toward annual
discretionary UAL payments in recent years
• Council ultimately included an additional $5 million contribution
in the fiscal year 2020-21 budget, bringing the total to $40
million
Pension Funding Options
• Finance Committee and City Council reviewed several scenarios last
year for addressing anticipated future CalPERS investment return
challenges
• Staff recommended an additional $5 million for five years,
followed by a reduced $2 million per year until UAL eliminated
• City Council direction: evaluate the additional contribution
annually
• Options available
• Move forward with an additional $5 million contribution from
surplus
• Include $5 million in a reserve account from surplus like this year
• Return to the prior $35 million per year contribution strategy
$400
$300
$200
$100
Impact of Continued $35 Million Payments on
Funded Status and UAL
0 84% 86%
0 75% 77% 79% 80% 82/0
73/
$329
9
89% 91%3% 95%
•,
$299 $283
$267 $249
$231 $211 .
$189 $166
E $142 $115
$85
97% 99% 100%
$52
$16
$35 $35 $38 $38 $ 0
2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 2035 2036
UAL Balance (Mil) Payment (Mil) Funded Status
Source: Cal PIERS Pension Outlook Overview tool
Assumed 7% investment return
Service Needs
Funding for Homeless Strategies
Partnership with Costa Mesa on Permanent Homeless Shelter
• 20 beds allocated to Newport Beach, 5 Year Agreement
• Capital Contribution of $1.6M, funded from Affordable Housing
Reserve and Hoag Development Agreement
• Annual operating cost of $1 M to begin when Shelter opens,
anticipated early April
• Hoag contribution: $300,000 annually for 10 years for homeless shelter
costs
Permanent Supportive Housing Partnership with PSH Developers
• Proposed City Contribution - $3,000,000
• Potential Funding sources: Development Agreements -
Affordable Housing contributions, General Fund surplus
18
Refuse/ Recycling Contract Increase
Additional Annual Costs
Residential Refuse Collection - $2,900,000 increase with 2%
annual adjustment
Additional Revenue Opportunity
Citywide Recycling Fee Increase to fully recover current
recycling costs - potential new revenue of $1,361,000
Public Hearing on March 23, 2021
Net Cost to the General Fund if fee approved - $1,539,000
19
Code Enforcement Staffing
Code Enforcement Statistics
Year
Total Cases
2019
3,864
2020
3,866
Property
Residential
STL Cases
Work w/o Permits
Maintenance
Building Records
62
417
400
11138
195
581
478
11059
Code Enforcement Staffing
Employee
Number
Cost
Full -Time
3.00
included
Part -Time
.75
Included
Contract
.75
$104,000
Sun
Mon
Tues
Wed
Thurs
Fri
Sat
6:30a
7:30a
7:30a
7:30a
7:30a
7:30a
7:30a
4:30p
5:30p
5:30p
5:30p
5:30p
5:30p
5:30p
6:00p
6:00p
6:00p
6:00p
3:00a
3:00a
3:00a
3:00a
Red highlight indicates additional contract hours
Contract hours added in the current fiscal year as a pilot program
21
Boardwalk Ambassador Program
Boardwalk Ambassador Pilot Program:
• Community Service Corporation (CSC)- private
contractor with boardwalk safety experience
• Focus in Newport Beach: improve quality of
life for residents/visitors to the peninsula by
ensuring compliance with City municipal
codes and boardwalk safety rules
• Provide friendly advice, guidance, and
directions to visitors in need of assistance
• CSC will provide staff that are highly visible,
approachable, and professionally
uniformed.
• Goal of the pilot program is to provide
additional presence and visibility on the
boardwalk to augment our PET, HLO, and Area
1 Patrol deployments
Newport irk" aa�
Beach
Ambassador r m
i
22
Boardwalk Ambassador Program
• Boardwalk Ambassador Pilot Program - $75,000
• Two 2 -person teams, including a supervisor, that will patrol the
boardwalk on foot
• The area of responsibility is E Street to 36th Street, including the
Balboa and Newport Piers
• For now, the teams will deploy Friday/Saturday/Sunday during
daylight hours (1 OAM-6PM)
• Status:
• Agreement with CSC finalized, customized Newport Beach
uniforms are being procured by them at their cost
• First deployment is anticipated by the first week of February 2021
Annual Costs:
Teams scheduled on Fridays, Saturdays and Sundays $110,000
Teams scheduled on Saturday and Sunday $ 88,400 m
Harbor Department Staffing
• Department established July 1, 2017
• Model based on part-time staffing -
operates 7 days a week
• Authorized Staff- 2 Full-time employees,
16 part-time employees
• Turnover in last 3.5 years - 19 employees
• Select Statistics
Activity
FY 2019-20
Public Dock Enforcement
3,857
Sea Lions
460
Mooring Check
2,898
Anchorage Check
1,514
Registration/Insurance
990
Code Enforcement Actions
111757
Harbor Department Staffing
FY2021-22 Requests
Additional Support for mooring management- 1 permit technician to
support: vessel documentation, insurance, equipment service
records, code enforcement documents, mooring transfers,
reservations, expansion of Marine Activities Permit program, issuance
of new permits to mooring permittees ($94,000)
Additional Support for Code Enforcement- 1 code enforcement
officer to support: Marine Activities Permits, dock time limits, on -water
enforcement, noise, trash, derelict vessels, etc. ($94,000)
25
FY 2021-22 Budget Development
Service Needs Summary
Service Needs
Total Cost
Unfunded
Homeless Shelter Beds
$ 1,000,000
$ 700,000
Refuse/Recycling Contract
21900,000
2,9001000
Recycling Fee Revenue *
(1,361,000)
Contract Code Enforcement
104,000
104,000
Boardwalk Ambassadors Program
1101000
1101000
Permit Technician - Harbor
94,000
94,000
Code Enforcement Officer - Harbor
94,000
94,000
Total
$ 4,302,000
$ 2,641,000
* If fee increase is approved