HomeMy WebLinkAboutSS3 - FY2013-2014 Proposed Budget Overview PresentationAgenda Item No. SS3
May 14, 2013
Finance Department
FY 2013 -201.4 Proposed Budget Overview
u
ELI FORN�
Council Study Session
May 14, 2013
1.
Fiscal Year 2013 -14 Budge
Budget is Balanced
2. Increases our i
nve
EXPENDITURES REVENUE
stments in
community serving facilities and
beautification projects
3. Puts more police officers on the
street while still reducing total
staffing levels,
Budget Requirement
• Charter Requirements:
— Requires Budget submittal to Council at
least 35 days prior to the beginning of
the fiscal year —July 1
— Requires public notice scheduled for May 28th
and public hearing scheduled for June 11th
—After the Public hearing, Council shall make
any budget revisions deemed advisable and
shall adopt budget on or before June 30
i
Budget Process
• The budget process:
— Collaboration by departments on financial
forecasts
— Priorities set by City Manager and Council based
on core values and fiscal sustainability plan
— Budget conferences by City Manager and
Department Heads
— Review of proposed by Finance Committee and
Council
— Public Hearing and adoption of Budget and
Appropriation Limit (Gann Limit)
Remaining Budget Calendar
• 5/14/13 City Council First budget review with staff at
the study session
• 5/28/13 City Council Second budget review with staff at
the study session. Set the date for
public hearing on budget and
appropriation limit
• 6/11/13 City Council Public hearing and adoption of FY
2013 -14 budget and appropriation
limit
Total Budget
D ,..,,.....,.
General Fund
Other Funds
Total City Revenue
Less Internal Charges
Total City Revenue Net of Internal Charges
Expenditure
General Fund
Other Funds
Total City Expenditures
Less Internal Charges
Total Expenditures Net of Internal Charges
Revenues Net of Expenditures
2012 -13
Original
$155,826,396
81,868,842
237,695,238
(18,709,213)
$218,986,025
$157,173,174
165,305,676
322,478,850
(18,709,213)
$303,769,637
2012 -13
Amended
Budget
$162,324,124
86,709,043
249,033,167
(17,936,758)
$231,096,409
$159,786,370
151,907,499
31 1,693,869
(17,936,758)
$293,757,111
($84,783,612) ($62,660,702)
2013 -14
Proposed
Budget
$165,872,691
105,851,916
271,724,607
(18,020,266)
$253,704,341
$162,340,392
116,577,484
278,917,876
(18,020,266)
$260,897,610
($7,193,269)
Pct Change
from
Amended
2.19%
22.08%
9.11%
0.47%
9.78%
1.60%
- 23.26%
- 10.52%
0.47%
- 11.19%
- 88.52%
6
General Fund Budget Surplus
Revenues
Transfers -I n (All Sources)
Adjustments for mandated Set - Asides
Net Revenues
Expenditures
CIPs
Transfers -Out FFP
Transfer -Out Equipment Replacement
Net Expenditures
Net General Fund Surplus - As Printed
Subsequent expenditure adjustment
Adjusted Surplus
$162,324,124 $165,872,691
13,794,948 8,822,921
(3,341,187) (3,603,825)
$172,777,885 $171,091,787
$153,890,586
6,480,784
9,719,646
$170,091,016
$2,686,869
$2,686,869
Checklist Recommendations
Transfers -Out (FFP) $
Transfers -Out Facilities Maintenance Plan (FMP)
P
Net General Fund Surplus /(Deficit)
$155,673,022
6,667,630
7,000,000
1,000,000
$170,340,392
$751,395
1,846,675
$2,598,070
$1,000,000
500,000
$1,500,000
$2,686,869 $1,098,070
FY 12 -13 include release of PY Assignments & recommended appropriations which will go to
Council for autorization on May 28.
9
FY 13 -14 Revenues — General Fund
Property Taxes $77,560,969 46.8%
Sales Tax (includes in -Lieu) $30,166,588
18.2%
Transient Occupancy Tax $16,363,510 9.9%
Other Taxes $7,725,840 4.6%
AIIOtherSources $34,055,784 20.5%
[U'
Total Revenue & Transfer General Fund: $173,943,947
19
General Fund —
Revenue Comparison
General Revenue Comparison
FY 2007 -05
FY 20112 -13
FY 2013 -14
o Change
CAS
Revenue Source
Pre - recession
Projected
Proposed
2013 to 2014
(2008 = 20141,
PropartyTaxees
$ 67,388,838
$ 76;950,273
$ 77,560,969
0J9'�
2.37
Soles Tax (incluueslr,- '_ie�l
29,872,7Li
23.181,060
30,16,5588
7.05
t3.i69rz
Transierf CccuparcyTox.
121,715 1.51 o
i 5,2 8,ow
1 c.3oJ,610
6. ?i -u
,As;,
Cther Toxes
3,288,355
7,733,792
7,725T840 1
-3.1 Di;
-1.1 7'70
AN Of h er Raver, ue
43,399,,' 69
34, 160,999
34,055,784
-0.31
2.81;6
$ 158,701,661
$ 162,324,124
$165,872,691
2.19:a
G_ 4%
Total Rever.:e
$ 5.-521,342
$ 7,; 13,559
$ 8.07 1,356
15.081A
6.535;
Irter',rnTrans';erslr
Total Revenues & Transfers
$164,223,003
$ 169,337,683
$173,943,747
2.729
{1,960?
,` C:cn,retinded �nn.�a Grc�,chat�
J
E
FY 13 -14 Expenditures by Function — General Fund
■ General Government 514,787,898 8.6%
■Public Safety $83,450,001 48.3%
PublicWorlts $29,757,815 17.2%
Community Development $9,403,399
5.4%
■ Community Services $18,043,909 10.5%
• Non - Departmental $230,000 0.1%
CIP & Capital Funding Transfers
$17,084,959 9.9 %,
Total Expenditures and Transfers — General Fund: $172,757,9SI
General Fund-
Expenditure Comparison
General .- . -
FY 2011 -12
FY 2012 -13
FY 2013 -14
%Change
CAGR*
Function
Budget
Projected
Proposed
2013 to 2014
(2012 - 2014)
General Government
$ 14,209,000
$ 15,142,304
$ 14,787,898
-2.34%
2.02%
Public Safety
78,948,894
79,716,577
83,450,001
4.68%
2.81%
Public Works
29,776,283
30,524,791
29,757,815
-2.51%
-0.03%
Community Development
9,604,714
10,135,845
9,403,399
-7.23%
- 1.05%
Community Services
18,676,136
17,001,069
18,043,909
6.13%
-1.71%
Non - Departmental
1,492,565
785,000
230,000
- 70.70%
- 60.74%
Operating Expenditures
$152,707,592
$153,305,586
$ 155,673,022
1.54%
0.9 -
3,827,13
6,480,784
6,667,370
2.88%
31.99°
CIP - New, Rebudgets & Amendments
Total Operating 8 CIP
$156,534,724
$159,786,370
$ 162,340,392
1.60%
1.84%
4,6,812
01
> 13,219,645 **
8,000,000
- 39.48%
41.13
FFP Interfund Transfers out
All other Interfund Transfers out
3,378,254
7,412,200 **
2,417,589
- 67.38%
- 15.40%
Total Operating /CIP /Transfers Out
$ 163,929,790
$ 180,418,215 **
$ 172,757,981
-4.257.1_
2.66%
*Compounded Annual Growth Rate
** Assumes FY 13 Budget Amendment to reallocate strategic savings is approved.
11
Priority Based Budgeting
1. Public Safety
• New Crime Suppression Unit
2. Smarter, Smaller Government
• Continue to address pension & OPEB costs
• Maintain Civic engagement
• Use technology to be smarter, faster & leaner
• More Contracting Out — where it makes sense
3. High Quality Physical Environment
• Increase investment in infrastructure
• Neighborhood beautification
• Community serving facilities
Priority: Public Safety
• New Crime Suppression Unit
• 3 Officers
• 1 Sergeant
iwl( c
• 800 Mhz Reinvestment
• Maintains inter - agency Communication
w q
1
Priority: Smarter, Smaller
Government
• IT Strategic Investments
• Upgrade our ERP z
pg t
• Upgrade our computer -aided dispatch
• Online permitting system
• Web /phone apps
Tour NBCC
Tour the PSe:voort Beach Civic Center!
'Nk -the,T cu live, work w visA
Newport ._
Priority: Smarter, Smaller
Government
• Smarter Faster Smaller Operations
• Parking lot automation
— CdM and Balboa lots
• Print outsourcing
• Printer Consolidation
— 130 Fewer printers
III
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Priority: Smaller Government
Pension & OPEB:
• Smaller workforce
— 16 Full -time & 14 Part -time FTE position reductions
• Increased employee pension contributions
• Lower tier benefits, new employees
• Accelerated payments on pension unfunded liability
• Accelerated payments on retiree insurance unfunded
liability t
Historical Full Time Positions
Historical Full Time Positions
860
840
832 833
820 814
805
800 801
C 781
780 775
p 763
CL
0 760 752
-u
740 736
720
700
680
2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014
Proposed
Fiscai Yea,
Increasing Pension Contributions
Made by Employees
$8
$7
$6
$5
$4
$3
$2
$1
Employee Pension Contributions
($ Millions)
- $7.0-
$6A
- - - - -$3.4—
FY 08 FY 09 FY 10 FY 11 FY 12 FY 13
FY 14
FY 15
FY 16
Est
Est
Est
Est
Estimates based on fiscal year 13 staffing levels.
E-
Priority: High Quality Physical
Environment
High Quality Physical Env
ironment
• Neighborhood beautification
• Community Serving Facilities
• General Plan Update
• Airport EIR
• Reforestation Efforts
Priority: High Quality Physical
UP Proiects
Gen Fund CIP
Marina Park
Sunset Ridge
Lifeguard HQ rehab
CdM Fire Stn. rebuild
Total
Environment
Proposed 2013 -14
$6.7M
$15.3M
$8.8M
$1.4M
0.25M
$32.45M
Total Estimated
$30.OM
$11.OM
$2.OM
4.5M
$47.5 M
3e�� ` is
M Z r
y § I I zy�-e --
- 1
COP Debt Service
2010 Civic Center COP Debt Service Estimates
FY 2013-14
2010 Civic Center COP Debt Service Payment
2010 Civic Center COP Series B BAB Subsidy*
Net Debt Service payment
Net Debt Service % of General Fund Revenues
Payments
10,590,017
(2,405,901)
89184,116
4.9%
0.1
0.09
0.08
0,07
0.06
0.05
0.04
0.0?
0.02
0.01
0 _
Debt Service
Debt Service as °l of GF Revenues
h N n-, -r Lr, U r 0:) c. G Lr+ kc r cr o, G " N -t uti �O r oe o "
rl rl h ti H t" r"I r-I rl N N N N N N N N N N n'i n^- n M M rI f+'l nl n', M '-P ^-t
G O O O G O G G G =1 G O G G d G G O G G G G G G G G ^.1 G G G G
N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N N
Debt Service - as of Re': enues
Budget Presentation
SUMMARY &CONCLUSION
r
V • I
l
General Fund Budget Surplus
SURPLUS:
Projected Operating Surplus
Release of FY 11 -12 Assignments
Surplus Available for Appropriation
RECOMMENDATIONS:
Transfer ABLE Prooceeds to IT Fund
Transfer for 800 MHZ Equipment Fund
Transfer to Facilities Financial Planning Reserve Fund
Transfer to Facilities Maintenance Fund (FMP)
Transfer to Retiree Insurance Fund
Assignment for AIRPORT EIR
Transfers to Othe Funds
UNASSIGNED FUND BALANCE:
Net Increase (Decrease) to General Fund Surplus
Beginning Unassinned Fund Balance
Ending Unassigned Fund Balance
Projected
FY 2012 -13
$
2,686,869
$
13,482,180
$
16,169,049
PROPOSED
2013 AMENDMENT
$ (2,551,815)
$ (1,000,000)
$ (8,543,503)
$ (1,000,000)
$ (1,500,000)
$ (250,000)
$ (125,421)
$ (14,970,739)
$ 1,198,310
$ 21,433,482
$ 22,631,792
Proposed
FY 2013 -14
Budp,et
$ 2,598,070
$ 2,598,070
PROPOSED
2014 CHECKLIST
$ (1,000,000)
$ (500,000)
$ 1,098,070
$ 22,631,792
$ 23,729,862
General Fund Reserves Comparative
General Fund
Non - spendable
Restricted
Committed:
Contingency Reserve
Other Miscellaneous
Assigned:
Future Appropriations
PERS
Other Miscellaneous
Unassigned
General Fund Balance
Actual
Projected
Amended
Proposed
Change
2012
2013
2013
2014
2012 -2014
$ 7,706,708
$ 10,032,413
$ 10,032,413
$ 10,032,413
$ 2,325,705
3,180,638
3,796,151
3,796,151
4,581,387
1,400,749
21,582,798 22,134,775 22,134,775 23,526,966 k1,944,168
7,060,434 4,056,273 4,056,273 3,551,882 (3,508,552
13,582,180
- 350,000
350,000
13,232,180
5,000,000
5,000,000 5,000,000
4,291,335
(70 ,665
246,118
- -
-
(246,118
21,433,482
37,702,531 22,631,792
23,383,187
Colo ,949,705
$ 79,792,358
$ 82,722,143 $68,001,404
$ 69,717,170
$(10, ,
FFP Reserve Fund $ 33,149,725
Total General & FFP Reserve Fund Balance $ 112,942,083
$ 27,970,953 $ 23,316,236 $ 17,577,505
$ 110,693,096 $ 91,317,640 $ 87,294,675 $ p
2 5
Conclusion
• Proposed budget is balanced; there is no use of
reserves for operating purposes and it:
— Increases our investment in community serving
facilities and beautification projects
—Adds police officers while reducing overall staffing
levels (16 full -time and 14 part -time FTEs)
— Pension & OPEB costs will continue to be
addressed aggressively and comprehensively
— Outsourcing and staff reductions will continue
Questions &Comments
� �tiW PpRr
City's budget documents can be accessed at:
www.newportbeachca.gov/budget