HomeMy WebLinkAbout18 - 2005-06 Proposed Budget HearingCITY OF NEWPORT BEACH
CITY COUNCIL STAFF REPORT
Agenda Item No. 18
June 14, 2005
TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
FROM: Administrative Services Department
Dennis C. Danner, Administrative Services Director (949) 644 -3123
ddanner @ city. newport- beach.ca. us
SUBJECT: FISCAL YEAR 2005 -06 PROPOSED BUDGET HEARING
RECOMMENDATION:
Hold the Public Hearing on the Proposed Budget for the 2005 -06 fiscal year and, after
taking public input, prepare a "checklist' of proposed changes to the Proposed Budget
that will be reviewed by the City Council at the meeting of June 28, 2005. Direct the
preparation of the Budget Resolution for adoption at the Council Meeting of June 28,
2005, including any "checklist' items that are recommended for approval.
DISCUSSION:
Pursuant to Section 1102 of the Newport Beach City Charter, and Council Policy F -3
titled Budget Adoption and Administration, the Proposed Budget for the 2005 -06
fiscal year was submitted to the City Council on April 29, 2005. Subsequent to that
submittal, the City Council held budget study sessions on May 10, May 24, and June
14, 2005, to review the departmental budget requests.
At the May 24, 2005, Council Meeting, the City Council scheduled the
the proposed budget for June 14, 2005. After public and City Council
will be prepared for review by the City Council at the Council Meeting
At the meeting of June 28, 2005, the City Council will formally adopt,
Proposed Budget for the 2005 -06 fiscal year.
Submitted by:
/tom K-- � 2 f �.
Dennis C. Danner
Administrative Services Director
Public Hearing for
input, a 'checklist'
of June 28, 2005.
by resolution, the
REVENUE
SUMMARY 2005 -06
PROPERTYTAXES
28,858,182
2005418
39,474,865
2000411
2001412 2002413
2003-04
2004-05
Revenue
Percent
Actual
Actual Actual
Actual
Estimated
Budget
Increase
Fund /Revenue Category Revenue
Revenue Revenue
Revenue
Revenue
Estimate
(Decrease)
GENERALFUND
PROPERTYTAXES
28,858,182
33,583,659
39,474,865
43,631,829
53,311,953
55,369,800
186%
TAXES OTHER THAN PROPERTY
34,050,123
31,876,781
32,985,528
35,790,936
33,248,321
34,702,898
2.57%
LICENSES AND PERMITS
2,243,306
1,956,365
2,305,778
3,483,020
2,639,340
2,577,540
A.84%
INTERGOVERNMENTAL
7,006,393
7,253,139
6,035,742
6,014,233
4,243,904
3,397,955
- 79.93%
CHARGES FOR CURRENT SERVICES
9,803,379
10,316,366
77 099,872
77,899,279
77,929,149
77,854,726
-0.63%
FINES, FORFEITURES & PENALTIES
3,427,891
3,252,387
3,380,531
3,551,515
3,752,800
3,822,800
1.87%
USE OF MONEY AND PROPERTY
7,389,450
7,232,430
7,328,014
6,397,727
7,505,083
7,897,392
5.23%
OTHER REVENUE
507,500
1,212.707
1,173,647
216,898
1,042,900
723,600
- 30.62%
TOTAL GENERAL FUND
93,286,224
9,6685,834
103,783,317
170.984837
117,673,450
779,680,111
1.77%
ASSET FORFEITURE FUND
INTERGOVERNMENTAL
72,536
46,258
47,795
59,652
215,230
100,000
- 53.54%
USE OF MONEY AND PROPERTY
39,265
28,143
13,556
1,638
5,000
5,000
0.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL FORFEITURE FUND
111.601
74,407
67,357
61,290
220,230
705,000
- 52.32%
SLESF - COPS FUND
INTERGOVERNMENTAL
164,028
144,141
144,049
119,771
120,000
120,000
0.00%
USE OF MONEY AND PROPERTY
1,019
545
295
240
0
7,382
0.00%
TOTAL SLESF - COPS FUND
165,047
144,686
144,344
779,477
720,000
127,382
1.15%
LLEBG FUND
INTERGOVERNMENTAL
59,465
75,524
37,847
39,448
24,500
0
- 100.00%
USE OF MONEY AND PROPERTY
3,772
4,375
933
2,975
0
0
0.00%
TOTAL LLEBG FUND
63,237
79,899
38,780
42,423
24,500
0
- 100.00%
CDBG FUND
INTERGOVERNMENTAL
498,000
697,352
3,235,483
0
426,000
426,000
0.00%
USE OF MONEY AND PROPERTY
0
0
28,085
5,598
0
0
0.00%
TOTAL CDBG FUND
498,000
69.7352 ,
3,,263,568
5,598
426,000
426,000
0.00%
STATE GAS TAX FUND
INTERGOVERNMENTAL
1,365,907
1,208,426
1,332,751
1,484,796
1,505.500
1,666,132
10.67%
USE OF MONEY AND PROPERTY
385,336
273,788
166,499
20,735
43.750
92,614
777.69%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL GAS TAX FUND
1,751,243
1,482,214
1,499,250
7,505,537
1,549,250
1,758,746
13.52 °h
TRAFFIC CONGESTION FUND
INTERGOVERNMENTAL
572,150
179,335
192,176
0
0
0
0.00%
USE OF MONEY AND PROPERTY
0
32.100
8,748
2.037
0
1,056
0.00%
TOTAL TRAFFIC CDNGESTN FUND
----5-72,T5-o
211,435
200,924
2,037
0
1.056
0.00%
TIDELANDS FUND
LICENSES, PERMITS AND FEES
1,124,359
1,184,962
1,039,967
7,230,464
7,247,176
1260.700
1.08%
INTERGOVERNMENTAL
0
98,614
18,333
18,333
0
0
000%
CHARGES FOR SERVICES
31,920
20,202
56,422
38,560
40,000
40,000
000%
FINES, FORFEITURES 8 PENALTIES
2,106
131,778
77,623
-514
700
700
0,00%
USE OF MONEY AND PROPERTY
6,641,364
4,797,762
5,374,701
5,696,396
5,670,377
5,744,801
1.31%
OTHER REVENUE
.2.999
286,496
65,728
.2,384
0
0
0.00%
TOTAL TIDELANDS FUND
7,796,750
6,519,874
6566,774
6.980,855
6950253
7,046,201
1.26%
CONTRIBUTIONS FUND
INTERGOVERNMENTAL
197,265
69,683
314,433
1,308,217
1,347,025
1,341,025
0.00%
USE OF MONEY AND PROPERTY
0
4,374
0
0
0
17,299
0.00%
OTHER REVENUE
25.ODO
71,470
54,625
50.000
0
0
0.00%
TOTAL CONTRIBUTIONS FUND
2221265
145,527
369,058
7,358,217
t 341 025
7,358,324
1.29%
CIRCULATION AND TRANS FUND
LICENSE, PERMITS AND FEES
483,398
56,454
855,301
681,046
200,000
200,000
0.00%
USE OF MONEY AND PROPERTY
418,864
310,243
249,237
27,585
125,000
777.717
- 10.63%
OTHER REVENUE
0
0
0
0
0
0.00%
TOTAL CIRCULATION FUND
902,262
366,697
7,704,538
708,631
325,000
377,717
.4.09%
BUILDING EXCISE TAX FUND
LICENSES, PERMITS AND FEES
329,206
152,778
197,133
210,086
150,000
150,000
0.00%
USE OF MONEY AND PROPERTY
54,448
30,743
12,405
7,692
7,000
9,356
3366%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL BET FUND
383,654
183,527
209,538
277.778
157,000
759,356
7.50!
d
REVENUE SUMMARY 2005 -06
2006 -M
969,115
2000411 2001 -02 2002 -03
2003414
2004416
Revenue
Percent
Actual Actual Actual
Actual
Estimated
Budget
Increase
Fund /Revenue Category Revenue Revenue Revenue
Revenue
Revenue
Estimate
(Decrease)
MEASURE "M "FUND
INTERGOVERNMENTAL
969,115
1,083,034
1,010,077
1,300,089
1,713,149
1,721,189
0.47%
USE OF MONEY AND PROPERTY
143,525
113,266
89,002
12,192
38,750
56,928
46.91%
OTHER REVENUE
0
0
0
0
0
0
0.00%
TOTAL MEASURE "M" FUND
1,112,640
1,196,300
1,099,079
1,312,281
1,751,899
1,778,117
1.50%
BIKES 8 TRAILWAYS FUND
INTERGOVERNMENTAL
0
52,272
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
4,069
3,264
3,878
309
0
0
0.00%
TOTAL BIKES E TRAILWAYS FUND
4,069
55,536
3,878
309
0
0
0.00%
AHRP FUND
INTERGOVERNMENTAL
6,273
237,414
366,441
690,543
0
1,102,070
0.00%
TOTAL AHRP FUND
6,273
237,414
366,441
690,543
0
1,102,070
0.00%
AIR QUALITY MGMT FUND
INTERGOVERNMENTAL
84,119
79,546
123,573
144,692
136,000
136,000
0.00%
USE OF MONEY AND PROPERTY
9,857
5,600
0
128
0
1,167
000%
OTHER REVENUE
0
0
0
0
0
0
000%
TOTAL AQMD FUND
93,976
85,146
123,573
144,820
136,000
137,167
0.86%
ENVIRONMENTAL LIABILITY FUND
OTHER REVENUE
373,655
418,431
414,803
332,813
370,000
370,000
0.00%
USE OF MONEY AND PROPERTY
99,064
93,710
79,954
10,135
40,000
49,590
23.98%
TOTAL ENVIRONMENTAL LIAB FD
472,719
512,141
494,757
342,948
410,000
419,590
2.34%
OIL SPILL REMEDIATION FUND
TOTAL OTHER REVENUE
5,188,774
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
276,132
235,328
76,455
7,007
0
23,342
0.00%
TOTAL OIL SPILL FUND
5,464,906
235,328
76,455
7,007
0
23,342
0.00%
NEWPORT ANNEXATION FUND
INTERGOVERNMENTAL
0
15,000,000
0
5,000,000
0
3,000,000
0.00%
USE OF MONEY AND PROPERTY
0
447,774
458,964
88,316
415,000
426,756
2.83%
TOTAL ANNEXATION FUND
0
15,447.774
458,964
51088,316
415,000
31426,756
725.72%
ASSESSMENT DISTRICT PROJECTS
OTHER REVENUE
3,428,762
741,196
2,127,087
260,457
14,792,480
0
- 100.00%
USE OF MONEY AND PROPERTY
0
0
0
5,501
0
0
0.00%
TOTAL ASSESSMENT DISTRICT FUND
3,428,762
741,196
21127,087
260,457
14,792,480
0
. 100.00%
CIOSA FUND
OTHER REVENUE
4,841,699
28,227
1,981
0
0
0
0.00%
USE OF MONEY AND PROPERTY
64,693
298,566
218.056
26,551
112,500
100,455
- 10.71%
TOTAL CIOSA FUND
4906,392
326,793
220,037
26,551
112,500
100,455
- 10.71%
BONITA CANYON DEV. FUND
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
460,519
223 319
194,454
65,517
0
0
0.00%
TOTAL BONITA CANYON DEV. FD.
460,519
23319
194,454
65,517
0
0
0.00%
MARINERS LIBRARY
INTERGOVERNMENTAL
0
0
0
144,685
500,000
2,373,376
374.68%
OTHER REVENUE
0
0
1,069,732
38.269
0
0
0.00%
USE OF MONEY AND PROPERTY
0
0
0
5,338
0
23,743
0.00%
TOTAL BONITA CANYON DEV. FD.
0
0
1,069,732
188,292
500,000
2,397,119
379.42%
FIRE STATION #7
INTERGOVERNMENTAL
0
0
0
0
2,500,000
1,600,000
- 36.00%
OTHER REVENUE
0
0
0
0
0
0
0.00%
USE OF MONEY AND PROPERTY
0
0
0
0
0
0
0.00%
TOTAL BONITA CANYON DEV. FD.
0
0
0
0
2,500,000
1,600,000
-36.00%
WATER ENTERPRISE FUND
LICENSES, PERMITS AND FEES
0
0
0
0
0
0
0.00%
INTERGOVERNMENTAL
10,953
- 10,799
0
1,608,507
1,454,808
0
- 100.00%
CHARGES FOR SERVICES
16,727,539
16,620,928
16,228,130
16,655,234
16,540,000
16,540,000
0.00%
USE OF MONEY AND PROPERTY
1,416,678
1,144,197
837,322
128,259
475,000
395,078
- 16.83%
OTHER REVENUE
84,510
55,593
261,152
- 70,877
16,000
16,000
0.00%
TOTAL WATER FUND
18,239,680
17,809,919
17,326,604
18,321,123
18,485,808
16,951,078
-836T
5
REVENUE
SUMMARY 2005 -06
USE OF MONEY AND PROPERTY
119,157
2006 -08
0
2000 -01
2001 -02 2002 -03
2003-04
2004 -05
Revenue
Percent
Actual
Actual Actual
Actual
Estimated
Budget
Increase
Fund /Revenue Category Revenue
Revenue Revenue
Revenue
Revenue
Estimate
(Decrease)
PARKING FACILITY FUND
USE OF MONEY AND PROPERTY
119,157
0
0
0
0
0
0.00%
TOTAL PARKING FUND
119,157
0
0
0
0
0
0.00%
WASTEWATER ENTERPRISE FUND
INTERGOVERNMENTAL
179
0
0
105
0
0
0.00%
CHARGES FOR SERVICES
2,917,734
2,923,583
2,729,781
2,858,223
2,892,000
2,892,000
0.00%
USE OF MONEY AND PROPERTY
214,287
199,883
138,873
16,986
75,000
77,460
3.28%
OTHER REVENUE
6,627
22,221
39,160
- 312,876
3,000
2,000
- 33.33%
TOTAL WASTEWATER FUND
3,138827
3,145,687
2,907,814
2,562,438
2,970,000
2,971,460
0.05%
INSURANCE RESERVE FUND
WORKERS' COMP PREMIUM
3,179,926
3,180,536
3,199,425
3,199,597
3,199,421
3,199,421
0.00%
GENERAL LIABILITY PREMIUM
1,779,779
1,862,778
1,827,779
1,828,697
1,828,697
1,828,697
0.00%
DISABILITY INSURANCE PREMIUM
225,207
0
0
0
0
0
0.00%
OTHER REVENUE
403,485
417,938
328,917
37,094
177,500
147,055
- 17.15%
TOTAL INSURANCE FUND
5,588,397
5,461,252
5356121
5,065,388
5,205,618
5,175,173
-0.58%
RETIREE MEDICAL FUND
CHARGES FOR SERVICES
1,119,000
1,304,439
1,532,299
1,629,794
1,689,907
1,689,907
0.00%
USE OF MONEY AND PROPERTY
1,582
77,712
72,743
10,160
37,500
50,834
35.56%
TOTAL RETIREE MEDICAL FUND
1,120,582
1,382,151
1,605,042
1,639,954
1,727,407
1,740,741
0.77%
COMPENSATED ABSENCE FUND
CHARGES FOR SERVICES
1,228,997
1,330,581
1,455,909
1,522,614
1,578,335
1,576,335
0.00%
USE OF MONEY AND PROPERTY
81,862
85,809
61,062
7,873
32,500
40,075
23.31%
TOTAL COMP. ABSENCE FUND
1,310,859
1 416,390
1,516,971
1,530,487
1,610,835
1,618,410
0.47%
EQUIPMENT MAINTENANCE FUND
INTERGOVERNMENTAL
0
0
0
75
0
0
0.00%
EQUIPMENT MAINTENANCE
1,784,022
1,447,467
1,523,806
1,704,155
1,828,178
1,872,937
2.45%
EQUIPMENT REPLACEMENT
2,219,600
2,306,707
2,696,264
2,743,083
2,896,038
2,984,986
3.07%
OTHER REVENUE
448,693
615,203
787,024
172,644
349,000
370,695
6.22%
TOTAL EQUIPMENT FUND
4,452,315
4,369,377
5,007,094
4,619,957
5073216
5,228J618
3.06%
ACKERMAN FUND
USE OF MONEY AND PROPERTY
17,721
14,553
11,013
4,878
19,400
26,698
37.62%
OTHER REVENUE
185,000
185,000
185,000
1,981,286
0
0
0.00%
TOTAL ACKERMAN TRUST FUND
202,721
199,553
196013
1,986,164
19,400
26,698
37.62%
BACK BAY DREDGING FUND
USE OF MONEY AND PROPERTY
0
15
132
17
23,750
48,254
103.17%
OTHER REVENUES
0
3,000
0
0
3,800,000
0
- 100.00%
TOTAL BACK BAY DREDGING
0
3,015
132
17
3,823,750
48,254
N/A
TOTAL ALL FUNDS
155,875,427
159,439,671
157,391,090
165,835,927
188,328,621
175,712,941
-6.70 " /e
Less: Internal Premiums
111,536,531)
(11 432.508)
(12,23S.482)
(12, 627 ,940)
03.020.576)
03,154,283)
N/A
TOTAL ALL CITY FUNDS, NET OF
INTERNAL PREMIUMS
144,338 Bs 96
148 007163
145,155,608
153,207,987
175,308,045
162,558,658
-Z27%
Enterprise Fund Revenue
11%
Licenses, Fees, & Permits
2%
Intergovernmental Revenue
10%
Charges for Services
7%
Fines, Forfeitures &
2%
Internet Service Fund
Revenue
8%
-
(' /
Use of Money & Propert)
8%
Other Revenuc
1%
2005 -06 Revenues by Source
Property Taxes
32%
& Other Taxes
19%
GENERAL FUND BUDGET
EXPENDITURES BY FUND
1999 -00
2000 -01 2001 -02 2002 -03
2003-04
2006-05
2005 -06
Actual
aWires
Actual Actual Actual
Actual
Estimated
Proposed %of
Function antl Activities Expand
Expentlttures Expenditures Expenditures
Expenditures
Expenditures
Expenditures Total
GENERAL FUND BUDGET
General Government
$464476
$424,880
$510,102
$309,680
$318.09
$402,106
$320,595
0.21%
City Council
$2,658,742
$2,960,014
$2,805,143
$1327,729
$973,213
$1,297.04
$1,529,060
1.01%
City Clerk
$251,399
$291,046
$263,000
$355,940
$294,781
$385,229
$357,294
0.24%
City Manager
$596,040
$707,175
$842,723
$994,278
$1,956,574
$1,217.818
$1.035,874
0,69%
Human Resources
$814,658
$958,994
$1,174,414
$1,146.60
$1,165,004
$1,323,698
$1,354,424
0.9G%
City Attorney
$886,127
$676,266
$688,672
$868,117
$1,071,588
$1,018,389
$983,022
0.65%
Administrative SeMces
$4,253,053
$4,570498
$4,710,577
$4998,506
$5.278946
$8024502
$6533887
4.33%
Total General Government
$9460019
$10164013
$1048/529
$9,09276
$10740106
$11266640
$11793561
782%
Public Safety
so
$0
so
$1743.30
$1,20,1100
$1,20,00
$1,20,00
0.80%
Police Department
$24,995,572
$27,247,244
$28,055,340
$30,385,765
$32,448.435
$35,031,676
$35,833,026
23.76%
Fire Department
$18,292,281
$17.514,345
$19,340,449
$22,014,685
$24.029,946
$26,058,930
$26,334498
17.46%
Total Public Safety
$41,287,853
544,761,689
$47,395,789
$52.400,450
$56.478381
$61,GW,Gw
$62167524
41.23%
Community, Development
$19,898,127
$22,526,813
$29,569,912
$14,816.855
$15,677816
$44,520,044
$28.589839
18.96%.
City Manager
$4,216,687
$4,023,815
$4,293,301
$4,601.295
$476,286
$539019
$603,843
Planning
$1,467,235
$1.444,496
$1,865,009
$2,447.129
$2,217,737
$2,939,477
$2,344,863
1.56%
Building
$2,260,388
$2,368,074
$2516,157
$2.815,996
$3,065,671
$3,041,339
$3,326,228
2.21%
Total Community Development
$3,727,623
$3,912,570
$4.381.166
$5,263,125
$5,759694
$6519834
$6271934
4.16%
Public Works
($9,920,6611
($11,536,531)
($11,758,631)
($11,889,9761
($12,345,448)
($13,020,576)
($13,020,5761
General Services
$12,431,393
$12,949,693
$14,381,259
$15,416,692
$16,741,145
$18,545,361
$19,478,696
12.92%
Public Works
$3,151,221
$3,219,225
$3,630,882
$3,503,545
$3,754,009
$4,172,738
$4,424,892
2.93%
UtIrties
$909,942
$1,023,567
$1,207,025
$1,343,414
$1,024651
$1101486
$1106525
0.73%
Total Public Works
$16,492,556
$17192485
$19219166
$20263651
$21519904
$23819585
$25010113
16.59%
Community Services
Recreation 8 Sr. Services
$2,487,446
$2,516,519
$2,760,959
$3,007.581
$3,358,550
$3,980.182
$4,344,614
2.88%
Libraries B Arts
$4,429,287
$4,809673
$5,152,068
$5,168,319
$5,090337
$5,321393
$5417183
3.59%
Total Community Services
$6,916,733
$7,326192
$7913027
$9175,900
$8448899
$9301575
$9761797
6.47%
General Fund Debt Service
$992,885
$974410
590,747
$0
$0
$0
$0
0.00%
Total General Fund Op. Budget
$78.877,669
$84,231,259
$90,354,424
$95,792.402
$102,946,873
$111,998,241
$115,007.929
76,27%
General Fund CIPs
$5.049,821
$5,433,285
$7,655,747
$4,379,362
$4,594,096
$12,320,199
$8,221,257
5.45%
Total General Fund Budget
$83,927,490
$89,664544
$98,010,171
$100171,764
$107.540969
$124319440
$123229186
91.72%
ENTERPRISE FUNDS
Water - Operations
$10,793,143
$10,887,196
$11,945,173
$11377485
$13,667,812
$14,037504
$14,551551
9.65%
Water - GIP
$1,234,901
$1,502,489
$4,446,858
$4,935,134
$5,007,46D
$10,987.484
$2,819,000
1.87%
Water - Debt Samoa
$1,662,612
$1,656,665
$1,655,228
$1,850,573
$1,622,958
$1,652,743
$1,649,623
1.09%
Wastewater - Operators
$1,454,570
$1,607,382
$1,754,157
$1,893,290
$2,221,135
$2,278,259
$2,466,637
1.64%
Wastewater - CIP
$1,082,855
$516,392
$1,072,573
$1.635,551
$687,808
$2,127,490
$1,591.00
1.06%
Total Enterprise Funds
$16,228,081
$16,170124
S2D,873,989
$21487,033
$23207173
$31078480
$23077811
15.30%
INTERNAL SERVICE FUNDS
Insurance Reserve
$3,116,958
$3,455,995
$3.350000
$8,776,529
$8,228,971
$5,418,072
$5,039,183
3.34%
Equipment Funtl - Operators
$2.929,835
$2,475,815
$1085,904
$3,824,754
$3,687,090
$4,896,783
$4,213470
2.79%
Equipment Funtl - CIP
$17,974
$12,016
$44,582
$111.346
$69,338
$441.897
$56,000
0.04%
Equipment Funtl - Debt Service
$662,409
$577,839
$720,132
$831.589
$459.776
$459,776
$261,321
0.17%
Compensated Absences
$1,292,220
$1,547,506
$1,300,00
$1,807.921
$918,644
$1,200.00
$1.200.000
0.80%
Retiree Medical
so
$979,768
$867,00
$1132,143
$1,198,235
$1,158,250
$1,276355
0.85%
Total Internal Service Funtls
$8,019,395
$9,048939
$9,367,618
$16484,282
$12,563052
$13574778
$12046329
7.99%
OTHER FUNDS
Police Grants
$464476
$424,880
$510,102
$309,680
$318.09
$402,106
$320,595
0.21%
CDBG - Operations
$0
$0
$0
$150.623
$149,981
$188,104
$176,858
0.12%
CDBG - Debt Service
$0
$0
$0
$72,846
$183,581
$187,056
$189,514
0.13%
Titlelantls - Harbor Resources
$1,127,301
$998,554
$948,224
$1.076,207
$1,178,187
$1,399.248
$1,824,760
1.21%
Titlelantls - Oil and Gas
$329,266
$394,351
$382,202
5357,693
$365,699
5359,175
$474,738
0.31%
Tideland. - Debt Service
$236,372
$237,062
$237,062
$237.062
$237,062
$237.062
$237,062
0.16%
AOMD
$76,808
$40,798
$105.00
$130,641
$96,03
$85,676
$26,415
0.02%
Environmental Liability
$0
so
$98,971
$195,340
$154,389
$128,699
$90,00
006%
Newport Annexation - Debt Semce
so
$0
so
$1743.30
$1,20,1100
$1,20,00
$1,20,00
0.80%
Library - Dam Service
$662,409
$577,839
$720,132
5585,925
$567,935
$566,938
$570,250
0.38%
Ackerman Fund
$138086
$240,648
$185,00
$128,50
$1,20,272
$110,00
$15,10
0.01%
All Other CIP
$16,863,429
$19,612,681
$26,383,219
$10349,038
$10,028068
$39655,980
$23464547
15.56%
Total Other Funds
$19,898,127
$22,526,813
$29,569,912
$14,816.855
$15,677816
$44,520,044
$28.589839
18.96%.
TOTAL DEBT SERVICE
$4,216,687
$4,023,815
$4,293,301
$4,601.295
$4,271,312
$4,303,575
$4,107,770
TOTAL OPERATING BUDGET
$103,824,114
$110,333,557
$118,218,711
$131,551,50
$138,604,242
$147,958,692
$150,791,361
10.0%
TOTAL CIP
$24,248,980
527,076AIK1
$39,602979
$21410431
$20384768
$65533050
$38151804
TOTAL CITY BUDGET
5128,073,094
$137,410,420
$157,821,690
$152,961,934
$158,989,010
$213,491,742
$186.943,165
LESS: INTERNAL CHARGES
($9,920,6611
($11,536,531)
($11,758,631)
($11,889,9761
($12,345,448)
($13,020,576)
($13,020,5761
TOTAL BUDGET NET OF
INTERNAL CHARGES
$118,152,433
$125.873889
$146063059
$141071.958
$146643,562
$20,471,166
$173,922589
5
200"6 EXPENDITURES BY DEPARTMENT
Maintenance
Salaries& %of and %of Capital %of Debt Total %of
Benefits Total OperatIon Total Outlay Total Service Budget Total
DEPARTMENT SERVICES
0.00% $0 0.00%
$0
0.00% $0 $36,151804 19.34%
$95,675,139
100.00% $47.558.449 100.00%
$3,460,253
100% 54097,520 $186,943,164 100.00%
(6,467,663)
(6,552,913)
City Council
$273,535
0.29%
$1,248,525
2.63%
$7,000
0.20%
$0
$1,529,060
0.82%
City Clerk
$319,585
0.33%
$37,709
0.08%
$0
0.00%
$0
$357,294
0.19%
City Manager
$2,296,768
2.40%
$1,127,009
2.37%
$40,700
1.18%
$0
$3,464,477
1.85%
Human Resources
$931,764
0.97%
$414,660
0.87%
$8,000
0.23%
$0
$1,354,424
0.72%
City Attorney
$783,021
0.82%
$197,001
0.41%
$3,000
0.09%
$0
$983,022
0.53%
Administrative Services
$5,107,408
5.34%
$1,013,520
2.13%
$412,959
11.93%
$0
$6,533,687
3.50%
Police
$30,627,011
32.01%
$5,189,643
10.91%
$16,372
0.47%
$0
$35,833,026
19.17%.
Fire
$22,331,013
23.34%
$3,816,101
8.02%
$187,384
5.42%
$0
$26,334,498
14.09%
Planning
$1,829,556
1.91%
$650,665
1.37%
$41,500
1.20%
$0
$2,521,721
1.35%
Building
$3.019,821
3.16%
$279,907
0.59%
$26,500
0.77 %.
$0
$3,326,228
1.78%
General Services
$9,046,184
9.46%
$10,400,412
21.87%
$32,100
0.93%
$0
$19,478,696
10.42%
Library Services find Guttural Arts)
$4,015,164
4.20%
$1,290,919
2.71%
$111,100
3.21%
$0
$5.417,183
2.90%
Recreation and Sr. Services
$2,331,529
2.44%
$1,998,085
4.20%
$15,000
0.43%
$0
$4,344,614
2.32%
Public Works
$3,669,254
3.84%
$730,038
1.54%
$25,600
0.74%
$0
$4,424,892
2.37%
Utilities
$5,259,363
5.50%
$13,287,438
27.94%
$52,650
1.52%
$0
$18,599,451
9.95%
INTERNAL SERVICES
Insurance Reserve
$0
0.00 %
$5,039,183
10.60%
$0
0.00%
$0
$5,039,183
2.70%
Equipment Maint. & Replacement
$1,248,087
1.30%
$623,683
1.31%
$2,341,700
67.67%
$0
$4.213,470
2.25 %.
Compensated Absence
$1,200,000
1.25%
$0
0.00%
$0
0.00%
$0
$1,200,000
0.64%
Retiree Medical
$1,276,355
1.33%
$0
0.00%
$0
0.00%
$0
$1,276,355
0.68%
DEBT SERVICE
Once Equipment Leases
$0
0.00%
$D
0.00%
$0
0.00%
$0
$D
0.00%
CDBG Balboa Village Loan
$0
0.00%
$0
0.00%
$0
0.00%
$189,514
$189,514
0.10%
Balboa Yacht Basin Construction Loan
$0
0.00%
$0
0.00%
W
0.00 %
$237.062
$237,062
0.13%
Assessment District Relief
$0
0.00%
$0
0.00%
$0
0.00%
$1,200,000
$1,200,000
0.64%
Central Library Construction
$0
0.00%
$5,250
0.01%
$0
0.00%
$565,000
$570,250
0.31%
Ground,vater Improvement Bands
$0
0.00%
$5,000
0.01%
$0
0.00%
$1,644,623
$1,649,623
0.88%
Rolling Stock Leases
so
0.00%
$0
0.00%
$0
0.00%
$261,321
$261321
0.14%,
OTHER ACTIVITIES
Narcotic Asset Forfeiture
$0
0.00%
$61,907
0.13%
$138,688
4.01%
$0
$200,595
0.11%
SLESF
$109,721
0.11%
$10,279
0.02%
$0
0.00%
$0
$120,000
0.06%
LLEBG
$0
0,00%
$0
0.00%
$0
0.00%.
$0
$0
000%
AOMD
$0
0.00%
$26,415
0.06%
$0
0.00%
$0
$26,415
0.01%
Environmental Liability Fund
$0
0.00%
$90,000
0.19%
$0
0.00%
$0
$90,000
0,05%
Ackerman Donation
$0
0.00%
$15,100
0.03%
$0
0.00%
$0
$15,100
0.01%
Capital Improvement Projects
Total Budget
Less: Internal Charges
Total Budget Net of
Internal Charges
OPERATING BUDGET
Salaries and Benefits
Maintenance and Operation
Capital Outlay
Debt Service
Total Operating Budget
CAPITAL IMPROVEMENTS
TOTAL BUDGET
$0
0.00% $0 0.00%
$0
0.00% $0 $36,151804 19.34%
$95,675,139
100.00% $47.558.449 100.00%
$3,460,253
100% 54097,520 $186,943,164 100.00%
(6,467,663)
(6,552,913)
63.45%
- (13,020,576)
$89,207,476 $41,005,536 $3,460,253 $4,097,520 $173,922588
$36,151.804 100.00% 19.34%.
$186,943,165 100.00% 100.00%
%
%OF
GENERAL
BUDGET
TOTAL
TOTAL
TYPE
BUDGET
$95,675,139
63.45%
51.18%
$47,556,449
31.54%
25,44%
$3,460,253
2.29%
1.85%
$4,097,520
2.72%
$150,791,361
100.00%
80.66%
$36,151.804 100.00% 19.34%.
$186,943,165 100.00% 100.00%
%
%OF
GENERAL
BUDGET
TOTAL
FUND
TYPE
BUDGET
$86,133,876
74.89%
71.96%
$27,961,888
24.31%
23.36%
$912,165
0.79%
0.76%
$0
0,00%
$115,007,929
100.00%
96.08%
$4,694.078
100.00%
3.92%
$119,702,007
100.00%
100.00%
mDUNCIL AGENDA
CITY OF NEWPORT BEACH %J
CITY COUNCIL STAFF REPORT
Agenda Item No.
May 24, 2005
TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
FROM: Administrative Services Department
Dennis C. Danner, Administrative Services Director 949 - 644 -3123
ddanner @city.newport- beach.ca.us
SUBJECT: 2005 -06 PROPOSED BUDGET HEARING
2005 -06 APPROPRIATION LIMIT HEARING
RECOMMENDATION:
It is respectfully recommended that the City Council schedule a public hearing of the
City's Proposed Budget and Appropriation Limit for the 2005 -06 fiscal year on June 14,
2005, at 7:00 p.m. in the City Council Chambers, 3300 Newport Blvd., Newport Beach,
CA 92663, and direct the City Clerk to publish a notice of said hearings.
is DISCUSSION:
Pursuant to Section 1102 of the Newport Beach City Charter, the City Council is
required to hold a public hearing on the City's proposed budget for the 2005 -06 fiscal
year.
As per Article 13B of the State Constitution, the City Council is required to hold a public
hearing on the City's Appropriation Limit (Gann Limit) for the 2005 -06 fiscal year.
As per the Budget Calendar, both of these public hearings are scheduled for the City
Council meeting of June 14, 2005. Thereafter, the City Council is scheduled to adopt,
by resolution, the City's Proposed Budget (including Checklist Items) and Appropriation
Limit for the 2005 -06 fiscal year at the City Council meeting of June 28, 2005.
Submitted by:
Bennis C. Danner, Director
Attachment: Public Notice
May 24, 2005
CITY OF NEWPORT BEACH
DENNIS DANNER (949) 644 -3123
LEGAL NOTICE
NOTICE IS HEREBY GIVEN THAT the City Council of the City of Newport Beach
will hold a joint public hearing regarding: (1) Preliminary Budget for the 2005 -06 Fiscal
Year, pursuant to Section 1 102 of the Newport Beach City Charter; and, (2) the City's
Appropriation Limit for the 2005 -06 Fiscal Year, pursuant to Article 13B of the State
Constitution.
NOTICE IS HEREBY GIVEN THAT said public hearing will be held on the 14`h day of
June, 2005, at the hour of 7:00 p.m. in the City Hall Council Chambers, 3300 Newport
Boulevard, Newport Beach, CA 92663, at which time and place interested persons may
appear and be heard thereon.
TOTAL BUDGET ALL FUNDS - INCLUDING CAPITAL IMPROVEMENTS:
Salaries and Benefits
$95,675,139
Maintenance and Operations
47,558,449
Capital Outlay
3,460,253
Capital Improvements
36,151,804
Debt Service
4,097,519
Total Budget 186.943164
APPROPRIATION LIMIT:
Article 13B Appropriation for 2005 -06 Fiscal Year $119,548,685
Total Appropriations Subject to Limit 90.725.264
Amount Under Limit 8421
0
0
Authorized to Publish Advertisements of all kinds including public notices by
Decree of the Superior Court of Orange County, California. Number A -6214,
September 29, 1961. and A -24831 June 11, 1963.
PROOF OF PUBLICATION
STATE OF CALIFORNIA)
) ss.
COUNTY OF ORANGE )
I am a Citizen of the United States and a
resident of the County aforesaid; I am
over the age of eighteen years, and not a
parry to or interested in the below entitled
matter. I am a principal clerk of the
NEWPORT BEACH - COSTA MESA
DAILY PILOT, a newspaper of general
circulation, printed and published in the
City of Costa Mesa, County of Orange,
State of California, and that attached
Notice is a true and complete copy as
was printed and published on the
following dates:
MAY 28,2005
I declare, under penalty of perjury, that
the foregoing is true and correct.
Executed on MAY 28,2005
at Costa Mesa, California.
Signature
'05 JUN -6 A 9 :17
F!, l 1 Y _�
CITY OF NEWPORT BEACH
DENNIS DANNER(949)644 -3123
LEGAL NOTICE
NOTICE IS HEREBY GIVEN THAT the City Council of the City of Newport
Beach will hold a.joint public hearing regarding: (1) Preliminary Budget
for the 2005 -06 Fiscal Year, pursuant to Section 1102 of the Newport
Beach City Charter: and. (2) the City's Appropriatiox. '
Fiscal Year, pursuant to Article 13B of the State Constitution.
NOTICE IS HEREBY GIVEN THAT said public hearing will be held on the
14th day of June, 2005, at the hour of 7:00 p.m. in the City Hall Council
Chambers, 3300 Newport Boulevard, Newport Beach, CA 92663, at which
time and place interested persons may appear and be heard thereon.
TOTAL BUDGET ALL FUNDS- INCLUDING CAPITAL IMPROVEMENTS'.
Salaries and Benefits $95.675,139
Maintenance and Operations 47,558,449
Capital Outlay 3,460,253
Capital Improvements 36.151,804
Debt Service 4,097 519
Total Budget 5186,943;164
APPROPRIATION LIMIT:
Article 13B Appropriation for 2005 -06 Fiscal Year $119.548.685
Total Appropriations Subject to Limit 90,725,264
Amount Under Limit S 28,823,421
Published Newport Beach /Costa Mesa Daily PflotMay 28, 2005 Sa859
May 24, 2005
CITY OF NEWPORT BEACH
DENNIS DANKER (949) 644 -3123
LEGAL NOTICE
NOTICE IS HEREBY GIVEN THAT the City Council of the City of Newport Beach
will hold a joint public hearing regarding: (1) Preliminary Budget for the 2005 -06 Fiscal
Year, pursuant to Section 1102 of the Newport Beach City Charter; and, (2) the City's
Appropriation Limit for the 2005 -06 Fiscal Year, pursuant to Article 13B of the State
Constitution.
NOTICE IS HEREBY GIVEN THAT said public hearing will be held on the 10, day of
June, 2005, at the hour of 7:00 p.m. in the City Hall Council Chambers, 3300 Newport
Boulevard, Newport Beach, CA 92663, at which time and place interested persons may
appear and be heard thereon.
TOTAL BUDGET ALL FUNDS - INCLUDING CAPITAL IMPROVEMENTS:
Salaries and Benefits
Maintenance and Operations
Capital Outlay
Capital Improvements
Debt Service
Total Budget
APPROPRIATION LIMIT:
Article 13B Appropriation for 2005 -06 Fiscal Year
Total Appropriations Subject to Limit
Amount Under Limit
fir)
$95,675,139
47,558,449
3,460,253
36,151,804
4,097,519
$119,548,685
90,725,264
$ 28.823.421
(�� �.
S' J / )- F)
May 24, 2005
CITY OF NEWPORT BEACH
DENNIS DANNER (949) 644 -3123
LEGAL NOTICE
NOTICE IS HEREBY GIVEN THAT the City Council of the City of Newport Beach
will hold a joint public hearing regarding: (1) Preliminary Budget for the 2005 -06 Fiscal
Year, pursuant to Section 1102 of the Newport Beach City Charter; and, (2) the City's
Appropriation Limit for the 2005 -06 Fiscal Year, pursuant to Article 13B of the State
Constitution.
NOTICE IS HEREBY GIVEN THAT said public hearing will be held on the 14' day of
June, 2005, at the hour of 7:00 p.m. in the City Hall Council Chambers, 3300 Newport
Boulevard, Newport Beach, CA 92663, at which time and place interested persons may
appear and be heard thereon.
TOTAL BUDGET ALL FUNDS - INCLUDING CAPITAL IMPROVEMENTS:
Salaries and Benefits $95,675,139
Maintenance and Operations 47,558,449
Capital Outlay 3,460,253
Capital Improvements 36,151,804
Debt Service 4,097,519
Total Budget $86.943.164
APPROPRIATION LIMIT:
Article 13B Appropriation for 2005 -06 Fiscal Year $119,548,685
Total Appropriations Subject to Limit 90,725,264
Amount Under Limit $ 28.823.42]