HomeMy WebLinkAboutSS2 - Department Budget PresentationsCity of - •e rt Beach
D e!2 a - n ,• • _ •
FY 2007-08
1
City Council & City Manager
1
City Clerk
10
Human Resources
13
City Attorney ...........................
18
Administrative Services
Police
Fire ..... ... ..... ....,
82
Planning .... ....
..... ........ .......................................
90
...............................
Building ..................... ............................... ............
97
........................................ ..............................
General Services
118
Library .......................................
......... .............. .......... .....................................................
134
...............................
Recreation _ .....................................
Utilities......................... ............................... ............................149
......... ......... . ...............................
...... .:............................. ..........................:168
Additional Budgets ........................
......180
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CITY COUNCIL
To protect Newport Beach's unique quality of life for the full
enjoyment of its residents, visitors, and business owners and to
direct the efficient and effective delivery of municipal services.
1
2004 -05 2005 -06 2006 -07 2007 -08
Actual* Actual* Estimated* Proposed"
Salaries and Benefits
$
239,265
$
258,922
$
256,192
$
244,778
Maintenance and Operations
$
1,390,787
$
1,791,445
$
2,045,461
$
935,919
Capital Outlay
$
8,869
$
3,418
$
7,000
$
7,000
Total
$
1,638,921
$
2,053,786
$
2,308,653
$
1,187,697
* Includes Spheres Issues and Centennial a )penditures
** Includes Spheres Issues
Recipient Funding forNumber of Years Amount
NMUSD Athletic complex at Third and final year of commitment
Estanica HS $75,000
Balboa Island Historical Operations Since FY
$1
Balboa Island Improvement Flowers and holiday Since FY 05
Assn decorations /storage $11,250
CdM Chamber CdM SK Since FY 05 — grant is in addition to
agreement for race proceeds. $5,000
CdM Chamber CdM Christmas Walk Since FY 04 — Grant funds the event
expenses. $10,000
Leadership Tomorrow
Sponsorship
Since FY 04
$10,000
Newport Beach Film Festival
Sponsorship
Since FY 00
$75,000
Newport . to Ensenada Race
Sponsorship
Since FY 05
$15,000
OC Marathon
Sponsorship
Since FY 06
$50,000
FA
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0 To maintain the delivery of high quality municipal services and
legislate and manage the affairs of the city according to law
and for the benefit of residents and property owners
3
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Proposed
C C
dSalaries
and Benefits
$
2,066,053
$
2,288;055
$
2,523,282
$ 2,709,096
v
Maintenance and Operations
$
663,611
$
1,457,640
$
1,803,443
$ 1,203,669
®
Capital Outlay
$
24,860
$
36,368
$
136,000
$ 38,000
Total
$
2,754,524
$
3,782,063
$
4,462,725
$ 3,950,765
3
�zy 3
City Manager — Key Divisions
o Code & Water Quality Enforcement
6 full -time employees and .25 FTE
$663,325
o Harbor Resources
8 full -time employees and 6.28 FTE
$1,930,168
o Public Information
rd
2 full -time employees and 1.5 FTE
$305,356
o Major Accomplishments:
• Completion of Spheres Agreement
• General Plan completion and approval by
voters
o Major Challenges:
• f=ully implementing proposed CIP
• Reaching agreement on new MOUs with
employee associations
NI
11 111111, - 4 Pill .
Major Accomplishments:
• Keeping up with the current caseload, having a
high percentage of violation appeals found in City's
favor. More, and successful, use of all tools to gain
code compliance (e.g., inspection warrants, public
nuisance procedures and criminal. cases)
• Meeting all inspection requirements under the
NP ®ES permit
® Major Challenges:
® Effectively monitoring and regulating recovery
facilities
• Implementing the new 5 -year NPDES permit
• Providing adequate staff to respond to issues in all
departments
® Major Accomplishments:
• Securing RGP -54 and Balboa Island Sand
Replenishment permits
• China Cove dredging -CDM State Beach sand
replenishment
Major Challenges:
• Addressing pyrethroids in the LNB before a LNB
Dredging project (and the LNB Project itself)
• Funding the rest of the UNB Dredging Project
• Getting more reasonable eelgrass regulations
7
E01- I
O Major Accomplishments:
n.
• Securing capital grants and ongoing grants for
community programming
• iransitioning Government (the "G" in PEG)
programming from Time Warner to city
Major Challenges:
• Making effective use of new revenue for community
programming
• Integrating community programming with a larger
strategic communications plan
M
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Harbor Resources
o Convert part -time Marine Refuge Supervisor to
full -time
Public Information
o Additional Full -Time PIO
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To provide service to the Mayor and City Council, City Manager, administrative .
departments; and the public in. a courteous, timely, and efficient manner
while remaining neutral and impartial.
To improve the administration of the affairs of the City Clerk's office consistent with
applicable laws and through sound management practices to provide easier
access to local government and fulfill our responsibility
to the residents of Newport Beach.
2004 -05 2005 -06 2006 -07
Actual Actual Estimated
Salaries and Benefits
$
288,860
$
326,349 $
338,205 $
Maintenance and Operations
$
34,089
$
97,730 $
65,204 $
Capital Outlay
$
2,901
$
- $
6;500 $
Total
$
325,850
$
424,079 $
409,909 $
Elections
2007 -08
Proposed
327,976
54,804
382,780
$ 49,606 $ - $ 100,000 $ -
Grand Total $ 375,456 $ 424,,079 $ 509,909 $ 382,780
Service Indicators
X77
Council Meetings, Regular
Council Meetings, Special or Adjourned
Resolutions adopted
Ordinances adopted
Municipal elections
Registered voters
Municipal Code Supplement pages distributed
Claims /Summons and Complaints processed
Contracts /Agreements processed
Notices of Completion /Release Bonds
Documents processed to Orange County Recorder
Pages scanned into Document Imaging System
Passports processed
2004 -2005
2005 -2006
2006 -2007
2007 -2008
Actual
Actual
Estimated
Projected
23
23
23
23
23
27
22
25
78
89
80
80
27
26
30
30
1
0
1
0
60,529
60,373
59,885
60,000
52,479
56,595
55,000
55,000
169
117
127
150
113
115
120
120
17
20
14
15
17
31
20
20
80,000
50,000
50,000
50,000
655
457
400
400
■ 2006 General Municipal Election & Related Campaign
Filing Information
■ Staffing Issues /Training /Comprehensive Procedure
Manual
FY 08 Challenges
• Staff Training Involving Election Issues /Conflict of
Interest Code /Campaign Filings
• Updating City Clerk's page on City's Website
12
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To increase the City's effectiveness through recruitment and retention
of employees committed to providing quality public service that meets
the goals and objectives set by the City Council and the City Manager.
We further this mission by the development of systems which recognize
the value of each employee and provide the necessary tools to recruit,
retain, and develop a workforce capable of high performance.
We accomplish this mission by having a "customer first" attitude;
demonstrating a spirit of.cooperation; being a trusted and valued source
of human resources knowledge and expertise; and by being responsive
to and aware of internal and external customer needs.
l3
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Proposed
Salaries and Benefits
$
856,861
$
962,811
$
1,086,901
$
1,160,270
Maintenance and Operations
$
421,983
$
582,767
$
589,547
$
663,660
Capital Outlay
$
9,364
$
10,152
, $
7,347
$
8,000
Total
$
1,288,208
$
1,555,730
$
1,683,795
$
1,831,930
l3
11 IFIT
4dministration /Opera #ions Risk Management
$193177335 $5149094
Staffing: 5.5 plus 1.5 FTE Staffing: 3.5
'man Resources Director (.5) Human Resources Director (.5)
luman Resources Manager Risk Manager
Human Resources Analyst
)n Resources Analyst (2 @ .75) Sr. Human Resources Analyst
rman Resources Specialist 11 Human Resources Specialist 11
min. Asst. to the HR Director
Office Assistant
Administration General Liability
Civil Service Board Support Workers' Compensation Claims Admin.
Employee /Labor Relations Disability Benefits
Citywide Training Benefits Administration
Recruitment/Selection Retiree Medical Insurance
Classification /Compensation Retirement Counseling
PERS /PARS Assistance Disability Retirements
E ployee & Supervisor Counseling Contract Review & Insurance Compliance
Grievances & Disciplines Loss Control
Personnel Transaction Processing Safety 14
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Service Indicators 2004-2005 2005-2006 2006-2007 2007-2008
Astual — n- se
r agencies
168
180
189
189
PERS/PARS Issues
98
105
110
110
Fingerprints entered
368
384
449
470
Trainings Conducted
13
27
25
30
Contract Negotiations meetings
40
20
60
40
Employee Relations Matters
26
30
35
40
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General Liability Claims
116
' 5'
Workers' Compensation & Disability Claims
126
133
191
173
Industrial Disability Retirements Processed
3
3
9
6
New Employee Orientations Conducted
35
69
88
105
15
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Automated processes t! work more
Implemented MEP.
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CITY ATTORNEY
To represent and /or advise City Council, Boards and Commissions,
and City Staff with respect to all legal matters
pertaining to the City
2004 -05 2005 -06
Actual Actual
2006 -07
Estimated
2007 -08
Proposed
Salaries and Benefits
$
649,068
$
831,051
$
849,824
$
820,204
Maintenance and Operations
$
312,857
$
187,002
$
197,655
$
238,305
Capital Outlay
$
8,548
$
2,067
$
4,000
$
4,000
Total
$
970,473
$
1,020,120
$
1,051,479
$
1,062,509
M.
CITY ATTORNEY
Staffing Changes
FY 2006 -07
1 City Attorney
1 Assistant City Attorney
1 Deputy City Attorney
1 Administrative Assistant to
the City Attorney .
1 Department Assistant
.8 FTE Contract Attorney
(Part - time)
Total Staffing 5 plus .8 FTE
FY 2007 -08
1 City Attorney
1 Assistant City Attorney
1 Administrative Assistant to
the City Attorney
.63 FTE Office Assistant (Part -
time)
1.5 FTE Contract Attorneys
(Part -time)
.75 FTE Paralegal (Part - time)
19
Service Indicators
Requests for Opinions /Advice (In- House)
Council, Board, and Commission Meetings
Preparation /Review of Contracts, MOUs, Agreements
Litigation Caseload
Code Enforcement Caseload
Development/review of Resolutions and Ordinances
Court and Hearing Appearances
Public Assistance (phone or in person, by attorney or
support staff)
Legislative Advocacies
Public Records Act Requests
Vre
2004 -05
2005 -06
2006 -07
2007 -08
Actual
Actual
Estimated
Projected
5,500
5,500
6,000
6,000
100.
100
100
100
300
400
500
600
50
50
25
5
80
80
70
50
85
85
100
100
80
80
40
10
7,200
7,200
7,000
7,200
20
20
20
20
40
60
70
80
G /t'_
® Successes FY 2006/2007
Approval of General Plan and EIR by City Council
Defended legal challenges to Initiative and to
General Plan EIR
Department Reorganization
Address group home concerns of residents
® Challenges FY 2007/2008
General Plan Implementation /LCP Certification
CIP Implementation and infrastructure planning and financing
Title 17 Harbor Code Update
Legally Defensible zoning amendments for group home
residential uses.
21
:� 111 111111111111q�
Original iI ••
$77531,503
1
- 56 Full -time
- 5.33 FTE
SKI01
Proposed Bu.dget
$714493877
- 56 Full -time
- 6.42 FTE
23
Division. Information
Budget Mana•
Investment Management
Internal Control
Staffing: 3
$500,362
25
FISCAL SERVICE
Central Cashiering
Purchasing
Warehousing & Inventory Control
Printing & Reproduction
Postal Services
Remittance Processing
Accounts Payable
Parking Meter Operations
Staffing; 16 plus 2.82 FT'E
$19754,479
M.
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Computer Applications Support
Telecommunications
Geographic Information System
PC Technical Support
Network Management
Database Management
Staffing: 17 plus .5 FTE
$2,722,902
27
Municipal Billing
Intergovernmental Transfers
Licenses
Regulatory Permits
Revenue Development
Keceivables _ Collections
Staffing: 12 plus 1.6 FTE
$1,420,665
M
ACCOUNTING
General Accounting
Payroll
Property Control & Fixed Asset Tracking
Audit Coordination
Debt Administration
Financial Reporting
]budget Development
Staffing: 8 plus 1.5 FTE
$1,051,469
29
Budget Administered
Warrants Issued
Value of Payments Processed
Checks Deposited
Value of Currency Deposited
Annual Payroll & Benefits
Paychecks Processed
Purchase Orders
Images Printed
Printing & Binding Jobs
Mail Room Volume
Municipal Statements
Accounts Receivable Billings
New Business Licenses
Business License Renewals
Dog Licenses Issued
Parking Citations Processed
Administrati%e Citations Processec
Ajudications
Business Tax Revenue
Business Tax Notices
Transient Tax Revenue
Transient Tax Notices
Film Permits
Contracts Administered
City Owned Telephone Units
Service & Repair Calls
Average Monthly Calls
2004 -05
Actual
$186;822,264
17,613
$118,250,333
213,170
$2,688,069
$88,156,993
27,275
669
3,961,101
4,333
213,557
179,047
5,337
5,294
14,192
2.078
73,014
8,047
3,468
$3,458,165
9,643
$9,215,862
2,839
835
1,944
79,135
2005 -06
Actual
$189,686,214
16,443
$117,981,345
182,557
$2,912,678
$100,311,429
27,150
636
4,443, 911
4,854
239,872
178,417
4,687
5,530
15,233
1,525
73,012
7,223
3,321
$3,848,381
6,891
$9,791,057
2,766
865
1.953
81;358
2006 -07
Estimated
$252,769,561 "
17,500
$123,050,000
180,500
$3,098;734
$100,389,842
27,400
640
4,046,245
4.354
217,269
205,000
10,000
4.800
13,000
3,600
75,000
5.000
3,200
$3,300,000
13.000
$10,738,983
3,100
140
835
1,911
82,967
Budget Administered is limited to gross actual a )Penditures for FY05 & FY06; while FY07 &
FY08 represent the gross budget administered (including internal service charges).
Increase due to unusually high CIP activity.
°•' Increase due to new field license Inspector.
Prior to FY08, only Business Tax Notices sentto new businesses were calculated; FY08
also includes notices sentto businesses renewing their business license -.
2007 -08
Projected
$208,924,710
19,500
$129,500,000
178,900
$3,042,310
$108,494,514
27,700
650
4,376,227
4,555
220,000
205,000
10,000
7,000 "
13,000
5,200
75,000
5,000
3,600
$3,465,000
41,000
$11,275,932
3,100
155
48
840
1,900
84,000
30
2008
Original
Balance
Balance
Total
Principal
Year of
Final
Issuance
07109/2007 Additions
Deletions
06 /30/2008
Payments
Interest
Paid to Date
Payment
Rolling Stock Leases
1,700,049
49,490
(49,490)
-
49,820
330
1,700,049
2008
Water Re%enue Refunding Bonds
14,225,000
4,540,000
(1,445;000)
3,095,000
1,613,833
168,833
11,130,000
2009
Balboa Marina Loan
3,457,930
1,469,202 -
(170,948)
1,298,254
237,062
66,114
2,159,676
2016
Pre - Annexation Agreement.
18,000,000
12,000,000 -
(1,200,000)
10,800,000.
1,200,000
-
7,200,000
2017
Refunding Library COP
7,330,000
- 4,980;000 -
(315,000)
4,665,000
564,480
249,480
2,665,000
2019
Section 108 Loan
2,400,000
2,134,000
(78,000)
2,056,000
193,462
115,482
344,000
2024
Total Debt Sermce
47,112,979
25,172,692
(3,258,438)
21,914,254
3,858,677
600,239
25,198,725
Significant Revenue Info
Administrative Services administers many user fees and is
responsible for all City billing including the issuance of 205,000
Municipal Services Statements annually. Some of the larger
billings include:
Water charges
Sewer fees
Fire Medics memberships
Recycling fees
Franchises fees
Use of Money and Property
17,932,085
3,739,330
297,600
875,000
3,422,900
7,756,750
32
Major Charges/Fees/Taxel
Administrative Services actively manages the four largest City
tax revenue sources:
Total Property Tax
Sales Tax
Transient Occupancy Tax
Business License Tax
$ 7303,537
22,877,127
11,275,932
3,465,000
$ 1101701,596
This represents almost 75.3% o of the City's total estimated
2007 -08 General Fund revenue of $146,964,943.
33
IV
Administrative Services also levies and collects the following
charges:
Administrative Fines /Citations
Parking Citations
Alarms/Fines/Renewals
Tidelands Billings
And many others
$ 245,000
2,500,000
375,000
7,015,763
34
I
Administrative Service's
Successes and Challenges
® Successes FY 2006/2007
Preparation of cost of services and cost allocation studies
Facilities Financing Plan
Design and implementation of the new Retiree Insurance
Program
® Challenges FY 2007/2008
Implementation of the cost of services study
Updating the Facilities Financing Plan
Coordinating the Performance Benchmark Study
Implementation of GASB 45
M
4M
ACCOUNT DESCRIPTION
AMOUNT
Salaries & Benefits
$34,3577561
Maintenance & Operations
$6,693,543
Capital Outlay
$412,770
TOTAL
$4114631874
City Council Budget Presentation - Fiscal Year 2008
39
Maintenance &
Operations
16.1%
$6,6933,543
Et • ,
increase from FY 2006/07 ',
Outlay Capital
decrease fro 1 .1, . 0 • . Outlay
City Council Budget Presentation- fiscal Year 2008
41
I i LOJ I I
Changes Total $1,518,916
Increase from FY 1
Salaries Et Benefits I
- $1,224,795 Increase
* Adjustments Based on MOU Agreements
* Salary Step Increases
City Council Budget Presentation - Fiscal Year 2008
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"t�roMM`
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• Vehicle Fuel Cost Increase
• Increase in Various Contracts/Other
Adjustments
• ABLE Increase
City Council Budget Presentation - Fiscal Year 2008
43
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9
xw,.rom,. go-MM
Decrease
Completion conversion from Computer
Lease to a Computer Purchase Program
44
City Council Budget Presentation- Fiscal Year 2008
Budget by Division
Qp�
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Budget
Number
Division Description
Budget Amount
1810
Office of the Chef of Police
$1,876,877
1820
Support Services
$101155,564
1830
Patrol
$15,827,292
1840
Traffic /Parking /Animal Control
$4,885,727
1850
Detective
$7,095,939
1860
Fleet Services
$1,622,476
City Council Budget Presentation - Fiscal Year 2008
45
DETECTIVE
CTIV 2
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Salaries i. Benefits - $34)3571562
82.9% of Total Budget is Direct Costs
Benefits
Associated Salaries t'
48
City Council Budget Presentation - Fiscal Year 2008
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City. Council Budget Presentation - Fiscal Year 2008
\�f
9 . Full -Time Employees
Budget
Number
Division-Description
Number of
Employees
1810
Office of the Chief of Police
10
1820
Support Services
55
1830
Patrol
97
1840
Traffic /Parking /Animal Control
32
1850
Detective
44
1860
Fleet Services
2
52
City Council Budget Presentation - Fiscal Year 2008
�i'
There are o new positions o - FY
I
City Council Budget, Presentation- Fiscal Year 2008 54
D;vir, r'nal Rd=
0 e e -0
Office of th Chi f of Police -
Chief of
Police
Administrative Assistant
Executive Officer
Community Services(PIO
Supervisor
Payroll Clerk
Environmental
Services
Drug Abuse Resistance
Education (Q.A.R.E.)
Crime
Prevention
Volunteer
Program
Citizen
Academy
Teen
Academy
City Council Budget Presentation - Fiscal Year 2008
Professional Standards Unit Manager/
Police Legal Advisor
(Lieutenant).
Professional Standards
Supervisor (Sergeant)
56
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Support Services. Divisi on 00
Division
Commander
Secretary to the Fiscal Services &
Division Commander Facilities Maintenance
Services
Commander
Personnel & Records Dispatch Computer
Training Supervisor Supervisor Systems Fleet Maintenance
Supervisor Manager
Background Senior
ic9 Records Senior Applications
Investigators Community Staff Dispatchers Coordination Mechanics
Services Officers Offic
Electronics Front Data PC & Network
Specialist Desk Officers Entry Staff Dispatchers Coordination
Polygraph Property & Correspondence Alarm MIS Techs
Operator Evidence Coordination Officers
Video Production Department
Unit Web Site
Range Master Planning $
Research
Cadet '& Intern
Programs
City Council Budget Presentation-Fiscal Year 2008
59
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-Patrot Division
Division
Commander
Administrative
Assistant
Day Watch I Mid Watch I I Night Watch
Commander 1 Commander Commander
Field Field Field
Supervisors Supervisors Supervisors
Patrol Patrol Patrol
Officers Officers Officers
Jail
Field Training
Officer Program
Reserve Program
Reserve
Canine Unit
Bicycle Unit
Officers
Central
Newport
West Newport
East Newport
POP
POP
POP
City Council Budget Presentation - Fiscal Year 2008'
SWAT
Commander
Team
Members
Helicopter
Commander
Pilots
Mechanics
62
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Accident
Investigators
Traffic
Investigators
Traffic Division
Accident
Investigation
Supervisor
Special Events
Traffic services
Commander
Motorcycle Parking/Animal
Unit Control
Supervisor Supervisor
Motorcycle Parking Control
Officers I H Officers
City Council Budget Presentation - Fiscal Year 2008
Animal Control
Officers
Crossing Guard
Program
@Oiir,g
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Detective Division
Division
Commander
Adminietreave
Assistant
Services Crime Suppression
Commander I I Unit Supervisor
Crime Analyst �� comm OfficyeSemcea I I Detectives
JuveSupeMaa I I Economic Crriam Supo"Mr I I Property Supervlaor
Detectives I Detectives I 1� Auto Theft Task
I 1 I Farce Detectives
School Resource
otflcem Detectives
City Council Budget Presentation - Fiscal Year 2008
DRT a�
PD ICES
Nam -Ocs -vice
Seetlon Sopervlsor
Detectives I I RNSP Detectives
67
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O �
F Y
GMV� �
Total Estimated Police Department
Generated Revenue - $7.9128,939
Significant Revenue as
- Orange County Public Safety Augmentation
$800)000
Alarm
fines, alarm monitoring) - $375,000
- Parking Fines - $2.5 Million
- Administrative Citation Fines - $1651000
PD
1`41.2 524{)4.
72
City Council Budget Presentation - Fiscal Year 2008
i
Booking '
- Jail ABLE
- School Resource Officers - $155P000
- Narcotics i
8
City Council Budget Presentation- Fiscal Year 2008
73
a �f w�ae
F .s
Enforcement Supplemental Law
��QOR app
C
v 5,
Fund (State COPS Funding):
$120) 000
City Council Budget Presentation - Fiscal Year 2008 74
✓y
NgwnOA
T
O` p `
h
u y� z
�� ��.
• COPS Technology 0
$864,741
• COPS Technology 0
• P Technology 1 0 .i„
$296,84
• COPS Technology ' -
$246,661
APO t6E `'
City Council Budget Presentation- Fiscal Year 2008 75
Integration MTMTV
• Data Sharing COPLINK
Agreement • OCILJ Joint Powers
�`gitis�r:p'`e
C`
n5
h��PO CE
City Council Budget Presentation - Fiscal Year 2008 76
_ ''.
Ppw p�Ar
o. = Significant
Durie
• Recruitment a Retention:
Potice Officer Appticants • from
1 -'06 to 1`
® 21 Police Officers hired (7 recruits and 14
laterals)
® Crime Trends Remain In Check
D• ', in 2006
Down a of 0 01
City Council Budget Presentation - Fiscal Year 2008
77
� �F9
r n � rrrrr� �
SIGNIFICANT CHALLENGES IN
continue - It will be a challenge as it is for
all of
a Facility Issues:
• . year old facility (built
a 25 year life cycle
24 hour per day per week ear taking its
toU (not built for •• ay's requireme
City Council Budget Presentation-Fiscal Year 2008 79
0 SIGNIFICANT CHALLENGES
• 1
• Facility Issues (cont'd)
Aew facility
o Needs
Assessment/Capital , cilities Plan
City Council Budget Presentation- Fiscal Year 2008
t
96
{#�}u�gs�',— ,r,°=, ',w'u,i}�tl�w.y�� ,sr•Y,�s" hr< �. cG
i� A •'Stl F' t4r".INE ¢�RL9+�'7��tr`h
_ _ x s ..� i a k M e •' `+ �,t�`,�T ;t� it -5 i ry .i:
-
El
0
IFIF
In
FF
m
E
UM-11111P0,161
FY 2007
Amended Budget
FY 2008
Proposed Budget
% Inc
TOTAL
2994153155
29,5879854
0.59%
Salaries 83.24%
241434,983
24,629,190
0.79%
Maint & Ops 15.74 %
4,459,611
4,656,329
4.41%
Capital Outlay 1.02 %
520,561
302,335
-41.92%
84
P ,
FY 2003 %. of Total 154 people
Budget + 33.13 FTE
Admin. $15443,976 4.9 9 & 1.00
Prevention 1 1,218,2891 4.12 1 6
Training 11335,307 6.37 7 & 10.74
Lifeguard 31315,437 12.9 15 & 21.39
'Ops 85
A
$1,997,600 1 Program
'' Junior Lifeguard Fees
► • Public Augmentation'
Fund (Prop f with Police Dept.
$617,000 Prevention
:.
0 � -
Development of Professional Expertise
of Young and Inexperienced Personnel
— Facility Infrastructure
RM
a
Station 7 / Training Tower
— New Truck
— 4th FF/PM on Truck 3
— USAR Capability
— Expansion of CERT and all Disaster
Preparation Training
— Transition of Leadership
M.
Fir
Ja
M4
77 t . I, It
- 41-
tr
vile,
Tw,
MJ
ti rx
11
a!
FY 2006 -2007
Estimated
FY 2007 -2008
Proposed
Salaries and
Benefits
$2,015,808
$ 2,279,202
Maintenance and
Operations
$1,833,047
$ 416,117
Capital Outlay
$ 135,997
$ 57,750
CDBG Fund
$ 135,692
$ 129,000
Total
$4,1205544
$ 2,882,069
a!
q -{d
o `mrv:.
Planning Department
Organization
Current Planning
Base Processing e
m Zoning Admin Front Counter
Yearn Team Team
Code
Advanced Planning
.......... ........................
Assistant
Clay Manager
Sharon Wood
Economic
Development
�S
u
SWPO
Planning Department Core Services
Current Planning
Customer Service
Planning Commission
Plan Checking
Permit Compliance
Plan Chi
33%
Advanced Planning
General Plan
Zoning Ordinance
Local Coastal Program
Administration
Economic Development
BIDs and Outreach
Fiscal Impact Analysis
Business Assistance
CDBG / Housing
Advance Planning
Current Planning
33%
Economic
Development
10%
arical Support
9%
0
3�
j {� _
� 4
Building Department
36 aosiNOns— 28perrndneru fug brrs '
7 part Vim
8v80kw- Wrector
Atirn d*atkm (949).6443275 JaY attar
BOdIng CMAIW (949),644-3288 x3282
Fax a (949) 6443260
A
3
WI Bisre Nook
krM(ddAl MSOeoMr PtinaWai Ingocctor
Cammtrelal ResfdflyAl
Johna�8� kloklo
Sure Miahatl
x326D
Paal9abek
X$269
MUMMOOM
v4mt
x3264
Mel Rmor
s3271
•,• oTIP.£ � ,
Youstf.Baru
x3278
B&A Chin
X3281
Soaann* Kuslk
x3m
Ao
Erin Skadn
'x3270
Sam. Shaktr
%3279
90102L
Dan Maoty
x3869
Edward Hot
26273
I
Don Taylor
.Outside Plan Cheok:Consuitanis
Y2203
Charts Abbatk&Assoo: (649)3623830
Jim tritmaark
Harris A Amm (649)W6 -=D
Mm
VCA Orovp (714) 978W80
1 Oeateofi Consultant
Saaaht rnsfteodno(649) 252oM2
46>•rxkED¢scmmdrar� +kaAae _
i �J:
eQftlC4FS 4x"fw an
dn' +nioas me pooled by
adnimimalioa
Off o Assistant
Susie Yamada
4280
SWW Aldes
"urM,tieyes
LeslFeTrtn i'M
Open Pos.
8t4dent Aldt
Chtryl Cmpbe8
May 2007
yn.
WE=,
• 1 Building Director — California licensed civil
SE, 4 code
• Plan Check
1 Deputy Building Official (PE, MSCE), 1 code certification
6 engineers, 5 state licensed civil engineers (PE) & 1 state licensed
structural engineer (SE), 1 trades plans examiner
Total 33 code certifications, 1 MSCE
• Permitting
1 permit counter supervisor, 4 technicians, 3 code certifications
• Inspections
1 chief inspector
Commercial — 1 principal inspector, 2 senior inspectors
Residential — 1 principal inspector, 1 senior inspector and 5 inspector II
Total: 58 code certifications
® State of California Building Code
® State of California Electrical Code
• State of California Mechanical Code
• State of California Plumbing Code
State of California Fire Code
• State of California Energy Standards
• State of California Disabled Access Standards
• State of California Health and Safety Code
• State of California Business and Professions Code
• State of California Historical Build ng.Code
• State of California Building Standards Code
• Uniform Administrative Code
• Uniform Housing Code
• Uniform Code for Building Conservation
• Uniform Spa and Pool Code
• Newport Beach Municipal Code Grading Provisions
• Newport Beach Municipal Code Flood Damage Prevention Provisions
• Newport Beach Municipal Code relating to Building Construction
100
Plan Check and Permits
12 full -time employees and 1.13. FTE
$1,705,781
• Inspections
12 full-time employees and .63 FTE
$1,524,440
® Administration
5 full -time employees and .8 FTE
$544,702
103
Revenue
Uiscal Year 200,6/2007 II' I'I
Plan Check 1 1 1,830,500
I Miscellaneous 1 180,268
1,737,800
170,4501
ti, lot+
FY 07
FY 08: Est�rated has;.
:
��IG
I�la���tlt6�3 T�ptQi'
-
4
J
—
Permits
21313,000
211947000
Plan Check 1 1 1,830,500
I Miscellaneous 1 180,268
1,737,800
170,4501
ti, lot+
h' l
N 1,. 1 ,•`'III . -� � �L' ' _I 1' '�.
YM"1M'R= 'E'X. it __G� r p .as ['timcwi n- ar...r - u.a'�an.
', ■
;' �';',
Santa Ana Heights Fire Station
$ 4,700,000
Pacific Club
$ 6,200,000
Fairmont Hotel
$ 4,200,000
Back Bay Science Center
$ 4,000,000
Lexus
$ 22,000,000
St. Marks Church
$ 3,248,200
Newport Coast Community Center
$ 7,100,000
Big Canyon Country Club
$ 21,500,000
Marriott
$ 36,513,979
Hoag- Child Care Building
$ 2,800,000
IV,
Number of Projects By Valuation
2,500
2,000.
1,500
M
CL
0 1,000
500
0
$0-$50,000
J F
a � k
$50,000- $200,000- $500,000- $1,000,000-
$200,000 $500,000 $1,000,000 $5,000,000'
Valuation Ranges in Dollars
Fiscal Year 2005/2006
I
r, ®` 1 •.
a
Service Indicators
Actual
Actual
2.500
!mated **
1401111111
I Uldl Yerr -10.5: `JfUHllt=-
j Permits Issued
259; _ 1 193
27P 180
Irs ec_1ons related to Complaints
1,052; 948
9731 g00
Build! /Combination Permits Issued *
3,7931 1
3,396f
Conotruction Infection,
2,9001
2,800!_
lGrading Permits *
3191 1
3061
2751
_ 200;
!Electrical —Permits* i
—
2 202_ !__
2637
_ 1,8501 _.�
_ . _ 1,200!
IPljmbing Permits* I
—1---
1 9241 i
— --
1.6941
— 1 350 — _
1 OOOI
- - -' - ---
1'Mechanical Derrr its * - - --
1,3661 I
-2
1 288
1060
800;
jPool /Spa Permits
1E
176,1
,
��
Harbor Pormiln
871
111
—
_ -16011
1151
_ _ _1501
110!
lResidential 3u!ldlnq Records RBR 2errrits 1
1,5721
13471
9001
7001
Fire Permits 1
580
5271
390 i
350
I Uldl Yerr -10.5: `JfUHllt=-
JBulldlno Code Enforcement
259; _ 1 193
27P 180
Irs ec_1ons related to Complaints
1,052; 948
9731 g00
iRBR Irs ec_Ions
1 1,241; 1 9221 _
_ 9721 1 5001
Conotruction Infection,
34 935! 1 338161 _
31 2551 30,0001
l � Total Inspections:
_
,9 5-8L 0' 1
i _
Combinaticn permit Is ssued in _lieu of sub permits effecI_tive November 2. 0 063-1`-10-
*" Seasonal conditions and economic factors can significantly affect future ro ectionsi
I_ l
Cn
U
N
cd
Turn-around Time for Is' Plan Check
Fiscal Year 2005/>
<10
11-20
21' -30 31 -40 41 -. 50 > 50
Days
111
Project 1 1 y for Sample Projects
250
N
150
$ 100
E
Z
50
0
Large Pacific Inst. Lexus T.I. T.I. Duplex Large Res APC
Comm Club Project Res Add
112
Projects
n
U
Plan Check Cu' stud ®
1VTU'mber of Day's,
113
IV/.
* * Review times will be determined by staff based on the project complexity, not to exceed time listefl14
,. I
f i
_ gg
I ..
rr6_`$it
!- (V.
�.Y '.i"6}I�hi.^f '_1+'iz. }r?iV„
Same day
OVer:the t nter
(20 minutes)
OTC w/ same reviewer
or 3 days if submitted
By appointment
Appointment PIan,Check
(1 hour
(3 -7 days)
Submitted plans
ChecEc
(3 -7 days)
QU�1
(two weeks).
TT:" Fe.e,Expdtel
Submitted plans
K+ t IT
1 to 2 weeks**
(3 -7 days)
Ell yr (a?�ert�me)$
.I
.6 Jrlrn
t
Submitted plans
t[g�ift PIf1 Gk�,�ek" I
(4 weeks)
2 weeks
* * Review times will be determined by staff based on the project complexity, not to exceed time listefl14
,. I
Biggest Successes of Last Fiscal Year
® Accomplishing City plan check turnaround goal:
More than 90 % of plan checks done in less than 4 weeks
• Completed digitizing all permits now available to
customers to view over the web
• Implementation of combination permits
• Providing wireless connectivity to all field inspectors..
All actions are real time and available on the Building
Department web page
Biggest Challenges for Corning Fiscal Year
• Code adoption and training and codes purchase
• Implementing Workflow Committee and Technology
Committee recommendation
115
?p T
9t u
6
i�
r,.xmoAMAllms Irv,
-
City of Newport Beac
t
General Services Departmeni
Proposed Budget'
Fiscal Year 2007-08
118
t
Administration
7 FTE
Field Maintenance Operations Support
25 FTE 32.75 FTE
Equipment Refuse /Recycling
Maintenance
15 FTE 3 0.5 FTE
Parks/Trees
18 FTE
General Services Department: 128.25 FTE
121
• �3 �' �,I ",,. �, r
Total Int Svc Fund $4,046,723
Department Total $252633,931
v
FY 07 -08
$ 822,640
$3,902,166
$5,553,661
$6,568,432
$5,837,432
$227684,331
$2,049,368
$1,904,700
$3,954,068
$26,6383399
122
FY 06 -07
Administration
$ 802,412
Field Maintenance
$3,782,488
Operations Support
$5,349,346
Refuse /Recycling
$6,252,163
Parks
$5,400,799
Total General Fund
$2195877208
Equipment
- Maintenance
$2,035,523
- Replacement
$2,011,200
Total Int Svc Fund $4,046,723
Department Total $252633,931
v
FY 07 -08
$ 822,640
$3,902,166
$5,553,661
$6,568,432
$5,837,432
$227684,331
$2,049,368
$1,904,700
$3,954,068
$26,6383399
122
i *c .r
s ?
A�i+'
P1,11111 1117111 1111�11
ilk
Anti Freeze, Battery, Oil and Paint
(ABOP) Collection
im Available to City of Newport Beach residents
Proposed Collection - 20 hours per week
im Materials Collected at City Yard
124
rr ^`
T
Pre 1994 (rwo Supervisors)
yJj
. . . ........
rl fil
Z.-
-'
12�
Xf a k
L 1111 M
yl L"
NE
PACIFIC OCE
:11.11111"XII
11
F C . .._ .. MUM
a Present Area and Sites Under Development -
�
vu
� IAl r. L',_
i�Itl
Of
J
�x//p
IAA.. a .,. I,.,, ._t; /S`cr..i.il+\ ... :vv° .�W fi'k.�;al
r. I
-L.
Crew Chief
Parks /Facilities Contract
Bonita Canyon Sports
Park Contract
142 Acres
15 Contract Staff
Members
Parks /Trees
Superintendent
Crew Chief
Medians /Roadsides
Contract
93 Acres
10 Contract Staff
Members
Newport Coast Contract
63 Acres
10 Contract Staff
Members
Parks Supervisor
Operations/
Development .
Crew Chief
Staff Maintained Areas/
Project and Irrigation Crew
145 Acres
9 Staff Members
Special Events
Donation Requests
129
a>> �
K78'- .�
AQMD Fleet Rules
in Mandates the replacement of diesel fleets with
alternative fuel trucks
— Rude 1186.1: Affects Public and Private street sweeping fleets
— Rule 1193: Affects Public and Private waste collection fleets
— Rule 1196: Affects Public heavy duty (HD) fleets
— City's fleet: 25 refuse, 5 sweepers, 25 other vehicles affected by
the AQMD fleet rules
Im Alternative Fuel HD Vehicles
HD vehicles that use:
— Compressed Natural Gas (C:NG)
— Liquefied Natural Gas (LNG)
131
.,
o ., �a - -: -:q
�T` -"�5. .., ..
,��-
awl I M.
133
r
' 1' MY 'A'
1=,
135
•
Core Services
Statistics
Customers visit the 4 Newport . .
buildings ov- 950,000 times a year.
week. The libraries are open a total of 242 hours a
275,000 customers access library resources
online each year.
136
otal Fund[ng"by Divisior
m 2006 - 2007 0 2007 -2008
2006-2007
2007 -2008
ADMINISTRATION
$2,221,181
$2,353,809
BALBOA
$2461998
$244,112
CDM
$1751509
$122,257
MARINERS
$618,394
$572,113
CENTRAL
$2,431,600
$2,429,24
LITERACY
$121836
$21,612
ARTS & CULTURE
$177,502
$178,389
Total
$5,884,020
$5,921,538
0.64%
Difference
m 2006 - 2007 0 2007 -2008
Library's
2007 -08
o Salaries & Benefits a Library Materials ,
® Facilities ■ Software & Conputer Equiprmet
139
Software &
Salaries &
Benefits
Library
Materials
Facilities
Computer
Equipment
2006 -07
4,293,440
639,740
388,579
137,144
2007 -08
4,339,413
639,740
424,0791
145,094
2007 -08
o Salaries & Benefits a Library Materials ,
® Facilities ■ Software & Conputer Equiprmet
139
�,, - _ _ -
t�
s' ,
1 r
2007 -zoos
® General Tax Revenue N Fees for Senvice
M Intergovernmental Reimbursements- ® Fines
141
Donations to the Library vary. Last year we received $425,863.
`J
E
General Tax
Revenue
Fees for Service
Intergovernmental
Reimbursements*
Fines
2007-20081
515319413
22,625
1 2403000
1 1279500
2006 -2007
5;306,263
309000
448 9904
163,376
2007 -zoos
® General Tax Revenue N Fees for Senvice
M Intergovernmental Reimbursements- ® Fines
141
Donations to the Library vary. Last year we received $425,863.
`J
E
LIBRARY
TOTAL FTEs 67.06
Full
Time
Library Admin & Support Services 12
Balboa Branch Library 1
Corona del Mar Branch Library 1
Mariners Branch Library 5
Central Library 21
Literacy .0
Arts & Cultural Services 1
Total Employees 41
G
2006 -2007
2007 -2008
Part
Part
Time
TOTAL
Full
Time
TOTAL
FTE
FTE
Time
FTE
FTE
1.15
13.15
12
3.11
15,11
3.24
4.24
1
2,.91
3.91
1.81
2.81
1
0.96
1.96
5.24
10.24
5
4.91
9.91
14.1
35.1
21
13.77
34,77
0.19
0.19
0
0.4
0.4
0
1
1
0
1
25.73 66.73 41 26.06 67.06
1 142
Nj� ¢¢`
3F X14 ' x'L�
r Ix
Y !
Facilities
and failing electrical switches®
N
yf /'
144
� r
c� ,�` `� J
41 /x'%
.� (i { � P _ w, a
.. ::. i -1.'i_
PI, ,
1�
i
3 s sTV " a=...* M �z
� r ar-
5 s y�
b-IF7
t r SA dAvj rJ�
ar-A
Al, r.
Maintenance & Operation $2,963,719
Capital Outlay 770750
Total Department Budget $6,060,218
■ 27 Full -Time staff
■ 75 Part -Time staff
■ 180 Independent cont.ract class instructors,' conches, referees,
umpires and scorekeepers
152
Depar ent Structure
3 Full Time
.5 'Part -Time FTE
14 Full Time
20.15 Part- Time FTE
$ 4,521,962
10 Full -Time
.13 Part -Time FTE
$ 11017,4O6
153
wl ii 4t l AS
4
i
Div Isic
E Permits/kentals
Misc.
fimwl
r
RIMMIT-1
Revenue from r• oaCommunity
expected to be $250,000 for 9 months of operation
and are included in the figures above.
D i visit
Z�
o O Program Support
o Transportation Support
Hoag:
70-im 7,1110
■ SCSS: Meals Services
Coastline -y
YOU 1 I:
$224,000 Cash
• •
Opening
- Additional Part-Time -Hours for Park Patrol Staff
,o cover e,, '., Coast ;/
Increased Program Expenses -
Increased Revenue Expenses
160
Facility Use of
1. Priority Use by.Newport Coast HOA and Residents
z. City Recreati ®n Programs (Classes in the Newport
Na vgator)
3. Community Rentals — Youth Sport Groups,
family /birthday parties, weddings and receptions,
meetings and conferences
162
■ Full Size Gymnasium
■ Warming Kitchen
■ Itestroom Facilities
® Parking for 122 cars
m Library concierge desk
163
IWO
Program
$206,150.00
Facility
$ 33,250.00
Utilities
$ 65,000.00
Personnel
$265,854.37
Total Requested Expenses
$570,254.37
Ongoing Revenue/Total Per FY
$322,100:00
Revenue for FY 07108
$249,075.00
Total Cost to Budget minus Revenues
$248,154.37
Capital Cost/One Time
$ 37,750
164
NCCC Position Justification
■ Fall -Time Department Assistant —
customer service to Center Monday —
day
To provide
Friday during the
■ Full- Tune Facility Maintenance Worker II — Provide
room set -up, repairs, facility cleaning at NCCC, CYC &
Lincoln Gym, Monday Friday during the day.
® Part -Time Positions — Provide facility coverage,
maintenance and customer service during evening and
weekend hours.
165
b
.y, {�o
-•�"
I'
i
i
..;+
r
M'.
sii � � '1.�J 3 �l� H.igr� ...
��.N UPS 11
G- i )
i'.
UTILITIES DEPARTXMNT
]Electrical ® Oil & Gas • Water • Wastewater
Salaries and Benefits
Maintenance and Operations
Capital. Outlay
Total Expenditures
Full -time Employees: 4
■ (CIRIM
r �fi
2005 -06
Actual
428;946 $
754,225
$ 4,972
$ 1,188,143
2006 -07
Estimated
432,182
$ 712,473
$ 4,870
$ 11149,525
Part -time Employees: 0.5
,r-
2007 -08
Proposed
$ 451,939
$ 760,141
$ 3,650
$ 11215,730
170
UTMITI]ES DEPARTMMNT
Electrical ® Oil & Gas • Water • Wastewater
x�
2005 -06
Actual
Salaries and
Benefits
$
0
Maintenance
and Operations
$
597,383
Capital Outlay $ 0
Total Expenditures $ 597,383
No Staff in this Division — Contract Operations
2006 -07
Estimated
$ 0
$ 478,515
$ 0
$ 478,515
2007 -08
Proposed
$ 0
$ 601,259
$ 0
$ 601,259
171
UTMITIES DEPARTNMNT
Electrical a Oill & Gas a Water a Wastewater
This Division is funded entirely by the sale of oil & gas. Oil is sold based on
market value through Plains Marketing L.P. Gas is sold to Hoag Memorial
Hospital Presbyterian.
2005 -06 2006 -07 2007 -06
Actual Estimated Projected
Oil sales
$1,7232324
$1,000,000*
$1,2501000*
Gas sales
$ 49,777
$ 55,000
$ 56,650
Total revenue
$1,773,101
$1,055,000
$1,306,650
*Note: Oil sales is based on an estimated market price per barrel.
172
V
UTILITIES DEPARTAONT
Electrical ® Oil & Gas ® Water ® Wastewater
Salaries and Benefits
Maintenance and Operation
Capital Outlay
Total Expenditures
Full -time Employees: 36.25
,-
2005 -06
Actual
$. 31510,115
$ 9,901,671
$ 19,268
$ 13,431,054
2006 -07
Estimated
$ 318187127
$ 11,240,514
$ 53,500
$ 15,112,141
Part-time Employees: 6.25
2007 -08
Proposed
$ 31798,681
$11,267,259
$ 31,000
$ 15,096,940
173
a
UTPUTIES DEPARTiVI NT
Electrical ® Oil & Gas ® Water . Wastewater
s> 9 I MUM
This Division is entirely funded by, the sale of water and connection fees.
Water sales
Connection fees
Interest Income (est.)
Other misc. revenue
Total revenue
Actual Estimated Projected
$14,122,414
$ 1,664, 092
$ 325,637
$ 1,914,607
$18,026,750
I,Y
\1,
$15,532,000
$ 17558,743
$ 650,000
$ 208,810
$17,949,553
$15,849,561
$ 1,912,417
$ 682,500
$ 186,107
$181630,585
174
f"
UTILITIES DEPARTMENT
Electrical ® Oil & Gas ® Water • Wastewater
WASTEWATER DIVISION
Expenditures
Salaries and Benefits
Maintenance and Operations
Capital Outlay
Total Expenditures
Full -time Employees: 13.25
2005 -06
Actual
$ 1,1811642
$ 1,050,661
8,744
$ 2,241,047
2006 -07
Estimated
$ 1,339,028
$ 1, 325,182
$ 18,000
$ 2,682,210
Part -time Employees: 1.75
2007 -08
Proposed
$ 1,328,986
$ 11274,903
$ 36,000
$ 2,639,889
175
Electrical • -Oil. & Gas • Water ® Wastewater
•�; �:
This Division is entirely funded by the collection of wastewater and connection fees.
Sewer. use
Connection fees
Interest Income (est.)
Other misc. revenue
Total revenue
176
2005 -06
2006 -07
2007 -08
Actual
Estimated
Projected
$
1,543,581
$
11600,000
$ 15981,980
$
11586,334
$
1,714,948
$ 1,757,350
$
56,280
$
140,000
$ 147,000
$ 119,281
$ 16,895
$ 3,184
$
31305,476
$
39471,843.
$ 37889,514
176
I
Electrical e Oil & Gas • Water ® Wastewater
SIGNIFICANT CHANGES
New Position
® Department Assistant Position -
Operational Change
® In 2007 -08 the OCWD basin pumping percentage is estimated to be at 74% of our
total demand, which is a 5% increase over last year.
Expenditures
• $30,000 Additional Overtime for On -call Electrical Duty person
$33,000 Increase for Fuel Costs
® $33,275 Increase Energy Costs
$20,000 Increase in Electrical Maintenance & Repair
® $45,000 Increase Maintenance Repair at Oil Fields
• $60,000 Increase in Oil Royalty Payments
® $57,000 Increase in Chemical Costs (New Line Item Created to Track Costs)
• $18,000 Purchase of New Sewer Camera
177
UTILITIES DEPARTMMNT
Electrical ® Oil & Gas • Water • Wastewater
The Two Biggest Successes Accomplished in FY2006 -07
- Acquisition of Radio Tower and Relocation of the 800 MHz
radio system.
- Completion of the Orange County Regional Water and
Wastewater Multi- Hazard Mitigation Plan.
The Two Biggest Challenges Utilities Faces in FY2007 -08
- With the current revenue sources it is becoming difficult
to meet the increasing price of purchased water from
both ground water and import sources.
- New and additional. Federal (EPA) and State Health
regulations, require additional water testing and. methods to
meet new standards.
178
Additional Budgets
Workers Comp & General Liability
Compensated Absence Fund
Retiree Insurance Fund
Debt Service
Police Grants
AQMD
Environmental Liability
Ackerman Trust
1:M
✓ �!
® Internal Services, page 347
Workers Compensation
This budget is managed by Hurr
provides for the City's expenses
compensation.
FY 2006 -07
Estimated Actual
$2,477,431
3n Resources and
related to workers
FY 2007 -03
$2,496,241
181
oil �w
L I r-A,
❑ Internal Services, page 348
General Liability
This budget is also managed by Human Resources
and -provides for the City °s expenses related to
general arability.
FY 2006 -07
Estimated Actual
$2,972,263
FY 2007 -08
$2,950,259
182
❑ Internal Services, page 353
Compensated Absence Fund
This budget is funded by departmental payments
based on percentage of salary., The funds are used
for leave buyouts (i.e., vacation and flex leave).
FY 2006-07
Estimated Actual
$1,209,382
FY 2007 -08
Proposed Budget
$1,206,000
183
® Internal Services, page 357
Retiree Insurance Fund
The City amended the Retiree Insurance Program last
year, transitioning from a defined benefit plan to a
defined contribution plan. The transition will take an
estimated 20 years, but our operating expenses will
eventually be capped and the City's unfunded liability
will be zero.
Estimated Actual
$2,839,172
FY 2007 -08
$3,133,000
ME
rrr:
185
Year of
Original
Balance
Balance
Total
Principal
Final
Issuance
07101/2007
Additions Deletions
0613012008
Payments
Interest
Paid to Date
Payment
Rolling Stock Leases
1,700,049
49,490
(49,490)
49,820
330
1,700,049
2008
Water Revenue Refunding Bonds
14,225;000
4,540,000
(1,445,000)
3,095,000
1,613,833
168,833
11,130,000
2009
Balboa Marina Loan
3,457,930
1,469,202
(170;948)
1,298;254
237,062
66,114
2,159;676
2016
Pre - Annexation Agreement
18,000,000
12,000,000
(1,200;000)
10,800,000
1,200,000
7,200,000
2017
Refunding Library COP
7,330,000
4,980,000
(315,000)
4,665,000
564,480
249,480
2,665,000
2019
Section 108 Loan
2,400,000
2,134;000
(78,000)
2,056,000
193,482
115,482
344,000
2024
Total Debt Service
47,112,979
25;172,692
3,258,438
21,914,254
3,858,677
600,239
25,198,725
185
® Other Activities, page 360
Narcotics Asset Forfeiture Fund
This is the City's participatory share of State and
Federal asset seizures. These funds can only be
used to supplement, but not subsidize law
enforcement activities.
FY 2006 -07
Estimated Actual
FY 2007 -08
$78,697
l
❑ . Other Activities, page 361
Supplemental Law Enforcement Service Fund
State Assembly Bill 322.9 provides funds to the City to be
used exclusively for front -line law enforcement services.
The Bill stipulates that these funds are to be segregated
and can only be used to supplement, but not subsidize law
enforcement activities.
FY 2006 -07
Estimated Actual
$120,000
FY 2007 -08
$120,000
187
o
❑ Other Activities, page 362
Air Quality Management District
State Assembly Bill 2766 provides cities with a modest
annual budget to encourage the reduction of air emissions.
The City uses its AQMD funds to support the employee
rideshare program and to subsidize the cost of the electric
vehicles used for City services.
FY 2006 -07
Estimated Actual
$26,415
ON t
Proposed Budget
$26,415
::
E
Liability
11 Other Activities, page 363
Environmental Liability
As part of the City`s franchise agreements with
commercial solid waste haulers the City collects 5.5 % of
their gross receipts. These funds are used to provide the
City with environmental liability insurance and to
conduct waste related environmental assessments.
FY 20.06 -07
Estimated Actual
11 1
••• -• OM
��•1 111
:•
® Other Activities, page 364
Ackerman Fund
Interest earned from this endowment is
accounted for and spent for the purchase of high
tech library equipment and for a City
administered scholarship program.
FY 2006 -07
Estimated Actual
FY 2007 -08
• • �.
190
SSZ
AIM
ft
Im Im
I
#Iola*
0
Budget Totals
Salaries Et Benefits
Maintenance Et Operations
Capital Outlay
TOTAL
City Council Budget Presentation - Fiscal Year 2008
2w3QO�E��Z
PUl4_L
$34,357,561
$616937543
$412)770
$41,463,874
Budget Totals
Salaries &
Benefits
$34,3575561
City Council Budget Presentation - Fiscal Year 2008
Changes from FY 2006/07
• Capital Outlay
- - $135,418 Decrease
• Completion of the conversion from a Computer
Lease to a Computer Purchase Program
City Council Budget Presentation- Fiscal Year 2008
Budget by Division
Budget
Division Description Budget
I
Number
I Amount
1810
Office of the Chef of $17876)877
Police
1820
Support Services
$10)155,564
1830
Patrol
$15, 827, 292
1840
Traffic /Parking /Animal
$4,885,727
Control
1850
Detective
$7,095,939
1860
Fleet Services
$1,622,476
Salaries &t Benefits
• Personnel
- Salaries 8t Benefits - $34,13571562
- 82.9% of Total Budget is Direct Costs
Associated with Salaries Et Benefits
City Council Budget Presentation - Fiscal Year 2008
Fill_, -time Employees,
0,
Total FultAlMe- Emptoyees - 240111
- Sworn T! 1, 48
-
Non,-swern, - 92
City Council Budget Presentation-Fiscal Year 2008
City Council Budget Presentation - Fiscal Year 2008
44ar s
Full -Time Employees
Budget
Number
Division Description
Number of
Employees
1810
Office of the Chief of
Police
10
1820
Support Services
55
1830
Patrol
97
1840
Traffic /Parking /Animal
Control
32
1850
Detective
44
1860
Fleet Services
2
City Council Budget Presentation- Fiscal Year 2008
New �osa;t�ons.
' !) L"
• There are no, new,, posiftions, for the FY/
07/08 budget year,
City Council Budget Presentation-Fiscal Year 2008
Changes from FY 2006/07
• Summary of Changes
- Salaries Et Benefits - $1, 2241 795
• 4% increase from FY 2006/07 Salaries
- M Et 0 - $4291541
• 7% increase from FY 2006/07 M Et 0
- Capital Outlay - -S N .35,x+ i
decrease from FY 2006/07 Capital Outlay
City Council Budget Presentation - Fiscal Year 2008
2
PO
Changes from FY 2006/07
• Total Changes = $1,518,916 or 4%
Increase from FY 2006/07
• Salaries Ft Benefits
$1,224,795 Increase
• Adjustments Based on MOU Agreements
• Salary Step Increases
• MERP Costs
City Council Budget Presentation- Fiscal Year 2008
Changes from FY 2_0_106/07
1
• Maintenance at Operations,
-1 $429,51,41 Increase
Ve3hict e Fuel Cost increase
Increase in Various Contracts-10,ther
Adjustments
ABLE Increase
City Council Budget Presentation-Fiscal Year 2008
+ew•uRJ •�
e
a
r 'n
Y171e
ABLE BUDGET
• The ABLE JPA Board adopts a 3 -year
budget in order to eliminate the normal
dramatic increases and decreases
associated with the FAA maintenance
requirements for such aircraft
• In the next 3 -year cycle, our ABLE
contribution will increase $132,807 for
a variety of reasons
City Council Budget Presentation- Fiscal Year 2008
ABLE BUDGET INCREASES (Cont'd)
• The cost centers of the increases are as
follows:
- 27.5% ($26,795) increase in fuel
- 16% ($36,359) increase in helicopter
maintenance
- 18.4% increase ($30,729) in shared costs
for mechanics, joint funding of 2nd
supervisor, hanger maintenance worker
City Council Budget Presentation- Fiscal Year 2008
ABLE BUDGET INCREASES (Cont1d)
- $6,276 increase in small tools*
- $2,664 (7.3%) increase in hanger rental
- $4,881 (5.95%) increase in projected
insurance costs
- $30,020 (15.5%) Increase in Helicopter
Replacement Capitalization Fund
* PURCHASE OF A "BORE SCOPE" WHICH PREVIOUSY REQUIRED RENTAL AND
DELAYS IN NECESSARY REPAIRS
City Council Budget Presentation - Fiscal Year 2008
•] IVi %\
L
AKKO
A
K IC
Computer Software Maintenance
Misc Software Firewall
9% 4%
Internet Content Filtering
2%
Symantec Ni
AntiVirw
3%
Stancil Voice Recorc
1%
CAD &
38'
Software Development
Tools
20ki itnmahir Vehicle
4VL)
current Imaging
4%
Alarms Permits &
Monitoring
3%
osoft
i%
E:�I E:�i I_����1�J ►t ��
Computer Software Maintenance
Firewall, $14,816
Misc Software, $33,478
Internet Content Filtering, Software Development
$7,649 Tools, $5,557
Automatic Vehicle
Symantec Norton Location (AVL), $37,346
Ant Virus, $9,600
Stancil Voice Recorder,
$ 5,000
CAD & RMS, $135
)cument Imaging,
$13,539
Alarms Permits &
Monitoring, $9,256
osoft, $86,165
Revenue and Grants
Revenue
Grants
City Council Budget Presentation - Fiscal Year 2008
�QPOLICE
/ �dl
Revenue
• Total Estimated Police Department
Generated Revenue - $7,128,939
• Significant Revenue Sources:
- Orange County Public Safety Augmentation
.$8001000
- Alarm Related (permit renewals, fines, PD
alarm monitoring) - $375,000
- Parking Fines - $2.5 Million
- Administrative Citation Fines - $1651000
City Council Budget Presentation - Fiscal Year 2008
Revenue
Jail Booking Fees, $435,000
ABLE $297,322
S ch �0ot Res ur_ ce O ce, rs _� I 5 5 ,
000
- _o
i -s/Forfe,_Itures Fund -$,78,1,697
Narcot, cs Asset i
City Council Budget Presentation-Fiscal Year 2008
Grants
Supplemental Law Enforcement Services
Fund (State COPS Funding):
• $120,000
- Partially Funds Two Sworn Police Officer
Positions To Staff Our Crime Suppression
Unit
- Miscellaneous Equipment
City Council Budget Presentation - Fiscal Year 2008
0Qp ®T
POLICE
Grants
Orange County Integrated Law and
Justice (OCILJ) Grant Fund Balances:
• COPS Technology 2002 -
$864,745
• COPS Technology 2003 -
$248,375
• COPS Technology 2004 -
$296,843
• COPS Technology 2005 -
$246,661
• Urban Area Security Initiative Grants
(UASI) Sub - grantee - $25,949
City Council Budget Presentation- Fiscal Year 2008
2
PO
Grants
Orange County Integrated Law and
Justice (OCILJ) Grant Funding:
• City of Newport Beach - Agency
assigned grant responsibility on behalf
of the OCILJ Project
• OCILJ Joint Powers Agreement
• Data Sharing Integration Project -
COPLINK
• Electronic Case Filing Project
City Council Budget Presentation - Fiscal Year 2008
QORT
POLICE
Office of the Chief of Police
• Professional Standards /Legal Review
• Community /Media Relations (PIO)
• Environmental Services
• Crime Prevention
• D.A. R. E.
• Department Payroll
City Council Budget Presentation - Fiscal Year 2008
Office of the Chief of Police *
Programs:
• Volunteer Program
• Citizen's Academy
• Teen Academy
y 4�
r�
1-
4 �
T
City Council Budget Presentation- Fiscal Year 2008
Support Services Division
• Alarm Monitoring Program
• Communications
• Video Services
• Personnel and Training
• Recruiting
• Polygraph Examinations
r,.
• Fiscal Services /Budget Control
• Property /Evidence Control
City Council Budget Presentation - Fiscal Year 2008
Q die
96&
Support Services Division
• Records Section
• Range Training /Armory
• Computer Systems
• Planning /Research
• Facility Maintenance
r - to
• Electronics Engineering /Repair
• Fleet Acquisition / Maintenance
City Council Budget Presentation-Fiscal Year 2008
9Oar e
QC
PO E
Patrol Division
• Day Watch
• Mid Watch
• Night Watch
• Jail
• S.W.A.T.
• Bicycle Detail
City Council Budget Presentation- Fiscal Year 2008
1� Eq
IN
i
Patrol Division
• Canine Unit
• Disaster Planning
• Helicopter Program (A,B,L,,E,)
• Reserve Officer Program
• Hostage Negotiations
p BF
r s
ao e
City Council Budget Presentation - Fiscal Year 2008
Traffic Division,
• Traffic Services
• Accident Investigation
• Motorcycle Enforcement
• Parking Control
• Crossing Guard Contract
• Traffic Education
• Animal Control
• Special Events Planning
Administration
City Council Budget Presentation - Fiscal Year 2008
Detective Division
• Criminal Investigations
- Crimes Persons
- Property Crimes
- Juvenile /Sex Crimes
- Narcotics
- Economic Crimes
- Vice /Intelligence
• Crime Suppression Unit
City Council Budget Presentation- Fiscal Year 2008
AT eF
r
PO E
--f Osoft
gin j,
Detective Division
• Crime Scene
Investigations
• Crime Analysis
r�
did
• Orange County Auto Theft Task Force
(OCATT)
• Regional Narcotics
Program (RNSP)
Suppression
• School Resource Officer Program
City Council Budget Presentation- Fiscal Year 2008
�poar
r
P' E
pORT BF
Fleet Maintenance Division 'Pot
• Vehicle Purchasing
• Vehicle Maintenance
• Parts Inventory
• Replacement Vehicle Set -up
N E W P O R T C O A S T
City Council Budget Presentation- Fiscal Year 2008
e0
Sef
ignificant Accomplishments:
D u ri n�Last Year
r
• Recruitment Et Retention:
- 478 Police Officer Applicants Tested from
1 -' 06 to 4-'07
• 21 Police Officers hired (7 recruits and 14
laterals)
- 267 Civilian Applicants tested during same
period, 9 hired
• Crime Trends Remain In Check
- Down 2% in 2006
- Down another 2% after 4 months of 2007
City Council Budget Presentation- Fiscal Year 2008
f �
6000
soon
0000
,„
1000
0
ON Evil m0.»LI 11
JAI
Seventeen Year Trend & Average
1990 1991 1992 1993 1994 1995 1996 1997
1998 1999 2000 2001
2002 2003 2004 2005 2006
=�pORT BF,�S
P
SIGNIFICANT CHALLENGES IN
COMING YEAR
• Recruitment Et Retention
- It will continue to be a challenge as it is for
all of law enforcement in the State /Region
• Facility Issues:
- Operating in a 33 year old facility (built for
a 25 year life cycle)
• 24 hour per day /7 days per week wear
taking it's toll (not built for today's
requirements)
City Council Budget Presentation - Fiscal Year 2008
j
SIGNIFICANT CHALLENGES
(CONT'D
• Facility Issues (cont'd)
- Dispatch Remodel
- Emergency Generator Replacement
- Station Security Upgrade
- Front Lobby "Facelift"
- Selected Workspace Upgrades
- Need to begin the planning process for a
new facility
• Needs Assessment /Capital Facilities Plan
City Council Budget Presentation - Fiscal Year 2008
r,, ,�