HomeMy WebLinkAboutSS2 - Budget OverviewBudget Checklist Items
Fiscal Year 2006 -07
5 -23 -ve
4Ss2-
Amount Approved
City Council
Contribution to the Athletic Complex at Estancia H.S. -
0110 -8250 Second year of three year commitment
$
75,000
Three FY
0110 -8250 Conference for Women - Second year
$
10,000
One time
Balboa Island Historical Society - Six year, third year at
0110 -8250 $15,000.
$
15,000
One time
Balboa Island Improvement Association - Flowers &
0110 -8250 holiday decorations /storage
$
11,250
One time
Corona del Mar Chamber of Commerce - Additional CdM
0110 -8250 5K sponsorship - Third year at $5,000.
$
5,000
One time
Corona del Mar Chamber of Commerce - Sponsorship of
0110 -8250 Christmas Walk - Fourth year at $10,000.
$
10,000
- One time
Leadership Tomorrow sponsorship - Third year at $10,000
0110 -8250 per year.
$
10,000
One time
Michaels Media - production of Your Newport Today -
0110 -8250 Last year at $9,100
$
9,900
One time
Newport Beach Film Festival - Additional $25,000 of
0110 -8250 funding for a total of $100,000
$
25,000
One time
Lexus Newport to Ensenada Yacht Race sponsorship -
_
0110 -8250 Third year, last year increased from $10,000 to $15,000
$
15,000
One time
Newport Beach Restaurant Association sponorship of the
First Annual NB Restaurant Week. Last year funding at
0110 -8250 $35,000 for marketing /re- branding campaign.
$
50,000
One time
0110 -8250 Challenge Pledge for refurbishment of CdMHS pool
$
290,000
One time
.Administrative Services
0640 -8080 Cost of Services Fee Study
$
100,000
One time
Police Department
Add'I position, Facilities Maintenance Worker, expense
1820 -7` shared by ABLE
$
47,871
On -going
TOTAL SUPPLEMENTAL BUDGET ITEMS
1w"Wam- MIAMI
$
674,021
Public Works
7261- C5200373 Newport Blvd Right Turn Lane
$
(20,000)
06AA -087
7271- C2320856 Rapping of Fire Station 3
$
(65,000)
7284- C5100470 Irvine Realignment University / Bristol
$
(286,725)
06AA -084
7432- C5100854 Dover Drive
$
(30,000)
06AA -086
7501- C5500386 Water Trans Main Master Plan Improvement -
$
1,000,000
7501- C5500578 Pipeline Master Plan Replacement
$
(1,100,000)
TOTAL CAPITAL PROJECT REBUDGET
$ (501,725)
Budget Checklist Items
Fiscal Year 2006 -07
DepartmentlAccount Number[Description Amount Approved
SUMMARY BY TYPE OF REQUEST
Supplemental Requests
Capital Improvement Program Re- Budget
TOTAL CHECKLIST ITEMS
SUPPLEMENTAL REQUESTS BYFUND
FY O6 General Fund Carryover Items
General Fund - Supplemental Requests
Gas Tax Fund
Tidelands Fund
ContributionsIRDA
Building Excise Tax
Newport Coast Annexation Fund
Mariners Library
Equipment Fund
Total Supplemental Requests
CAPITAL IMPROVEMENT PROGRAM RE- BUDGET BY FUND
General Fund
Gas Tax
Tidelands Fund
Contribution Fund
Circulation & Transportation Fund
Building Excise Tax
Measure M - Competitive
Environmental Liability -
City Hall Improvement Fund
Bonita Canyon Development Fund
CIOSA Construction Fund
Water Fund
Total Capital Improvement Program Re- Budget
SUMMARYBYFUND TOTAL CHECKLIST ITEMS
FY O6 General Fund Carryover Projects
General Fund
Gas Tax
Tidelands Fund
Contribution Fund
Building Excise Tax Fund
Measure M - Competitive
Circulation & Transportation Fund
Environmental Liability Fund
Newport Coast Annexation Fund
Oil Spill Remediation fund
City Hall Improvement Fund
Bonita Canyon Development Fund
Mariners Library
Water Fund
Equipment Fund
TOTAL CHECKLIST ITEMS
City o f Newport Beach 3 2006 Agenda May ,
C'*�
\LIF
Fiscal Year 2006 -07 Department Budget Review
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.
2003 -04 2004 -05 2005 -06 2006 -07
* Includes Airport Growth Control and Spheres Issues expenditures
Includes Spheres Issues and Centennial expenditures
2
Actual
Actual"
Estimated"
Proposed'
C c
o ca
v i1
Salaries and Benefits
$
146,219
$
239,265
$ 273,534
$
256,192
Maintenance and Operations
$
922,002
$
1,390,787
$ 1,773,635
$
1,004,668
_o
Q
Capital Outlay
$
-
$
8,869
$ 7,000
$
7,000
Total
$
1,068,221
$
1,638,921
$ 2,054,169
$
1,267,860
* Includes Airport Growth Control and Spheres Issues expenditures
Includes Spheres Issues and Centennial expenditures
2
O
c�
M
C C-
0 M
c6
U
O
Q
CLERK
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.
2003 -04
Actual
2004 -05
Actual
2005 -06
Estimated
2006 -07
Proposed
Salaries and Benefits $ 261,437 $ 288,860 $ 317,779 $ 338,205
Maintenance and Operation $
33,343 $
34,089
$
54,909 $
54,804
Capital Outlay
$
2,901
$
- $
-
Total $
294,780 $
325,850
$
372,688 $
393,009
Elections
$
49,606
$
- $
100,000
Grand Total $
294,780 $
378,357
$
372,688 $
493,009
CLERK
Service Indicators
2003 -2004
2004 -2005
2005 -2006
2006 -2007
Actual
Actual
Estimated
Projected
Council Meetings, Regular
23
23
23
23
Council Meetings, Special or Adjourned
21
23
30
25
Resolutions adopted
80
78
80
80
Ordinances adopted
25
27
30
30
Municipal elections
0
1
0
1
Registered voters
55,997
60,529
60,373
60,000
Municipal Code Supplement pages distributed
45,000
52,479
55,000
55,000
Claims /Summons and Complaints processed
180
169
170
180
Contracts /Agreements processed
120
113
120
120
Notices of Completion /Release Bonds
30
17
15
15
Documents processed to Orange County Recorder
40
17
20
20
Pages scanned into Document Imaging System
35,000
80,000
50,000
50,000
Passports processed
800
655
800
800
CITY MANAGER
�E
To maintain the delivery of high quality municipal services and
legislate and manage the affairs of the city according to law
U' and for the benefit of residents and property owners
2003 -04* 2004 -05 2005 -06 2006 -07
Actual Actual Estimated Proposed
C C
O M
1p a
Salaries and Benefits
$
2,004,133
$
2,066,053
$
2,284,919
$
2,523,282
CU
Maintenance and Operations
$
1,664,168
$
663,611
$
1,958,294
$
1,229,721
Capital Outlay
$
30,156
$
24,860
$
43,724
$
36,000
Q
Total
$
3,698,457
$
2,754,524
$
4,286,937
$
3,789,003
* Code & Water Quality Enforcement Division added.
5
City Manager— Key Divisions
• Code & Water Quality Enforcement —
6 full -time employees and .25 FTE
$647,047
• Public Information
1 full -time employee and .94 FTE
$180,699
• Harbor Resources
7 full -time employees and 6.71 FTE
$1,9657090
O
HUMAN RESOURCES
To increase the City's effectiveness through recruitment and retention
o of employees committed to providing quality public service that meets
E the goals and objectives set by the City Council and the City Manager.
M
U) 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.
7
2003 -04
2004 -05
2005 -06
2006 -07
Actual
Actual
Estimated
Proposed
o M
z
co
Salaries and Benefits
$
823,561
$
856,861
$
926,476
$
1,078,960
o
Maintenance and Operations
$
332,110
$
421,983
$
437,660
$
563,660
Q
Capital Outlay
$
9,333
$
9,364
$
8,000
$
8,000
Total
$
1,165,004
$
1,288,208
$
1,372,136
$
1,650,620
7
HUMAN RESOURCES
Human Resources
Administration /Operations
$1,146,594
Staffing: 6.25
Human Resources Director (5)
Human Resources Manager
Sr. Human Resources Analyst
Human Resources Analyst (.75)
Human Resources Specialist (2)
Department Assistant
MOU Administration
Civil Service Board Support
Employee /Labor Relations
Citywide Training
Recruitment /Selection
Classification /Compensation
PERS /PARS Assistance
Employee & Retirement Counseling
Grievances & Disciplines
Risk
Management
$504,026
Staffing: 3.5
Human Resources Director (5)
Risk Manager
Human Resources Analyst
Human Resources Specialist
General Liability
Workers' Compensation Claims Admin.
Disability Benefits
Benefits Administration
Retiree Medical Insurance
Disability Retirements
Contract Review & Insurance Compliance
Loss Control
HUMAN RESOURCES
Service Indicators
2004 -2005
2005 -2006
2006 -2007
Actual
Estimated
Projected
Recruitments
67
88
110
Firefighter Pre - Employment Process
15
25
15
Tuition Reimbursements
153
165
180
UnemploymentClaims
16
20
21
Personnel Action Forms =
1,256
1,488
1,500
Classification /Compensation Studies
38
40
44
Surveys for other agencies
168
180
189
PERS /PARS Issues
98
105
110
Fingerprints entered
368
384
400
Trainings Conducted
13
27
25
Contract Negotiations meetings
40
20
45
Employee Relations Matters
26
30
30
Benefit Forms Processed Actives & Retirees
728
926
972
General Liability Claims
77
45
47
Workers' Compensation & Disability Claims
126
133
130
Industrial Disability Retirements Processed
3
3
3
New Employee Orientations Conducted
35
69
72
Part -time hires
51
140
175
O
HUMAN RESOURCES
Increased Funds
• $120,000 for increased recruitments
•$25,000 for employment litigation
•$54,712 for temporary part -time
HR Analyst
10
Administrative Services
Department
To provide the highest quality
Management Information
Services, Financial Management,
and a variety of support services
for City Officials, the public, and
other departments.
11
Administrative Services Department
Overview
Fiscal Year 2005 -06
• Amended Budget
$6,483,270
• Employees
— 53 Full -time
— 6.24 FTE
Fiscal Year 2006 -07
• Proposed Budget
$7,431,501
• Employees
— 53 Full -time
— 5.83 FTE
12
Division Information
y � �
..M F� Jim .
RESOURCE MANAGEMENT
Budget Management
Investment Management
Internal Control
Staffing: 3
$501,304
14
FISCAL SERVICES
Cash Management
Purchasing
Warehousing & Inventory Control
Printing & Reproduction
Postal Services
Remittance Processing
Accounts Payable
Parking Meter Operations
Staffing: 16 plus 2.48 FTE
$1,857,985
15
MGMT INFORMATION SYSTEMS
Computer Applications Support
Telecommunications
Geographic Information System
PC Technical Support
Network Management
Database Management
Staffing: 17 plus .5 FTE
$2,700,056
16
REVENUE
Municipal Billing
Intergovernmental Transfers
Licenses
Regulatory Permits
Revenue Development
Receivables & Collections
Staffing: 12 plus 1.6 FTE
$1,364,426
17
ACCOUNTING
General Accounting
Payroll
Property Control & Fixed Asset Tracking
Audit Coordination
Debt Administration
Financial Reporting
Staffing: 8 plus 1.25 FTE
$1,007,730
Other Activities
Debt Service Estimates
2006 -2007
1
e e e
2007
Original
Balance
Balance
Total
Principal
Issuance
07/01/2006 Additions
Deletions
06/30/2007
Payments
Interest
Paid to Date
Refunding Library COP
7,330,000
5,280,000 -
(300,000)
4,980,000
562,530
262,530
2,350,000
Balboa Marina Loan
3,457,930
1,632,789 -
(163,587)
1,469,202
237,062
73,475
1,988,728
Water Revenue Refunding Bonds
14,225,000
5,925,000 -
(1,385,000)
4,540,000
1,643,763
258,763
9,685,000
Rolling Stock Leases
1,700,049
166,447 -
(116,566)
49,881
119,568
3,002
1,650,168
Section 108 Loan
2,400,000
2,207,000 -
(73,000)
2,134,000
191,224
118,224
266,000
Pre - Annexation Agreement
18,000,000
13,200,000 -
(1,200,000)
12,000,000
1,200,000
-
6,000,000
Total Debt Service
47,112,979
28,411,236
(3,238,153)
25,173,083
3,954,147
715,994
21,939,896
1
e e e
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
$ 171258,000
3,292,000
320,000
875,000
3,638,000
7,296,489
20
Major Charges /Fees /Taxes
Administrative Services actively manages the four largest City
tax revenue sources:
Total Property Tax
Sales Tax
Transient Occupancy Tax
Business License Tax
$ 671102,454
21,944,142
9,897,529
3,300,000
$ 102,2445125
This represents almost 58.6% of the City's total estimated
2005 -06 Revenue of $174,560,518.
21
Major Charges /Fines
Administrative Services also levies and collects the following
charges:
Administrative Fines /Citations $
Parking Citations
Alarms /Fines /Renewals
Tidelands Billings
And many others
225,000
2,500,000
340,000
5,943,829
22
E2
Fire Department
Fiscal Year 2006/2007
Budget Presentation
By Fire Chief Tim Riley
23
Fire Department Mission...
... to reduce the loss of life and
property from fire, medical, marine
and environmental emergencies
through education, prevention, hazard
reduction and response.
E2
24
Department Summary
25
FY 2006
FY 2007
% Inc
Revised Estimate
Proposed Budget
TOTAL
2696259053
2899539644
8.75%
Salaries
221 1681771
24,414,299
10.13%
84.32%
Maint & Ops
319821634
413351710
8.87%
14.98%
Capital Outlay
473,648
2031635
- 57.01%
10.70%
25
Department Detail
26
FY 2007
% of Total
Budget
153 people
+ 32 FTE
Admin.*
1,413,522
4.9
8 & 1
Fire Ops*
18,91089
65.3
115
Prevention
1,231,940
4.2
6
EMS
118421314
6.4
2
Training*
11825,286
6.3
7& 10
Lifeguard
Ops
317291893
12.9
15 & 21
26
Revenue Generation
• $2,070,000 — Paramedic Program
• $878,000 — Junior Lifeguard Fees
• $800,000 - Public Safety Augmentation
Fund (Prop 172) shared with Police Dept.
• $624,235 — Fire Prevention Fees & Fines
27
Significant Program Issues
• Professional Competency
— Changing Management Team
— New Training Center in Santa Ana Heights
• Continued Emphasis on Emergency Prep
— New Community Preparedness Program
— Hazard Mitigation Plan ($28,000)
— Hazard Specific Action Plans
a
Significant Program Issues
(continued)
• Long Term Facility Needs
Need Two Replacement Fire Stations &
Lifeguard Headquarters
— Complete the new Santa Ana Heights Fire
Station
Extended Plan for Two Other Replacement Fire
Stations
— Monitor the Need for a Fire Station at Crystal
Cove
29
New Positions
$514,766
• Information and Communications Coordinator -
$114,443
— $95,745 in Salaries and Benefits
— $6,248 in Maint. & Ops
— $12,450 in Startup Capital Outlay
• 3 Firefighter /Paramedics - $4001323
— $361,323 in Salaries and Benefits
— $11,000 in Maint. & Ops
— $28,000 in Startup Capital Outlay
30
Information &Communication
Coordinator
• Coordinate Special Department
Applications
— Incident Reporting Software
Fire Prevention Inspection Records
Fire Training Records
FireView Incident Analysis Software
Telestaff Staffing and Payroll Software
Mobile Data Computers
Mobile Mapping Software
EMS Medical Billing Software
31
Information &Communication
Coordinator (cont °a)
• Coordinate with Other Providers
MetroNet Communications for Dispatching
— City MIS Division for Networking and
Technical Support
— Orange County Communications for Mobile
Networks
— Numerous Hardware and Software Vendors
— Assist over 300 Intradepartmental Users with
Dept. programs
32
New Firefi
ter Paramedic Positions
• Minimum Effective Staffing on Truck
Companies (3 vs. 4)
• Increase Daily Staffing Level
• Maintain FF /PM Competency in Dual Roles
• Maintain 7K Exemption for FLSA
Overtime
33
Fire Equipment Types
Command Car
5
Ladder T
�b z.
C
Paramedic Am ulance
I�
34
Engine Company Operations
• One Captain, One Engineer, One Firefighter
• One per Station
• Carries Hose and Water; Equipped with a
Pump
• First - arriving Unit for Fires & Medical Aids
• Deploy Hoses, Hook -up to Hydrants,
Conduct Initial Fire Attack, Search &
Rescue
35
Ladder Truck Operations
• One Captain, One Engineer, One Firefighter
• One At City Hall, One at Fashion Island
• 100' Aerial Ladder, 172 feet of ground ladders
• Huge Inventory of "Special" Tools & Equip.
• Perform forcible entry, ventilation, carry and
position ladders, control utilities, provide work
lighting, perform salvage and overhaul, special
rescue and extrication, and other duties
36
Paramedic Company Operations
• Two Firefighter Paramedics
• At City Hall, Fashion Island and CdM
• No firefighting capability
• Assigned to truck company, when available
• Provide medical care for fire victims/ Rehab
and medical care for Fire personnel
37
Fireground Resource Needs
IM ftit
(15 personnel within 8 minutes)
Establish Command
Establish Water Supply — 400 gpm for 30 mins.
Establish 1 attack hose line
Establish 1 back -up /exposure hose line
Establish Search & Rescue Team
Establish Ventilation Team
Mandatory Rapid Intervention Crew
Aerial Ladder Operator, if deployed
0
First Alarm Assignment
3 Engines, 2 Trucks, 1 PM, 1 B/C
12 personnel
within 8 minutes
2 Fire Engines (6 personnel)
1 Ladder Truck (3 personnel)
1 Paramedic Unit (2 personnel)
1 Battalion Chief (1 personnel)
18 personnel
within 15 minutes
3 Fire Engines (9 personnel)
2 Ladder Trucks (6 personnel)
1 Paramedic Unit (2 personnel)
1 Battalion Chief (1 personnel)
39
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1
Building Department
To ensure the quality of life of those who
live, work, and visit the City of Newport
Beach by promoting safety in the regulation
of the construction, use, and occupancy of
buildings and by taking a customer oriented
approach to finding educated, cost effective
solutions.
41
Building Department
Allocation Plan
Salaries and Benefits
Maintenance and
Operations
Capital Outlay
2003 -04
2004 -05
2005 -06
2006 -07
Actual
Actual
Estimated
Proposed
$ 2,385,288
$ 2,562,909
$ 3,003,161
$ 3,413,891
$ 638,336 $
$ 42,048 $
699,369 $
30,340 $
280,591
26,500
$ 309,4097
$ 26,500
Total $ 31065,672 $ 31292,618 $ 3,310,252 $ 3,749,888
Full time Employees: 29
Part -time Employees: 2.56 FTE
t. \v PgNT
s
Building Department
36 positions— 29 permanent full time
7 part time
Administration (949) 644 -3275
Building counter (949) 644 -3288
Fax# (949) 644 -3250
Chief Buildina
Inspector
Steve Hook
x3265
Principal Inspector
Commercial
Ray Baltera
x3261
Senior Building
Inspectors
Steve Michael
x3260
Paul Sobek
x3268
Residential Buildina
Records Inspector
Jana Egan
x3216
Principal Inspector
Residential
John Burckle
x3262
Senior Building
Inspector
Mike Dexter
x3267
Building Inspectors II
Dennis Capp
x3266
Mel Fleener
x3271
Edward Hotz
x3273
Don Taylor
x3263
Jim Uitermark
X3272
Building Director
Jay Elbettar
x3282
9
Deputy Building
Official
Faisal Jurdi
x3277
Plan Check
Engineers
Yousef Barer
x3278
David Groverman
x3281
Suzanne Kusik
X3285
All Naji
x3292
Eric Skarin
x3270
Sam Shaker
X3279
Subtrade Plans
Examiner
Dan Macey
x3269
Senior Permit
Technician
Susan McCourt
x3289
Permit Technicians
Cara Delancey
x3291
Leslie Duarte
X3290
Jessica Sanchez
x3287
PIT Permit Technician
Jamie Harris
x3274
Student Aides
Aaron Harty
Outside Plan Check Consultants
Charles Abbott & Assoc. (949) 362 -3820
Harris & Assoc. (949) 655 -3900
VCA Group (714) 978 -9780
Geotech Consultant
Begahi Engineering (949) 252 -8292
Administration*
*Clerical services for all
divisions are pooled by
administration.
Administrative Records
Assistant Specialist
Monks Goodwin Lanny Krage
x3276 I I x3293
Department Assistant
Student Aide
Debi Schank
x3284
William Trinh
Office Assistant
Susan Yamada
x3280
PIT Office Assistant
Open
'
Student Aides
Fern Nueno
Raymund Reyes
Paul Rousseve
April 2006
43
Building Department
Division Information
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Building Department
Budget by Division
• FY 05 -06 Total Department Budd
$ 3,3101252
Administrative Division:
$
5041958
Inspection Division:
$
1129108
Plan Check & Permits:
$
1151306
• FY 06 -07 Total Department Budget:
$ 3,749,888
Administrative Division:
$
536,379
Inspection Division:
$
1,522,720
Plan Check & Permits:
$
11690,789
45
Building Department Divisions
Budget and Staffing
Plan Check and Permits —
* 12 full -time employees and 1.13 FTE
$ 1,690,789
• Inspections —
* 12 full -time employees and .63 FTE
$1,522,720
Administration —
5 full -time employees and .8 FTE
$536,379
*Building Inspector II position was reclassified to
Mechanical, Electrical & Plumbing Plan Check Engineer
Building Department Divisions
Percentage of Budget
Plan Check /
Permit Processing
45.4%
Administration
14.4%
Inspection
40.2%
47
Building Department
Changes in Positions FY 2005 -06
• One full -time Building Inspector position
reclassified to one full -time Subtrades Plans
Examiner position.
12/12/20050
Position was filled on
-c
V
L r '�
id
I
Building Department
Service Indicators
Plan Submitta ls
Permits Issued
Building Permits
Grading Permits
Electrical Permits
Plumbing Permits
Mechanical Permits
Pool /Spa Permits
Harbor Permits
Residential Building Records (RBR) Permits
Fire Permits
Total Permits:
Inspections
Building Code Enforcement
Inspections related to Complaints
RBR Inspections
Construction Inspections
Total Inspections:
2003 -2004
Actual
3,306
2004 -2005
Actual
3,059
2005 -2006
Estimated **
4,117
31793
3,753
432
319
317
2531
2202
2,794
2034
1924
1,770
1492
1366
1,240
178
162
162
113
87
118
1,686
1,572
1,626
448
580
576
13,031
12,005
12,356
399
11250
1,555
47.117
50,321
* Inspections done by other departments are no longer included in this report
** Seasonal conditions and economic factors can significantly affect future projections
259
1,052
1,241
34.935
37,487 *
278
973
972
31,255
33,478
FISCAL YEAR 2006 -07 BUDGET REVENUE WORKSHEET
Building
Dept.
Acct
Title
Act FY 03
Act FY 04
Act FY 05
FY 06 Bud
FY 06
Projected
Total
FY 07
Estimated
Base
2900
4610
BUILDING PERMITS
1,331,909
1,561,642
1,684,634
1,400,000
1,781,000
1,692,000
2900
4612
ELECTRICAL PERMITS
178,755
216,370
206,051
176,000
216,000
205,000
2900
4614
GRADING PERMITS
124,795
158,912
143,027
125,000
138,000
131,000
2900
4616
PLUMBING PERMITS
154,221
198,344
213,316
180,000
195,000
185,000
2900
4618
HEATING PERMITS
76,594
106,393
111,057
99,000
100,000
95,000
2900
4622
POOL /SPA PERMITS
54,418
67,387
61,852
68,000
64,000
61,000
2900
5023
PLAN CHECK - O.T.
11,195
4,954
17,393
16,000
11,000
10,000
2900
4627
HARBOR PLAN CHECK (BLDG)
19,728
12,744
10,349
8,000
19,000
18,000
2900
4628
HARBOR PERMIT
22,198
24,006
16,193
11,000
24,000
23,000
2900
4858
REFNDS &REBATES -FRM
GVMNTS
105
150
0
0
15
0
2900
5001
WITNESS FEES SUBPOENA
105
839
1,278
0
125
100
2900
5002
PLAN CHECKING FEES - BLDG
1,040,580
1,316,184
1,452,456
1,100,000
1,470,000
1,397,000
2900
5004
PLAN CHECK FEES - GRADING
81,114
104,513
115,695
92,000
127,000
121,000
2900
5005
RESIDENTL BUILDNG RECRDS
285,620
307,287
275,788
202,000
242,000
230,000
2900
5008
SPEC INSPECTION SVC FEES
42,828
33,153
37,524
29,000
37,000
35,000
2900
5017
ENERGY COMPLIANCE PLAN
CHECK FEES
56,951
65,367
58,050
46,000
65,000
62,000
2900
5018
DISABLED ACCESS REVIEW
51,501
46,689
47,220
33,000
47,000
45,000
2900
5021
HAZ MAT DISCLOSURE
6,236
6,263
7,426
5,000
7,000
6,500
TOTALS:
3,538,852
4,231,197
4,459,310
3,590,000
4,543,140
4,316,600
50
Building Department Revenue
5.0
4.5
M
1.0
0.5
0
93 -94 94 -95 95 -96 96 -97 97 -98 98 -99 99- 2000- 2001- 2002- 2003- 2004- 2005-
2000 2001 2002 2003 2004 2005 2006"
Fiscal Years
*Projected
51
3.5
y
3.0
O
2.5
2.0
O
H
1.5
1.0
0.5
0
93 -94 94 -95 95 -96 96 -97 97 -98 98 -99 99- 2000- 2001- 2002- 2003- 2004- 2005-
2000 2001 2002 2003 2004 2005 2006"
Fiscal Years
*Projected
51
"I
0
CONSTRUCTION ACTIVITY REPORT - MONTH OF MARCH 2006
BUILDING PERMITS ISSUED
Current
Month
Previous
Mont
Fiscal Year
I To Date
Previous FY
To Date
Total Valuation:
$37,844,714
$14,028,013
$230,999,461
$174,493,933
Building Permits:
332
217
2,632
2,677
Total Permits:
1,013
738
7,844
7,550
Plan Submittals:
258
247
2,118
2,230
BUILDING PERMITS ISSUED
* Includes processing permits /change of contractor /fire damage repair /dry-rot deck repair
Scope of 1 project was to add 1 unit
52
Number
Valuation
Dwelling
Units
Single Family Buildings
20
$18,172,075
20
Two Family Buildings
6
$4,260,000
11
Religious Building
6
$3,248,200
Guard House
1
$45,000
Patios /Decks/Trellis
7
$82,700
Pools/Spas
16
$777,920
Residential Additions /Alterations
122
$5,759,965
Commercial Additions /Alterations
24
$3,253,321
Residential Garage
1
$350,000
Fire Sprinkler/Alarms/Misc.
50
$354,911
Demolitions:
One Family Building
Two Family Building
Other Than Dwelling
15
4
2
$128,750
$33,700
$3,000
(15)
(8)
Miscellaneous:
Re -roofs (31)
Fences /Retaining Walls (26)
Signs /Banners (23)
Misc. 38
118
$1,375,172
ITOTALS:
1 392
$37,844,714
8
* Includes processing permits /change of contractor /fire damage repair /dry-rot deck repair
Scope of 1 project was to add 1 unit
52
$350
$50
$0
Building Department
Construction Valuation
92 -93 93 -94 94 -95 95 -96 96 -97 97 -98 98 -99 99- 2000- 2001- 2002- 2003- 2004- 2005-
2000 2001 2002 2003 2004 2005 2006'
Fiscal Years
*Projected
53
$300
0
$250
c
0
v
$200
=
o
$150
0
U
+�
$100
$50
$0
Building Department
Construction Valuation
92 -93 93 -94 94 -95 95 -96 96 -97 97 -98 98 -99 99- 2000- 2001- 2002- 2003- 2004- 2005-
2000 2001 2002 2003 2004 2005 2006'
Fiscal Years
*Projected
53
Building Department
Future Programs and Service Enhancements
• Combine issuance of building, electrical, plumbing, and
mechanical permits into one combination permit
• Increase counter plan review and permit issuance services
• Continue transition of electrical, mechanical, plumbing, fire alarm
and fire sprinkler plan check to the newly hired subtrades plans
examiner
• Update our handheld computer system for field inspections to a
real time wireless system that will allow immediate inspection
results for our customers on the Internet
• Automate plan check correction list
54
VN,
IN.
55
c„ou
Mission Statement
To provide services and support to the residents,
business community, and other City departments
through dedication and excellence in performance, cost
containment, and safety.
Department Goals
*Coordinate beautification programs throughout the City
*Improvement and maintenance of community assets
•Ensure environmental responsibility with recycling and storm water
management programs
•Provide exemplary level of customer service to other departments
and the public
•Empower and train employees for greater responsibility
H
Department Programs and Services
Castaways Park
-Maintain Public Restrooms
-Maintain Public Facilities
*Environmental Programs /Recycling
-Street Sweeping
-Beach Maintenance
-'
-Maintain Public Signage
-Street and Pavement Striping /Marking
-Graffiti Abatement
#
-Refuse Collection
f
-Fabricate Furniture for City Facilities
+
•Maintain Parks /Landscaped Areas
•Manage the City's Urban Forest
-Fleet Maintenance
-Fleet Replacement
-Maintain Storm Drains
i : -
-Maintain Tide Valves
i®r ,
•Maintain Public Right of Way
- Sidewalks, Streets, Curbs, Gutters
Castaways Park
Accomplishments - Fiscal Year 2005 -06
-Corona del Mar Improvements
-Picnic Area Renovation
-Temporary Modular Restroom
-Centennial Events
-Diverted 54% of Refuse from Landfills
-Service Accomplishments
-Maintained 6.5 Miles of Ocean Front
-Collected 45,626 Tons of Residential
-Maintained 223 Acres of Parks
-Replaced 56,599 Square Feet of Cor
-Tree City USA Growth Award- 11th Strai
-Tree City USA Award- 16th Straight Yea
-Special Event Coordination /Setup Assist
• 12 Races
•41h of July
-Community Special Events
Department Structure
Administration
6 Personnel
Field Maintenance Operations Support
26 Personnel 32 Personnel
Street Trees
2 Personnel
Equipment
Maintenance
15 Personnel
Parks Maintenance
14 Personnel
Refuse /Recycling
30 Personnel
General Services Department: 125 Personnel
Department Budget Overview
Street Trees
4%
Parks Maintenance
17%
Equipment
Maintenance/
Refuse /Recycling
24%
Maintenance
15%
Operations Support
21%
Department Budget Overview
Equipment
Maintenance/
Replacement
Total Int Svc Fund
$4,249,291
$4,249,291
$4,046,723
$4,046,723
Department Total $23,990,129 $25,6209432
FY 05 -06
FY 06 -07
Administration
$ 720,057
$ 802,412
Field Maintenance
$3,308,502
$3,782,488
Operations Support
$4,823,115
$5,335,847
Refuse /Recycling
$5,767,579
$6,252,163
Parks
$4,083,456
$4,293,355
Trees
$1,038,129
$1,107,444
Total General Fund
$1997409838
$21,573,709
Equipment
Maintenance/
Replacement
Total Int Svc Fund
$4,249,291
$4,249,291
$4,046,723
$4,046,723
Department Total $23,990,129 $25,6209432
Significant Expenditures
Field Maintenance
Asphalt Materials- $298,000
Concrete Materials- $282,900
Operations Support
Dump Fees- $162,800
Facility Maintenance /Repair- $58,600
Custodial Contract - $200,000
Refuse /Recycling
Newport Coast Refuse Collection- $722,650
City Dump Fees - $1,746,000
Parks
Parks /Facilities Mowing and Maintenance- $419,983
Newport Coast Landscape Maintenance- $337,155
Median /Roadside Maintenance- $414,000
Trees
Grid Tree Trimming- $477,075
Newport Coast Tree Pruning- $70,000
Equipment Maintenance
Auto Parts /Supplies - $346,500
Administration Division
Key Challenges
-Newport Coast Refuse Collection Contract-
-Expiration December 31, 2006
*Recycling Programs and
Initiatives
•Administrative /HR Procedures
Field Maintenance Division
Key Challenges
-Refine Street and Sidewalk Management Plan
-Project Coordination
with Public Works Department
w
r
*Street Maintenance /Signage
in Newly Acquired Areas
A
Operations Support Division
Key Challenges
-Pilot Weed Abatement Program -
Newport Coast Drainage Culverts
-Install Inlet Guards- - -
Newly Acquired Sections
of Coast Highway
*New Position- Maintenance Worker I
-Street Sweeping Services
-Annexed Areas- Newport Coast,
Santa Ana Heights
Refuse /Recycling Division
Key Challenges
*Automated Refuse Collection Pilot Program
*Alley Encroachments- -
Balboa Peninsula �■li�i =-e
Ir
Parks /Trees Division
Key Challenges
•Parks /Landscaped Maintenance
in New Areas
*Tree Pruning
in Newport Coast
*Assume Maintenance of
Native Habitat at Morning Canyon
Fleet Maintenance /Replacement Division
Key Challenges
-Design/Installation of Compressed Natural Gas (CNG) Fueling Station
*Develop Training Programs -
Maintenance /Use of CNG Vehicles
-Analysis of Fleet Replacement Fund
*Replacement of City Vehicles
and Equipment
ei
Library Services Department
2006 -2007
Newport Beach Public Library
Newport Beach, California
71
Library Services
Annual Statistics
Customers visit the 4 Newport Beach Library
buildings over 900,000 times a year.
The libraries are open a total of 244 hours a
week.
1.5 million items are checked out annually.
173,000 reference questions are answered by
staff .
227,000 customers access library resources
online each year.
72
Library Services Budget
$5,884,021
LIBRARY SERVICES CONTAINS SEVEN DIVISIONS:
LIBRARY ADMINISTRATION
TECHNICAL PROCESSING
SYSTEMS ADMINISTRTION
BALBOA BRANCH LIBRARY
CORONA DEL MAR BRANCH LIBRARY
MARINERS BRANCH LIBRARY
CENTRAL LIBRARY
LITERACY SERVICES
ARTS AND CULTURAL SERVICES
73
r•
`4
�n1NA ANDJO +IM CRfAN MARIWR`, RRA^'C`�
_,.Ads
The Library's 2006 -2007 operating
budget reflects an 8% increase over
2005 -2006. The major increases are in
the operation of the Donna & John
Crean Mariners Branch Library. This
year's increase includes 1 full -time
Library Assistant to staff the new
building.
74
Total Funding by Division
75
2006 -2007
2005 -2006
ADMINISTRATION
$2,221,181
$2,130,323
BALBOA
$246,998
$219,433
CDM
$1757509
$1575668
MARINERS
$618,394
$492,556
CENTRAL
$214317601
$2,255,514
LITERACY
$12,836
$12,181
ARTS & CULTURE
$177,502
$1603260
Total
$5,884,021
$5,427,935
75
°tee- Library's
�
Major Expenditure Areas
Software &
Salaries & Library Equipment
Benefits Materials Facilities Maintenance Caoital Out
2006-200714,3815107 1 6399740 1 388,579
2005-20061 3,9951915 1 597,740 1 330,659
2006 -2007
11
7%
2% 2%
vio
137,144
131,274
111,100
111,100
■ Salaries & Benefits
■ Library Materials
❑ Facilities
❑ Software & Equipment
Maintenace
■ Capital Outlay
76
Arts &Cultural Services
Special Expenditures
City Grants
Sister Cities
Maintenance & Repair of Art
Salary & Benefits
* New program for 2006 - 2007
$40,000
$20,000
$5,000
$87,667
E3 City Grants
o Sister Cities
m Maintenace &
Repair of Art'
LIBRARY SERVICES
TOTAL FTEs 66.73
11 11 11
Full
Part Time I
15
24
81
24
.1
19
0
'3
06107
TOTAL
FTE
006 -2007
13.15
4.24
2.81
10.24
35.1
0.19
1
66.73
rw
Ilme
12
1
1
5
21
0
1
FTE
1.
3.
1.
5.
14
0.
Library Admin & Support Services
Balboa Branch Library
Corona del Mar Branch Library
Mariners Branch Library
Central Library
Literacy
Arts & Cultural Services
Total Employees
41
25.1
Added 1 new full -time Library Assistant
at Mariners for 2
15
24
81
24
.1
19
0
'3
06107
TOTAL
FTE
006 -2007
13.15
4.24
2.81
10.24
35.1
0.19
1
66.73
rw
Revenue
2006 -2007
❑ General Tax Revenue
■ Fees for Service
❑ Intergovernmental Reimbursements
❑ Miscellaneous Revenues
2006 -2007
2005 -2006
General Tax
Revenue
5,434,021
5,144,590
Fees for
Service
30,000
29,200
2005 -2006
E General Tax Revenue
■ Fees for Service
❑ Intergovernmental Reimbursements
❑ Miscellaneous Revenues
Intergovernmental Miscellaneous
Reimbursements* Revenues*
300,000
329,481
120,000
455,185
*Donations & Intergovernmental Reimbursements are not guaranteed year to year.
79
Budget increases in areas of
staffing and facilities
The new Mariners Library is double the size of
the old Branch and has more public
restrooms, windows and equipment to
maintain.
The hours of service have been increased by
eight hours a week.
Separate areas with service desks for children
and adults are staffed each open hour.
THE YEAR THAT WAS
0101
2005 = 2006
m
THE YEAR THAT WAS
o3nnc o3nna
__ IwAAQ
m
All Fi ■ ! FAIN r TIT /A
IIIIAMMII:
d,scvver `.ry1Se�� ch� }a`0�
reac{in�0•" '` A I'
�.ollecti�^`rC� �i
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liters �/
prv9ramm�
I,I � +1�ll-01- t- -P Librarie
��+ 17ooK5Ytol� California
Library - -T
libreria
Libray
bpokStore biblioteca
plan adult
L-,,Llilclin9
service
libraries^ scietice-
school 1p'llin9 variants
.l Thesaurus terms
Rssociat� °��s
.Translations —
piscover'ytrail
'10
2
e
THE YEAR TO BE
Zoos —zoos lq .
Children's Sun and Sea Discovery Garden
Overdrive — downloadable audio books
E- commerce — Pay library fines onlinr
Librarians on the move — Reference in the
stacks with handheld computer tablets
Cot ter application classes for kids
:.l
Recreation and
Senior Service-!
2006 -2007
Budget
1, &, .
Recrea Non &
Senior Services Deportment
The Mission of the Recreation d Senior Services Department
is to enhance the quality of life in Newport Beach by providing
diverse opportunities in safe and well - maintained facilities and
parks. We pledge to respond to community needs by creating
quality educational, recreational, cultural and social programs
for people of all ages.
---�
n
M
Recreation and Senior Services
Deportment Overview
Total Department Budget: $4,893,600
• Salaries:
• M &O
• Capital Outlay
$2,655,168
$2,223,432
$ 15,000
• 25 Full time staff
• 55 Part time staff
• 150 Independent contract instructors, coaches,
referees, umpires and scorekeepers
0
Division Breakdown
min: 3FT, .50 FTE,
D8,734
creation: 12 FT, 17.33
E, $3,412,988
nior Services: 10 FT, .13
E,$971,878
::
Department Structure
ADMINISTRATION
Front Office and Public Counter Services
Fiscal Services
Web Site and Online Registration
PB &R Commission Support
Centennial Celebrations
RECREATION SERVICES
Youth Programs /Sports
Adult Sports
Aquatics
City -Wide Special Events
City Youth Council
Playground /Park Development
Special Event Permits
Youth Sports Commission
Field /Facility Maintenance
Facility Management/ Reservations
Contract Classes
Park Patrol
Marketing and PR
Playground Inspection
SENIOR SERVICES
Recreational Programs
Educational Classes
Congregate and Home Delivered Meals
Transportation Program
Outreach Services
Family Support Services
Special Events
Information and Referral
Facility Management/ Reservations
Services Division
Over 320,000 people participate in
Department's programs and events
Over 11, 039 people enroll annually in
nearly 2,100 classes
Over 30,000 annual pool visits - lap
swim, lessons, water polo, recreation
swim
963 youth annually in sports programs
200 youth in after school programs,
1, 000 in camps
9,356 people play on 707 adult sports
teams annually: softball, basketball,
volleyball, flag football, soccer
332 5 ecial Event permits issued
annually
.,
Estimated Recreation Division
Re venue 06107
• Fee Based Classes
• Aquatics
• Youth & Adult Sports
•
After School /Camps
• Special Events
• SE Permits /Rentals
• Misc .
• TOTAL
$1,127,500
$214,000
$464,000
$202,950
$112,500
$180,000
$ 74,100
$
70% of Division Budget
5% increase over last year
91
Senior Services Division
Most services offered through OASIS
Social Services: health screenings,
supportive counseling, info & referral,
assessments, phone reassurance
13,000 transportation trips
annually to OASIS, medical
appointments, errands
provided
• 19 000 Congregate and Home
Delivered AlCeals annually
• 55 Classes: history, computers,
exercise, arts, language
• 67,000 students participating in
classes annually
• Social activities: sailing, bridge,
dances, ukulele
92
Estimated Senior Services
Program Revenue 06/07
• Class fees
$44,000
• Transportation fees $22,000
• Rental fees
• Total
$20,000
M20KII
93
Additional Funding/
Services Support to OASIS 06107
• FofO: Program Support
• Fof O : Transportation Support
• Hoag: Transportation Support
Grant
• OCTA : Transportation
Grant
• SCSS : Meals Services
Value
• Coastline CC: Free classes
Value
TOTAL ADDITIONAL SUPPORT:
$6,000
$50,000
$81,000
i.
$70,000
$112,000
$219,000 Cash
$182,000 In Kind
What's New for 06/07?
• Increased Program Expenses
$200,905
• Increased Revenue
$141,142
95
Program Expansi4'
on
Aquatics Program Enhancements:
• Increased training for instructors and
lifeguards
• Addition of safety equipment
• Creation of a Job Training Program
• Enhancement to Recreation Swim Program
r
s.
Increased Special Event Support
Back
Sund
Fun Day
Holiday Eve
9
Catch the Healthy Wave!
Increased emphasis
Health and Fitness
all programs: After
School, OASIS$
Classes
Community Coalition
Park walking maps
Community -wide
kickoff and
health /fitness
challenge
0
in
.:
OASIS Future Planning
• Community Needs Assessment
• Plans for a Capital Campaign
..
Centennial Celebrations
• July 12th Concert at Fashion Island
Featuring Bill Medley
• September 1St Cake Cutting
• October 8th 100 Years Between The Piers
100
06/07 Goals and Highlights
• Future Park Development: Sunset
Ridge, Newport Center Park
• Support efforts for two new
Community Centers in SAH and
Newport Coast
• Lead role in City Centennial
Celebrations
•
Roll-out of Department Marketing Plan
101
Questions?
Recreation d Senior Services Department
Your First Choice for Connecting People,
Play and Programs!
102
Ar
415
I �mrra►iTr
FY zoo6 /o7 Budget Presentation
To provide quality, cost effective
public works and services
to the community of
Newport Beach
Meet the current and future needs of infrastructure,
services, and resources for citizens and visitors
Implement Capital Improvement Program and
design, construct and sustain City's infrastructure in
an efficient and innovative manner
Provide outstanding service and engineering
expertise to ALL customers
Develop a team of proficient and professional staff
Major renovations of existing infrastructure while
minimizing disruption to the public
Many projects in tight quarters require more phasing
and timing to avoid impacts
Emphasis on traffic signal coordination using newer
technologies and public education
Emerging water quality science and implementation
City Building Facilities Master Plan — creating a
roadmap for the improvement, replacement and
maintenance of City owned buildings and facilities
106
Salaries and Benefits
Maintenance and
Operations
2005/06
Estimated
$3,648,877
g
(`0nifol ni iflow qz
2006/07
Proposed
$4,122,653
7941490 $ 859,519
307600 $ 31,100
1473,967 $5,013,272
Increased environmental programming and new
projects related to recent annexation areas
$41.1 million Capital Improvement Program
119 projects plus 10 projects continued from FY 06
Proposed addition of Principal Engineer
Proposed addition of Associate Engineer
Reintroduction of Survey Technician
Transfer of Parking Meter staff to Admin. Services
COLA for Existing Staff
General Insurance Increase
Addition of Principal Engineer
Addition of Associate Engineer
Reintroduction of Survey Worker
Transfer of Meter Expenses
Transfer of Meter Staff
$3511708
$156,735
$144,024
$109,344
$100,158
($ 32,480)
($257,175)
109
Donna and John Crean Mariners Branch Library
Morning Canyon Stabilization Measures
West Newport Streetlight Improvements
Newport Heights, Cliffhaven and Seaward Streets Rehab
East Coast Highway Sidewalk and Wall Installation
City Corporate Yard Building W Upgrades
Mariners and China Cove Pump Station
Corona del Mar Beach Improvements
Fire Station 6 and Police Station Modifications
Traffic Signal Upgrades
Sidewalk, Curb and Gutter Replacement Program
110
Jamboree Road — MacArthur Boulevard Intersection
Improvements
Corona del Mar Area Pavement Rehabilitation
Water Pipeline Master Plan
Sewer and Storm Drain Replacement
Alley Replacement Program
32nd Street Tide Valve Replacement
44th Street Tide Valve Replacement
Begonia Park Playground Improvements
Irvine Avenue 24" Water Main, University to Bristol
Irvine Avenue Sidewalk at Santiago
111
Balboa Village Improvements
Phase 3
West Newport Streets and
Alleys Rehabilitation
Newport Shores Pavement
Rehabilitation
Balboa Island Bayfront Repair
Bay Ave Phase 1 Drainage
(Bay /Lindo)
K
112
Sewer Main Improvements, Big Canyon Trunk
Newport Coast Community Center
Fire Station No. 7 Construction (Santa Ana Heights)
Back Bay Marine Science Center
Jamboree Road Rehabilitation, University to Bristol and
Ford Road to San Joaquin Hills Drive
Newport Boulevard Bioswale
Traffic Signal Coordination
Traffic Signal Improvements
Sidewalk, Curb, Gutter Replacement
Buck Gully Force Main Replacement
113
Flashing Pedestrian Crosswalk on Coast Highway at
Orchid Avenue
Newport Coast Watershed Studies and Improvements
Mariners Park Refurbishment
Little Corona Beach Restroom
Newport Village Park
26th Street Tidal Structure and Bulkhead
Birch Street Rehabilitation
Placentia Avenue and Hospital Road Rehabilitation
Superior Avenue Rehabilitation
114
• Plans, designs and constructs the City's infrastructure
• Protects public property from unpermitted
encroachments and ensures safe construction of private
parties working in the public right -of -way
• Reviews plans for residential and commercial
development
• Adds quality and safety to our lives through the use of
engineered controls and measures
• Organized as three divisions:
General Management and Strategic Planning
Special Projects
Financial and Support Management
Budget and Contracts
Personnel Administration
Permit Issuance
Plan Check Processing
Records Management
Customer Service
Geographical Information Systems
Master Planning
Design Services
Construction Management and Inspection
Special Studies and Projects
Cost Estimation
Right -of -Way Acquisition
Grant Writing
Permit Processing
Surveying
Engineering Resource
Traffic Engineering
Transportation Planning
Subdivision Engineering
Land Use and Development Review
Traffic Signal System Operations
Neighborhood Traffic Calming Programs
Assessment District Administration
Encroachment Permitting
Traffic Engineering Resource
Development Services Resource
The largest expenditures in Maintenance and Operations
are contract services:
• Traffic signal maintenance - $305,000
• Special studies and engineering - $47,000
• Permit related inspection services - $37,300
• Department contribution for 800 MhZ - $31,000
• On -call surveying services - $6,000
The City continues to undertake an ambitious and wide
ranging capital improvement program and service
orientation. Despite the many challenges associated
with an aging infrastructure, State and Federal
mandates, evolving environmental priorities, increased
labor and materials costs, and demanding workload, we
are proud of this department's accomplishments and
the direct impact our services render to the citizens and
visitors of Newport Beach.
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Providing quality, cost
effective public works
and services to the
community of
Newport Beach
S DEPARTMENT
& Gas • Water • Wastewater
on
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The Utilities Department is responsible for providing water service,
wastewater collection, oil and gas production, electrical services, and street
lights to the citizens of Newport Beach. Water is delivered to the tap,
wastewater is transported for treatment, and streets and beach parking lots
are made safer with lighting. The Utilities Department has four divisions:
Electrical, Oil & Gas, Water, and Wastewater.
UTILITIES DEPARTMENT
Electrical
Oil & Gas • Water • Wastewater
SION
The Electrical Division is responsible for the maintenance and operation of the
electrical services at all City facilities. These include park sites, community
buildings, water and sewer pump stations, oil wells, emergency generators,
and over 6000 street and parking lot lights.
UTILITIES DEPARTMENT
lectrical • Oil & Gas • Water • Wastewater
NNEL CHANGES, LARGE EXPENDITURES OR OPERATIONAL CHANGES
Personnel Changes:
None
Operational Changes
None
Large Expenditures
• Energy — (SCE) for the streetlights, signal lights and pedestrian crossing lights - Total
amount of $545,500 - Account 8116
Maintenance & repair materials for street light repairs, series conversions, cabinet
replacement and wiring changes - Total amount of $75,000 - Account 8160
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V 1 1L1 1 1L' J LL' 1 1"111 1 1V1L' 1 '4 1 I (=I
Electrical • Oil & Gas • Water • Wastewater
Uk"NUE OR FEES COLLECTED
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UTILITIES DEPARTMENT
Electrical • Oil & Gas • Water • Wastewater
WATER DIVISION
_ At ,•
The Water Division which consists of four sections (Water Maintenance and
Repair, Water Meters, Water Production, and Water Quality) delivers water
from both local and imported sources. Staff operate the pumps, reservoirs
and pressure reducing stations, perform water quality testing, provide meter
reading services, respond to customer service requests, and perform year -
round preventative maintenance of fire hydrants, shut -off valves, and over
200 miles of transmission mains.
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UTILITIES DEPARTMENT
Electrical • Oil & Gas • Water • Wastewater
CHANGES, LARGE EXPENDITURES OR OPERATIONAL CHANGES
Operational Changes:
Water Purchase Increase — In 2006 -07 the OCWD basin pumping percentage is
estimated to be at 69% of our total demand. OCWD is increasing the total acre -foot
charge for groundwater from $241 to $283. In addition, MWDOC is increasing the
per acre -foot charge for import water from $482 to $496. — this represents a
combined increase of 6.7% or $450,000.
Large Expenditures:
• Water Purchases - Combination of groundwater, surface water and reclaimed water
- Total amount of $6,680,000 - Accounts 8295, 8296 & 8297
• City Services Charge - Cost of services provided by General Fund services - Total
amount of $1,466,750 - Account 8330
Energy — (SCE) for the operation of the pump stations, well sites, reservoirs and
other water facilities - Total amount of $898,,000 - Account 8116
.T
UTILITIES DEPARTMENT
Electrical • Oil & Gas • Water • Wastewater
REVUE OR FEES COLLECTED
entirely funded by the sale of water and connection fees.
Water sales
Connection fees
Interest Income (est.)
Other misc. revenue
Total revenue
Estimate
2005 -06
$14,880,000
$ 1,495,000
$ 370,000
$ 206,078
$16,951,078
Revised
2005 -06
$15,140,000
$ 1,383,000
$ 520,000
$ 2,129,466
$19,172,466
Estimate
2006 -07
$15,532,000
$ 1,555,000
$ 650,000
$ 192,000
$17,929,000
UTILITIES DEPARTMENT
Electrical
Oil & Gas
Water . Wastewater
ION
The Wastewater Division operates 20 pump stations, and maintains over
200 miles of wastewater collection system that transports the City's
wastewater to the County's trunk system for treatment at the Huntington
Beach plant. The Wastewater Division's Closed Circuit Television unit is
working towards video taping the 200 miles of sewer main by 2008 to
meet the General Waste Discharge Requirements for the State of
California.
UTILITIES DEPARTMENT
Electrical • Oil & Gas • Water • Wastewater
NNEL CHANGES, LARGE EXPENDITURES OR OPERATIONAL CHANGES
Operational Changes
- ®_ Grease Control Device / Inspection $20,000 — Account 8159
_ Large Expenditures:
• Equipment Maintenance & Replacement - Paid to internal service fund - Total amount of
$314,250 - Accounts 8022 & 8024
• City Services Charge - Cost of services provided by General Fund services — Total
amount of $292,740 - Account 8330
• Tree Root Foaming Program - Total amount of $85,000 — Account 8189
• Professional services - Total amount of $69,000 — Account 8080.
• Energy (SCE) for the operations of lift stations - Total amount of $60,000 - Account
8116
City of Newport Beach
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Fiscal Year 2006 -07 Department Budget Review
Building Department Divisions
Percentage of Budget
Plan Check /
Permit Processing
45.4%
Administration
14.4%
Inspection
40.2%
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i
Department Budget Overview
Street Trees
4%
Parks Maintenance
17%
Equipment
Maintenance/
Replacement Admin
16% 3%
Field Maintenance
15%
K� RefuselRecycling
24%
Operations Support
21%
T --
Library's
Major Expenditure Areas
11
2006 -2007 ❑ Salaries & Benefits
7% 2% 2%
■ Library Materials
❑ Facilities
❑ Software & Equipment
Maintenace
■ Capital Outlay
Software &
Salaries &
Library
Equipment
Benefits
Materials
Facilities
Maintenance
Capital Outlay
2006 -2007
4,381,107
639,740
388,579
137,144
111,100
2005 -2006
3,995,915
597,740
1 330,659
131,274
111,100
11
2006 -2007 ❑ Salaries & Benefits
7% 2% 2%
■ Library Materials
❑ Facilities
❑ Software & Equipment
Maintenace
■ Capital Outlay
r
Arts &Cultural Services
Special Expenditures
City Grants
Sister Cities
Maintenance & Repair of Art
Salary & Benefits
* New program for 2006 - 2007
$40,000
$20,000
$5,000
$87,667
o City Grants
M Sister Cities
o Maintenace &
Repair of Art"
0 Salary & Benefits
Revenue
2006_2007
❑ General Tax Revenue
■ Fees for Service
❑ Intergovernmental Reimbursements
D Miscellaneous Revenues
2006 -2007
2005 -2006
General Tax
Revenue
5,434,021
5,144, 590
Fees for
Service
30,000
29,200
2005 -2006
❑ General Tax Revenue
■ Fees for Service
❑ Intergovernmental Reimbursements
❑ Miscellaneous Revenues
Intergovernmental Miscellaneous
Reimbursements* Revenues*
300,000
329,481
120,000
455,185
*Donations & Intergovernmental Reimbursements are not guaranteed year to year.
Division Breakdown
O Admin-. 3FT, .50 FTE,
$508,734
■ Recreation: 12 FT, 17.33
FTE, $3,412,988
❑ Senior Services: 10 FT, .13
FTE, $971,878