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HomeMy WebLinkAboutSS2 & 21 - Fiscal Year 2015-16 Budget - HandoutReceived After Agenda Printed May 26, 2015 Item No. SS2 & 21 5/26/2015 AXer Sludy Session Budget Checklist - Amendments to the Proposed Budget Fiscal Year 2015 -16 CHANGES TO THE PROPOSED BUDGET AS PRINTED - ADMINISTRATIVE Budget Fiscal Year 2014 -15 Surplus Increase (Decrease) Approved Unassigned, Unrestricted General Fund Fund Balance $_ (1,982,412) General Fund Transfer Out - Neighborhood Enhancement Fund _ $ 991,206 General Fund Transfer Out - Retiree Insurance fund For OPEB Liability $ 991,206 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET - ADMINISTRATIVE $ CHANGES TO THE PROPOSED BUDGET AS PRINTED - PERSONNEL RELATED Budget Department/Account Number /Description Increase (Decrease) Approved City Manager/Economic Development Reclassify one full -time Public Information Specialist to Administrative Analyst _ Finance .31 FTE to provide short-term lodging permit enforcement (estimate related revenue increase of $40,000) $ $ _8,130 20,000 Fire_.. $ (5,769) Reclassify one full -time Department Assistant to Senior Fiscal Clerk in Fire EMS $ 3,974 Add one .75 FTE Senior Fiscal Clerk Limited Term in Fire Administration (funded in IT ERP budget) $ _ 23,858 Lifeguard restructuring - Eliminate 1 vacant full -time LG Officer position, upgrade 3 full-time LG Officer $ _ positions to 3 full -time LG Captain positions and add 3.72 FTE LG Officers. Delayed implementation $ 110,000 of new.72 FTE LG Officers results in first year savings.. _ S (5,579) Library & Cultural Arts Eliminate one full -time Librarian II and reallocate funds to 1.96 FTE Library Assistant position S (32,294) Municipal Operations _ $ _ 3,000 Re_class_ily Superintendent classification_ to Sr Management Analyst in Division 3150 $ - Student Intern Program - Conservation of Outside Irrigation Water (Notification to Customers) $ _ 45,000 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET- PERSONNEL RELATED $ 63,089 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET BYFUND $ 1,057,922 General Fund $ (5,769) Water Fund (Student Intern program originally in General Fund) $ 45,000 Technology Equipment Fund $ 23,858 Total Changes to the Proposed Operating Budget $ 63,089 CHANGES TO THE PROPOSED BUDGET AS PRINTED - MAINTENANCE & OPERATIONS $ 110,000 Budget $ Increase (Decrease) Approved City Council Balboa Museum & Historical Society Grant $ 20,000 _ _ Newport Beach Sister Cities Grant _ $ _ 3,000 Community Development $ 1,057,922 Reduction for Building plan review service contract _ _ _ _ $ (90,000) Library & Cultural Arts Contract Arts Program Manager —_ _- $ 60,000 Police $ __ Beach Security and Fire Ring Management during evening hours at CDM Main and Balboa Pier $ 110,000 Equipment Replacement $ 1,121,011 To alilgn equipment replacement purchase auth m orization, erroneously omitted from proposed budget, with department internal service charges $ 954,922 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET - M &O $ 1,057,922 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET - PERSONNEL AND M &O $ 1,121,011 TOTAL CHANGES TO THE PROPOSED OPERATING BUDGET BY FUND General Fund $ 97,231 Technology Equipment Fund $ 978,780 Water Fund (Student Intern program originally in General Fund) $ 45,000 Total Changes to the Proposed Operating Budget $ 1,121,011 CHANGES TO THE PROPOSED BUDGET AS PRINTED - CIP EXPENDITURES Capital Improvement Project ####- C2002065 CdM Medi Modification Old Central Avenue TOTAL CHANGES TO THE PROPOSED GIP EXPENDITURE BUDGET $ (87,631) TOTAL CHANGES TO THE PROPOSED CIP EXPENDITURE BUDGET BYFUND Department/Account Number /Description Increase (Decrease) Approved General Fund $ - Neighborhood Enhancement Fund $ 900,000 Transportation & Circulation Fund $ (500,000) Contributions Fund $ 902,369 Measure M Fund $ (1,390,000) Total Changes to the Proposed CIP Exp Budget $ (87,631) GHANGESHTO TjHEPROPQSEDiBUDGET�Ms PRINTED tREUENUE Budget Department/Account Number /Description Increase (Decrease) Approved 9010 4404 General Fund - UTOT Residential Tax $ 40,000 425 -5898 Public Arts &Culture -Visit Newport Beach Public Benefit Fee $ 150,000 TOTAL CHANGES TO THE PROPOSED REVENUE BUDGET $ 190,000 TOTAL CHANGES TO THE PROPOSED REVENUE BUDGET BY FUND General Fund $ 40,000 Public Arts Fund 5 150,000 Total Changes to the Proposed Revenue Budget $ 190,000 CAPITAL IMPROVEMENT PROGRAM - RERUDGETS Budget DepartmentlAccount Number /Description Increase (Decrease) Approved Public Works 7012- C2502017 Little Corona WQ Project $ _75 7013 - 02007011 _ _ Slurry Seal Program_ _ _ _ _ _. _ _ _ _$ _(573,200) 7013- C2001013 Landscape Enhancement Program A r1n4a8m Old Newport Blvd & W Coast 7013- CW02031 Tustin Ave Traffic Calming_ _ $ (14,225) 7014 - 03002027 Manners Mile Studies _ __. - _ $ (22,707 ) 7015002022 4 - 0 _ Bayview Heights Restoration _ _ - (30,000)_ 7014- CB002031 7014- C8002037 - _Local Coastal Program Plan _ _ Balboa Island Enhancements __- _$ $ $ _76,874_ 4,425 188,640 7075 - 04002011 CdM Pocket Park $ 2,220 7075 - 04002013 Back Bay View Park $ 2,660 _7181- C2002018 DoverNVestcliff Or St Rehab _ $ 2,635 7181- C2002068 15th St Balboa Reconstruction __. $ (172,200) 7181 - 002072 20 Irvine Ave Pavement Rehab _ -_ _- $ 208,000 7181 - 03001007 Traffic Signal Program S _(15,050) 50,300 7181- C3002018 _ _ _ _Traffic Sign al Modern Ph 6 ization: _ _ _ _ _ _ $ _ 18,246 7231- C4401002- Harbor Piers Maintenance _ _ $ 10,800 DoverlWestcliff Dr St Rehab 7251- C5002004 _ Big Canyon Wash Restoration 7251- C5002019 Santa Ana Delhi Regional Project 7251 - 05002022 Bsyview Hgts Restoration 7255 -05100968 MWDOC Rebate Proiect 30 7282 - 02002076 Macarthur Blvd Pavement Rehab $ (100) _ 7284 - 02002060 -' Old Newport Blvd & W Coast Hwy (Design) __ $ 50 28 7284 - _05002022 _ _ Bayview Heights Restoration $ _ - (30,000)_ 7404- CIO02042 Fire Station No. 5 / Library _ $ 100 74 7 0 - 01 0 0 2035 Civic Center OCIP Loss Claims $ 152,585 7472 - 04002012 Sunset View Park 2,000 7417- C4002017 __ __ Bonita Creek Park Turf Repic __$ $_ (1,544,549) 7425 - 08002036 _ Arts & Culture Master Plan _ _ $ (35,315) 7511- C60014 20 _Newport Blvd Water Main $ 208,000 7527- C6002016 SCADA System Upgrade 7521 - 06002077 Upgrades Central Irrigation System codes _. $ 20,900 7524 - 06002015 _pg_ Water Well Project $ 16400 7547 - 06002016 _ _SCADA System Upgrade $ 20,000 TOTAL CAPITAL PROJECT REBUDGETS $ (2,637,069) CAPITAL IMPROVEMENT PROGRAM REBUDGET BY FUND General Fund $ (407,406) Civic Center Fund $ 152,585 Contributions Fund $ 942,730 Environmental Contributions Fund $ 70,000 Fire Stations Fund $ 100 Measure M Competitive Fund $ (29,950) Measure M Fund $ (1,981,090) Public Art & Cultural Fund $ (35,315) Parks & Community Centers Fund $ (1,544,549) State Gas Tax Fund $ (115,769) Sunset Ridge Park Fund $ 2,000 Tidelands Fund $ (85,100) Tidelands Harbor Capital Fund $ 48,OOD Transportation & Circulation Fund $ 1,395 Wastewater Capital Fund $ 20,000 Water Capital Fund $ 325,300 Total CIP Rebudgets /Changes $ (2,637,069)