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HomeMy WebLinkAboutCC Resolution 15221 (Final Citywide Proposed Budget for Fiscal Year 2023-24, Capital Improvement Program, Measure A Work Plan and Legal Spending Limit)1 RESOLUTION NO. 15221 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SAN RAFAEL APPROVING THE CITYWIDE BUDGET AND CAPITAL IMPROVEMENT PROGRAM FOR THE FISCAL YEAR 2023-24 AND PROVIDING FOR THE APPROPRIATIONS AND EXPENDITURE OF ALL SUMS SET FORTH IN THE BUDGET IN THE AMOUNT OF $171,699,035 WHEREAS, on June 5, 2023, City staff presented to the San Rafael City Council at its regular meeting the proposed City-wide Operating budget and a Capital Improvement Program for the fiscal year July 1, 2023 – June 30, 2024; and WHEREAS, after examination, deliberation and due consideration of the Goals and Objectives, Capital Improvement Program, City-wide Operating Budget and corresponding staff recommendations, the San Rafael City Council provided direction to the City Manager, and the City Manager has submitted a Final Proposed Budget; and WHEREAS, it is the intention of this Council to adopt the Proposed Budget submitted by the City Manager as the approved budget for the fiscal year 2023-2024; and WHEREAS, it is the intention of this Council to carry forward unspent capital projects resources funded in fiscal year 2022-2023 to complete the balance of these projects in the 2023-2024 fiscal year; and WHEREAS, it is the intention of this Council to carry forward unspent operational funds from fiscal year 2022-2023 encumbered through approved, active purchase orders to complete the balance of these purchases in the 2023-2024 fiscal year; NOW, THEREFORE, BE IT RESOLVED by the San Rafael City Council that: 1. The City Manager’s proposed one-year budget for the City of San Rafael for the fiscal year July 1, 2023 through June 30, 2024, is hereby adopted, with net appropriations of $171,699,035. General Fund operational uses total $100,041,140 as presented in Exhibit II attached hereto and incorporated herein. A total of $2,344,820 is appropriated for General Plan support, $57,774,613 is appropriated for special revenue and grant activities, $ 4,391,306 for the parking enterprise, $2,550,000 for capital projects, and $24,625,474 for internal service funds and asset replacement as presented in Exhibit I attached hereto and incorporated herein. 2. The sums of money therein set forth are hereby appropriated from the revenues of the City to the departments, functions, programs and funds therein set forth for expenditure during the fiscal year 2023-2024. 3. The Capital Improvement Program and projects presented for implementation in fiscal 2 year 2023-2024 are hereby approved. 4. The budget recommends maintaining headcount at 425.76 full-time equivalent authorized positions, as presented in Exhibit III, attached hereto and incorporated herein. 5. The Unrepresented Mid-Management and Executive Management positions, covered by Resolutions 14955 and 14954, are at-will and as such serve at the pleasure of the appointing authority and may be removed at any time without cause and without right of appeal. 6. The City of San Rafael will carry forward unspent capital project funds from fiscal year 2022-2023 and reappropriate these funds in fiscal year 2023-2024 to be used solely to pay for the remaining portion of City Council authorized expenditures for street, facility, storm drain, traffic mitigation, park and other long-term capital projects started in the 2022-2023 or prior fiscal years. 7. Transfers are authorized from the General Fund to the San Rafael Essential Facilities capital project from Measure E revenues for the purpose of funding the San Rafael Essential Facilities projects. 8. Funds set aside in the Emergency Medical Services Fund balance for the purpose of funding future capital expenditures necessary to support the facilities used to deliver emergency medical transportation and related paramedic services will be made available to qualifying capital projects. I, LINDSAY LARA, Clerk of the City of San Rafael, hereby certify that the foregoing resolution was duly and regularly introduced and adopted at a regular meeting of the Council of said City on Monday, the 5th day of June 2023, by the following vote, to wit: AYES: COUNCILMEMBERS: Bushey, Hill, Kertz, Llorens Gulati & Mayor Kate NOES: COUNCILMEMBERS: None ABSENT: COUNCILMEMBERS: None LINDSAY LARA, City Clerk EXHIBIT I CITY OF SAN RAFAEL 346,929.00 346,929.00 298,012.00 Total Total FY 2023-24 PROJECTED BUDGET Est.Actual Operating Operating June 30, 2024 FUND FUND June 30, 2023 and Capital Transfers Total and Capital Transfers to Total Projected #NAME Balance Revenue In Resources Budget Other Funds Appropriations Balance GENERAL OPERATING FUNDS: 001 General Fund Available Balance $2,224,704 $98,189,599 $1,827,461 $100,017,059 97,834,140 $2,207,000 $100,041,140 $2,200,623 218 General Plan Special Revenue Fund 1,054,748 2,611,969 2,611,969 2,344,820 2,344,820 1,321,897 SPECIAL REVENUE & GRANT FUNDS: 205 Storm Water Fund 7,890,546 830,000 830,000 8,699,777 8,699,777 20,769 206 Gas Tax 7,388,488 12,896,327 12,896,327 19,140,000 650,000 19,790,000 494,815 207 Development Services 1,285 - - 1,285 208 Child Care 19,639 3,261,400 3,261,400 3,254,963 3,254,963 26,076 210 Paramedic/EMS 1,235,785 8,949,660 8,949,660 9,693,072 9,693,072 492,373 216 Cannabis 703,541 225,000 225,000 180,245 180,245 748,296 217 State Lands Fund 335,815 39,000 39,000 - - 374,815 222 Recreation Revolving 196,249 2,141,345 2,207,000 4,348,345 4,523,006 4,523,006 21,588 223 Household Haz. Waste Fund 398,110 - - 119,103 119,103 279,007 228 Hazardous Materials Fund 55,251 - - - - 55,251 234 Pt. San Pedro A.D. Maintenance Portion 88,713 158,000 158,000 183,186 183,186 63,527 235 Baypoint Lagoons L & L Assessment District 200,692 25,368 25,368 212,700 212,700 13,360 236 Loch Lomond CFD #10 762,873 25,000 25,000 18,855 18,855 769,018 237 Loch Lomond Marina CFD #2 402,244 223,119 223,119 135,030 135,030 490,333 240 Parkland Dedication - - - - - 241 Measure A Open Space 305,000 549,878 549,878 665,000 665,000 189,878 242 Measure C Wildfire Prevention 902,260 1,956,238 1,956,238 2,449,469 2,449,469 409,029 495 Low and moderate Income Housing Fund 1,145,304 - 95,760 95,760 1,049,544 LIBRARY AND FALKIRK: 214 Library Revolving 1,462,290 1,024,814 1,910,100 2,934,914 4,120,000 4,120,000 277,204 215 Library Special Assessment Fund 998,165 1,167,507 1,167,507 1,628,626 1,628,626 537,046 Library Fund 2,460,455 2,192,321 1,910,100 4,102,421 5,748,626 - 5,748,626 814,250 PUBLIC SAFETY: 200 Abandoned Vehicle 21,569 80,000 85,000 165,000 175,720 175,720 10,849 202 Asset Seizure 1,637 - - 1,637 204 Crime Prevention 5,573 - - 5,573 230 Youth Services - Police 80,609 15,000 15,000 40,005 40,005 55,604 Public Safety Fund 109,388 95,000 85,000 180,000 215,725 - 215,725 73,663 TRAFFIC AND HOUSING: 243 Affordable Housing in lieu 3,799,032 866,051 866,051 302,000 302,000 4,363,083 245 Housing & Parking In-lieu 362,558 - - 362,558 246 East S.R. Traffic Mitigation 2,366,484 575,000 575,000 725,000 725,000 2,216,484 Traffic & Housing Mitigation Funds 6,528,075 1,441,051 - 1,441,051 1,027,000 - 1,027,000 6,942,126 GRANT: 201 A.D.A.. Access Projects - - - - - - 260 Pickleweed Childcare Grant 128,942 598,207 598,207 674,495 674,495 52,654 281 Public Safety Grants 513,037 538,000 538,000 595,395 595,395 455,642 283 Grant-Other 75,146 842,952 842,952 143,206 143,206 774,892 Grant Funds 717,124 1,979,159 - 1,979,159 1,413,096 - 1,413,096 1,283,187 SPECIAL REVENUE & GRANT FUND TOTAL 31,846,837 36,987,866 4,202,100 41,189,966 57,774,613 650,000 58,424,613 14,612,190 CONSOLIDATED FUNDS I I EXHIBIT I CITY OF SAN RAFAEL 346,929.00 346,929.00 298,012.00 Total Total FY 2023-24 PROJECTED BUDGET Est.Actual Operating Operating June 30, 2024 FUND FUND June 30, 2023 and Capital Transfers Total and Capital Transfers to Total Projected #NAME Balance Revenue In Resources Budget Other Funds Appropriations Balance CONSOLIDATED FUNDS ASSESSMENT DISTRICTS: Var.Assessment District Projects 305,088 - - 305,088 ASSESSMENT DISTRICT TOTAL 305,088 - - - - - - 305,088 CAPITAL PROJECT FUNDS: 401 Capital Improvement 1,317,492 - 300,000 300,000 1,017,492 405 Open Space Acquisition 116,842 - - - 116,842 406 Bedroom Tax 103,275 - - 103,275 407 Parks Capital Projects 14,809 - - 14,809 420 Measure E - Public Safety Facilities 8,100,559 - - 2,250,000 2,250,000 5,850,559 CAPITAL PROJECT FUND TOTAL 9,652,978 - - - 2,550,000 - 2,550,000 7,102,978 ENTERPRISE FUND: 501 Parking Services 7,613,312 4,600,010 4,600,010 4,391,306 582,148 4,973,454 7,239,868 ENTERPRISE FUND TOTAL 7,613,312 4,600,010 - 4,600,010 4,391,306 582,148 4,973,454 7,239,868 INTERNAL SERVICE FUNDS: 227 Sewer Maintenance - 3,152,947 3,152,947 3,152,947 3,152,947 - 600 Vehicle Replacement 5,770,787 1,024,336 1,024,336 3,531,000 3,531,000 3,264,123 601 Technology Replacement 3,073,327 2,369,933 2,369,933 3,459,183 3,459,183 1,984,077 602 Fire Equipment Replacement 1,054,187 131,000 131,000 131,000 131,000 1,054,187 603 Building Improvement 3,594,948 2,000,000 2,000,000 800,000 800,000 4,794,948 604 Employee Benefits 855,550 1,000,000 1,000,000 1,181,309 1,181,309 674,241 605 Liability Insurance 1,016,699 2,364,880 2,364,880 3,373,816 3,373,816 7,763 606 Workers Compensation Insurance 326,132 3,676,730 3,676,730 3,523,455 3,523,455 479,407 607 Dental Insurance 449,526 548,690 548,690 495,000 495,000 503,216 608 Radio Replacement 532,424 450,001 450,001 410,000 410,000 572,425 609 Telephone/Internet 179,863 773,763 773,763 773,764 773,764 179,862 611 Employee Retirement 2,428,159 - - 4,000 680,313 684,313 1,743,846 612 Retiree Health Benefit OPEB 838,627 3,450,833 3,450,833 3,660,000 3,660,000 629,460 613 Police Equipment Replacement 450,330 40,000 40,000 130,000 130,000 360,330 INTERNAL SERVICE FUND TOTAL 20,570,558 20,983,113 - 20,983,113 24,625,474 680,313 25,305,787 16,247,884 TRUST AND AGENCY FUNDS: 712 Library Fiduciary 2,407,165 - - - 1,910,100 1,910,100 497,065 TRUST & AGENCY FUND TOTAL 2,407,165 - - - - 1,910,100 1,910,100 497,065 - COMBINED FUNDS TOTAL 75,675,391 163,372,557 6,029,561 169,402,117 189,520,353 6,029,561 195,549,914 49,527,594 LESS:INTERFUND TRANSFER (6,029,561) (6,029,561) (6,029,561) (6,029,561) LESS:INTERNAL SERVICE CHARGES (17,821,318) (17,821,318) (17,821,318) (17,821,318) NET TOTALS FY 2023-2024 75,675,391 145,551,239 - 145,551,239 171,699,035 - 171,699,035 49,527,594 I I GENERAL FUND PROPOSED BUDGET FY 2023-24 EXHIBIT II REVENUES & OTHER OPERATIONAL SOURCES Taxes Property Tax and related 25,351,496$ Sales Tax 25,414,990 Sales Tax -Measure E 14,487,000 Sales Tax -Measure R 4,829,000 Franchise Tax 4,270,000 Business Tax 2,602,000 Transient Occupancy Tax 3,100,000 Other Agencies CSA #19 Fire Service 2,515,788 VLF Backfill 7,000,000 Other Agencies (Prop 172, Owner Prop Tax, State Mandate, Other agencies)1,853,633 Other Revenues Permits & Licenses (building, electrical, encroachment, use, alarm)2,855,788 Fine & Forfeitures (traffic, vehicle, etc.)212,740 Interest & Rents (investment earnings, rents, etc.)456,900 Charges for Services (includes dev't fees and plan review)2,645,764 Other Revenue (damage reimbursements, misc income)594,500 Sub-total: Revenues 98,189,599$ TRANSFERS IN from Gas Tax 650,000 from Parking Services Fund - Admin. cost 497,148 from Employee Retirement Fund - POB debt payment 680,313 Sub-total: Transfers In 1,827,461$ TOTAL SOURCES 100,017,060$ EXPENDITURES AND OTHER OPERATIONAL USES Expenditures by Department Finance 3,033,755 Non-Departmental 9,578,384 City Manager/City Council 3,247,605 City Clerk 581,169 Digital Service 1,949,021 Human Resources 724,561 City Attorney 1,211,301 Community Development 6,686,645 Police 26,818,491 Fire 23,570,766 Public Works 15,125,015 Library 3,392,971 Economic Development 814,456 Sub-total: Expenditures 96,734,140$ OPERATIONAL TRANSFERS OUT to Recreation Fund - Operating support 2,207,000 to Internal Service Funds 1,100,000 Sub-total: Transfers Out 3,307,000$ TOTAL USES 100,041,140$ NET OPERATING RESULTS (24,080)$ Exhibit III Final Final Final Final Final Final Final Final Final Proposed Budget Departments 2014-2015 2015-2016 2016-2017 2017-2018 2018-2019 2019-2020 2020-2021 2021-2022 2022-2023 2023-2024 Community Development 17.80 19.80 20.00 21.00 21.00 20.75 20.75 22.00 23.00 23.00 Community Services 59.31 59.33 59.43 59.43 60.90 54.90 54.90 54.90 56.90 56.90 City Attorney 3.50 3.50 3.50 3.50 3.50 3.50 3.50 3.50 3.50 3.50 City Clerk 2.00 2.00 2.00 2.00 2.00 2.00 2.00 2.00 2.00 2.00 City Manager/Council 14.56 14.56 14.56 15.56 11.56 11.56 11.56 10.56 11.56 11.56 Economic Development (former RDA)- - - - 2.00 2.00 2.00 1.00 1.00 1.00 Finance 11.00 11.72 11.72 9.72 9.72 9.72 9.72 11.00 11.00 11.00 Fire 79.00 79.00 79.00 78.00 78.00 78.00 78.00 80.00 82.00 82.00 Library 23.41 23.41 23.41 23.41 23.41 21.66 21.66 21.66 21.66 21.66 Human Resources 3.00 3.50 4.00 4.00 4.00 4.00 4.00 3.00 4.00 4.00 Digital Services (Formerly IT)5.70 5.70 6.70 6.70 9.70 8.70 8.00 8.00 8.00 8.00 Parking Services 16.63 16.63 16.63 16.63 16.63 16.63 16.63 16.63 16.63 16.63 Police 88.00 89.00 90.00 90.00 92.00 92.00 94.00 93.00 93.00 93.00 Public Works 62.00 62.00 62.00 62.00 61.00 63.00 64.00 65.00 65.00 66.00 Fixed-Term 7.98 12.26 13.06 18.53 17.16 16.81 21.01 27.51 25.51 25.51 Citywide Positions 393.89 402.41 406.01 410.48 412.58 405.23 411.73 419.76 424.76 425.76 Note: Growth in Fixed-Term employees largely due to new Fire Department staff supported by Measure C funding. City of San Rafael Authorized Positions General Notes: The above-authorized positions are presented as full-time equivalent employees (FTE's) based on various workweek hours as negotiated in employee agreements. The totals by department reflect a combination of full-time or permanent part-time, or fixed term positions that are entitled to all or pro-rated benefits in accordance with the negotiated agreements for employees or individuals who are under contract. The totals reflected above, or in the detail department program sections, do not include temporary or seasonal employees that are utilized for short-term or specific reasons during the year. Figure 1: Graph of Regular and Fixed-Term Staff, 2004 to 2024 320 340 360 380 400 420 440 460 Regular Fixed Term SAN RAFAEL THE CITY WITH A M ISS ION ■ ■