HomeMy WebLinkAboutCC Resolution 10248 (1998-99 Budget)RESOLUTION NO. 10248
A RESOLUTION OF THE SAN RAFAEL CITY COUNCIL APPROVING
THE BUDGET FOR THE FISCAL YEAR JULY 1, 1998 - JUNE 30, 1999
AND PROVIDING FOR THE APPROPRIATIONS AND EXPENDITURE OF
ALL SUMS SET FORTH IN SAID BUDGET (IN THE AMOUNT OF
$47,627,348).
WHEREAS, the City Manager has submitted to the San Rafael City Council
a "PRELIMINARY PROGRAM OF MUNICIPAL SERVICES" as the preliminary budget for
the fiscal year July 1, 1998 - June 30, 1999 and
WHEREAS, after examination, deliberation and due consideration, the San
Rafael City Council has approved the same; and
WHEREAS, it is the intention of this Council to adopt said preliminary
budget submitted by the City Manager as modified and amended by the Council as the
approved budget for the fiscal year 1998/99; and
WHEREAS, it is the intention of this Council to carry forward unspent capital
projects funded in fiscal year 1997/98 to complete the balance of these projects in the
1998/99 fiscal year; and
WHEREAS, a copy of which is attached hereto and made a part hereof and
is designated as EXHIBIT "A".
NOW, THEREFORE, BE IT RESOLVED by the San Rafael City Council
that
1. the "CITY OF SAN RAFAEL 1998/99 PROGRAM BUDGET", as amended by the City
Council, is hereby adopted and approved as the annual budget of the City of San
Rafael for the fiscal year July 1, 1998 - June 30, 1999.
2. the City of San Rafael will carry forward unspent capital project funds from fiscal year
1997/98 and reappropriate these funds in fiscal year 1998/99 to be used solely to pay
for the remaining portion of City Council authorized expenditures for street, facility,
storm drain, traffic mitigation and other long term capital projects started in the
1997/98 fiscal year.
I, JEANNE M. LEONCINI, 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 Mondav , the 6th day of Julv , 1998 by the following vote, to wit:
AYES: COUNCILMEMBERS: Cohen, Heller, Miller, Phillips and Mayor Boro
NOES: COUNCILMEMBERS: None
ABSENT: COUNCILMEMBERS: None
JEA NE M. LEONCINI, City Clerk
EXHIBIT A
CITY OF SAN RAFAEL
CONSOLIDATED FUNDS SCHEDULE
1998-99 BUDGET
I Total
FUND FUND
# NAME
GENERAL OPERATING FUNDS:
001 General
007 Employee Benefits
GENERAL OPERATING TOTAL
SPECIAL REVENUE & GRANT FUNDS:
002
Recreation
004
Baypoint Lagoons L & L District
005
Parking Services
006
Gas Tax
008
Child Care
028
Household Materials
040
Loch Lomond Mello Roos District
110
Street Maintenance
120
Street Cleaning
130
Sewer Maintenance
140
Development Services
150
Paramedic/EMS
275
Parkland Dedication
Stormwater Funds
Public Safety Funds
Library Funds
Grant Funds
Housing & Traffic Mitigation Funds
SPECIAL
REVENUE & GRANT TOTAL
98/99
Approp.
31,395,937
684,250
32,080,187
1,647,587
25,333
812,286
1,319,026
2,158,869
824,299
5,170
1,514,262
154,999
744,975
0
2,808,728
227,885
1,387,300
76,081
161,591
703,834
3,849,760
18,421,985
Total
97/98 mid yr
Approp.
32,159,676
684,250
32,843,926
1,462,565
24,500
807,334
1,578,371
1,823,952
708,785
5,000
1,420,002
150,779
696,061
344,000
0
554,613
2,139,412
97,595
45,032
1,380,258
3,990,739
17,228,998
Difference
Increase
(Decrease)
(763,739)
0
(763,739)
185,022
833
4,952
(259,345)
334,917
115,514
170
94,260
4,220
48,914
(344,000)
2,808,728
(326,728)
(752,112)
(21,514)
116,559
(676,424)
(140,979)
1,192,987
7/1/98 comb funds summ 97-99.xls
4:21 PM Page 1 98-99 vs 97-98 mid yr
EXHIBIT A
CITY OF SAN RAFAEL
CONSOLIDATED FUNDS SCHEDULE
1998-99 BUDGET
7/1/98 comb funds summ 97-99.xls
4:21 PM Page 2 98-99 vs 97-98 mid yr
Total
Total
Difference
FUND
FUND
98/99
97/98 mid yr
Increase
#
NAME
Approp.
Approp.
(Decrease)
DEBT SERVICE FUNDS:
075
Peacock Gap Refunding Debt Svc
269,908
262,900
7,008
077
Misc. 1915 Act Debt Service
0
31,500
(31,500)
079
Mariposa Debt Service
26,592
23,411
3,181
800
Financing Authority Revenue Bonds
684,729
358,372
326,357
DEBT SERVICE TOTALS
981,229
676,183
305,046
CAPITAL PROJECT FUNDS:
017
Open Space Acquisition
10,000
5,000
5,000
019
Capital Improvement
50,000
15,700
34,300
210
Parks Capital Improvement
0
111,941
(111,941)
250
Parks & Recreation Facility
0
15,000
(15,000)
Var.
Assessment District Projects
0
753,383
(753,383)
CAPITAL PROJECT TOTALS
60,000
901,024
(841,024)
INTERNAL SERVICE FUNDS:
610
Vehicle Equipment Replacement
1,314,133
1,523,751
(209,618)
620
Facility Repair
58,436
769,671
(711,235)
650
Liability Insurance
832,075
769,671
62,404
660
Workers Compensation Insurance
710,824
689,680
21,144
670
Dental Insurance
318,426
141,100
177,326
INTERNAL SERVICE TOTALS
3,233,894
3,893,873
(659,979)
TRUST AND AGENCY FUNDS:
013
Business Improvement District
60,000
50,000
10,000
021
Montecito Trust
0
5,000
(5,000)
052
Library Fiduciary
30,000
30,000
0
711
Recreation Fiduciary
0
1,200
(1,200)
TRUST & AGENCY TOTALS
90,000
86,200
3,800
COMBINED FUNDS TOTALS
54,867,295
55,630,204
(762,909)
Less Interfund Transfers
(4,432,422)
(3,773,904)
(658,518)
Less Internal Service Charges
(2,807,525)
(2,034,582)
(772,943)
NET TOTALS
47,627,348
49,821,718
(2,194,370)
7/1/98 comb funds summ 97-99.xls
4:21 PM Page 2 98-99 vs 97-98 mid yr
EXHIBIT B
CITY OF SAN RAFAEL
SCHEDULE OF INTERFUND TRANSFERS
PROJECTED FISCAL YEAR 1998-99
REVISED FOR RECOMMENDED BUDGET THROUGH 6/30/98
Transfer
Transferred From
Fund
Fund
Fund Name
Total
Name
Number
Amount
Explanation
TRANSFERSIN
General
559,645
Parking District
Fund 005
66,454
Parking Citation Billing
Child Care
Fund 008
162,846
Administrative support
Falkirk Revolving
Fund 029
21,000
Base Rent Reimbursement
Library Literacy
Fund 051
12,500
Sunday Hours
Debt Service Funds Funds
75,79,800
8,700
Assessment District admin. charges
SRSD Sewer Mtce
Fund 130
68,044
Admin./contract negotiation support
Paramedic/EMS
Fund 150
220,101
Administrative support
TOTAL
559,645
Recreation
723,140
General
Fund 001
723,140
Program support
TOTAL
723,140
Parking District
61,837
General
Fund 001
61,837
Support for one foot beat officer
TOTAL
61,837
Employee
504,250
General
Fund 001
200,000
Accumulated Leave Balances
Benefits
General
Fund 001
190,000
Retiree Medical Payments
General
Fund 001
80,000
Retirement Contribution Reserve
General
Fund 001
24,000
Unemployment Insurance
General
Fund 001
10,250
Employee Recognition
TOTAL
504,250
A.D.A. Access
80,000
General
Fund 001
80,000
Annual A.D.A. projects - tax $$
Projects
TOTAL
80,000
Child Care
0
Pickleweed Grant
Fund 018
-
Admin support from Grant
TOTAL
0
Street
1,512,062
General
Fund 001
677,062
Maintenance and painting support
General
Fund 001
485,000
Street project support
Maintenance
Gas Tax
Fund 006
350,000
Gas tax support for street maint.
TOTAL
1,512,062
Street
154,999
General
Fund 001
154,999
Tax Dollars support
Cleaning
TOTAL
154,999
Storm Drain
560,016
General
Fund 001
560,016
Tax Dollars support - general maint.
Maintenance
TOTAL
560,016
Paramedic
276,473
General
Fund 001
276,473
General tax Dollars support
EMS
TOTAL
276,473
TOTALS 4,432,422 4,432,422
7/1/98 transfers.xls
5:30 PM 98-99 proj tr in
CITY OF SAN RAFAEL
SCHEDULE OF INTERFUND TRANSFERS
PROJECTED FISCAL YEAR 1998-99
REVISED FOR RECOMMENDED BUDGET TIjROUGH 6/30/98
Transfer
Transferred to fund
Fund
Fund Name
Total
Name Number
Amount Explanation
TRANSFERS OUT
General
3,522,777
Recreation Fund 002
723,140 Recreation Program Support
Parking District Fund 005
61,837 Support for one foot beat officer
Employee Benefits Fund 007
200,000 Accumulated Leave Balances
Employee Benefits Fund 007
190,000 Retiree Medical Payments
Employee Benefits Fund 007
80,000 Retirement Contribution Reserve
Employee Benefits Fund 007
24,000 Unemployment Insurance
Employee Benefits Fund 007
10,250 Employee Recognition
ADA Capital Projects Fund 011
80,000 Annual funding for ADA projects
Capital Improvement Fund 019
0 Radio Replacement
Storm Drain Maintenance Fund 042
560,016 General storm drain Mice costs
Street Maintenance Fund 110
677,062 Maintenance and painting support
Street Maintenance Fund 110
485,000 Street Projects
Street Sweeping Fund 120
154,999 Sweeping support
Paramedic/EMS Fund 150
276,473 Paramedic Program support
TOTAL
3,522,777
Parking
66,454
General Fund 001
66,454 Billing support for citations
Services
TOTAL
66,454
Gas Tax
350,000
Street Maintenance Fund 110
350,000 Street maintenance support
TOTAL
350,000
Child Care
162,846
General Fund 001
162,846 Overhead support
Fund
TOTAL
162,846
Pickleweed
0
Child Care Fund 008
- Administration support
Grant
TOTAL
0
Falkirk
21,000
General Fund 001
21,000 Base Rent
Revolving
TOTAL
21,000
Library
12,500
General Fund 001
12,500 Sunday Hours
Literacy
TOTAL
12,500
Peacock Gap
2,923
General Fund Fund 001
2,923 Annual admin. charges
Debt Service
TOTAL
2,923
Mariposa
181
General Fund Fund 001
181 Annual admin. charges
Debt Service
TOTAL
181
S.R.S.D
68,044
General Fund Fund 001
68,044 Admin./contract negotiation support
Sewer Mtce
TOTAL
68,044
Paramedic
220,101
General Fund Fund 001
220,101 Administrative support
EMS
TOTAL
220,101
Kerner Blvd.
3,568
General Fund Fund 001
3,568 Annual admin. charges
Debt Service
TOTAL
3,568
Sun Valley
238
General Fund Fund 001
238 Annual admin. charges
Debt Service
TOTAL
238
C.C. Northgate
1,790
General Fund Fund 001
1,790 Annual admin. charges
Debt Service
TOTAL
1,790
TOTALS 4,432,422 4,432,422
7/1198
5:31 PM
EXHIBIT C
transfers.xls
9899 prof tr out
CITY OF SAN RAFAEL
SCHEDULE OF EQUIPMENT REPLACEMENT
FISCAL YEAR 1998-99
I EXHIBIT D I
Personal Computer Replacements 46,500
Total Capital Outlay FY 98-99 1,192,727
Page 1 98.99 equip replace detail
Original
Equip.
Asset
Dept.
Acquisition
Adopted
Number
Description
Charged
Date
1998-99
VEHICLES
130
1990 Ford Pick -UP Truck
FD
1989-90
30,000
Fire Subtotal
30,000
9
1991 Kawasaki Motorcycle
PD
1990-91
14,410
11
1991 Kawasaki Motorcycle
PD
1990-91
14,410
150
1993 Ford Taurus
PD
1993-94
26,950
154
1991 Kawasaki Motorcycle
PD
1990-91
14,410
155
1991 Kawasaki Motorcycle
PD
1990-91
14,410
156
1981 Cushman
PD
1980-81
27,351
161
1987 Ford Van
PD
1987-88
47,120
196
1993 Chevy Astro Van
PD
1992-93
31,663
197
1993 Chevy Astro Van
PD
1992-93
31,663
221
1995 Chevrolet Sedan
PD
1994-95
33,450
222
1995 Chevrolet Sedan
PD
1994-95
33,450
224
1996 Chevrolet Sedan
PD
1995-96
33,450
225
1996 Chevrolet Sedan
PD
1995-96
33,450
261
1994 Oldsmobile Ciera
PD
1994-95
25,520
262
1994 Oldsmobile Delta 88
PD
1994-95
25,520
263
1994 Dodge Intrepid
PD
1994-95
25,520
264
1994 Ford Taurus
PD
1994-95
25,520
265
1994 Ford Taurus
PD
1994-95
25,520
266
1994 Ford Taurus
PD
1994-95
25,520
267
1996 Ford Taurus
PD
1995-96
25,520
Police Subtotal
534,827
41
1987 2 Ton Dump Truck
PW
1986-87
46,300
42
1987 2 Ton Dump Truck
PW
1987-88
46,300
47
1987 2 Ton Dump Truck
PW
1987-88
46,300
50
1989 Ford Aerostar Van
PW
1988-89
24,500
58
1983 Chevy 3/4 Ton Pick -Up
PW
1982-83
25,200
61
Vibrastat Roller
PW
1979-80
26,600
69
1982 2 Ton Dump Truck/chipper
PW
1981-82
50,000
79
American Trailer
PW
1982-83
6,000
86
1987 2 Ton Dump Truck
PW
1887-88
46,300
Public Works Subtotal
317,500
16
1988 Ford Ranger Pick -Up
Rec.
1987-88
20,200
83
1989 Ford Escort Sedan
Rec.
1988-89
20,200
102
1985 Chevy Station Wagon
Rec.
1984-85
23,500
Recreation/Child Care Subtotal
63,900
Total Vehicle Expenses FY 98-99
946,227
OTHER EQUIPMENT
Fire Breathing Apparatus
200,000
Personal Computer Replacements 46,500
Total Capital Outlay FY 98-99 1,192,727
Page 1 98.99 equip replace detail
FUND: 002
FUND NAME:
Fringe Benefits
95/96
Supplies and Services
ACTUAL
BEGINNING BALANCE
(64,505)
RESOURCES:
734,899
REVENUE:
0
Taxes and special assessments
0
Licenses and permits
0
Fines and forfeitures
0
Uses of money and property
0
Intergovernmental
0
Charges for current services
700,873
Other revenue
2,408
Subtotal
703,281
Operating transfer In
96,122
Transfers from reserves:
0
Encumbrances
0
TOTAL RESOURCES
799,403
TOTAL AVAILABLE
734,898
APPROPRIATIONS
CURRENT EXPENSES:
Salaries and Wages
353,737
Fringe Benefits
46,115
Supplies and Services
332,704
Capital outlay
2,343
TOTAL OPERATING BUDGET
734,899
Capital & special projects
0
TOTAL BUDGET
734,899
Transfers Out
0
Admin. charge
(0)
Capital improvement fund
74,634
Debt service fund
0
Transfer to reserves
0
Encumbrances
0
TOTAL APPROPRIATIONS
734,899
UNDESIGNATED FUND BALANCE
(0)
(held for Recreation Programs)
0
RESERVE Encumbrances
0
DESIGNATED FUND BALANCE
(0)
(held for recreation programs)
0
0
0
# - tied to audited financial statements and year
end general ledger balance
7/2/98
9:59 AM
368,265
RECR- TION
757,903
912,133
50,946
97/98
97/98
98/99
96/97
REVISED
ESTIMATED
ADOPTED
ACTUALS
BUDGET
ACTUAL
BUDGET
(0)
(0)
(0)
74,634
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
728,518
752,192
806,629
878,419
5,179
2,600
2,600
4,820
733,697
754,792
809,229
883,239
49,449
685,000
685,000
723,140
783,146
1,439,792
1,494,229
1,606,379
783,146
1,439,792
1,494,229
1,681,013
368,265
757,903
757,903
912,133
50,946
135,258
135,258
139,379
363,935
565,404
522,434
582,325
0
4,000
4,000
13,750
783,146
1,462, 565
1,419, 595
1,647,587
0
0
0
0
783,146
1,462,565
1,419,595
1,647,587
0
0
0
0
783,146
1,462,565
1,419,595
1,647,587
(0)
(22,773)
74,634
33,426
0
0
0
0
(0)
(22,773)
74,634
33,426
fund00299.x1s
Page 1 recreation fund detail