HomeMy WebLinkAbout1978-09-19; City Council; Resolution 55361
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2E
RESOLUTION NO. 5536
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, ADOPTING A FINAL OPERATING BUDGET FOR THE FISCAL YEAR 1978-79 FOR THE CITY OF CARLSBAQ AND ESTABLISHING CONTROLS or1 CHARGES IN APPRO- PRIATIONS FOR THE VARIOUS DEPARTMENTS AND
BE IT RESOLVED by the City Council of the City of Carlsbad,
California, as follows:
SECTION 1. That certain document now on file in the office
of the City Clerk of the City of Carlsbad entitled, "City of
Carlsbad Preliminary Budget Fiscal Year 1975-79," as amended in
accord with Schedules I thru VI, attached hereto and incor-
porated by reference herein shall be and the same is hereby
adopted as the final operating budget for the City of Carlsbad
for the fiscal year 1978-79. Said document is hereby referred to
and by this reference made a part hereof.
SECTION 2. That the amount desiqnated as Department Total
for each department and each fund in said document is hereby
appropriated to the department or fund for which it is designated,
and such appropriation shall be neither increased nor decreased
except as provided herein without approval of the City Council.
All amounts designated as Personnel Services, Material , Supply,
Services, and Capital Outlay in said document are hereby appro-
priated for such uses to the department or fund under which they
are listed subject to the controls herein.
SECTION 3. That the City Manager may approve the transfer
of amounts designated as Personnel Servicess Material, Supply,
and Services from account to account within any particular fund
Or Department total. The City Manager may approve the transfer of
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funds from amounts designated as Personnel Services, Material,
Supply, and Services to a capital account within any particular
fund or department total in an amount up to $500.00.
SECTION 4. That the City Manager is authorized to approve
capital expenditures for particular budgeted items of $5,000.00
or less. Any such expenditure of more than $5,0Q0.80 shall
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require the approval of the City Council. The City Manager may
approve transfer of funds from item to item or account to
ccount within the total of any Department's Capital Outlay
ccounts in an amount up to $500.00. The City Manager may approve
apital expenditures for a nonbudgeted capital item in an amount of
1500.00 or less in connection with a fund transfer within the
iota1 of any Department's Capital Outlay account. Any changes
o approved shall be reported to the City Council.
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SECTION 5. That the amounts designated in Resolution
lo. 5515 as Continuing Appropriations are revised by the listing
in Schedule I11 and hereby adopted for the purposes indicated.
PASSED, APPROVED AND ADOPTED at a regular meeting of the
:ity Council on the 19th day of September;1978, by the following
rote, to wit:
AYES: Councilmen Packard, Anear, Lewis and Councilwoman
NOES: None Casler
ABSENT: Councilman Sk /"7 otni cki
\TTEST:
(SEAL) .2.
SCHEDULE I
e
MEMORANDUM
DATE: SEPTEMBER 12, 1978
TO: CITY COUNCIL
FROM: CITY MANAGER
SUBJECT: 1978-79 PRELIMINARY BUDGET
ON AUGUST 29, 1978, THE COUNCIL REVIEWED THE CITY MANAGER'S BUDGET
MEMORANDUM OF AUGUST 25, ATTACHED AS SCHEDULE 11. AT THAT MEETING
THEY APPROVED THE MANAGER'S RECOMMENDATION FOR BUDET REDUCTIONS
WITH THE FOLLOWING CHANGES.
MANAGER'S REC. COUNCIL APPROV.
FOR REDUCTION FOR REDUCTION
DEPARTMENT DESCRIPTION ACCT. NO. READS READS
CITY CLERK PROF. SERVICES 1-102-2450 5,000 2,500
LIBRARY DRINKING FOUNTAIN 1-140-3910 300 -0-
RECREATION P.T. SALARIES 1-163-1130 5,577 10,577
THE COUNCIL ALSO APPROVED THE ADDITIONS.AND DELETIONS TO THE GENERAL
FUND CAPITAL IMPROVEMENT BUDGET IN THE 1978-79 PRELIMINARY BUDGET
SHOWN AS SCHEDULE 111.
SCHEDULE IV LISTS THE REVISION OF CONTINUING APPROPRIATIONS THAT
WERE APPROVED BY RESOLUTION NO. 5515.
IN ADDITION $50,000 HAS BEEN ADDED TO THE GENERAL FUND CITY ATTORNEY
PROFESSIONAL SERVICES FOR OUTSIDE ATTORNEY FEES AND $100,000 TO THE
GENERAL FUND CAPITAL IMPROVEMENT BUDGET FOR REMEDIAL IMPROVEMENTS
TO MARRON ROAD.
1978 PRELIMINARY BUDGET
SEPTEMBER 12, 1978
e SCHEDULE I
PAGE 2.
THE NET CHANGES IN THE GENERAL FUND AND CAPITAL 1MPR.OVEMENTS SHOULD
BE INDICATED BY USING THE FOLLOWING FIGURES:
TOTAL MAINTENANCE AND OPERATING BUDGET $7,706,353
TOTAL APPROVED REDUCTIONS (308,416)
ADD PREOFESSIONAL SERVICES - CITY CLERK 2,500
ADD DRINKING FOUNTAIN - LIBRARY 300
DEDUCT P.T. SALAKIES - PARKS G'REC. (5,000)
ADD PROF, SERVICES - CITY ATTORNEY 50,000
TOTAL APPROVED MGO $7, 445,7 67
TOTAL CAPITAL IMPROVEMENT BUDGET
DEDUCT REDUCTIONS
TOTAL APPROVED CAPITAL IMPROVEMENT
7- .
-.
$1,076,000
(196,500)
$ 879,500
PAUL 7. BUSSEY
CITY MANAGER
PDB:TLS:LW
SCHEDULE I1
..
DATE : AUGUST 28, 1978
GEPTEMBER 11, 1978
,. TO: CITY COUNCIL '
FROX : City Manager
SUBJECT: BUDGET MEKO DATED AUGUST 25, 1973
1
In the rush to have the budget recommendations to you on Friday, there were some errors, change the reconmendations but under the circumstances, Z
want thematerial to be qs accurate as possible.
are substitution pages.
The only changes are as follows:
Page .6 under City Manager recom-endations should read $40,721,
he amended amount represents a charzge in Special Supplies and
a number of Capital Outlay items,
read $694,113 and $308,416, I
They do not significantly
Attached
The Library total on
n
The totals on Page 10 should
City Manager
PDB : vm
Att
cc: All Departments '.
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. -. ,
-. DATE : AUGUST 25, 1978 SCHEDULE I1
TO :
FROBI: City Manager.
SU3JECT: 1978-79 PROPOSED BUDGET CUTS
NAYOR AND CITY COUNCfL
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.-a::. AS requested, budge.t cut recommendations in the amount of 10% for
all departments have been prepared, been shown for the Parks and Recreation and Library Departments,
In a few instances the reductions vary from the 18% requested, the Council reviews the reductions the staff will be happy to explain
these deviations if any questi'ons arise.
Although the departments have accomplished their task, some modf- fication of the across the board reduction might be desirable, due to the staff's evaluation of current financial &&a, forep made a serles of City Manager recommendations which X hope
might be helpful to the Council, These are Shawn along with the requested recommendations on Attachment lo
Additional cuts of 20% have .. .
As .--_
X have, there-
Normally, the budget is adopted prior to the year end closing af the
books and the financial audit, uncertainties of Proposition 13, the budget has been delayed to the
extent that the books are closed and mare accurate infomation-is
Approximately $400,000 which was budgeted in the General. Fund for the
1977-78 Fiscal Year was unspent, including Personnel, Supplies, and Capital Butlay- any of the major capital improvements tentatively continued by*the Council at the August 22, 1978, Council meeting,
This year, as a result of the:
available, ..- -
This includes money from all accounts
It does nzc~t include
w portion of this surplus is ai norma^ occurrence hut, this year the
amount is larger than usual becausep as an administrative measure in anticipation of Proposition 13, a partial prohibition was placed an
the hiring of personnel and the purchasing of supplies two monfzhs prioz to the end of-the fiscal year,
AdditiolaaIly, the closing sf the books shows approximately $600,000 more in the General Fund Revenue than was previously prsjectea, concerned we were not aware of this surplus until the books were closed and have directed the Finance Director to prepare a report tm determine
if the departmentPs method of estimating income can be changed to minimize the impact of surpluses or deficits, 1 will share this report as soon as it is available,
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SCHEDULE I1
August 25, 19'98
Page 2 Subject: 1978-79 Proposed Budget Cuts-
The bottom line is that, while we have anticipated a defidit of'
$140,000, the current figures arrived at on August 21, 1978, show
that our proposed balance will. be $990,000. It will be necessary
to appropriate two amounts not previously considered in the budget;
$50,000 €or outside attorney fees, and $100,000 for the city's
share of the Marron Road upgrading. The appropriation of these amounts will bring the estimated balance to $840,000,
1978-79 .unappropriated balance goal is approximately $1,500,000
we need only cut $660,008 from the proposed budget to balance,
Although the additional surplus places less of a burden on the
City this year, it does not eliminate the need for financial caution over the next several years, particularly next year, I have, there-
fore, prepared substantial reductions in the Maintenance and Operation General Fund Budget in the amount of $300,000,
e.
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If our
mf ne Council previously made tentative cuts in the Capital Improve- ment Budget amounting to $923,985,
status, it is recommended that some of the major Capital Improvements previously considered for elimination be reevaluated, * The items
recommended forxeconsideration are indicated on Attachment 2, items recommended for reinclusion would add $566,000. Thgztotal reduction in the Capital Improvement Budget would then be'approximately
$360,000. budget, you would have reduced the budget $660,000, reduction, along with the present unappropriated balance, will-leave- -
an estimated balance for June 30, 1979 of $1,500,000.
Because of the changed financiql
The
When combined with the $300,000 reduction in the operating
The $660,000
PAUL &! BUSSEY City Manager __
PDB: ldg
Attachment 1 - Proposed Budget Reductions
Attachment 2 - Priority List, Capital Improvement Program
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t * SCHEDULE - I I BUDGET REDUCTION '<
APPROXIElATE CITY HANAGER
BUDGETED ' '10% REDUCTION 20% REDUCTION IZECOHMENDATIO3
COUNCIL
I- $25,Q56 - 4,459
, LOO
. 500
0 500
4,459 900 -
3,000 - 1,000 I
--y::. --
Clk-Typ .) (1/2) Govt. Mtg,
Travel
Prof. Serv,
* 1,100
. CITY MANAGER
$102,712 !
Clk-Typ . .( 112 1
Adm, Asst,
Dues b Sub,
Govt. Mtg.
Travel Books
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-- . 4,459
18,148
550.
500
200 , 800
-
100 I00
200 -
100
500 22,607
CITY CLERK
$68,550 .. -
50 e. Clk-Stem 10,364 . 108364 - Govt. Mtg- 250 -
. Travel 600 - 2% 200 .g&fiz2b J&#,J&+ Prof. Serv. 5,000. - Advertising 5,000 - 1,000 .-. .
$165,878
. Custodian 18,163
. Adm- Intern(P/?I) 2,508 Ch. Reuphsl, - 1,508
Utilities -.25,000 Communication 28,000
Postage Meter 1,168
0
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~1,000
2,500
1,500 P,OOO
1,000
1,168
16,168
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CITY ATTORNEY
$65,671
CETA Atty. , Govt. Mtg, Travel
Office Equip:
5,050
500 1,100
1,740
5,000 .
125 : 275
P
. 100
250
350
-\ -. P,500
6,900
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1, .. .- .
FISCAL YEAR -6 BUDGET REDUCTION SCHEDULE 11
APPROXI’C.I2ATE APPROXIPIATE . CITY MAUAGER BUDGETED *‘IO% REDUCTION ’20%’ REDUCTION mCOW4ENDATIOI 2’ DEPARTNENT .
FINAXCE
$68,67S
1nt.Md.Acc.Clk- 10,000 10,000
Overtime 1,000
Govt. Mtg, . 275 : . Travel 375 . .
-/-;‘-
Accountant 12,000 12,000
Off .Eq.Main, 5,000 ,
- - - -
22,000 . . !
-%. . PUXC HAS ING
$22,202
Clk. Typ.
Part- time
Govt. Mtg.
Travel .
PERSONNEL $77,757
Clk. Stem .
Govt. Mtg.
Travel .
Spec, Supp.
Tra.ining Books ..
CIVIL DEFENSE
$2,500
. Dues & Sub,
9o10Q 4,500 (1/2)
1,500 1,500 - 200 300 -
6,000
. ..
9,325
350 450
1,500
13,000
300
. 9,300
10,000
12,000
400
75
75
-
22,550
*
-
1,500 -
50
75
100 500.
-
9,300
150
-- 825
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* 2,500 . .goo
800
800
800
BUILDIN&
$195,966
Prove Empl. 40 , 000 20,000 Govt. Mtg. . 400 150
Travel 700 250
20,400
*- *lCi,OOO
150 -
250
10,490
... b I .h .. , --," -
1 BUDGET REDUCTION - SCHEDULE II
APPROXIMATE ROXIWATE CITY MAPIAGER
20% REDUCTION . NCOMPlEPJDATION
. ':
-* 6, t ..
+. DEPARTNENT BUDGETED '10% REDUCTION
POLICE
1,500
18 444. 6,500 1,500
18,444 (3). 18,444 - - .. 13 , 000 9,900
30#000 (2) 30,000 . .- d .4,600 5 470 4,600 3,647 (PI 1,800 1,800 *
$1,301,395
Train. & Edu.
Vehicles (Det&Chf) Comm. Expo ,
Patrolmen
Boat
Typewriter Bch. Patrol (P/T) 16,000
95,000
1,550 900
5,000
14,800
2,000
120
450
190
520
. 476
3,000
500
6,475
1,125
. 400
335 - 385
490 2,000
1,008
2,920
13,100
16,000
28,000 Overtime
Cross .Guard Expend, Tools
Gov't. Mtg.
Travel
Pistol Range
i 14,800
200
a '250
500 5,000
128,994
200
250.
500 ,
5,000
42,294
FIRE
$1,033,272
Adrniriis tration
$55,261
Travel Table
Chairs -Desk
. GOV'~. rwg.
0.
20
100.
190
. .520
476
1',3 0 6
-
350
190
. 520
+ 476
-1,536
..
.- - .a- ..
1,000 1,000
308 6,475
1,125 400
-335 385
490'
2,000
1,000
2,920
8,400
Suppression $702,556
Bldg. blain. Spec. Supplies
Travel . Vehicle & Equip, Furn. Sta, 2 Gas Range Sta, 2.
Radio Receiver (1) Generator Nozzle (1) Deck Gun
Fire Hose 2 n/2"
Fire Hose 4''
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175.
..
.. e
2,920
Constant Manninq 16,800
6,830 .
Prevention
$49,276,
Gov't. Mtg, 314 . 114
- 256
305
150
550 750 610 305 '*
Travel
Pager Charger (2)
Film 195 --
.669 195 1,200
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”,- ’, - .. FISCAL YEAR B978-79
BUDGET REDUCTION 6 SCHEDULE I1 ,
CITY XANAGER 9- APPROXI MATE APPROXIMATE
DEPARTI*IENT BUDGETED . ‘10% BEDUCTION ‘20% REDUCTION
FIRE cont.
$1,033,272 .
Emergency Med.
$209,379
Spec. Supplies 3 200
Travel 750 .
Hare Trct. Splint 160
200
300 - 200
550 160 .
9 10
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1 PUBLIC WORKS .
$1,371,112
Administration
$52,218
Mag.Card Type,
Prof. Scrvices
Travel
2,350
3 , 000
2,500
5,000
1,500
2,350
3,000
900
6,250
13,966
8,000
5,800
30,000
.. - -
900
= 6,250 . ..
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c Engineering
$437,390.
Sr.Eng.Aide (4)
Survey Van Seaan
S trm. Dr .Study Gov’t, Mtg,
Travel
55 , 867
8,000
5,800
40 000
450
825
57,766
Utility/Main. $27,497
Prof. Services 36 439 0 3,*500
Travel Gov’t. Mtg, 200 50
650 250 ,
3,800
- Waste Collection
$222,458
Waste Containers 900 . 90s Finance Abatement * * Excess of 10% 900 was abated from Finance
I.
3,500
50
900
900
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DEPARTEIE't3T BUDGETED *-lo% RERUCTXON
LIBRARY .
$598,853
Lib, AV Clk,
Auto A11OX- 300 300
P oxer Equip. 500 500 off ,Main.Equip- 8,925 : - 6., 525 Uniform Plain, . 285 205
Prof. Serv. (Serra) 4,000 4,000
outside Serve - 6,100 2,000
Dues & Sub, 10,000 1,'soo
Postage b 3,000 1,008 *
Pmtg.& Bind. 15 , 000 1,800 Gen'l.Off .Expo .8,100 4,000
Bldg.. Natf, 500 500
Radio & Elect, -2,000 . . ~;OOO
f. ..
' 9,555 -
CO"- Exp- 6,605 2,560
Parts * 100 3-00
Spec. Supplies 54,000 18,700
Casset-Le 21ayt?x: 3.74 174
. 385
870 projector 870 Film Sproc. Repair 415 415
AV center-storage 285 285
Color Monitor 463 . 463 Diff,-edit film .220 -220
Slide Projector . .. 379 . 379
Tape Degauser 0 150 150
Film .View, &Ed. '320 320
Filmstrip viewer 170. 170
Posture Stools . 200 200 vacuum 408 400 Card Ctlg (. Table e 450 450.
Microfiche 9,.508 1,500 Microfib Reader *- ' 1,500 9,500 Wooden Desk - 310 33.0
Steno Chair 140 140
Table for Microfiche 100 .IO0
File Cabinets 400 400
Exhibit Case . 2,700 ~ 2,700 Vertical File 350 350
Coffee Maker 148 146
400 634 .
Desk Extender 400
Emergency Lighting 80Q
Splicer 385.
. Picnic Tables 645 64% -
. -#--
Drinking Fountain 300 300 *
Audio Vis,Matl, - 17,508 2,000 utility Exp, 28,000 a. Off. Eqp. Rent 26,648 . -
Veh, Main. * '200 e Petroleum. Pxod, 500 -
Janitor Supp. 1,400 - Parts,Labor,Oil 475 -
Books 68,150 P
GoVt .. Mtg . Travel, 600 - X, 000 1,000
59 - 890
-
. 2#273 300
500
6,525 205
4,000
.2,000
5,000
1,000
10,000
._ 6,110
500 100 .. 1,000
20,700
174
385
87 0 415 -
285 .
463 220
379
3-50 *
320 3.7 0
645
. 2014 4OB
450
1,500
310 14 a
100 . 400
2,700 .. 350
. 140
400
634 .
300'
3_0,700
1,500
- 8,000 - - Z1280
- 500
475 21,320 - 600
200 .
- 500
1,000 119,788
-
.I x, 500
500
Z,QOO .
-
IO 000 174 -
385
870 415
285 - -. 463 ..- .?.I 220
. 379 150
328-
. 170
.-.
-
.. t, - 2,760
350
14Q
400
400
300
5,000 -
.-
200 . 500
40.721
* * SCHEDULE 11
A PROXIbUlTE CITY MANAGER
'20% REDUCTION RECOiW4EMDATION
- - '+
.I
.@ . , BUDGET REDUCTION
-> ., *, 9
c ' APPROXIMATE
DEPARTI'IIENT BUDGETED * '10% REDUCTION
PUBLIC WORKS cont.
$1,371,112
-_ .
Streets
$581,334 - -=':- .
Sweeper op. (3) 40,684
Sr. Main. Man (2) 24,088 .
Unif . Main. . 2,900 Main- VeK. 10,008
Equip. (Labor, Prts., Oil) 28,000
Gov't. Mtg. * 200
Main. Man (5) 52 # 612
Parts 3,250
sgec . Supplies 20,000
Sign Platerials 15 #jm
Travel - 500
13,000
12,000
10,000
450
75Q
250
6,500
9,000
. 8,000 -
0.
59,950
*.
13,880 - -
450 ~
750
250
6,500
5,000
5,000 -
50
100
31,.200
Mech. Main
$3,875 .
Bench Grinder 300 308
Chairs 128 : 120
Travel 500
- Gov't, Mtg. 3.50 -
420
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Gen'l Govt-Bldg, . .. $46,340
100
* 570-
-
Foreman 19,045 i9,045
Electrician' (12,0451" * Electrician Itq_ 5,000
replace Foreman
FISCAL YEAR
BUDGET REDUCTION -- SCHCDULE 11
.
J d,?. '
CITY MANAGER APPIIOX 1 l*I?iTE APPROX1:P'IATE
* 3.0% REDUCTION '20% REDUCTION RECOMMENDATIOI!
L .. DEPARTMENT BUDGETED
PLANNING
$368.184
Administration
$75 ;SO5 -
400 - -
400 . . 250 *
300 -
950
-'
. Overtime e 800
Govt, Mtg- 750' '
Travel 900
I . 400
.* . t
Current Plng
$90,1Q8 - - Plng. Tech 14 , 202 .14,202
4 536 Clk, Steno (182) d,536
18,738 Q -_
Advance Plng.
. $91,212
Clk, Stem( ,151 1,369
Adv . 1,000 '
- - GOVt, Mtgo 508
?ravel 500 -Off.Equip.Mtn, 2,196
Prof. Serv, 45,00Q
Redevelopment
$54,575
,Clk. Steno(.2). 1,814
-Admin Intern 13 I 290
Contract Salary __ 4,000
Adv 1 800
Local Coastal Prog.
$51,974
Auto 600 Adv .I 500 ' Travel. I,OOO Prof. Serv. 15, oog
Clk. Steno ( -15) 1,368
1,361 '
500
300
200
2,196
5,000
9 p 557. 2,596 - -- - .. ..
1,814 .. -
800
14,090
4,000
1,308
7,114
,100
' IO0
PO0
5,000
1,360
6,660
E'ISCN; YEAR 1978-73 e BUDGET REDUCTION
- SGHEDULE 11
.. APPROXX HATE APPROXIMATE CITY MANAGER
DEPARTMENT BUDGETED ' '10% 'WDUCTI'ON '2 0 9; REDUCTION 'RECOI'II*lENDA'.f'ION
PARKS & REC,
$768,907
.
Administration
$65,924
Overtime Auto Allow.
Govt. Mtg. Travel
Books t Equipment' Salaries '_
P
I , 360 680
2,932 1,193
550' 280 P,OOO 500 .
450 370
627 627
14 514 3,483 7., 133
,--. . .
.. ._. .
680
280
500 .-
300- 627
d
- e
2 , 381':
Park Main.
$310,467 - ..
Dues & Sub. 3.57
Rldg . ?Iain. 4,125
Aut0 Allow I 312 Rock & Minerals 450
Janitorial Supp, 2,300
Mech.&Equip.Rent 6,180 Outside Veh .Main 500 'Petroleum Prod 6,115
MOB Equip,Ov.Hd, 5,810 MOB Equip .Parts 4,500 Prtl.Stee1 Shed 5,500 Backstops-Chase 2,700
La,Riv,Tennis Cts, 2,500 Trash Encl. 2,500
Roof brPnt. GaX .P .Pic0 850
Green.Main, Yard 5,OOQ Back pack blowers 600
Bower Trimmer 768
Dump Truck 11/2 T 11,000 Pest .Mix Sys tent 800 Baseball Fld.Drg, 180 Dry Line Marker, 180
Chain Saw (2) 540 Vacuum 450
Resurface Cannon Prk 800
Tree Root Barriers 2,800 Devel. Holiday Prk. 5 , 000 Spec, Supplies 24,502 Overtime Salar, 6,201
MOB Equip. Labor 2,000
Utilities 32 , 000
Mower Deck - 1,500
. 102
625
150 ,. 450
P,300 17 , 000
4,000 . 175
2,000 2', 8 10
2,000 -
.- -
Q - -
L
e
P
-. - -
I - -
. 500 - - -
31 , 112
0
..
102
625
150
450
1,300
4,000 175
2,600 2,810
2 ;ooo
5 , 500
2,700
i7; 000
2,500
. 850
600
768 1,500
800 180
180 540
450
800
2,'800
500
3,000 I,OOO
. 56,280
-
-
1,000
102 - -
- _-
5,000
1,000 - - .... -. . 175. - ..- 501)
500 - 500
600 -
1,500: -
800
1.80 180
540 - -
. 2,800
5,000. - - -
19.337 - ._ . ..
.. ..
8 .. . I.
FISCAL YEAR 1978-79 .b e BUDGET REDUCTION . SCHEDULE I1
APPIiOX f HATE APPROXIMATE
DEPART!-ENT BUDGETED . '10% REDUCTION 209; REDUCTION I Park-Trees
$f01,503
Rock & Mino 150 150 150
375 375 375
1,000
2,500
3,104 1,000 Bldg. Main.
Over time
Outside Veh .Main e 500 200 . 200
5,580 5,580 MOB Equip.Overhd. 9,580
Cap. Outlay . 7,039 - 6,875
Spec. Supp!. 13,248 9 3,277
20,307
I *"
-.. Mach. &Equip. 5,000 2,500
MOB Equip .Labor 1,000 . ' 350 350
10 , 155
Recreation
$145,496
Auto 936 655
Dues & Sub, 157 102
P/T SaL .-In-&rses. 10 , 57 7 10,577
P/T Sd..-FaC.Atta 27 284 - '1,216 5,606
* 14,550 5,606
Spec. Supp. 14,430 2 p 00'0
h
-. _- - Recreation-Pee Supported .
$120,712
CITY MANAGER.
RECONMENDATIOEl
375
1.000
200 - c
..-. . .-. .
10,oou
-. . 1,890
Contract Lnst. 85,000 -12,071 7,929 SpeciSupp. 11,388 1,890
File Cab. 275. 3.2 p 071 275. 275
10,094 12,165
Aquatics
$24,799 ..
' Sal. -. 8 091 8,099 8,093- Water & Power .8,645 8 345 8,645 Auto 312 312 312
60 157
. Prof. Serv. 60 60
3.57
3.50 : 3-50
Dues & Sub, 3.57 . Print .&Binding 350
Capital Outlay 2,078 2,078 2,078
21,671 21,671;
Janitorial Supp, 400 400 - - 4oq Spec. Supp. P f 778 1,778 - 1,778 *
e ..
.
*. APX'RO'XIflARTE . APPROXIMATE CITY MANAGER
. DEPARTt-V~NT . WJDGE'I'ED ' '10% c IIEDUCTXON 20 % RE:T)UCTIOM RECOM?4ENDATIOZ .-
d .a ... SR. CXT1ZE:NS
$31,265
-Sr. Citizen
..
5, x33* Contract -3-,126*
.a' '...-
b
..
..
-I . 0. .. - .- .-
9,3.56* . COMMUNITY PROMOTION
-e 4,315 .* .I . .- -
e ,
Chamber $4:3,150
\ -- .- i
.. -- .. a
..
. ' COBQ4UNITY ASSOC
. $6,580
,408. Project oz ..
COMBO
.. ..... ..
.- .* .. . -. ..
. .L, 22.5 . .. 2,500
.a. 00 L (5332 .2,503
~ased on revised r'equest -. from organization; -- ...Z z * 5.. .- . -- . .-- ..- e
: Grand Total . * 308,416
.- ... - ._ - '% . ..
.. .. .. (C 14gk)'
...
694 8 113
-. . ? ..
' Grand Total (103 1 . -.
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m SEPTEMBER 11, 1978
ALTA MIRA PARK
BEACH ACCESS CARLSBAD HI-SCHOOL IMP. CHASE FIELD LIGHTING
CHERRY AVE. STORM DRAIN CHILDREN LIBRARY CITY SERVICE CENTER
GENERAL FUND CAP I TAL 8 IMPROVEMENTS
GENERAL FUND
22,000
19,500
4,000
13,600
45,000
56,000
~\ 50,000
ELM AVE. - DONNA DR. - EL CAMINO 20,000
EXT. OF PARKING FACILITIES
FIRE STATION #5 - TRAIN. FAC,
HARDING COMMUNITY CENTER HOLIDAY PARK SHELTER HOUSE LAND ACQ. EAST OF LIBRARY LARWIN PARK MAGEE LANDSCAPING MONROE, ELM - MARRON
PALOMAR AIRPORT RD, E
PASEO DEL NORTE MARRON ROAD - REMEDIAL IMPROV,
POLICE FACILITY STAIRWAY TO MEZZANINE STORM DRAIN
TAMARACK - CARLSBAD BLVD. - I5
TENNIS CT. LIGHTING TRAIL SYSTEM
TOTAL GENERAL FUND
15,000
35,000
20, 000
9,900
22,000
100,000
10, 000
.7,000
283,000
60,000
10,000
101,000
80,000
60,000
33,000
1,076,000
SCHEDULE rII
ADDITIONS E
DELETIONS
(22,000)
(13,600)
(45,000>
C56,OOO)
(35,000)
<9,900>
(22,000>
100,000
C60,OOO)
(33,000)
(l96,500)
BALANCE
-0-
19,500
4,000
-0-
-0-
-0-
50,000
20,000
15,000
-0-
20,000
-0-
283,000
-0-
100,000
10,000
7,000
:;100,000
60,000
10,000
101,000
80,000
-0-
-0-
879,500
SCHEDULE fv
SEPTEMBER 12, 1978
CITY OF CARLSBAD CONTINUIbJG APPROPRIATIONS
GENERAL FUND
AT & SF Storn Drain Carilfo Ranch Park
Land Acquisition - east of library Fire Station X 5 Harding St Community Center Laguna Rivera Park Banks City Hal 1 Expansion Magee House Landscapl ng Magee House Street Improvements Swimming Pool Palomar Airport Rd & Paseo Del Horte Signal Pol i ce Bui 1 di ng Carlsbad High School Tennis Courts Windscreens - Tennis Courts
Parking Lot Pacing - Pine School Val 1 ey & Basswood Improvements CLSI - Library Share Circulation Sy.stem Generator (Ci ty Hal 1 1 Vapor Recovery System Storm Damage - Public Morks Vapor Recovery System Magee House Renovatlon Poi nse tti a Bri dge Parks Storm Damage
TOTAL. GENERAL FUND
GAS TAX FUND
Tamarack Design Elm Ave & Pi0 Pic0 - Signal Carlsbad Blvd & Elm - Signal Val ley & Basswood Improvements ,
TOTAL GAS TAX
PROPOSED
235,000 18,000 80,000 75,000 74,620 10,000 100,000 65,472
48,000 529,300 4,000 100,000 7,000 2,285 2,788
39,000 24,800 15,850 10,000 51,284 10,000 73,702 . 60,000
-0-
1,636,101
45,000 55,006 12,500
112,500
ADDITIONS & DELETI OflS
(18,000) (80,000)
(65,472) (48,000)
(39,000)
BALANCE
235,000
-0- -0- 75,000 74,620 10,000 100,000 -0- -0- 529 , 300 4,000 100,000 7,000 2,285 2,788
-0- 24 800 15,850 10,000 51.284 (10,000) -z. -0-
73,702 60,000 4,509 4,509
(255,963) 1,380,135
45,000
12,50O .39,000 39,000
39,000 151,500
55,000
0 SCHEDULE I\p
FEDERAL REVENUE SHARING
Carillo Ranch' Park Land Acquisi tion-East of Library
Fi re Stati on #2 Holiday Park Comfort Station Magee House Landscaping Magee House Street Improvements Pine Field Lighting Swimming Pool Signal - Roosevelt & Elm Coastal Bicycle Route
TORAL REVENUE SHARING
ADDITIONS & PROPOSE D DELETIONS BALANCE
12,000 -0- 65,000 29,200
12,200 250,000 50,000
-3-
418,400
\
( 12,000)
80 , 000
65,472 48 , 000
6,100)
14,600
189,972
-0-
80,000 65,000 29,200 65,472 48,000
6 ,loo 250,000 50.000
14 , 600
608,372
WATER FUND
Ci ty Servi ce Center.
SEWER CONSTRUCTION
Lift Station Replacement
350,000 350,000
54 700 54 9 700
.-
PARK IN LIEU
LaCosta Canyon Park 91,000 94,000
GRAND TOTAL 2,662,701 2',6 35 7 IC!
- 2-
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EXHIBIT VI to
RESOLUTION NO. 5536
DATE : SEPTEMBER 19, 1978
TO : CITY COUNCIL
FROM : City Manager
SUBJECT: BUDGETED PERSONNEL - 1978-79 FISCAL YEAR
The City Manager Recommendations dated August 25, 1978, for proposed budget reductions included the elimination of the following positions:
Library Audio Visual Clerk' 9,000
Street Sweeper Operator 13,000
Redevelopment Administrative Intern 13,290
It is recommended that funds be retained in the 1978-79 budget but that the positions not be filled without
specific Council approval when they become vacant through
attrition.
?
PAUL Jd. BUSSEY
City Manager
PDB: ldg