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HomeMy WebLinkAbout2001-02-13; City Council; Resolution 2001-421 2 3 4 5 6 7 0 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 20 RESOLUTION NO. 2000-42 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, INCREASING THE REVENUE ESTIMATES AND APPROPRIATIONS FOR FISCAL YEAR 2000-01 WHEREAS, the financial results through December reflect revenue receipts which are $3 million ahead of the estimate; and WHEREAS, staff has identified unanticipated expenditures for the first half of the year which require additional appropriations; and WHEREAS, total appropriations for each fund many only be increased or decreased by authorization of the City Council. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Carlsbad, California, as follows: 1. That the above recitations are true and correct 2. That estimated revenues will be increased by $3,623,045 as shown on Schedule A. 3. That budgeted appropriations for the General fund will be increased by $1,142,950, and Non-General funds by $3,463,400, as shown in Schedule B. PASSED, APPROVED AND ADOPTED at a regular meeting of the City Council on the 13th day of February , 2001, by the following vote, to wit: AYES: Council Members Lewis, Kulchin, Finnila, Nygaard and I NOES: None ABSENT: None (SEAL) 6 EXHIBIT 1 SCHEDULI GENERAL FUND REVISED REVENUE ESTIMATES FOR 2000-2001 CURRENT REVISED CHANGE REVENUE REVENUE IN ESTIMATE ESTIMATE ESTIMATE -AXES PROPERTY TAX 20,29 1,000 $20,291,000 $0 SALES TAX 20,483,800 21,100,000 616,200 TRANSIENT TAX 8,795,OOO 9,500,000 705,000 FRANCHISE TAX 2,642,OOO 2,970,ooo 328,000 BUSINESS LICENSE TAX 1,924,ooo 1,924,ooo - TRANSFER TAX 990,000 1,100,000 110,000 TOTAL TAXES 55,125,800 56,685,OOO 1,759,200 NTERGOVERNMEhTAL VEHICLE LICENSE FEES 3,777,ooo 4,000,000 223,000 HOMEOWNERS EXEMPTIONS 297,000 297,000 OTHER 592,000 912,000 320,000 TOTAL INTERGOVERNMENTAL 4.666.000 5,209,ooo 543,000 .ICENSES AND PERMITS BUILDING PERMITS 1,962,OOO 2,200,000 238,000 OTHER LICENSES & PERMITS 999,000 1,200,000 201,000 TOTAL LICENSES & PERMITS 2,961,OOO 3,400,000 439,000 :HARGES FOR SERVICES PLANNING FEES 450,000 750,000 300,000 BUILDING DEPT. FEES 1,337,ooo 1,500,000 163,000 ENGINEERING FEES 1,260,OOO 960,000 (300,000: AMBULANCE FEES 1,160,OOO 1,160,000 - RECREATION FEES 1,051,000 1,051,000 OTHER CHARGES OR FEES 546,535 546,535 TOTAL CHARGES FOR SERVICES 5.804.535 5,967,535 163,000 INES AND FORFEITURES 840,000 840,000 - UCOME FROM INT & PROPERTY 2.325,500 2,800,OOO 474,500 UTERDEPARTMENTAL CHARGES 2,100,465 2,100,465 )THER REVENUE SOURCES 605,655 850,000 244,345 ‘OTAL GENERAL FUND EA * EXHIBIT 1 SCHEDULE B GENERAL FUND REVISED APPROPRIATIONS CURRENT REVISED APPROPRIATIONS APPROPRIATIONS INCREASE/ lEPT DESCRIPTION FY 2000.2001 FY 2000-2001 (DECREASE) Al Fublp OLlCYlLEADERSHlP GROUP CITY COUNCIL CITY MANAGER CITY CLERK CITY ATTORNEY CITY TREASURER TOTAL POLICY/LEADERSHIP .DMINISTRATIVE SERVICES ADMINISTRATION FINANCE PURCHASING HUMAN RESOURCES RECORDS TOTAL ADMINISTRATIVE SERVICES UELIC SAFETY POLICE FIRE TOTAL PUBLIC SAFETY OMMUNITY DEVELOPMENT COMMUNITY DEVELOPMENT ADMIN HIRING CENTER GEOGRAPHIC INFORMATION ECONOMIC DEVELOPMENT COMMUNITY PROMOTION (CCVl3) PLANNING BUILDING TOTAL COMMUNITY DEVELOPMENT OMMUNITY SERVICES PARK PLANNING & RECREATION SENIOR PROGRAMS LIBRARY CULTURAL ARTS TOTAL COMMUNITY SERVICES UBLIC WORKS PUBLIC WORKS ADMINISTRATION ENGINEERING PARKS STREETS & TRAFFIC SIGNALS FACILITIES TOTAL PUBLIC WORKS ON-DEPARTMENTAL i?, CONTINGENCY OTHER NON DEPARTMENTAL (a) OPERATING TRANSFERS OUT CONTINGENCY TOTAL NON-DEPT & CONTINGENCY OTAL GENERAL FUND $251,851 $255,382 $3,531 1,34Q,561 1,365.962 16,401 155,526 155,526 0 759,042 779,373 20,331 147,548 I 47,548 0 2,663,528 2,703,791 40,263 586,504 628.812 40.308 1,607,785 1,633.200 25.415 568,493 573,683 5,190 1.720,605 1,747,869 27,264 I .51 I ,809 1,519.623 7,814 5,997,lQS 6,103,187 105,991 14,119,700 i4,278.559 158,859 9,656.314 9,704.866 46,552 23,776,014 23,983,425 207,411 509,094 555,966 46,872 85.649 85,849 0 281,248 266,029 4,781 210,263 215,946 5,683 496,176 496.176 0 2.590,771 2,630.140 39.369 I ,a48,4Qi 1,854,193 5,702 6,021,892 6.124,299 102,407 3.752,455 3,797,694 45,236 417,895 457,841 39,946 6,395,65&l 6.623.980 228.322 681,293 892.760 11,467 11,247,301 II ,572,275 324,974 607.742 688.668 80.926 5,065,828 5,130,992 65,166 2,604,674 2,645,485 40,611 2,720.408 2.727,227 8,819 2,296.734 2.390,916 94,182 13,295,384 13,583,200 287,904 715,212 715,212 0 8,732.400 8.806,400 74,000 3,327.858 3.327,658 0 12,775,270 12,849,270 74,000 $75.776.565 $76,919,535 $1,142,950 EXHIBIT 1 SCHEDULE B OTHER FUNDS REVISED APPROPRIATIONS CURRENT REVISED APPROPRIATIONS APPROPRIATIONS INCREASE! IEPT DESCRIPTION FY 2000-2001 FY 2000-2001 (DECREASE) ION-GFNERAL SISTER CITY $3.604 $6,104 $2,500 STREET TREE MAINTENANCE DISTRICT 595,826 599,628 3,600 MEDIAN MAINTENANCE DISTRICT 539,616 543,616 3,800 STREET LIGHTINTG DISTRICT 770.732 775,232 4,500 WATER OPERATIONS 16,978.956 19.736.656 2.757,700 RECYCLED WATER 1,606,304 1,631,604 25,300 SEWER OPERATIONS 5,822,228 6.253.626 431,400 SOLID WASTE 325,478 326,478 1,000 WORKERS COMPENSATION 954,043 958,843 4,800 RISK MANAGEMENT 2,233,809 2,238.809 5.000 VEHICLE MAINTENANCE 1,637,761 1,793.561 155,600 INFORMATION TECHNOLOGY 4.126,213 4,146,013 17.800 OTAL NON-GENERAL FUND $3.413.400 APITA IMPROVEMf=NT PR(XElACd LARWIN PARK (PARK IN LIEU) OTAL CAPITAL PROJECTS 0 50,000 50,000 $50,000 9