HomeMy WebLinkAbout2009-06-16; City Council; Resolution 2009-143Exhibit 3
1 RESOLUTION NO. 2009-143
2 A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF CARLSBAD, CALIFORNIA, ADOPTING THE FINAL
3 OPERATING BUDGET AND CAPITAL IMPROVEMENT
4 PROGRAM FOR THE FISCAL YEAR 2009-10 FOR THE
CITY OF CARLSBAD AND ESTABLISHING CONTROLS
5 ON CHANGES IN APPROPRIATIONS FOR THE VARIOUS
FUNDS.
6
7 WHEREAS, the City Council of the City of Carlsbad, California has reviewed the
8 proposed final Operating Budget and Capital Improvement Program for FY 2009-10 and
9 has held such public hearings as are necessary prior to adoption of the final budgets.
10
H WHEREAS, the Planning Commission made a finding of General Plan
12 Consistency for all projects receiving an allocation of funds for FY 2009-10 on April 15,
13 2009 pursuant to Planning Commission Resolution No. 6302.
14
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of
15
Carlsbad, California, as follows:16
17 1. That the above recitations are true and correct.
18 2. That certain documents now on file in the office of the City Clerk of the
19 City of Carlsbad entitled, "City of Carlsbad, FY 2009-10 Preliminary Operating Budget
20 and FY 2009-10 to Buildout Capital Improvement Program - Preliminary" as amended
21 in accordance with Exhibits 3-A through 3-C attached hereto and incorporated by
22
reference herein, is hereby adopted as the Operating and Capital Improvement Budgets
23
for the City of Carlsbad for the fiscal year.
24
25 3. That the amounts reflected as estimated revenues for FY 2009-10 as
26 shown in Exhibits 3-A and 3-B are hereby adopted as the budgeted revenues for 2009-
27 10.
28
Exhibit 3
1 4. That the amounts designated as the 2009-10 Budget request in Exhibits 3-
2 A and 3-B are hereby appropriated to the department or fund for which they are
3 designated and such appropriation shall not be increased except as provided herein.
4 5. That total appropriations for each fund may only be increased or
5 decreased by the City Council by passage of a resolution amending the budget except
6 as provided herein.
7 6. That the following controls are hereby placed on the use and transfers of
8 budget funds:
9 A. No expenditure of funds shall be authorized unless sufficient funds
10 have been appropriated by the City Council or City Manager as described below.
11 i. The City Manager may authorize all transfers of funds from
12 account to account within any department.
13 ii. The City Manager may authorize transfers of funds between
14 departments within the same fund in an amount up to $100,000 per transfer.
15 iii. The City Manager may delegate any of the authority given to
16 him/her under this resolution.
17 iv. The City Manager may authorize budget adjustments involving
18 offsetting revenues and expenditures; the City Manager may authorize increases
19 in an appropriation for a specific purpose where the appropriation is offset by
20 unbudgeted revenue, which is designated for said specific purpose.
21 v. The City Manager may authorize the transfer of appropriations
22 between accounts and/or capital projects up to $1,000,000 for the costs
23 associated with the Encina Wastewater Facility (Encina) as authorized by the
24 Encina Wastewater Authority's staff and/or Board. Any increase to the total
25 appropriations for Encina's operating budget and capital program must be
26 approved by the City Council.
27
28
Exhibit 3
1 vi. The City Manager may authorize budget adjustments to increase
2 the appropriations for Workers Compensation, Risk, Self Insured Benefits and
3 Liability Funds operating budgets in an amount equal to the increases in costs of
4 claims expenses.
5 vii. The City Council must authorize all transfers of funds from the
6 Council's Contingency Account.
7 B. The City Manager may authorize emergency out of state travel for
8 public safety or emergency services purposes.
9 C. The City Council must authorize any increase in the number of
10 authorized permanent personnel positions above the level identified in
11 Exhibit 3-C.
12 D. The City Manager may authorize the hiring of temporary or part time
13 staff as necessary, within the limits imposed by the controls listed above.
14 7. That the legal level of budgetary control is the fund level. Budgets may
15 not legally be exceeded at the fund level without appropriate authorization by the City
16 Council.
17 8. That interest earned on grants may be appropriated during the year for the
18 purpose for which the grant was received.
19 9. The City Manager or his/her designee is authorized to set recreation
20 program and class fees that are included in the Community Services Guide. The fee
21 shall not exceed the fully burdened (direct and indirect) costs of providing the program
22 or class but shall be no less than the lowest fee charged for like kind programs or
23 classes in the North County cities of Oceanside, Vista, San Marcos, Escondido, or
24 Encinitas. There are no fees in the Master Fee Schedule that will be changed as a
25 result of this authority.
26 10. The City Manager may authorize budget adjustments to increase the
27
Exhibit 3
1 appropriations in the Public Facilities Fee Fund in an amount equal to the utility
2 expenses for the City of Carlsbad's Las Palmas facility, while the building remains
3 vacant.
4 11. That all appropriations in the Operating Budget and in Capital
5 Improvement Program remaining unexpended at June 30, 2009, are hereby
6 appropriated to FY 2009-10.
7 12. That all appropriations for outstanding encumbrances as of June 30,
8 2009, are hereby continued into FY 2009-10 for such contracts or obligations.
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PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the
Carlsbad City Council, Carlsbad Municipal Water District Board of Directors and
Carlsbad Housing and Redevelopment Commission held on the 16th day of June, 2009,
by the following vote to wit:
AYES: Council Members Lewis, Kulchin, Hall, Packard and Blackburn.
NOES: None.
ABSENT: None.
ATTEST:
LORR*
(SEAL)
>, MayoY
.
CITY OF CARLSBAD
OPERATING FUNDS
PROJECTED FUND BALANCES
Exhibit 3A
FUND
I GENERAL FUND
REPAYMENT FROM SOLID WASTE
ADVANCE TO GOLF COURSE FUND
ADVANCE TO MEDIAN MAINTENANCE
TRANSFER TO INFORMATION TECHNOLOGY
TOTAL
| SPECIAL REVENUE
POLICE ASSET FORFEITURE
CITIZEN'S OPTION FOR PUBLIC SAFETY
POLICE GRANTS
RENTAL ASSISTANCE
AFFORDABLE HOUSING
COMMUNITY DEVELOPMENT BLOCK GRANT
LIBRARY AND ARTS ENDOWMENT FUND
LIBRARY GIFTS/BEQUESTS
STREET TREE MAINTENANCE
MEDIAN MAINTENANCE
STREET LIGHTING
BUENA VISTA CHANNEL MAINTENANCE
LIGHTING AND LANDSCAPING DISTRICT NO 2
CULTURAL ARTS DONATIONS
PUBLIC ART
RECREATION DONATIONS
SENIOR DONATIONS
COMMUNITY ACTIVITY GRANTS
LOCAL CABLE INFRASTRUCTURE FUND
TOTAL
(ENTERPRISE
WATER OPERATIONS
RECYCLED WATER OPERATIONS
WASTEWATER OPERATIONS
SOLID WASTE MANAGEMENT
TOTAL
[INTERNAL SERVICE
WORKERS1 COMPENSATION
RISK MANAGEMENT
SELF-INSURED BENEFITS
VEHICLE MAINTENANCE
VEHICLE REPLACEMENT
INFORMATION TECHNOLOGY
TOTAL
I REDEVELOPMENT
VILLAGE OPERATIONS / DEBT SERVICE
VILLAGE LOW/MOD INCOME HOUSING
SCCRDA OPERATIONS / DEBT SERVICE
SCCRDA LOW/MOD INCOME HOUSING
TOTAL
[TOTAL OPERATING FUNDS
UNRESERVED
BALANCE
JULY 1,2008
I $46,059,403 *
0
0
0
988,000
47,047,403
H]
819,615
102,559
2,115
2.354,903
13,729,685
87,079
347,138
99,485
456,509
248,871
709,901
1,139,672
513,470
101,328
212,058
140,959
178,852
1,046,527
68,665
22,359,391
HI
(925,720)
3,020,493
1,704,596
7,649,521
11,448,890
HI
2,987,626
144.461
1,251,862
86,782
9,691,867
3,158,481
17,321,079
HI
3,439,416
4,613,187
155,665
352,104
8,560,372
$105,749,135
PROJECTED
REVENUES
$116,519,500
0
0
0
0
116,519,500
100,800
107,600
0
5,654,000
1,317.000
1,022,000
10,200
172,500
478,368
365,421
900,282
144,100
392,290
186,800
6,500
31,700
31,500
38,000
355,800
11,314,861
28,055,200
5,233,300
9,433,259
3,404,001
46,125,760
1,629,000
1,350,400
965,000
2,813,800
2,526,000
5,931,500
15,215,700
2,898,800
854,000
3,800
11,000
3,767,600
$192,943,421
ESTIMATED FUND
EXPENDITURES TRANSFERS
$112,486,931
0 136,000
0 (1,766,764)
0 (321,000)
0 (988,000)
112,486,931
251,000
202,962
0
6,093,843
409,137
1,061,195
8,000
136,000
586,621
791,188 321,000
1,156,779
169,974
201,287
67,220
37,600
25,100
99,300
36,000
246,032
11,579,238
27,048,567
5,795,254
11,145,576
2,853,231 (136,000)
46,842,628
1,902.948
1,601,489
915,000
2,778,119
1,578,577
7,133,329 988,000
15,909,462
1,564,180
28,444
158,987
44,010
1,795,621
$188,613,880 ($1,766,764)
PROJECTED
BALANCE
JUNE 30, 2009
$50,091,972
136,000
(1,766,764)
(321,000)
0
48,140,208 '
669,415
7,197
2,115
1,915,060
14,637,548
47,884
349,338
135,985
348,256
144,104
453,404
1,113,798
704,473
220,908
180,958
147,559
111,052
1,048,527
178,433
22,416,014
80,913
2,458,539
(7,721)
8,064,291
10,596,022
2,713,678
(106,628)
1,301,862
122,463
10,639,290
2,944,652
17,615,317
4,774,036
5,438,743
478
319,094
10,532,351
$109,299,912 |
FOR THE GENERAL FUND ONLY THIS REPRESENTS UNDESIGNATED, UNRESERVED FUND BALANCE.
B-14
CITY OF CARLSBAD
OPERATING FUNDS
PROJECTED FUND BALANCES
FUND
GENERAL FUND
REPAYMENT FROM SOLID WASTE
ADVANCE TO MEDIAN FUND
ADVANCE TO GOLF COURSE OPERATIONS
ADVANCE TO SCCRDA
REPAYMENT FROM VILLAGE RDA
TRANSFER TO IT (NON-DEPT CONTINGENCY)
TOTAL
SPECIAL REVENUE
POLICE ASSET FORFEITURE
CITIZEN'S OPTION FOR PUBLIC SAFETY
POLICE GRANTS
RENTAL ASSISTANCE
AFFORDABLE HOUSING
COMMUNITY DEVELOPMENT BLOCK GRANT
LIBRARY AND ARTS ENDOWMENT FUND
LIBRARY GIFTS/BEQUESTS
STREET TREE MAINTENANCE
MEDIAN MAINTENANCE
STREET LIGHTING
BUENA VISTA CHANNEL MAINTENANCE
LIGHTING AND LANDSCAPING DISTRICT NO. 2
CULTURAL ARTS DONATIONS
PUBLIC ART
RECREATION DONATIONS
SENIOR DONATIONS
COMMUNITY ACTIVITY GRANTS
LOCAL CABLE INFRASTRUCTURE FUND
TOTAL
ENTERPRISE
WATER OPERATIONS
RECYCLED WATER OPERATIONS
WASTEWATER OPERATIONS
SOLID WASTE MANAGEMENT
TOTAL
INTERNAL SERVICE
WORKERS' COMPENSATION
RISK MANAGEMENT
SELF-INSURED BENEFITS
VEHICLE MAINTENANCE
VEHICLE REPLACEMENT
INFORMATION TECHNOLOGY
TOTAL
REDEVELOPMENT
VILLAGE OPERATIONS / DEBT SERVICE
VILLAGE LOW/MOD INCOME HOUSING
SCCRDA OPERATIONS / DEBT SERVICE
SCCRDA LOW/MOD INCOME HOUSING
TOTAL
TOTAL OPERATING FUNDS
PROJECTED
BALANCE
JULY 1,2009
$48.140,208 *
488,118
48,628,326
669,415
7,197
2,115
1,915,060
14,637,548
47,884
349,338
135,985
348,256
144,104
453,404
1,113,798
704,473
220,908
180,958
147,559
111,052
1,048,527
178,433
22,416,014
80,913
2,458,539
(7,721)
8,064,291
10,596,022
2,713,678
(106,628)
1,301,862
122,463
10,639,290
2,944,652
17,615,317
4,774,036
5,438,743
478
319,094
10,532,351
$109,788,030
ESTIMATED
REVENUES
$108,823,397
500,000 "
109,323,397
67,500
165,000
0
5,917,000
600,000
711,549
5,500
106,350.
475,851
367,904
919,120
133,446
479,352
48,000
4,800
31,100
33,000
40,000
252,500
10,357,972
35,465,050
6,434,275
10,187,534
3,594,594
55,681,453
1,492,400
1,588,720
1,151,642
3,270,367
2,530,883
5,906,154
15,940,166
2,672,700
760,700
0
9,000
3,442,400
$194,745,388
ADOPTED
BUDGET
$109,110,932
109,110,932
42,000
171,880
0
6,169,619
500,961
730,120
15,000
6,000
605,930
678,068
979,254
74,200
222,036
92,055
20,000
72.800
35,500
40,000
60,901
10,516,324
33,961,916
6,412,539
10,184,486
3,178,116
53,737,057
1,835,863
1,459,811
1.044,791
2,872,626
1,574,000
6,263,186
15,050,277
1,501,567
100,616
201,599
42,981
1,846,763
$190,261,353
PROJECTED
FUND RESERVED BALANCE
TRANSFERS BALANCES JUNE 30, 2010
$47,852,673
136,000 136,000
(166,500) (166,500)
(1,600,000) (1,600,000)
(204,000) (204,000)
$500,000
(488,118) 0
46,518,173
694,915
317
2,115
1,662,441
(395,640) 14,340,947
29,313
(250,000) 89,838
236,335
218,177
166,500 440
393,270
1,173,044
961,789
176,853
165,758
105,859
108,552
(1,000,000) 48,527
370,032
20,778,522
1,584,047
2,480,275
(4,673)
(136,000) 8,344,769
12,404,418
(2,300,000) 70,215
22,281
(500,000) 908,713
520,204
11,596,173
488,118 (1,749,428) 1,326,310
14,443,896
(500,000) " 5,445,169
(500,000) 5,598,827
204,000 2,879
285,113
11,331,988
($2,100,000) ($6,695,068) $105,476,997 |
• FOR THE GENERAL FUND ONLY THIS REPRESENTS UNDESIGNATED, UNRESERVED FUND BALANCE.
" VILLAGE RDA WILL BE REPAYING THE GENERAL FUND. THE REPAYMENT, FOR BUDGETARY PURPOSES, IS BEING REFLECTED AS A REVENUE IN THE GENERAL FUND.
B-15
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
(GENERAL FUND
TAXES
PROPERTY TAX
SALES TAX
TRANSIENT TAX
FRANCHISE TAX
BUSINESS LICENSE TAX
TRANSFER TAX
TOTAL TAXES
INTERGOVERNMENTAL
VEHICLE LICENSE FEES
OTHER
TOTAL INTERGOVERNMENTAL
LICENSES AND PERMITS
BUILDING PERMITS
OTHER LICENSES & PERMITS
TOTAL LICENSES & PERMITS
CHARGES FOR SERVICES
PLANNING FEES
BUILDING DEPT. FEES
ENGINEERING FEES
AMBULANCE FEES
RECREATION FEES
OTHER CHARGES OR FEES
TOTAL CHARGES FOR SERVICES
FINES AND FORFEITURES
INCOME FROM INVESTMENTS
AND PROPERTY-
INTERDEPARTMENTAL CHARGES
OTHER REVENUE SOURCES
TOTAL GENERAL FUND
ACTUAL
REVENUE
2007-08
1
$47,196,622
28,011,995
14,277,352
4,634,049
3,327,815
951,141
98,398,974
449,733
2,885,861
3,335,594
817,024
1,174,497
1,991,521
587,600
637,925
1.443,865
1,979,926
1.730,238
1,147,711
7,527,265
1,336,293
5,062,506
2,286.528
1,438.181
$121,376,862
PROJECTED
REVENUE
2008-09
$50,557,000
26,307,000
13,496,000
4,520,000
3,550,000
483,000
98,913,000
150,000
1,350,000
1,500,000
450,000
604,000
1,054,000
385,000
424,000
569,000
2,044,000
1,787,000
740,000
5,949,000
1,300,000
3,506,000
3,415,000
882,500
$116,519,500
ESTIMATED
REVENUE
2009-10
$47,939,000
23,028,000
12,121,000
5,095,000
3,170,000
500,000
91,853,000
0
1,163,300
1,163,300
455,000
343,000
798,000
294,000
399,000
500,000
2,100,000
1,824,985
559,425
5,677,410
1,303,000
4,066,950
3,522,587
939,150
$109,323,397
AS%
OF FY 08-09
PROJECTED
-5.2%
-12.5%
-10.2%
12.7%
-10.7%
3.5%
-7.1%
-100.0%
-13.8%
-22.5%
1.1%
-43.2%
-24.3%
-23.6%
-5.9%
-12.1%
2.7%
2.1%
-24.4%
-4.6%
02%
16.0%
3.2%
6.4%
-6.2%
DIFFERENCE
2008-09 TO
2009-10
($2,618,000)
(3,279,000)
(1,375,000)
575,000
(380,000)
17,000
(7,060,000)
(150,000)
(186,700)
(336,700)
5,000
(261,000)
(256,000)
(91,000)
(25,000)
(69,000)
56,000
37,985
(180,575)
(271,590)
3,000
560,950
107,587
56,650
($7,196,103)
* INTEREST IS CALCULATED ON AN AMORTIZED COST BASIS
B-16
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
| SPECIAL REVENUE FUNDS |
POLICE ASSET FORFEITURE
ASSET FORFEITURES
INTEREST
OTHER
TOTAL POLICE ASSET FORFEITURE
CITIZEN'S OPTION FOR PUBLIC SAFETY
STATE FUNDING (AB3229)
INTEREST
TOTAL CITIZENS OPTION FOR PUBLIC SAFETY
POLICE GRANTS
FEDERAL GRANT
INTEREST
TOTAL POLICE GRANTS
RENTAL ASSISTANCE
FEDERAL GRANT
INTEREST
OTHER
TOTAL RENTAL ASSISTANCE
AFFORDABLE HOUSING
AFFORDABLE HOUSING FEES
FEDERAL GRANT
STATE GRANT
INTEREST
OTHER
TOTAL AFFORDABLE HOUSING
COMMUNITY DEVELOPMENT BLOCK GRANT
FEDERAL GRANT
INTEREST
OTHER
TOTAL COMMUNITY DEVELOPMENT BLOCK GRANT
LIBRARY AND ARTS ENDOWMENT FUND
INTEREST
TOTAL LIBRARY AND ARTS ENDOWMENT FUND
LIBRARY GIFTS/BEQUESTS
GIFTS/BEQUESTS
INTEREST
OTHER
TOTAL LIBRARY GIFTS/BEQUESTS
STREET TREE MAINTENANCE
TREE MAINTENANCE FEES
INTEREST
TOTAL STREET TREE MAINTENANCE
MEDIAN MAINTENANCE
MEDIAN MAINTENANCE FEES
INTEREST
TOTAL MEDIAN MAINTENANCE
ACTUAL
REVENUE
2007-08
$163,467
43,051
0
206,518
194,862
5,794
200,656
28,095
(330)
27,765
6.326,173
53,219
41,418
6,420,810
173,460
6,611
400,536
764,803
560,035
1,905,445
477,978
47,202
37,095
562,275
16,552
16,552
90.864
5,240
0
96,104
457,930
29,363
487,293
361,316
1,035
$362,351
PROJECTED
REVENUE
2008-09
$75,000
23,000
2,800
100,800
100,500
7,100
107,600
0
0
0
5,600,000
45,000
9,000
5,654,000
305,000
612,000
0
400,000
0
1,317,000
927,000
50,000
45,000
1,022,000
10,200
10,200
94,100
3,800
74,600
172,500
462.768
15,600
478,368
365,421
0
$365,421
ESTIMATED
REVENUE
2009-10
$50,000
17,500
0
67,500
165,000
0
165,000
0
0
0
5,900,000
15,000
2.000
5,917,000
200,000
0
0
400,000
0
600,000
635,549
45,000
31,000
711,549
5,500
5,500
105,000
1,350
0
106,350
465,401
10,450
475,851
367,904
0
$367,904
AS%
OF FY 08-09
PROJECTED
-33.3%
-23.9%
-100.0%
-330%
64.2%
-100.0%
53.4%
0.0%
0.0%
0.0%
5.4%
-66.7%
-77.8%
4.7%
-34.4%
-100.0%
0.0%
0.0%
0.0%
-54.4%
-31.4%
-10.0%
-31.1%
-30.4%
-46.1%
DIFFERENCE
2008-09 TO
2009-10
($25,000)
(5,500)
(2.800)
(33,300)
64,500
(7.100)
57,400
0
0
0
300,000
(30,000)
(7,000)
263,000
(105,000)
(612.000)
0
0
0
(717,000)
(291,451)
(5,000)
(14,000)
(310,451)
(4,700)
-46.1% (4,700)
11.6%
-64.5%
-100.0%
-38.4%
0.6%
-33.0%
-0.5%
0.7%
0.0%
0.7%
10,900
(2,450)
(74,600)
(66,150)
2,633
(5,150)
(2,517)
2,483
0
$2,483
B-17
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
[SPECIAL REVENUE FUNDS -CONTINUED |
STREET LIGHTING
STREET LIGHTING FEES
INTERDEPARTMENTAL
OTHER
INTEREST
TOTAL STREET LIGHTING
BUENA VISTA CHANNEL MAINTENANCE
BUENA VISTA FEES
INTEREST
TOTAL BUENA VISTA CHANNEL MAINTENANCE
LIGHTING AND LANDSCAPING DISTRICT NO. #2
LLD #2 FEES
INTEREST
OTHER
TOTAL LIGHTING AND LANDSCAPING DIST. NO. #2
CULTURAL ARTS DONATIONS
DONATIONS
INTEREST
OTHER
TOTAL CULTURAL ARTS DONATIONS
PUBLIC ART
INTEREST
TOTAL PUBLIC ART
RECREATION DONATIONS
DONATIONS
INTEREST
TOTAL RECREATION DONATIONS
SENIOR DONATIONS
DONATIONS
INTEREST
OTHER
TOTAL SENIOR DONATIONS
COMMUNITY ACTIVITY GRANTS
INTEREST
TOTAL COMMUNITY ACTIVITY GRANTS
LOCAL CABLE INFRASTRUCTURE FUND
CABLE FEES
INTEREST
TOTAL LOCAL CABLE INFRASTRUCTURE FUND
TOTAL SPECIAL REVENUE FUNDS
ACTUAL
REVENUE
2007-08
$694,464
0
297,897
48,773
1,041,134
82,679
64,215
146,894
414,065
17,561
6,000
437,626
74,493
5,508
0
80,001
12,295
12,295
31,879
7,559
39,438
11,047
11,292
0
22,339
60,458
60,458
67,891
774
68,665
$12,194,619
PROJECTED
REVENUE
2008-09
$726,101
28,000
126,481
19,700
900,282
100,000
44.100
144,100
385,290
7,000
0
392,290
12,700
4,100
170,000
186,800
6,500
6,500
27,000
4,700
31,700
24,000
6,000
1,500
31,500
38,000
38,000
350,000
5,800
355,800
$11,314,861
ESTIMATED
REVENUE
2009-10
$727,442
28,000
149,981
13,697
919,120
100,000
33,446
133,446
458,183
21,169
0
479,352
48,000
0
0
48,000
4,800
4,800
31,100
0
31,100
28,000
5,000
0
33,000
40,000
40,000
250,000
2,500
252,500
$10,357,972
AS%
OF FY 08-09
PROJECTED
0.2%
0.0%
18.6%
-30.5%
2.1%
0.0%
-24.2%
-7.4%
18.9%
202.4%
0.0%
22.2%
278.0%
-100.0%
-100.0%
-74.3%
-26.2%
-26.2%
15.2%
-1000%
-1.9%
16.7%
-16.7%
-100.0%
4.8%
5.3%
5.3%
-28.6%
-56.9%
-29.0%
-8.5%
DIFFERENCE
2008-09 TO
2009-10
$1,341
0
23,500
(6,003)
18.838
0
(10,654)
(10,654)
72,893
14,169
0
87,062
35,300
(4,100)
(170,000)
(138,800)
(1,700)
(1,700)
4,100
(4.700)
(600)
4,000
(1,000)
(1,500)
1,500
2,000
2,000
(100,000)
(3,300)
(103,300)
($956,889)
B-18
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
[ENTERPRISE FUNDS
WATER OPERATIONS
WATER SALES
READY TO SERVE CHARGES
PROPERTY TAXES
NEW ACCOUNT CHARGES
BACK-FLOW PROGRAM FEES
PENALTY FEES
INTEREST
ENGINEERING OVERHEAD
SERVICE CONNECTION FEES
AGRICULTURAL CREDITS
OTHER
TOTAL WATER OPERATIONS
RECYCLED WATER OPERATIONS
WATER SALES
READY-TO-SERVE CHARGE
RECYCLED WATER CREDITS
INTEREST
OTHER
TOTAL RECYCLED WATER OPERATIONS
WASTEWATER OPERATIONS
SERVICE CHARGES
MISC SEWER
ENGINEERING OVERHEAD
PENALTY FEES
INTEREST
OTHER
TOTAL WASTEWATER OPERATIONS
SOLID WASTE MANAGEMENT
INTEREST
RECYCLING FEES (AB939)
PENALTY FEES
TRASH SURCHARGE
OTHER
TOTAL SOLID WASTE MANAGEMENT
TOTAL ENTERPRISE FUNDS
ACTUAL
REVENUE
2007-08
1
$15,004,960
4,721,811
2,712,504
86,370
113,277
259,287
247,039
106.160
81,220
118,740
2,893,352
26,344,720
2.412,835
207,107
1,102,940
313,922
2,199,342
6,236,146
8,054,276
23.013
164,977
73,601
270,826
97,756
8,684.449
445.476
297,534
51,639
1,846,085
195,711
2,836,445
$44,101,760
PROJECTED
REVENUE
2008-09
$17,600,000
5,959,800
3,035,000
80,000
115,000
262.000
(75,000)
0
48,000
80,000
950,400
28,055,200
2.900,000
275,000
1,600,000
250,000
208,300
5,233,300
9,092,580
24,000
0
75,000
101.000
140,679
9,433,259
443,275
294,000
55,000
2,682,300
(70,574)
3,404,001
$46,125,760
ESTIMATED
REVENUE
2009-10
$24,902,690
6,688,860
2,995,000
80,000
115,000
262,000
4,500
0
68,000
80,000
269,000
35,465,050
3,892,955
276,870
1,760,000
200,000
304,450
6,434,275
9,961,534
25,000
0
75,000
101,000
25,000
10,187,534
313,000
294,000
55,000
2,700,000
232,594
3,594,594
$55,681,453
AS%
OF FY 08-09
PROJECTED
41.5%
12.2%
-1.3%
0.0%
0.0%
0.0%
106.0%
0.0%
41.7%
0.0%
-71.7%
26.4%
34.2%
0.7%
10.0%
-20.0%
46.2%
23.0%
9.6%
4.2%
0.0%
0.0%
0.0%
-82.2%
8.0%
-29.4%
0.0%
0.0%
0.7%
429.6%
5.6%
20.7%
DIFFERENCE
2008-09 TO
2009-10
$7,302,690
729,060
(40,000)
0
0
0
79,500
0
20,000
0
(681,400)
7,409,850
992,955
1,870
160,000
(50,000)
96,150
1,200,975
868,954
1,000
0
0
0
(115,679)
754,275
(130,275)
0
0
17,700
303,168
190,593
$9,555,693
B-19
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
[INTERNAL SERVICE FUNDS
WORKERS' COMPENSATION
INTERDEPARTMENTAL
INTEREST
OTHER
TOTAL WORKERS' COMPENSATION
RISK MANAGEMENT
INTERDEPARTMENTAL
INTEREST
OTHER
TOTAL RISK MANAGEMENT
SELF-INSURED BENEFITS
INTERDEPARTMENTAL
INTEREST
OTHER
TOTAL SELF-INSURED BENEFITS
VEHICLE MAINTENANCE
INTERDEPARTMENTAL
INTEREST
OTHER
TOTAL VEHICLE MAINTENANCE
VEHICLE REPLACEMENT
INTERDEPARTMENTAL
INTEREST
OTHER
TOTAL VEHICLE REPLACEMENT
INFORMATION TECHNOLOGY
FEDERAL GRANT
INTERDEPARTMENTAL
INTEREST
TOTAL INFORMATION TECHNOLOGY
TOTAL INTERNAL SERVICE FUNDS
ACTUAL
REVENUE
2007-08
1
$1.862,395
342,100
5,927
2,210,422
1,322,380
6,717
27,807
1,356,904
898,370
400,274
61,364
1,360,008
2,554,815
4,953
21,082
2,580,850
1,937,350
520,261
(87,383)
2,370,228
140,878
5,419,703
227,607
5,788,188
$15,666,600
PROJECTED
REVENUE
2008-09
$1,397,000
190,000
42,000
1,629,000
1,324,600
4,000
21,800
1,350,400
900,000
0
65,000
965,000
2,782,600
1,200
30,000
2,813,800
2,115,000
315,000
96,000
2,526,000
0
5,825,500
106,000
5,931,500
$15,215,700
ESTIMATED
REVENUE
2009-10
$1.327,400
165,000
0
1,492,400
1,563,720
0
25,000
1,588,720
1,086,080
0
65,562
1,151,642
3,235,914
0
34,453
3,270,367
2,230,883
300,000
0
2,530,883
0
5,828,154
78,000
5,906,154
$15,940,166
AS%
OF FY 08-09
PROJECTED
-5.0%
-13.2%
-100.0%
-8.4%
18.1%
-100.0%
14.7%
17.7%
20.7%
0.0%
0.9%
19.3%
16.3%
-100.0%
14.8%
16.2%
5.5%
-4.8%
-100.0%
0.2%
0.0%
0.1%
-26.4%
-0.4%
4.8%
DIFFERENCE
2008-09 TO
2009-10
($69,600)
(25,000)
(42.000)
(136,600)
239,120
(4,000)
3,200
238,320
186,080
0
562
186,642
453,314
(1,200)
4,453
456,567
115.883
(15,000)
(96,000)
4,883
0
2,654
(28,000)
(25,346)
$724,466
B-20
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
REDEVELOPMENT FUNDS |
VILLAGE OPERATIONS / DEBT SERVICE
RENTAL INCOME
TAX INCREMENT
INTEREST
OTHER
TOTAL VILLAGE OPERATIONS / DEBT SERVICE
VILLAGE LOW AND MOD INCOME HOUSING
TAX INCREMENT
INTEREST
TOTAL VILLAGE LOW AND MOD INCOME HOUSING
SCCRDA OPERATIONS / DEBT SERVICE
INTEREST
OTHER
TOTAL SCCRDA OPERATIONS / DEBT SERVICE
SCCRDA LOW AND MOD INCOME HOUSING
INTEREST
TOTAL SCCRDA LOW AND MOD INCOME HOUSING
TOTAL REDEVELOPMENT FUNDS
ACTUAL
REVENUE
2007-08
$67,406
2,659,546
174,491
320,719
3,222,162
664,886
257,785
922,671
14,765
3,400
18,165
21,050
21,050
$4,184,048
PROJECTED
REVENUE
2008-09
$43,000
2,738,000
110,000
7.800
2,898,800
684,000
170,000
854,000
3,800
0
3,800
11,000
11,000
$3,767,600
ESTIMATED
REVENUE
2009-10
$0
2,642,700
30,000
0
2,672,700
660,700
100,000
760,700
0
0
0
9,000
9,000
$3,442,400
AS%
OF FY 08-09
PROJECTED
-100.0%
-3.5%
-72.7%
-100.0%
-7.8%
-3.4%
-41.2%
-10.9%
-100.0%
0.0%
-100.0%
-18.2%
-18.2%
-8.6%
DIFFERENCE
2008-09 TO
2009-10
($43,000)
(95,300)
(80.000)
(7,800)
(226,100)
(23,300)
(70,000)
(93,300)
(3,800)
0
(3,800)
(2,000)
(2,000)
($325,200)
[TOTAL OPERATING $197,523,889 $192,943,421 $194,745,388 0.9%$1.801,967 I
B-21
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
DEPARTMENT
GENERAL FUND
POLICY AND LEADERSHIP GROUP
CITY COUNCIL
CITY MANAGER
COMMUNICATIONS
CITY CLERK
CITY ATTORNEY
CITY TREASURER
TOTAL POLICY/LEADERSHIP GROUP
ADMINISTRATIVE SERVICES
ADMINISTRATION
FINANCE
HUMAN RESOURCES
RECORDS MANAGEMENT
TOTAL ADMINISTRATIVE SERVICES
PUBLIC SAFETY
POLICE
FIRE
TOTAL PUBLIC SAFETY
COMMUNITY DEVELOPMENT
ADMINISTRATION
GEOGRAPHIC INFORMATION SYSTEM
ECONOMIC DEVELOPMENT/REAL ESTATE MGMT
PLANNING
BUILDING INSPECTION
TOTAL COMMUNITY DEVELOPMENT
COMMUNITY SERVICES
LIBRARY
CULTURAL ARTS PROGRAM
PARKS AND RECREATION
SENIOR PROGRAMS
TOTAL COMMUNITY SERVICES
2006-07
ACTUALS
$365,294
1,325,335
923,185
274,268
1,233,595
163,376
4,285,053
725,979
3,037,751
2,141,085
891,995
6,796,810
24,498,335
15,119,821
39,618,156
823,072
432,120
189.493
3,348,611
2.113,707
6,907,003
9,197,856
854,488
10,664,413
803,294
$21,520,051
2007-08
ACTUALS
$384,942
1,655,465
1,118,170
179,315
1,318,200
175,954
4,832,046
850,395
3,508.893
2,285,760
889,549
7,534,597
26,046,951
17,433.504
43,480,455
1,011,885
497,301
293,387
3,709,162
2,027.998
7,539,733
9,416,232
888,463
10,907,697
1,088,024
$22,300,416
2008-09
ESTIMATED
EXPENDITURES
$382,957
1,227,583
998,756
95,824
1,225,659
186,994
4,117,773
1,024,447
3,281,906
2,108,691
863,384
7.278,428
27,402,504
15,761,203
43,163,707
1,004,241
554,512
325,543
3,123,774
1,984,661
6,992,731
9,274,106
840,206
10,721,590
884,080
$21,719,982
2008-09
REVISED
BUDGET
$398,808
1,623,190
997,287
184,075
1,287,203
196,027
4,686,590
853,778
2,978,991
2,518,831
888,289
7,239,889
26,971,256
16,902,765
43,874,021
655,196
554,430
425,548
3,822,427
2,318,700
7,776,301
9,312,153
996,565
10,874,143
970,786
$22,153,647
2009-10
PROPOSED
BUDGET
$390,802
1,549.131
867,545
129,737
1,292,986
189,913
4,420,114
654,913
2,919,271
2,243,655
856,942
6,674,781
27,710,998
16,762,609
44,473,607
680,648
566,307
342,756
3,676,706
2,032,621
7,299,038
9,296,334
806,350
11,000,213
993,944
$22,096,841
%INCR (DEC)
08-09 BUD
TO
09-10 BUD
-2.0%
-4.6%
-13.0%
-29.5%
0.4%
-3.1%
-5.7%
-23.3%
-2.0%
-10.9%
-3.5%
-7.8%
2.7%
-0.8%
1.4%
3.9%
2.1%
-19.5%
-3.8%
-12.3%
-6.1%
-0.2%
-19.1%
1.2%
2.4%
-0.3%
NOTE: ESTIMATED EXPENDITURES MAY EXCEED ADOPTED BUDGET SINCE THEY INCLUDE PRIOR YEAR BUDGET APPROPRIATIONS.
B-22
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
DEPARTMENT
PUBLIC WORKS
PUBLIC WORKS ADMINISTRATION
ENGINEERING
FACILITIES MAINTENANCE
STREET MAINTENANCE
TRAFFIC SIGNAL MAINTENANCE
TOTAL PUBLIC WORKS
MISCELLANEOUS NON-DEPARTMENTAL
PERSONNEL SAVINGS
COMMUNITY CONTRIBUTIONS
BEACH PARKING
HOSP GROVE DEBT SERVICE
PROPERTY TAX AND OTHER ADMINISTRATION
DUES & SUBSCRIPTIONS
PROFESSIONAL SERVICES
UTILITIES & OTHER
INFRASTRUCTURE REPLACEMENT FUND
MANAGEMENT INCENTIVE PAY-
DISASTER PREPAREDNESS
LEGAL SERVICES
TRANSFER TO STORM WATER PROGRAM
MISCELLANEOUS / TRANSFERS OUT
TOTAL MISCELLANEOUS NON-DEPARTMENTAL
SUBTOTAL GENERAL FUND
CONTINGENCIES
TOTAL GENERAL FUND
2006-07
ACTUALS
$980,045
6,312,873
3,421.227
3.504,394
986,231
15,204,770
0
33,714
0
275,000
453,875
54,749
43,610
0
7,200,000
0
1,270,956
117,087
0
4,844,350
14,293,341
108,625,184
0
$108,625,184
2007-08
ACTUALS
$1,067,128
7.880.800
3,766,799
3,163.455
866,025
16,744,207
0
45,000
1,625
275,000
426,282
52,904
29,333
0
7,900.000
0
595.957
246,666
138,800
10,850,000
20,561,567
122,993,021
0
$122.993,021
2008-09
ESTIMATED
EXPENDITURES
$1,112,886
9,451,305
4,124,331
3,163,242
901,991
18,753,755
0
554,445
0
90,000
627,549
58,115
123,358
9,396
7,550,000
0
16,419
160,000
154,273
1,117,000
10,460,555
112,486,931
0
$112,486,931
%INCR (DEC)
2008-09
REVISED
BUDGET
$1,007,350
8,380,286
3,683,617
3,089,955
792,011
16,953,219
0
0
36,000
90,000
490,700
66,900
50,000
0
7,550,000
254,000
0
200,000
0
0
8,737,600
111,421,267
1,300,000
$112,721,267
2009-10
PROPOSED
BUDGET
$1,018,047
8,189,002
3,707,415
3,143,285
789,002
16,846,751
(800,000)
0
36,000
0
565.000
73,800
50,000
0
6,538,000
0
0
160,000
177,000
0
6,799,800
108,610,932
500,000
$109,110,932
08-09 BUD
TO
09-10 BUD
1.1%
-2.3%
0.6%
1.7%
-0.4%
-0.6%
-
-
0.0%
-100.0%
15.1%
10.3%
0.0%
-
-13.4%
-100.0%
-
-20.0%
-
.
-22.2%
-2.5%
-61.5%
-3.2%
* ACTUAL EXPENDITURES FOR MANAGEMENT INCENTIVE PAY ARE REFLECTED WITHIN THE INDIVIDUAL DEPARTMENTS.
B-23
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
DEPARTMENT
ISPECIAL REVENUE FUNDS
POLICE ASSET FORFEITURE
CITIZEN'S OPTION FOR PUBLIC SAFETY
POLICE GRANTS
RENTAL ASSISTANCE
AFFORDABLE HOUSING
COMMUNITY DEVELOPMENT BLOCK GRANT
LIBRARY AND ARTS ENDOWMENT FUND
LIBRARY GIFTS/BEQUESTS
STREET TREE MAINTENANCE
MEDIAN MAINTENANCE
STREET LIGHTING
BUENA VISTA CHANNEL MAINTENANCE
LIGHTING AND LANDSCAPING DISTRICT NO. 2
CULTURAL ARTS DONATIONS
PUBLIC ART
RECREATION DONATIONS
SENIOR DONATIONS
COMMUNITY ACTIVITY GRANTS
LOCAL CABLE INFRASTRUCTURE FUND
TOTAL SPECIAL REVENUE FUNDS
[ENTERPRISE FUNDS
WATER OPERATIONS
RECYCLED WATER OPERATIONS
WASTEWATER OPERATIONS
SOLID WASTE MANAGEMENT
TOTAL ENTERPRISE FUNDS
| INTERNAL SERVICE FUNDS
WORKERS' COMPENSATION
RISK MANAGEMENT
SELF-INSURED BENEFITS
VEHICLE MAINTENANCE
VEHICLE REPLACEMENT
INFORMATION TECHNOLOGY
TOTAL INTERNAL SERVICE FUNDS
[REDEVELOPMENT
VILLAGE OPERATIONS / DEBT SVC
VILLAGE LOW/MOD INCOME HSNG
SCCRDA OPERATIONS / DEBT SVC
SCCRDA LOW/MOD INCOME HSNG
TOTAL REDEVELOPMENT
2006-07
ACTUALS
$152,853
131,080
39,798
5.208,219
341,796
370,136
10,251
114,528
578,010
510,375
951,686
49,749
117,017
41,936
8,501
21,350
14,494
30,000
0
8,691,779
38,707,083
3,539,959
8,599,764
1,901,245
52,748,051
1,284,200
2,238,936
793,414
2,506,867
2,261,218
4,932,450
14,017,085
2,326,889
62,372
185,153
29,759
2,604,173
2007-08
ACTUALS
$28,531
181,308
28,210
5,283,978
348,036
458,044
25,791
68,819
532,878
492,146
1,117,957
56,158
197,329
67,573
5,424
8,223
42,445
30,000
0
8,972,850
25,113,222
5,723,093
9,865,271
2,588,116
43,289,702
1,814.833
980.048
1,402,755
2,647,186
731,987
5.895,061
13,471,870
2,217,591
74,039
197,933
32,062
2,521,625
2008-09
ESTIMATED
EXPENDITURES
$251,000
202,962
0
6,093,843
409,137
1,061,195
8,000
136,000
586,621
791,188
1,156,779
169,974
201,287
67,220
37,600
25,100
99,300
36,000
246,032
11,579,238
27,048,567
5,795,254
11,145,576
2,853,231
46,842,628
1,902,948
1,601,489
915,000
2,778,119
1,578,577
7,133,329
15,909,462
1,564,180
28,444
158,987
44,010
1,795,621
%INCR (DEC)
2008-09
REVISED
BUDGET
$313,500
240,462
0
5,891,291
400,868
1,052,154
16,000
25,000
577,225
673,983
1,121,280
111,500
196,887
87,560
38,900
93,200
59,300
40,000
222,829
11,161,939
28,293,301
6,188,091
10,116,889
3,220,437
47,818,718
1,827,095
1,652,862
996,405
2,956,644
998,000
6,613,565
15,044,571
1,633,489
95,159
171,111
42,887
1,942,646-
2009-10
PROPOSED
BUDGET
$42,000
171,880
0
6,169,619
500,961
730.120
15,000
6,000
605,930
678,068
979,254
74,200
222,036
92,055
20,000
72,800
35,500
40,000
60,901
10,516,324
33,961,916
6,412,539
10,184,486
3,178,116
53,737,057
1,835,863
1,459,811
1,044,791
2.872,626
1,574,000
6,263,186
15,050,277
1,501,567
100,616
201,599
42,981
1,846,763
08-09 BUD
TO
09-10 BUD
-86.6%
-28.5%
-
4.7%
25.0%
-30.6%
-6.3%
-76.0%
5.0%
0.6%
-12.7%
-33.5%
12.8%
5.1%
-48.6%
-21.9%
-40.1%
0.0%
-72.7%
-5.8%
20.0%
3.6%
0.7%
-1.3%
12.4%
0.5%
-11.7%
4.9%
-2.8%
57.7%
-5.3%
0.0%
-8.1%
5.7%
17.8%
0.2%
-4.9%
TOTAL OPERATING FUNDS $186,686.272 $191.249.068 $168,613,880 $188,689,141 $190,261.353 0.8%
General Fund
NonGF
109,110,932
81,150,421
190,261,353=^=
NOTE: Estimated expenditures may exceed Adopted Budget since they include prior year budget appropriations.
B-24
Exhibit 3B
CITY OF CARLSBAD
CAPITAL FUNDS
PROJECTED FUND BALANCES FOR FY 2008-2009
JULY 1,2008
UNRESERVED
FUND
BTD#2 - POINSETTIA LANE/AVIARA PKWV
BTD#3 - CANNON ROAD WEST
CFD#1 -CITYWIDE
GAS TAX
GENERAL CAPITAL CONST.
GOLF COURSE
GRANTS - FEDERAL
GRANTS - STATE
INFRASTRUCTURE REPLACEMENT
OTHER
PARK FEE ZONES 5,13,16
PARK-IN-LIEU NE
PARK-IN-LIEU NW
PARK-IN-LIEU SE
PARK-IN-LIEU SW
PLANNED LOCAL DRAIN'G
PUBLIC FACILITIES FEE
RANCHO SANTA FE ROAD PROJECT
REDEVELOPMENT VILLAGE
REDEVELOPMENT SCCRDA
SEWER BENEFIT AREAS
SEWER CONNECTION
SEWER REPLACEMENT
STATE TRANSPORTATION
TDA
TRAFFIC IMPACT FEE
TRANSNET/BIKE
TRANSNET/HIGHWAY
TRANSNET/LOCAL
TRANSNET/STP
WATER - MAJOR FACILITY
WATER - RECYCLED WATER
WATER - REPLACEMENT
TOTAL
BALANCE
10,318,456
1,225,116
55,674,772
6,197,725
64,706,764
846,478
(94,111)
1,874
37,983,475
13,819,542
2,124,481
4,647,142
1,118,351
1,028,127
551,525
9,912,371
41,440,408
18,311,829
0
19,481
3,562,958
21,359,928
29,034,649
1,633,280
2,871
13,823,609
52,765
1,287,584
6,492,497
333,745
20,183,751
1,883,918
34,797,456
404,282,817
ESTIMATED
ESTIMATED
ESTIMATED DEBT SERVICE
REVENUES EXPENDITURES LOANS & OTHER
377,030
(12,134)
3,491,753
5,616,024
3,902,451
0
855,768
61
9,142,926
3,698,982
162,766
47,050
72,708
35,781
19,520
736,164
2,342,376
619,452
715,000
0
285,647
1,084,071
8,465,527
1,804,459
52
1,104,788
1,808
45,441
3,191,094
11,807
1,087,725
0
6,052,587
54,958,683
0
0
486,116
1,029,794
4,382,942
672,636
10,916
0
535,309
1,530,887
0
3,857,643
0
211,178
0
1,708,835
2,132,205
4,149,602
12,389
19,481
0
3,824,723
6,148,975
0
2,923
560,623
1,335
4,975
3,637,177
0
209,334
3,358
3,245,747
38,379,103
2,643,344
1,037,808
220,980
0
0
0
0
0
0
0
0
0
1,180,000
0
0
420,021
0
135,229
0
0
3,270,000
937,170
0
0
0
0
0
2,301
827,990
0
0
1,081,822
650,000
12,406,665
JUNE 30, 2009
PROJECTED
BALANCE
8,052,142
175,174
58,459,429
10,783,955
64,226,273
173,842
750,741
1,935
46,591,092
15,987,637
2,287,247
836,549
11,059
852,730
571,045
8,519,679
41,650,579
14,646,450
702,611
0
578,605
17,682,106
31,351,201
3,437,739
0
14,367,774
53,238
1,325,749
5,218,424
345,552
21,062,142
798,738
36,954,296
408,455,732
1-15
CITY OF CARLSBAD
CAPITAL FUNDS
PROJECTED FUND BALANCES FOR FY 2009-2010
FUND
BTD#2 - POINSETTIA LANE/AVIARA PKW'i
BTD#3 - CANNON ROAD WEST
CFD#1 -CITYWIDE
GAS TAX
GENERAL CAPITAL CONST.
GOLF COURSE
GRANTS - FEDERAL
GRANTS - STATE
INFRASTRUCTURE REPLACEMENT
OTHER
PARK FEE ZONES 5, 13, 16
PARK-IN-LIEU NE
PARK-IN-LIEU NW
PARK-IN-LIEU SE
PARK-IN-LIEU SW
PLANNED LOCAL DRAIN'G
PUBLIC FACILITIES FEE
RANCHO SANTA FE ROAD PROJECT
REDEVELOPMENT VILLAGE
REDEVELOPMENT SCCRDA
SEWER BENEFIT AREAS
SEWER CONNECTION
SEWER REPLACEMENT
STATE TRANSPORTATION
TDA
TRAFFIC IMPACT FEE
TRANSNET/BIKE
TRANSNET/HIGHWAY
TRANSNET/LOCAL
TRANSNET/STP
WATER - MAJOR FACILITY
WATER - RECYCLED WATER
WATER - REPLACEMENT
TOTAL
JULY 1,2009
PROJECTED
BALANCE
8,052,142
175,174
58,459,429
10,783,955
64,226,273
173,842
750,741
1,935
46,591,092
15,987,637
2,287,247
836,549
11,059
852,730
571,045
8,519,679
41,650,579
14,646,450
702,611
0
578,605
17,682,106
31,351,201
3,437,739
0
14,367,774
53,238
1,325,749
5,218,424
345,552
21,062,142
798,738
36,954,296
408,455,732
ESTIMATED
REVENUES
48,330
0
1,652,343
1,636,890
197,000
0
1,535,994
0
6,538,000
0
33,958
0
142,767
37,421
16,037
263,249
547,534
449,010
100,000
250,000
90,062
30,474,361
3,200,000
981,929
0
721,768
0
0
4,701,000
0
413,529
0
4,693,000
58,724,181
6/30/2009
CONTINUING
APPROPR.
349,302
0
1,536,681
2,868,169
46,315,004
159,983
638,349
0
2,958,640
10,465,284
0
0
0
60,951
219,100
2,327,120
27,959,172
2,005,979
200,000
0
0
9,592,004
13,993,806
1,744,000
0
10,561,199
28,342
954,394
3,870,859
0
4,675,529
798,738
10,836,864
155,119,469
7/1/2009
NEW
APPROPR.
0
0
110,000
2,475,073
7,314,242
0
1,535,994
0
1,246,000
0
0
0
0
0
0
3,233,556
0
0
300,000
250,000
0
32,375,647
5,416,387
2,614,937
0
1,710,000
0
0
6,027,174
345,000
1,456,000
0
4,793,000
71,203,010
2009-2010
TOTAL CIP
APPROPR.
349,302
0
1,646,681
5,343,242
53,629,246
159,983
2,174,343
0
4,204,640
10,465,284
0
0
0
60,951
219,100
5,560,676
27,959,172
2,005,979
500,000
250,000
0
41,967,651
19,410,193
4,358,937
0
12,271,199
28,342
954,394
9,898,033
345,000
6,131,529
798,738
15,629,864
226,322,479
JUNE 30, 2010
PROJECTED
BALANCE
7,751,170
175,174
58,465,091
7,077,603
10,794,027
13,859
112,392
1,935
48,924,452
5,522,353
2,321,205
836,549
153,826
829,200
367,982
3,222,252
14,238,941
13,089,481
302,611
0
668,667
6,188,816
15,141,008
60,731
0
2,818,343
24,896
371,355
21,391
552
15,344,142
0
26,017,432
240,857,434
1-15
CITY OF CARLSBAD
CAPITAL FUNDS
REVENUES ACTUAL AND ESTIMATED
FUND
BTD#2 - POINSETTIA LANE/AVIARA PKW
BTD#3 - CANNON ROAD WEST
CFD#1 -CITYWIDE
GAS TAX
GENERAL CAPITAL CONST.
GOLF COURSE
GRANTS - FEDERAL
GRANTS - STATE
INFRASTRUCTURE REPLACEMENT
OTHER
PARK FEE ZONES 5, 13, 16
PARK-IN-LIEU NE
PARK-IN-LIEU NW
PARK-IN-LIEU SE
PARK-IN-LIEU SW
PLANNED LOCAL DRAIN'G
PUBLIC FACILITIES FEE
RANCHO SANTA FE ROAD PROJECT
REDEVELOPMENT VILLAGE
REDEVELOPMENT SCCRDA
SEWER BENEFIT AREAS
SEWER CONNECTION
SEWER REPLACEMENT
STATE TRANSPORTATION
TDA
TRAFFIC IMPACT FEE
TRANSNET/BIKE
TRANSNET/HIGHWAY
TRANSNET/LOCAL
TRANSNET/STP
WATER - MAJOR FACILITY
WATER - RECYCLED WATER
WATER - REPLACEMENT
TOTAL CAPITAL FUNDS
2005-2006
ACTUAL
REVENUE
1,376,967
94,297
4,595,150
1,974,975
3,490,443
30,985,910
1,127,704
728
4,787,770
15,007,594
303,004
216,055
577,594
342,046
180,662
1,394,418
7,177,940
5,393,508
1,058,550
74,118
1,068,906
1,672,308
5,271,251
428,955
136,933
1,407,742
65,859
28,618
3,320,925
6,935
3,386,838
10,878,643
5,495,772
113,329,118
2006-2007
ACTUAL
REVENUE
1,464,639
294,705
5,211,545
3,081,059
5,517,485
8,186,753
174,071
757
8,638,352
1,349,062
475,682
4,393,172
168,477
185,155
213,446
1,191,821
14,227,851
4,927,526
1,102,804
402,109
679,619
2,647,425
4,747,787
712,761
100,462
1,902,317
17,175
64,774
5,249,511
16,615
2,717,428
6,310,853
18,996,165
105,369,363
2007-2008
ACTUAL
REVENUE
685,051
243,058
6,022,173
2,175,033
21,722,104
3,229,295
25,064
107
10,039,558
14,689,534
475,315
174,290
260,945
58,794
84,240
643,543
8,181,479
8,399,786
418,143
14,689
698,222
2,423,647
6,912,342
1,644,023
2,439
2,898,498
4,700
73,778
2,676,734
19,085
2,506,713
-
6,115,644
103,518,026
2008-2009
ESTIMATED
REVENUE
377,030
(12,134)
3,491,753
5,616,024
3,902,451
0
855,768
61
9,142,926
3,698,982
162,766
47,050
72,708
35,781
19,520
736,164
2,342,376
619,452
715,000
0
285,647
1,084,071
8,465,527
1,804,459
52
1,104,788
1,808
45,441
3,191,094
11,807
1,087,725
0
6,052,587
54,958,683
2009-2010
ESTIMATED
REVENUE
48,330
0
1,652,343
1,636,890
197,000
0
1,535,994
0
6,538,000
0
33,958
0
142,767
37,421
16,037
263,249
547,534
449,010
100,000
250,000
90,062
30,474,361
3,200,000
981,929
0
721,768
0
0
4,701,000
0
413,529
0
4,693,000
58,724,181
1-15
CITY OF CARLSBAD
CAPITAL FUNDS
BUDGET EXPENDITURE SCHEDULE
FUND
BTD#2 - POINSETTIA LANE/AVIARA PKW^i
BTD#3 - CANNON ROAD WEST
CFD#1 -CITYWIDE
GAS TAX
GENERAL CAPITAL CONST.
GOLF COURSE
GRANTS - FEDERAL
GRANTS - STATE
INFRASTRUCTURE REPLACEMENT
OTHER
PARK FEE ZONES 5,13,16
PARK-IN-LIEU NE
PARK-IN-LIEU NW
PARK-IN-LIEU SE
PARK-IN-LIEU SW
PLANNED LOCAL DRAIN'G
PUBLIC FACILITIES FEE
RANCHO SANTA FE ROAD PROJECT
REDEVELOPMENT VILLAGE
REDEVELOPMENT SCCRDA
SEWER BENEFIT AREAS
SEWER CONNECTION
SEWER REPLACEMENT
STATE TRANSPORTATION
TDA
TRAFFIC IMPACT FEE
TRANSNET/BIKE
TRANSNET/HIGHWAY
TRANSNET/LOCAL
TRANSNET/STP
WATER - MAJOR FACILITY
WATER - RECYCLED WATER
WATER - REPLACEMENT
TOTAL CAPITAL FUNDS
2006-2007
ACTUAL
0
441,205
1,061,255
3,069,941
9,809,462
24,610,889
(166,682)
15,362
1,786,327
9,759,090
0
689,594
462,878
1,250,000
0
467,751
5,972,530
2,735,145
264,594
17,631
5,831
4,739,333
3,836,803
712,761
4,751
1,463,883
181,337
16,035
4,830,558
-
2,243,730
17,357,408
2,810,850
100,450,252
2007-2008
ACTUAL
0
0
3,667,719
1,613,077
2,389,696
4,057,131
112,202
0
382,953
17,272,718
0
282
0
0
558,811
959,121
12,904,987
2,970,825
836,311
56,070
2,015,035
7,172,160
552,755
28
95,248
469,949
14,465
3,489
2,468,484
-
476,120
76,881
5,708,566
66,835,083
2008-2009
ESTIMATED
2,643,344
1,037,808
707,096
1,029,794
4,382,942
672,636
10,916
0
535,309
1,530,887
0
3,857,643
1,180,000
211,178
0
2,128,856
2,132,205
4,284,831
12,389
19,481
3,270,000
4,761,893
6,148,975
0
2,923
560,623
1,335
7,276
4,465,167
0
209,334
1,085,180
3,895,747
50,785,768
2008-2009
CONTINUING
APPROPR.
349,302
0
1,536,681
2,868,169
46,315,004
159,983
638,349
0
2,958,640
10,465,284
0
0
0
60,951
219,100
2,327,120
27,959,172
2,005,979
200,000
0
0
9,592,004
13,993,806
1,744,000
0
10,561,199
28,342
954,394
3,870,859
0
4,675,529
798,738
10,836,864
155,119,469
2009-2010
NEW
APPROPR.
0
0
110,000
2,475,073
7,314,242
0
1,535,994
0
1,246,000
0
0
0
0
0
0
3,233,556
0
0
300,000
250,000
0
32,375,647
5,416,387
2,614,937
0
1,710,000
0
0
6,027,174
345,000
1,456,000
0
4,793,000
71,203,010
2009-2010
TOTAL CIP
APPROPR.
349,302
0
1,646,681
5,343,242
53,629,246
159,983
2,174,343
0
4,204,640
10,465,284
0
0
0
60,951
219,100
5,560,676
27,959,172
2,005,979
500,000
250,000
0
41,967,651
19,410,193
4,358,937
0
12,271,199
28,342
954,394
9,898,033
345,000
6,131,529
798,738
15,629,864
226,322,479
1-15
2009-10 Capital Improvement Program
PROJECT TITLE
CIVIC PROJECTS
ADMINISTRATIVE FACILITIES
CIVIC CENTER
CITY ADMIN TRAINING FACILITY (PRE-DESIGN) - PROP C
PUBLIC WORKS CENTER
PUBLIC WORKS CENTER
PUBLIC WORKS CENTER
POLICE » FIRE FACt-ITIES
FIRE STATION *3 RELOCATION
FIRE STATION #3 RELOCATION (GENERAL FUND)
FIRE STATION *6 (PERMANENT)
JOINT FIRST RESPONDERS TRAINING FACILITY
JOINT FIRST RESPONDERS TRAINING FACILITY - PROP C
POLICE CAD IMPLEMENTATION
LIBRARY FACILITIES
LIBRARY EXPANSION (COLE)
LIBRARY EXPANSION (COLE)
LIBRARY EXPANSION (LEARNING CENTER)
LIBRARY EXPANSION (LEARNING CENTER)
LIBRARY EXPANSION (LEARNING CENTER)
MISCELLANEOUS CITYWIDE PROJECTS
PROPOSITION C PROJECTS
CFDtfl ADMINISTRATION
COASTAL RAIL TRAIL
COASTAL RAIL TRAIL (CMAQ)
PUBLIC WORKS INVENTORY AND FAC MAINT PROGRAM
STREETSCAPE IMPROVEMENTS
VILLAGE PUBLIC PARKING ENHANCEMENT PROGRAM
SUBTOTAL CIVIC PROJECTS
FACILITIES MAINTENANCE
BEACH ACCESS STAIRS REPLACEMENT
REPAIR RECOATING GUARDRAIL PAR BRIDGE AT CARLSBAD BLVD
REPAIR RECOATING GUARDRAIL PAR BRIDGE AT CARLSBAD BLVD - PROP 42
STAGECOACH PARK PICNIC SHELTER
SUBTOTAL FACILITIES MAINTENANCE
PARK PROJECTS
CITYWIDE PARKS
BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING)
CARLSBAD MUNICIPAL GOLF COURSE
LAKE CALAVERA TRAILS MASTER PLAN/CONSTRUCTION
VETERAN'S MEMORIAL PARK
NORTHWEST QUADRANT PARKS
PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II
PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II
PINE AVENUE PARK-RESTROOM/STORAGE BUILDING
PINE AVENUE PARK-RESTROOM/STORAGE BUILDING
NORTHEAST QUADRANT PARKS
ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING)
SOUTHWEST QUADRANT PARKS
AVIARA COMMUNITY PARK COMMUNITY BUILDING
AVIARA COMMUNITY PARK COMMUNITY BUILDING
AVIARA REIMBURSEMENT AGREEMENT
POINSETTIA COMMUNITY PARK -PHASE III
POINSETTIA COMMUNfTY PARK - PARKING
FUND
CF0HM
GCC
CFDH1
WATER REPL
SEWER REPL
PFF
GCC
PFF
GCC
GCC
GCC
CFD*1
PFF
GCC
CFD#1
OTHER
GCC
CFO*1
TRANSNET/BIKE
FED GRNT
GCC
REDVL VILLAGE
REDVL VILLAGE
IRF
GCC
STATE TRANS
GCC
ZONES
GOLF COURSE
GCC
CFD#1
PIL-NW
PFF
PFF
PIL-NW
PU.-NE
PFF
PIL-SW
PIL-SW
PFF
PFF
TOTAL
BUDGET
26,100.000
100.000
17,080.366
7,169.600
3,861,200
7,001.000
540,000
5,830.000
10,850,000
13.650.000
2,312.228
4,763.217
9,776,000
388,660
4,491,837
1,259,503
5,034,205
910,425
221.800
4,413,784
404,992
400,000
850.000
127.408,817
517,500
130.000
944,000
100,000
1.691,500
3.400.000
55,266.655
598,750
23,239,800
1.751,776
7,919.958
276,656
100,000
1,800,000
7.937,488
2.806,648
238,000
14,620,640
963.400
PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 BUILDOUT
EXP/ENC FORWARD 2009-10 2010-2011 2011-2012 2012-2013 2013-2014 2015-2019 2020-BO
1,216.636 1,491,630
1,000.000
540,000
5,579,105 250,895
1,802,977 9,047,023
13,650.000
2,163,967 148.261
384.766 3,894
4,491,786 51
1.259,439 64
95.425 45,000
193,458 28,342
3,775,435 638.349
399,087 5,905
100.000
22,902,081 25.409,414
130,312 387,188
106.883 23.117
944.000
97.194 2.806
334.389 1.357.111
55.106,672 159,983
50,371 548,379
-
-
-
18,900 219.100
1.089,200
78,894 884,506
26,100,000
100,000
14,372,100
7.169.600
3.861,200
493,200 5,507,800
4,763,217
9,776,000
5.034,205
110.000 110,000 110,000 110,000 110.000 220,000
300,000
850,000
5,444.205 603.200 5,617,800 110,000 25,612,900 27.170,000 14,539,217
.
3,400,000
23,239,800
1.751.776
7.919.958
276,656
100,000
1,800,000
7,937,488
2,806,648
1,076.400 12,455,040
J-1
2009-10 Capital Improvement Program
PROJECT TITLE
SOUTHEAST QUADRANT PARKS
ALGA NORTH PARK - PARK (30 ACRES)
ALGA NORTE PARK - POOL
ALGA NORTE PARK - POOL
ALGA NORTE PARK - POOL (PROP C FUNDS)
LEO CARRILLO PARK - PHASE III
LEO CARRILLO PARK - PHASE III
LEO CARRILLO BARN
LEO CARRILLO BARN STABILIZATION (S197K * GRANT)
LEO CARRILLO EVENT AREA EXPANSION
SUBTOTAL PARK PROJECTS
DRAINAGE PROJECTS
AGUA HEOIONOA CHANNEL (PLDA "B* - FACILITY B * BN)
AGUA HEDIONDA CHANNEL
BCC DRAINAGE FACILITY (REIMS)
CARLSBAD BOULEVARD ENCINAS CREEK BRIDGE REPLACEMENT (PLDA "C" - C 1 )
CARLSBAD BLVD STORM DRAIN REPLACEMENT
CMP REPLACEMENT PROGRAM
COLLEGE BLVD. BRIDGE (REIMBJPLDA 'B' - FACILITY BL-L )
COLLEGE BLVD/CANNON RD (PLDA "B" - FACILITY BJ B * BNB » BJ-1)
HOSP GROVE PARK DRAINAGE IMPROVEMENTS
KELLY DRIVE CHANNEL REPAIR
LA COSTA AVE STORM DRAIN REPLACEMENT
MISCELLANEOUS MASTER DRAINAGE FACILITIES
MISCELLANEOUS ROAD SUBDRAINS
NW QUADRANT STORM DRAIN IMPROVEMENT PROGRAM
NW QUADRANT STORM DRAIN IMPROVEMENT PROGRAM
PARK DRIVE AND TAMARACK AVENUE STORM DRAIN (PLDA "B" - FACILITY BCA)
RIDGECREST DRAINAGE IMPROVEMENTS
ROMERIA DRAINAGE IMPROVEMENTS
ROMERIA DRAINAGE IMPROVEMENTS
TAMARACK AND ECR STORM DRAIN AND SILT BASIN (REIMBVPLDA 'B' • BFB-L * BF-1)
PARK DRIVE DRAINAGE AND STREET IMPROVEMENTS
MARCA DRIVE DRAINAGE IMPROVEMENTS
FIRE STATIONS 1 THRU 5 DRAINAGE SYSTEMS
RANCHO CARRILLO WATER SEEPAGE
SUBTOTAL DRAINAGE PROJECTS
SEWER PROJECTS
ENCMA WATER POLLUTION CONTROL FACILITY
BUILDING IMPROVEMENTS
CAPITAL ACQ/REPL/REHAB AND STAFFING
PHASE IV EXPANSION - DEBT SERVICE
PHASE V EXPANSION
FUND
PFF
PFF
GCC
GCC
PFF
PIL-SE
PFF
GCC
PIL-SE
PLD
GCC
PLD
PLD
IRF
IRF
PLD
PLO
IRF
IRF
IRF
PLD
GAS TAX
GCC
GAS TAX
PLD
GCC
GCC
GAS TAX
PLD
GCC
GAS TAX
GCC
GCC
SEWER REPL
SEWER REPL
SEWER CONN
SEWER CONN
TOTAL
BUDGET
22.107,510
6.099,695
6.000.000
16.215.795
1.057.000
866.100
500,000
500,000
267.000
174.532.871
4,384,413
859,037
511,979
2,539,565
505,000
2,598,000
1,816,101
2,889,757
150.000
1,223.500
492.150
9,241,081
560.000
460550
3.392,594
1.068,613
117.500
299,000
338,000
904,329
155,500
65,000
225,000
53.000
34,849.369
4,593,155
35,950,927
6,522,144
10,603,878
PRIOR
EXP/ENC
1.798,456
500,148
-
389,265
-
497,714
206,049
59.735.669
1.888.000
440.832
426.628
472.048
2,236.206
100,526
6.496
63.514
204,986
49.500
109.239
99.961
6,043
6,103,979
3,745.999
1,515,694
937,170
10,462,470
BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10
FORWARD 2009-10 2010-2011 2011-2012 2012-2013 2013-2014 2015-2019
20,309,054
5,599,547
6,000,000
15,826,530
2,266
60,951
49,610,336
8,522
511,979
1.153,068
78,372
904,952
653,551
150.000
375,474
485,654
496,486
255,264
356,555
8,261
174,039
331,957
.
5,944,134
847,156
966,678
141,408
SEWER COLLECTION SYSTEM
AVENIDA ENCINAS GRAVITY SEWER
BEECH STREET SEWER REPLACEMENT
BUENA INTERCEPTOR SEWER IMPROVEMENTS
CALAVERA HILLS TREATMENT PLANT - DEMOLITION
CARLSBAD TRUNK SEWER REACHES VCT1A, VCT1B, VCT1C (SBA 'A')
CARLSBAD TRUNK SEWER REACHES VCT1A. VCT1B. VCT1C (SBA "A')
CONDITION ASSESSMENT OF SEWER MAINS
FARADAY AVENUE - ORION TO MELROSE SEWER
HOME PLANT - PIPELINE REPLACEMENT
HOME PLANT LIFT STATION REPLACEMENT
LA COSTA MEADOWS SEWER EXTENSION
LA GOLONDRIA SEWER EXTENSION
NORTH AGUA HEDIONDA INTERCEPTOR - WEST SEGMENT
NORTH AGUA HEDIONDA TRUNK SEWER REACH NAHT1A (SBA "B")
NORTH BATIQUrTOS INTERCEPTOR REHABILITATION
POINSETTIA SEWAGE LIFT STATION ODOR/NOISE ABATEMENT
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEW BENEF
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
276,300
1,947,000
2,840,000
854,000
120,600
427,635
626.000
110,200
919.000
2.712,000
1,146,877
1,108.543
5,854.000
2.862.000
1.199.000
669.500
20,433
142.083
1,726
50,425
91.446
6.089
97,846
139.949
5,840.465
63.337
173.411
629.781
1.926,567
1,317,917
21,774
-
-
313.000
59.775
442.554
1,805,911
1,049,031
968,594
13.535
703.663
1,025,589
39,719
BUILDOUT
2020-BO
310,500 746,500
866,100
500,000
376,656 - - 1.386,900 14,567,640 48,855.670
2,287,891 40,000 40,000 40,000 80,000
859.037
945.665
432,000 507.000 282,000
1,816,101
685,000 17.500 15,000 12,500 17,500
9.241,081
507.573 525.898 694,228 949,500 153,840 155,500
1,068,613
5.000 5.000 5,000 5,000 5,000
904,329
155.500
65,000
225,000
53,000
5,930,666 1,055,398 1,326,228 1,007,000 216,340 3,120,214 10,145.410
1,575,887 1,656.203 1,588,467 1,542,189 1.425,073 6,190,056 19,490,680
933,007 931,419 932,469 931,469 928.419 928,191
276,300
1,380,000
830,500
120,600
427,635
313,000
385,000
100,000 800,000
2.095,000
J-2
2009-10 Capital Improvement Program
PROJECT TITLE
SEWER LIFT STATION REMOVALS - VARIOUS
SEWER LIFT STATION REPAIRS AND UPGRADES
SEWER LINE REFURBISHMENTS/REPLACEMENT AND MANHOLES
SEWER MASTER PLAN/CONNECTION FEE UPDATE
SEWER MASTER PLAN/CONNECTION FEE UPDATE
SEWER MONITORING PROGRAM
TERRAMAR LIFT STATION REPLACEMENT
VISTA/CARLSBAD INTERCEPTOR BUENA VISTA LIFT STATION FORCE MAIN (VC-4)
VISTA/CARLSBAD INTERCEPTOR AGUA HEDKJNDA LIFT STATION (VC12)
VISTA/CARLSBAD INTERCEPTOR REACH VC11B
VISTA/CARLSBAD INTERCEPTOR REACH VC13 TO VC15
VISTA/CARLSBAD INTERCEPTOR REPLACEMENT REACH 3
SUBTOTAL SEWER PROJECTS
WATER DISTRIBUTION SYSTEM
AVIARA PARKWAY AT PLUM TREE
BUENA VISTA PUMP STATION IMPROVEMENTS (STUDY)
CALAVERA HILLS WATER BOOSTER STATION STANDBY GENERATOR
CARLSBAD BOULEVARD - SOUTH OF AVENIOA ENCINAS
CATHODIC PROTECTION PROGRAM
COLLEGE BOULEVARD - CANNON TO BADGER LANE
COLLEGE BOULEVARD (ECR TO CANNON ROAD) - Reimb
CRESTVIEW DRIVE TRANSMISSION MAIN
D RESERVOIR DRAINAGE IMPROVEMENTS (STUDY)
D RESERVOIR -PHASE I
D RESERVOIR - PHASE II
DESALINATION GROUNDWATER/SEAWATER STUDY
EL CAMINO REAL TRANSMISSION MAIN FROM FARADAY TO COUGAR DRIVE
EL FUERTE - NORTH OF LOKER - (Reimb)
EL FUERTE AND CORINTIA STREET
ELLERY WATER PUMP PROJECT
FARADAY AVENUE - ORION TO MELROSE WATERLINE - (Reimb)
FARADAY AVENUE EXTENSION - Reimb
GROUNDWATER DEVELOPMENT - SAN LUIS REY RIVER (STUDY)
LAKE CALAVERA RESERVOIR IMPROVEMENTS
MAERKLE FACILITY IMPROVEMENTS
MAERKLE PUMP STATION IMPROVEMENTS
MAERKLE PUMP STATION IMPROVEMENTS
MAERKLE RESERVOIR BRIDGE REPLACEMENT
MAERKLE RESERVOIR STORAGE (TAP #2)
MAERKLE TRANSMISSION MAIN
MARRON ROAD - PRESSURE REGULATING STATION TO OCEANSIDE
MASTER PLAN UPDATE
MELROSE DRIVE - PALOMAR AIRPORT ROAD TO FARADAY - (Reimb)
MISCELLANEOUS PIPELINE REPLACEMENT PROJECTS
MISCELLANEOUS WATER RESERVOIR FENCING
MISCELLANEOUS WATER VALVE REPAIRS/REPLACEMENTS
OCEANSIDE INTERTIE UPGRADE
POINSETTIA LANE - EL CAMINO REAL TO SKIMMER CT (Reimb)
POINSETTIA LANE - SKIMMER CT TO CASSIA
POINSETTIA LANE - SKIMMER CT TO CASSIA
POINSETTIA LANE EAST OF BLACK RAIL ROAD 12"
POINSETTIA LANE EAST OF BLACK RAIL ROAD 12'
PRESSURE REDUCING STATION REPLACEMENT
TRI-AGENCIES WATER TRANSMISSION PIPELINE REPLACEMENT
WATER PIPELINE REPLACEMENT - CAMEO ROAD TO ECR
WATER SYSTEM INTERTIE CONNECTION
RESERVOIR REPAIR /MAINTENANCE PROGRAM
KELLY RANCH PRESSURE REDUCING STATION
HYDROELECTRIC PRESSURE REDUCING STATON-MAERKLE RESERVOIR
SUBTOTAL WATER DISTRIBUTION SYSTEM
FUND
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER CONN
SEWER CONN
SEWER REPL
SEWER CONN
SEWER CONN
SEWER CONN
SEWER CONN
SEWER CONN
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER REPL
WATER CONN
WATER CONN
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER REPL
WATER CONN
WATER CONN
WATER REPL
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER CONN
WATER CONN
WATER CONN
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER CONN
WATER REPL
WATER CONN
WATER CONN
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
TOTAL
BUDGET
5,531.000
1.360,380
5,974,600
400,000
100,000
352,000
548,000
6,225,000
17.400,000
6,430,000
14,700,000
2.688,220
143,051,959
494,728
200,000
502.444
953,888
1.246,700
1.066,000
1,060.000
162,032
175,000
6.666.504
2,222,064
774,176
1,530,896
250.000
168.168
205,900
887510
776.000
55.000
6.796.908
2.135.200
1.000.200
998.427
328,750
14,814,280
6,330,000
797,888
650,000
1.475,000
1,876,700
197,399
250.000
114,600
130,728
508.664
398.944
239,720
239,616
1,102,000
6,455.000
120,000
439.000
125,000
355,000
1.250,000
68,525.734
PRIOR
EXP/ENC
83,253
619.370
448.098
261.316
90,315
.
-
513,128
1.777,615
707,835
982.871
29.402.125
1,086
.
-
1,523,828
-
-
23,495
11,739
-
-
6,161,607
770.184
44,322
118,566
-
8.831
20,942
262,815
126,805
3,800
213,511
102,082
34.774
9.428,387
BALANCE YEAR1 YEAR 2 YEARS
FORWARD 2009-10 2010-2011 2011-2012
5.747
41,010
2,281.902
138,684
9.685
88.000
25.000
2,836.872
1,441.745
3,457.165
1,617.129
-
23,585,810
100,000
-
624.000
1,066.000
530.000
-
133,914
.
-
7,068
250,000
875.471
.
485.301
1,100,016
-
210.184
.
4,866.169
-
479,058
1,475.000
737,185
70,594
125.000
-
-
1,098,200
391,489
17.918
-
14,642,567
YEAR 4 YEAR 5 YEAR 6-10
2012-2013 2013-2014 2015-2019
BUILDOUT
2020-80
5.442.000
100,000 100,000 100,000
330,000 330,000 330,000
100,000 300,000
330,000 1,650,000 274.600
22,000 22,000 22.000 22,000 110,000 66.000
523,000
2.875,000
14,180.640
2.265.000
12.100,000
596,220 2.092,000
37,792,034 6,338,842 5,341,236 3,238.658 2.353,492 15,168,482 19.831,280
494,728
100,000
54,100 448,344
953,888
475,800 146,900
530,000
33.800 128,232
40,000
6,666,504
2,222.064
774,176
168,168
182,405
776,000
55,000
150,000
265.000
85,000 915,200
85.000 869,105
14,814.280
1,455,000
797,888
150,000
433,000 443,700
125.000
114,600
130,728
508,664
398,944
239,720
239,616
650,000 5,200.000
404,226
125,000
355,000
1,250.000
4.969.800 6,414.300 18.550,613 532,458 225,000 12,964,721 797,888
J-3
2009-10 Capital Improvement Program
PROJECT TITLE
RECYCLED WATER PROJECTS
CARLSBAD WATER RECYCLING FACILITY SCADA MODIFICATIONS
CHESTNUT AVENUE RECYCLED WATER LINE
ECR/TAMARACK PUMP STATION REMOVAL
1-5 RECYCLED WATER TRANSMISSION LINE
PUMP STATION REMOVAL
RECYCLED WATER LINE - IRRIGATION SERVICES
RECYCLED WATER LINE - IRRIGATION SERVICES
RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY
RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY
RECYCLED WATER MASTER PLAN UPDATE
RECYCLED WATER PROJECTS-l-5 CROSSING
12' RECYCLED WATER TRANSMISSION MAIN-AVENIDA ENCINAS. CWRF TO CANNING
SUBTOTAL RECYCLED WATER PROJECTS
CIRCULATION SYSTEM
TRAFFIC SIGNAL PROJECTS
TRAP SIG - ALGA ROAD AND CAZADERO
TRAP SIG - ARMADA DRIVE AND GRAND PACIFIC RESORTS
TRAP SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL
TRAP SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL
TRAP SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL
TRAP SIG - AVIARA PKWY AND CAMINO DE LAS ONDAS- REIMS
TRAP SIG - CALLE BARCELONA AND PASEO AVELLANO
TRAP SIG - CAMINO DE LOS COCHES AND LA COSTA AVENUE
TRAP SIG - CAMINO VIDA ROBLE AND YARROW DRIVE
TRAP SIG - CANNON ROAD AND AVENIDA ENCINAS-rekTl.
TRAP SIG - CANNON ROAD AND COLLEGE BOULEVARD
TRAP SIG - CARLSBAD BLVD & TAMARACK SIGNAL REPAIRS
TRAP SIG - CARLSBAD BOULEVARD AND CHERRY AVENUE
TRAP SIG - EL CAMINO REAL AND CHESTNUT SIGNAL REPAIRS
TRAP SIG - EL CAMINO REAL AND TAMARACK SIGNAL REPAIRS
TRAP SIG • EL FUERTE ST AND RANCHO PANCHO
TRAP SIG - FARADAY AVE. AND CAMINO HILLS DRIVE
TRAP SIG - FARADAY AVENUE AND PALMER WAY
TRAP SIG - FARADAY AVENUE AND RUTHERFORD ROAD
TRAP SIG - LA COSTA AVENUE AND CALLE MADERO
TRAP SIG - LA COSTA AVENUE AND ESFERA STREET
TRAP SIG - LA COSTA AVENUE AND GIBRALTAR
TRAP SIG - LA COSTA AVENUE AND LEVANTE
TRAP SIG - LA COSTA AVENUE/NUEVA CASTILLA WAY
TRAP SIG - MELROSE DRIVE AND LA COSTA AVENUE
TRAP SIG - MONROE STREET AND HOSP WAY
TRAP SIG - PASEO DEL NORTE /HARBOR POINT ROAD
TRAP SIG - POINSETTIA LANE AND BRIGANTINE ROAD
TRAP SIG - RANCHO SANTA FE ROAD AND AVENIDA LA CIMA
TRAP SIG - RANCHO SANTA FE ROAD AND CALLE JUNIPERO
TRAP SIG - RANCHO SANTA FE ROAD AND QUESTHAVEN ROAD
TRAP SIG - TAMARACK AVE. AND PONTIAC DRIVE
TRAP SIG - TAMARACK AVE. AND VALLEY STREET
VIDEO DETECTION CONVERSION
SUBTOTAL TRAFFIC SIGNAL PROJECTS
STREET PROJECTS
ADA COMPLIANCE STUDY (GOAL)
AVENIDA ENCINAS WIDENING - SOUTH OF PALOMAR AIRPORT ROAD
CANNON ROAD REACH 4B
CARLSBAD BLVD BRIDGE CONCRETE BARRIER POWER PLANT
CARLSBAD BLVD BRIDGE CONCRETE BARRIER POWER PLANT (LOCAL MATCH)
CARLSBAD BLVD BRIDGE CONCRETE BARRIER RAILROAD
CARLSBAD BLVD BRIDGE CONCRETE BARRIER RAILROAD (LOCAL MATCH)
CARLSBAD BLVD. AT STATE ST • INTERSECTION ENHANCEMENT DESIGN
CARLSBAD BOULEVARD MEDIAN-TAMARACK AVENUE TO PINE AVENUE
CARLSBAD BOULEVARD MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (20% FUNDING
CARLSBAD BOULEVARD MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (RTCIP/20%)
CARLSBAD BOULEVARD / PALOMAR AIRPORT ROAD (20% FUNDING)
CARLSBAD BOULEVARD / PALOMAR AIRPORT ROAD (RTCIP / 20% FUNDING)
CARLSBAD BOULEVARD RETROFIT OVER SDNR
V CARLSBAD BOULEVARD WIDENING - CANNON TO MANZANO
\ CARLSBAD VILLAGE DRIVE AND AVENIDA DE ANITA
FUND
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
RECL WATER
WATER REPL
RECL WATER
WATER REPL
WATER REPL
WATER REPL
WATER REPL
GAS TAX
GAS TAX
TIP
OTHER
GAS TAX
GAS TAX
GCC
TRANSNET-LOC
GAS TAX
PFF
TRANSNET-LOC
IRF
GAS TAX
IRF
IRF
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
TRANSNET-LOC
GAS TAX
TRANSNET-LOC
TRANSNET-LOC
GAS TAX
GAS TAX
GCC
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
TIF
TRANSNET-HWY
FED GRNT
TRANSNET-LOC
FED GRNT
TRANSNET-LOC
REDVL VILLAGE
GAS TAX
TIF
TIF
TIF
TIF
TRANSNET-LOC
TIF
GCC
TOTAL
BUDGET
210.000
716,600
80,019
277,274
442,700
230,000
240,000
675,000
410,000
495,000
134,200
250,000
4,160,793
210.000
190,000
29,969
645,447
160,000
105,000
210.000
190,000
190,000
150,000
210,000
230,000
190,000
276,000
200,000
190,000
190,000
190,000
190,000
210,000
210,000
210,000
210,000
210,000
190,000
210.000
210,000
190,000
190,000
210,000
124,767
210.000
190,000
1,850,000
8.571,183
50,000
5,402,000
1,761.000
1.217,287
157,713
340,640
44,160
100,000
2,197.000
782,496
1,012.960
740,696
2.927.600
1.734,000
5.574,400
105,000
PRIOR
EXP/ENC
667
15.537
4.937
101,325
-
16.670
.
139,136
10.474
342,689
164
-
206.670
300
6,098
5,210
172,757
3,954
259,500
1.007,816
207,816
806,606
8,853
3,147
13,280
1,489,815
91,306
BALANCE YEAR1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10
FORWARD 2009-10 2010-2011 2011-2012 2012-2013 2013-2014 2015-2019
209,333
427,163
225,063
573,675
233,330
1,668,564
19,495
302.758
159,836
105.000
3,330
149.700
230,000
206,000
141.000
183.902
17,243
124.767
324.500
1.967,531
50,000
17,184
954,394
100,000
244,185
13,694
BUILDOUT
2020-BO
716.600
60,019
277.274
240,000
410,000
245,000
134,200
250,000
1,279,200 80,019 716,600 277,274
210,000
190,000
190,000
190,000
210,000
190.000
70,000
59,000
190.000
190,000
190.000
210,000
210,000
210,000
210,000
210,000
190.000
210,000
204,790
190,000
210,000
206,046
190,000
277,000 247,000 307,000 300,000 135.000
596.000 1,291,790 877,000 700,000 135,000 1,616.046 380,000
421,000 2,365,000 30,000 2,361,000
1,208,434
154,566
327,560
44,160
2.197,000
782,496
1,012,960
740,896
2,927.600
5,574.400
J-4
2009-10 Capital Improvement Program
PROJECT TITLE
CARLSBAD VILLAGE DRIVE - PONTIAC TO VICTORIA
COLLEGE BLVD REACH A AND CANNON REACH 4A
COLLEGE/CANNON ASSESSMENT DISTRICT
CONCRETE REPAIR PROGRAM
CONCRETE REPAIR PROGRAM
CONCRETE REPAIR WORK
EL CAMINO REAL AND CARLSBAD VILLAGE DRIVE DUAL LEFT TURNS
EL CAMINO REAL LEFT TURN LANE TO WEST TAMARACK
EL CAMINO REAL RIGHT TURN LANE TO NORTH ALGA ROAD
EL CAMINO REAL / CANNON ROAD INTERSECTION IMPROVEMENTS
EL CAMINO REAL MEDIANS
EL CAMINO REAL MEDIANS
EL CAMINO REAL MEDIANS - LA COSTA
EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENEUE (RTCIP)
EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENEUE
EL CAMINO REAL WIDENING - CASSIA RD TO CAMINO VIDA ROBLE
EL CAMINO REAL WIDENING - LISA STREET TO CRESTVIEW DR
EL CAMINO REAL WIDENING - NORTH OF COUGAR DRIVE
EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT
EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT
EL CAMINO REAL WIDENING • TAMARACK TO CHESTNUT
EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT (RTCIP)
EL FUERTE EXTENSION
FARADAY AVENUE EXTENSION
1-5 AND LA COSTA AVENUE AUXILLARY LANES
LA COSTA AVE SLOPE REPAIR WEST OF ROMERIA
MARBELLA WALL BEAUTIFCATON
MELROSE DRIVE - SOUTH OF PALOMAR AIRPORT ROAD
MELROSE DRIVE AND ALGA ROAD DUAL LEFT TURN LANES (RTCIP)
MELROSE DRIVE EXTENSION
MELROSE DRIVE EXTENSION
MELROSE DRIVE TURN LANE TO WEST PALOMAR AIRPORT ROAD
PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANES
PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANESTORAINAGI
PALOMAR AIRPORT ROAD AND MELROSE DRIVE RIGHT TURN
PALOMAR AIRPORT ROAD AND MELROSE DRIVE RIGHT TURN
PALOMAR AIRPORT ROAD TURN LANE TO SOUTH EL CAMINO REAL
PALOMAR AIRPORT ROAD TURN LANE TO NORTH EL FUERTE STREET
PALOMAR AIRPORT ROAD WIDENING AT MELROSE DRIVE
PALOMAR AIRPORT ROAD WIDENING AT PASEO DEL NORTE
PARK DRIVE, MARINA TO COVE
PAVEMENT MANAGEMENT PROGRAM
PAVEMENT MANAGEMENT PROGRAM (PROP 42 Funds)
PAVEMENT MANAGEMENT PROGRAM (PROP 1B Funds)
PAVEMENT MANAGEMENT PROGRAM
PAVEMENT MANAGEMENT PROGRAM (NON-JURIS FEES)
POINSETTIA LANE - REACH E
POINSETTIA LANE • REACHES A,B,C,F,G 4 AVIARA PKWY REIMB
POINSETTIA LANE EAST OF EL CAMINO REAL FINANCING PROGRAM
POINSETTIA LANE WIDENING - PASEO DEL NORTE TO BATIQUITOS (RTCIP)
RANCHO SANTA FE ROAD AND OLIVENHAIN IMPROVEMENTS
RANCHO SANTA FE ROAD NORTH - PHASE I
RANCHO SANTA FE ROAD NORTH - PHASE II (BRIDGE)
SIDEWALK/STREET CONSTRUCTION - VARIOUS LOCATIONS
SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS
TAMARACK AND ADAMS
TRAFFIC CALMING - DONNA DRIVE (DESIGN)
TRAFFIC CALMING - SIERRA MORENA AVENUE (DESIGN)
TRAFFIC MONITORING PROGRAM
UNDERGROUND DIST. 17 - HARDING, ROOSEVELT
CAMINO HILLS AND JACKSPAR SLOPE STABILIZATION
\
CARLSBAD BLVD. REALIGNMENT STUDY, PHASE 2
PALOMAR AIRPORT ROAD RIGHT TURN LANE TO SIB PASEO DEL NORTE
PALOMAR AIRPORT ROAD RIGHT TURN LANE TO SIB PASEO DEL NORTE
> PALOMAR AIRPORT ROAD LEFT TURN LANE EXPANSION TO N/B PASEO DEL NORTE
vA PALOMAR AIRPORT ROAD LEFT TURN LANE EXPANSION TO N/B PASEO DEL NORTE
SUBTOTAL STREETS PROJECTS
LOANS TO OTHER FUNDS
GAS TAX LOAN BTD#2
FUND
TF
OTHER
OTHER
GCC
GAS TAX
GAS TAX
TF
TF
TF
TF
PFF
GAS TAX
PFF
TF
TF
TRANSNET-LOC
TRANSNET-LOC
TRANSNET-LOC
TRANSNET-LOC
TRANSNET-STP
TF
TF
OTHER
OTHER
CF001
GAS TAX
GCC
OTHER
TF
OTHER
OTHER
TF
TF
GCC
OTHER
TF
TF
TF
OTHER
TIF
GAS TAX
TRANSNET-LOC
STATE TRANS
STATE TRANS
GAS TAX
TRANSNET-LOC
BTCW2
BTCW2
OTHER
TF
RSF ROAD
RSF ROAD
RSF ROAD
TIF
TF
GAS TAX
GAS TAX
GAS TAX
TIF
GCC
GCC
REDVL SCCRDA
GAS TAX
OTHER
GAS TAX
OTHER
GAS TAX
TOTAL
BUDGET
2.466,880
1,713.002
10,314,481
250,000
1,500,000
750.000
899,600
286,000
348,400
589,000
909,500
2,866,600
1.390,500
625,040
1,772,160
4,026,000
1.202.000
574.782
3,925,885
345,000
7,656,023
422,000
4,095,146
16,248,065
2,000,000
199,000
180,000
228,938
983,840
1,525,584
3,477.792
410,000
587,000
250.500
165.980
88.500
590,720
952,640
2,826.268
1.676.019
416.300
51,010,515
20,030,000
3,167,193
7,994,088
12,267,476
13,460.600
1.373.558
28,932,793
825,760
5,985.905
26,406,243
20,671,000
3,295,672
935.000
48.500
113.000
90.000
1,718,900
509,800
87,000
250,000
424,286
112,785
169,943
25.394
305,787.908
PRIOR
EXP/ENC
.
418,411
10.009.552
204,919
199,182
367,528
144,030
-
-
.
548,551
-
-
987,500
.
720,810
14,955,963
348
37,691
2,221
1,136,659
3,426,384
-
21,110
12,192
2,622,919
94,095
23,697.039
7,994,039
842,946
698
-
26,051.558
4.844,809
26,283,823
19,928,537
-
57,680
38,023
64,180
80,622
245,127
92,218
-
148,752,187
BALANCE YEAR1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10
FORWARD 2009-10 2010-2011 2011-2012 2012-2013 2013-2014 2015-2019
1,294,591
304.929
45.081
300.818
182.472
765.470
.
8,731
.
6,668,523
3,374,336
1,292.102
183,152
122,309
226,717
388,925
51,408
144,870
76,308
203.349
1,581,924
2.193,413
800,000
49
1,424,530
349,302
-
2,881,235
-
1,141,098
122,420
742.463
1,495.672
572,320
10.477
48,820
9,378
129,773
417,582
30,934,002
BUILDOUT
2020-BO
2,466,880
250,000 250000 250000 250000
100,000 100,000
899,600
286,000
348,400
589,000
1,135,000 1,731.600
90.500 1,300.000
625.040
1,772,160
4,026,000
1,202,000
17,500
3,925,885
345,000
422,000
2.000,000
15,500
20.000
983.840
410.000
587,000
250,500
590,720
952,640
416,300
1,235,063 - 1,940,000 1,980,000 2,030,000 9,510,000
985,000 1,080,000 1,100,000 1,140,000 1.170,000 6,370,000
8,425,000
7,385,000
1,629.937 1.537556
650,000 - 660,000 680,000 700,000 3,620,000 3,690,000
1,600,000 11,510,600
1,373.558
825,760
300,000 300,000 300,000 180,000 720,000
305,000
96,000 96,000 96,000 96,000 480,000 480.000
87.000
250,000
424,286
112,785
169.943
25,394
14,341,105 6,098.556 11,469,408 4,945.000 5.590,500 42,791,760 40,865,390
J-5
2009-10 Capital Improvement Program
PROJECT TITLE
GAS TAX LOAN TO BTD*3 CANNON ROAD WEST
OCC LOAN TO PIL-NW FOR MADISON ST PROPERTY PURCHASES
GCC LOAN TO PIL-NW FOR PINE SCHOOL ACQUISITION
PFF LOAN TO PIL-NE FOR PARK SITE ACQUISITION
GCC LOAN TO PLDA - HEDIONDA AND CALAVERA CREEK
SEWER REPL TO SEW BENEF A FOR CARLSBAD TRUNK SEWER
GCC LOAN TO SCCRDA FOR CARLSBAD BLVD. REALIGNMENT STUDY
SUBTOTAL FUTURE LOANS TO OTHER FUNDS
LOAN REPAYMENTS AND TRANSFERS
BTDK2 REPAYMENT TO GAS TAX FUND
BTD*3 CANNON ROAD WEST TO GAS TAX FUND
GCC TRANSFER TO GENERAL FUND - TRAFFIC SIGNAL MAINTENANCE
GCC LOAN TO PLDA - HEDIONDA AND CALAVERA CREEK
PIL-NW TO GCC FOR MADISON ST PROPERTY PURCHASES
PIL-NW TO GCC FOR PINE SCHOOL ACQUISITION
PIL-NE TO PFF FOR PARK SITE ACQUISITION
SBA C.D.E.F TO SEW REPL FOR S AGUA HEDIONDA INTERCEPTOR
SCCRDA TO GCC FOR CARLSBAD BLVD. REALIGNMENT STUDY
SUBTOTAL LOAN REPAYMENTS
GRAND TOTAL ALL FUNDED PROJECTS
FUND
GAS TAX
GCC
GCC
PFF
GCC
SEWER REPL
GCC
BTD#2
BTDS3
GCC
PLD
PIL-NW
PIL-NW
PIL-NE
SEW BENEF
REDVL SCCRDA
TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT
BUDGET EXP/ENC FORWARD 2009-10 2010-2011 2011-2012 2012-2013 2013-2014 2015-2019 2020-BO
-
-
4,550,000 4.550.000
250.000
4,600,000 4,550,000
600,000
-
4,550,000
250,000
5,400,000
878.780,134 282,355,769 155,119,469
250,000
250,000 ......
.
600.000
-
4.550.000
-
250.000
600,000 ..... 4,800,000
71,203,010 22.258,761 43.898,885 10,810,390 35,520,132 117,398,863 140,214,855
UNFUNDED PROJECTS*
BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING)
CANNON LAKE PARK (6.7 ACRES)
CANNON ROAD REACH 4
CARLSBAD BOULEVARD MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (PARTIALLY FUNDED)
CARLSBAD BOULEVARD / PALOMAR AIRPORT ROAD (PARTIALLY FUNDED)
6.905.600
14.109,600
HOSP GROVE/BUENA VISTA LAGOON RECt IMPROVEMENTS 1.280.000
PALOMAR AIRPORT ROAD WIDENING AND BRIDGE RECONSTRUCTION
PINE AVENUE PARK - MADISON PROPERTY 1,900.000
ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING)
TOTAL UNFUNDED PROJECTS 79,738.200
* Once funding is identified for these projects the project costs will have to be reviewed and updated to reflect actual cost estimates. The unfunded projects do not receive annual inflationary increases.
J-6
Exhibit 3C
(PERSONNEL ALLOCATIONS
MAJOR SERVICE AREA
IPOLICY AND LEADERSHIP GROUP |
CITY COUNCIL
CITY MANAGER
COMMUNICATIONS
CITY TREASURER
CITY ATTORNEY
(ADMINISTRATIVE SERVICES |
ADMINISTRATION
RECORDS MANAGEMENT
INFORMATION TECHNOLOGY
FINANCE
RISK MANAGEMENT
HUMAN RESOURCES & WORKERS COMP
JPUBLIC SAFETY |
POLICE
FIRE
| COM M U N ITY DEVELOPM ENT |
COMMUNITY DEVELOPMENT ADMINISTRATION
BUILDING & CODE ENFORCEMENT
ECONOMIC DEVELOPMENT & REAL PROPERTY MGMT
GEOGRAPHIC INFORMATION SYSTEMS
PLANNING
HOUSING AND REDEVELOPMENT
(COMMUNITY SERVICES |
LIBRARY
CULTURAL ARTS
RECREATION & SENIOR PROGRAMS
(PUBLIC WORKS |
ADMINISTRATION
ENGINEERING SERVICES
GENERAL SERVICES
MAINTENANCE & OPERATIONS
ENVIRONMENTAL PROGRAMS
FULL AND 3/4 TIME LABOR FORCE
FINAL
BUDGET
2007-08
1.00
7.00
3.75
0.75
7.00
2.00
8.00
19.00
28.00
2.00
10.00
,162.00
88.75
3.00
14.00
2.00
4.00
27.00
10.00
48.00
5.00
30.50
6.45
56.90
98.00
55.45
11.70
711.25
FINAL
BUDGET
2008-09
1.00
8.00
3.75
0.75
7.00
2.00
8.00
19.50
28.00
2.00
10.00
162.00
88.75
3.00
14.00
2.00
4.00
27.00
10.00
48.00
5.00
30.50
6.65
56.90
99.30
55.20
11.95
714.25
I
FINAL 2009-10
BUDGET REQUESTED
2009-10 CHANGES
1.00
8.00
3.75
0.75
7.00
1.00
8.00
19.00
28.00
2.00
10.00
162.00
88.75
3.00
14.00
2.00
4.00
27.00
10.00
48.00
5.00
72.10
6.50
56.90
57.50
55.40
12.10
712.75
0.00
0.00
0.00
0.00
0.00
(1.00)
0.00
(0.50)
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
41.60
(0.15)
0.00
(41.80)
0.20
0.15
(1.50)
SUMMARY OF REQUESTED
Full Time Personnel
3/4 Time Personnel in Full Time Count
Limited Term Personnel
Unfunded Full Time Positions
Hourly Full Time Equivalent Personnel
TOTAL LABOR FORCE*
LABOR FORCE
2007-08
706.75
4.50
6.50
0.00
140.34
858.09
BY CATEGORY
2008-09
709.00
5.25
4.50
(3.00)
137.83
853.58
2009-10
706.75
6.00
3.50
(12.00)
138.44
842.69
Difference
(2.25)
0.75
(1.00)
(9.00)
0.61
(10.89)
'Includes Limited Term Personnel
B-25