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HomeMy WebLinkAbout2010-06-29; City Council; Resolution 2010-172Exhibit 3 1 RESOLUTION NO. 2010-172 2 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, ADOPTING THE FINAL 3 OPERATING BUDGET AND CAPITAL IMPROVEMENT PROGRAM FOR THE FISCAL YEAR 2010-11 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 2010-11 and 9 has held such public hearings as are necessary prior to adoption of the final budgets. 10 NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of 11 Carlsbad, California, as follows: 12 1. That the above recitations are true and correct. 14 2. That certain documents now on file in the office of the City Clerk of the 15 City of Carlsbad entitled, "City of Carlsbad, FY 2010-11 Preliminary Operating Budget 16 and FY 2010-11 to Buildout Capital Improvement Program - Preliminary" as amended 17 in accordance with Exhibits 3-A through 3-C attached hereto and incorporated by 18 reference herein, is hereby adopted as the Operating and Capital Improvement Budgets 19 for the City of Carlsbad for the fiscal year. 20 21 3. That the amounts reflected as estimated revenues for FY 2010-11 as 22 shown in Exhibits 3-A and 3-B are hereby adopted as the budgeted revenues for 2010- 23 11. 24 4. That the amounts designated as the 2010-11 Budget request in Exhibits 3- 25 A and 3-B are hereby appropriated to the department or fund for which they are 26 designated and such appropriation shall not be increased except as provided herein. 27 5. That total appropriations for each fund may only be increased or 28 Exhibit 3 1 decreased by the City Council by passage of a resolution amending the budget except 2 as provided herein. 3 6. That the following controls are hereby placed on the use and transfers of 4 budget funds: 5 A. No expenditure of funds shall be authorized unless sufficient funds 6 have been appropriated by the City Council or City Manager as described below. 7 i. The City Manager may authorize all transfers of funds from 8 account to account within any department. 9 ii. The City Manager may authorize transfers of funds between 10 departments within the same fund in an amount up to $100,000 per transfer. 11 iii. The City Manager may delegate any of the authority given to 12 him/her under this resolution. 13 iv. The City Manager may authorize budget adjustments involving 14 offsetting revenues and expenditures; the City Manager may authorize increases 15 in an appropriation for a specific purpose where the appropriation is offset by 16 unbudgeted revenue, which is designated for said specific purpose. 17 v. The City Manager may authorize the transfer of appropriations 18 between accounts and/or capital projects up to $1,000,000 for the costs 19 associated with the Encina Wastewater Facility (Encina) as authorized by the 20 Encina Wastewater Authority's staff and/or Board. Any increase to the total 21 appropriations for Encina's operating budget and capital program must be 22 approved by the City Council. 23 vi. The City Manager may authorize budget adjustments to increase 24 the appropriations for Workers Compensation, Risk, Self Insured Benefits and 25 Liability Funds operating budgets in an amount equal to the increases in costs of 26 claims expenses. 27 28 Exhibit 3 1 vii. The City Council must authorize all transfers of funds from the 2 Council's Contingency Account. 3 B. The City Manager may authorize emergency out of state travel for 4 public safety or emergency services purposes. 5 C. The City Council must authorize any increase in the number of 6 authorized permanent personnel positions above the level identified in 7 Exhibit 3-C. 8 D. The City Manager may authorize the hiring of temporary or part time 9 staff as necessary, within the limits imposed by the controls listed above. 10 7. That the legal level of budgetary control is the fund level. Budgets may 11 not legally be exceeded at the fund level without appropriate authorization by the City 12 Council. 13 8. That interest earned on grants may be appropriated during the year for the 14 purpose for which the grant was received. 15 9. The City Manager or his/her designee is authorized to set recreation 16 program and class fees that are included in the Community Services Guide. The fee 17 shall not exceed the fully burdened (direct and indirect) costs of providing the program 18 or class but shall be no less than the lowest fee charged for like kind programs or 19 classes in the North County cities of Oceanside, Vista, San Marcos, Escondido, or 20 Encinitas. There are no fees in the Master Fee Schedule that will be changed as a 21 result of this authority. 22 10. The City Manager may authorize budget adjustments to increase the 23 appropriations in the Public Facilities Fee Fund in an amount equal to the utility 24 expenses for the City of Carlsbad's Las Palmas facility, while the building remains 25 vacant. 26 11. That all appropriations in the Operating Budget and in Capital 27 28 Exhibit 3 1 Improvement Program remaining unexpended at June 30, 2010, are hereby 2 appropriated to FY 2010-11. 3 12. That all appropriations for outstanding encumbrances as of June 30, 4 2010, are hereby continued into FY 2010-11 for such contracts or obligations. 5 6 7 '" 8 "/ 9 /// 10 /// /// 12 /// 13 /// 14 15 16 17 '" 18 '" 19 /// 20 /// 21 /// 22 /// 23 /// 24 25 26 27 28 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 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 29th day of June, 2010, by the following vote to wit: AYES: COUNCIL MEMBERS LEWIS, KULCHIN, HALL, PACKARD AND BLACKBURN. NOES: NONE. ABSENT: NONE. l^WIS, Mayor ATTEST: LjORRA/NE M. (SEAL) City Clerk •"<^,,x CITY OF CARLSBAD OPERATING FUNDS PROJECTED FUND BALANCES Exhibit 3A FUND GENERAL FUND REPAYMENT FROM SOLID WASTE ADVANCE TO GOLF COURSE FUND ADVANCE TO MEDIAN MAINTENANCE ADVANCE/REPAYMENT TO/FROM SCCRA ADVANCE/REPAYMENT TO/FROM VILLAGE RDA TRANSFER TO IT (NON-DEPT CONTINGENCY) CHANGE IN RESERVATIONS & DESIGNATIONS TOTAL GENERAL FUND SPECIAL REVENUE AFFORDABLE HOUSING BUENA VISTA CHANNEL MAINTENANCE CITIZEN'S OPTION FOR PUBLIC SAFETY COMMUNITY ACTIVITY GRANTS COMMUNITY DEVELOPMENT BLOCK GRANT CULTURAL ARTS DONATIONS LIBRARY AND ARTS ENDOWMENT FUND LIBRARY GIFTS/BEQUESTS LIGHTING AND LANDSCAPING DISTRICT NO. 2 LOCAL CABLE INFRASTRUCTURE FUND MEDIAN MAINTENANCE POLICE ASSET FORFEITURE POLICE GRANTS PUBLIC ART RECREATION DONATIONS RENTAL ASSISTANCE SENIOR DONATIONS STREET LIGHTING STREET TREE MAINTENANCE TOTAL SPECIAL REVENUE ENTERPRISE WATER OPERATIONS RECYCLED WATER OPERATIONS WASTEWATER OPERATIONS SOLID WASTE MANAGEMENT TOTAL ENTERPRISE INTERNAL SERVICE WORKERS' COMPENSATION RISK MANAGEMENT SELF-INSURED BENEFITS VEHICLE MAINTENANCE VEHICLE REPLACEMENT INFORMATION TECHNOLOGY TOTAL INTERNAL SERVICE REDEVELOPMENT VILLAGE OPERATIONS / DEBT SERVICE VILLAGE LOW/MOD INCOME HOUSING SCCRA OPERATIONS / DEBT SERVICE SCCRA LOW/MOD INCOME HOUSING TOTAL REDEVELOPMENT TOTAL OPERATING FUNDS UNRESERVED BALANCE JULY 1,2009 $47,816,416 * 0 0 0 0 0 488,188 0 48,304,604 12,872,395 1,255,640 8,786 1,063,961 33,448 225,154 269,845 115,071 717,822 260,681 380,708 697,508 2,203 187,179 166,358 1,787,580 189,528 696,538 382,683 21,313,088 (4,225,849) 6,668,638 (1,087,071) 8,597,655 9,953,373 2,496,262 195,109 1,258,397 425,852 10,992,147 3,790,655 19,158,422 5,005,435 5,684,266 44,050 333,902 11,067,653 $109,797,140 PROJECTED REVENUES $114,836,000 0 0 0 0 0 0 0 114,836,000 632,000 133,446 165,000 9,000 635,500 41,600 2,200 119,600 479,352 328,500 367,904 143,600 174,300 1,600 36,500 5,659,249 21,700 3,401,020 475,851 12,827,922 27,565,600 6,626,413 9,381,000 3,459,618 47,032,631 1,413,210 1,588,155 973,932 2,712,286 2,285,293 5,871,804 14,844,680 2,766,000 760,000 11,000 8,000 3,545,000-~^^^^— $193,086,233 PROJECTED EXPENDITURES $110,607,801 0 0 0 0 0 0 0 110,607,801 K^=^^^=^S=^= 418,481 201,152 165,000 40,000 291,000 95,863 13,899 220,626 224,286 97,286 849,466 69,419 176,503 12,060 30,222 6,168,267 26,443 3,595,762 634,598 13,330,333 29,306.071 6,469,698 10,335,711 2,785,338 48,896,818 1,602,289 1,264,285 1,053,605 2,625,195 1,160,662 7,367,658 15,073,694 7,488,150 80,158 399,820 32,934 8,001,062 $195,909,708 ADVANCES PROJECTED & FUND OTHER BALANCE TRANSFERS CHANGES JUNE 30, 2010 $52,044,615 136,000 136,000 (1,850,000) (1,850,000) (166,500) (166,500) (454,000) (454,000) (1,360,000) (1,360,000) (488,188) 0 1,293,467 1,293,467 49,643,582 13,085,914 1,187,934 8,786 1,032,961 377,948 170,891 258,146 14,045 972,888 491,895 166,500 65,646 771,689 0 176,719 172,636 1,278,562 184,785 501,796 223,936 20,977,177 (5,966,320) 6,825,353 (2,041,782) (136,000) 9,135,935 7,953,186 2,307.183 518,979 1,178,724 512,943 12,116,778 488,188 2,782,989 19,417,596 1,360,000 1,643,285 6,364,108 454,000 109,230 308,968 8,425,591 ($1,850,000) $1,293,467 $106417,132 • FOR THE GENERAL FUND ONLY THIS REPRESENTS UNDESIGNATED, UNRESERVED FUND BALANCE. CITY OF CARLSBAD OPERATING FUNDS PROJECTED FUND BALANCES FUND | GENERAL FUND REPAYMENT FROM SOLID WASTE ADVANCE TO GOLF COURSE FUND ADVANCE TO MEDIAN MAINTENANCE ADVANCE/REPAYMENT TO/FROM SCCRA ADVANCE/REPAYMENT TO/FROM VILLAGE RDA TRANSFER TO IT (NON-DEPT CONTINGENCY) CHANGE IN RESERVATIONS & DESIGNATIONS TOTAL GENERAL FUND | SPECIAL REVENUE AFFORDABLE HOUSING BUENA VISTA CHANNEL MAINTENANCE CITIZEN'S OPTION FOR PUBLIC SAFETY COMMUNITY ACTIVITY GRANTS COMMUNITY DEVELOPMENT BLOCK GRANT CULTURAL ARTS DONATIONS LIBRARY AND ARTS ENDOWMENT FUND LIBRARY GIFTS/BEQUESTS LIGHTING AND LANDSCAPING DISTRICT NO. 2 LOCAL CABLE INFRASTRUCTURE FUND MEDIAN MAINTENANCE POLICE ASSET FORFEITURE POLICE GRANTS PUBLIC ART RECREATION DONATIONS RENTAL ASSISTANCE SENIOR DONATIONS STREET LIGHTING STREET TREE MAINTENANCE TOTAL SPECIAL REVENUE | ENTERPRISE WATER OPERATIONS RECYCLED WATER OPERATIONS WASTEWATER OPERATIONS SOLID WASTE MANAGEMENT TOTAL ENTERPRISE | INTERNAL SERVICE WORKERS' COMPENSATION RISK MANAGEMENT SELF-INSURED BENEFITS VEHICLE MAINTENANCE VEHICLE REPLACEMENT INFORMATION TECHNOLOGY TOTAL INTERNAL SERVICE | REDEVELOPMENT VILLAGE OPERATIONS / DEBT SERVICE VILLAGE LOW/MOD INCOME HOUSING SCCRA OPERATIONS / DEBT SERVICE SCCRA LOW/MOD INCOME HOUSING TOTAL REDEVELOPMENT ITOTAL OPERATING FUNDS PROJECTED BALANCE JULY 1,2010 $49,643,582 « 49,643,582 13,085,914 1,187,934 8,786 1,032,961 377,948 170,891 258,146 14,045 972,888 491,895 65,646 771,689 0 176,719 172,636 1,278,562 184,785 501,796 223,936 20,977,177 (5,966,320) 6,825,353 (2,041,782) 9,135,935 7,953,186 2,307,183 518,979 1,178,724 512,943 12,116,778 2,782,989 19,417,596 1,643,285 6,364,108 109,230 308,968 8,425,591 $106,417,132 ESTIMATED REVENUES $110,387,000 110,387,000 432,000 123,800 112,925 20,000 664,419 51,000 6,400 500 452,730 348,000 614,858 68,000 0 4,000 39,700 6,579,000 35,000 914,595 469,677 10,936,604 29,697,484 6,952,862 10,092,196 3,493,601 50,236,143 1,470,091 1,583,720 1,026,216 3,200,967 2,468,564 6,593,146 16,342,704 2,627,000 747,000 8,000 8,000 3,390,000 $191,292,451 ADVANCES ADOPTED & FUND OTHER BUDGET TRANSFERS CHANGES $109,436,776 136,000 (1,700,000) (85,000) 109,436,776 500,577 103,540 114,496 40,000 663,954 91,350 6,400 0 197,153 368,960 680,504 16,530 0 22,900 42,131 6,578,677 40,990 861,248 612,295 10,941,705 30,945,359 6,889,719 10,508,223 3,213,004 (136,000) 51,556,305 1,841.504 1,467,171 951,560 2,795,426 1,310,000 5,900,575 14,266,236 1,774,404 101,331 201,379 85,000 60,410 2,137,524 $188,338,546 ($1,700,000) PROJECTED BALANCE JUNE 30, 2011 $50,593,806 136.000 (1,700,000) (85,000) 48,944,806 13,017,337 1,208,194 7,215 1,012,961 378,413 130,541 258,146 14,545 1,228,465 470,935 0 823,159 0 157,819 170,205 1,278,885 178,795 555,143 81,318 20,972,076 (7,214,195) 6,888,496 (2,457,809) 9,280,532 6,497,024 1,935,770 635,528 1,253,380 918,484 13,275,342 3,475,560 21,494,064 2,495,881 7,009.777 851 256,558 9,763,067 $107,671,037 ' FOR THE GENERAL FUND ONLY THIS REPRESENTS UNDESIGNATED, UNRESERVED FUND BALANCE. 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 HOMEOWNERS EXEMPTION OTHER INTERGOVERNMENTAL 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 2008-09 1 $50,438,864 24,764,881 12,752,422 5,274,095 3,421,605 621,432 97,273,299 353,406 375,653 1,092,203 1,821,262 450,180 572,157 1,022,337 418,687 378,731 503,814 2,079,718 1,804,080 1,007,245 6,192,275 1,308,090 3,716,201 3,675,858 855,677 $115,864,999 PROJECTED REVENUE 2009-10 $49,551,000 22,059,000 11,617,000 4,885,000 3,391,000 500,000 92,003,000 300,000 378,000 664,000 1,342,000 575,000 685,000 1,260,000 350,000 534,000 753,000 2,508,000 1,700,000 917,000 6,762,000 1,100,000 7,414,000 3,976,000 979,000 $114,836,000 ESTIMATED REVENUE 2010-11 $48,712,000 22,888,000 11,965,000 5,002,000 3,462,000 804,000 92,833,000 408,000 381,000 956,000 1,745,000 658,000 725,000 1,383,000 410,000 610,000 750,000 2,532,000 1,743,000 569,000 6,614,000 1,123,000 2,916,000 2,786,000 987,000 $110,387,000 AS% OF FY 09-10 PROJECTED -1.7% 3.8% 3.0% 2.4% 2.1% 60.8% 0.9% 36.0% 0.8% 44.0% 30.0% 14.4% 5.8% 9.8% 17.1% 14.2% -0.4% 1.0% 2.5% -38.0% -2.2% 2.1% -60.7% -29.9% 0.8% -3.9% DIFFERENCE 2009-10 TO 2010-11 ($839,000) 829,000 348,000 117,000 71,000 304,000 830,000 108,000 3,000 292,000 403,000 83,000 40,000 123,000 60,000 76,000 (3,000) 24,000 43,000 (348,000) (148,000) 23,000 (4,498,000) (1,190,000) 8,000 ($4,449,000) • INTEREST IS CALCULATED ON AN AMORTIZED COST BASIS CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES REVENUE SOURCE ISPECIAL REVENUE FUNDS I AFFORDABLE HOUSING AFFORDABLE HOUSING FEES FEDERAL GRANT STATE GRANT INTEREST OTHER TOTAL AFFORDABLE HOUSING BUENA VISTA CHANNEL MAINTENANCE BUENA VISTA FEES INTEREST TOTAL BUENA VISTA CHANNEL MAINTENANCE CITIZEN'S OPTION FOR PUBLIC SAFETY STATE FUNDING (AB3229) INTEREST TOTAL CITIZENS OPTION FOR PUBLIC SAFETY COMMUNITY ACTIVITY GRANTS INTEREST TOTAL COMMUNITY ACTIVITY GRANTS COMMUNITY DEVELOPMENT BLOCK GRANT FEDERAL GRANT INTEREST OTHER TOTAL COMMUNITY DEVELOPMENT BLOCK GRANT CULTURAL ARTS DONATIONS DONATIONS INTEREST OTHER TOTAL CULTURAL ARTS DONATIONS LIBRARY AND ARTS ENDOWMENT FUND INTEREST TOTAL LIBRARY AND ARTS ENDOWMENT FUND LIBRARY GIFTS/BEQUESTS GIFTS/BEQUESTS INTEREST OTHER TOTAL LIBRARY GIFTS/BEQUESTS LIGHTING AND LANDSCAPING DISTRICT NO. #2 LLD #2 FEES INTEREST OTHER TOTAL LIGHTING AND LANDSCAPING DIST. NO. #2 LOCAL CABLE INFRASTRUCTURE FUND CABLE FEES INTEREST TOTAL LOCAL CABLE INFRASTRUCTURE FUND MEDIAN MAINTENANCE MEDIAN MAINTENANCE FEES INTEREST TOTAL MEDIAN MAINTENANCE POLICE ASSET FORFEITURE ASSET FORFEITURES INTEREST OTHER TOTAL POLICE ASSET FORFEITURE POLICE GRANTS FEDERAL GRANT INTEREST TOTAL POLICE GRANTS ACTUAL REVENUE 2008-09 $18,060 631,407 0 551,402 387,479 1,588,348 102,248 53,024 155,272 100,525 6,583 107,108 46,434 46,434 891,532 51,175 41,283 983,990 20,300 7,736 12,769 40,805 12,953 12,953 95,249 5,470 0 100,719 365,833 25,518 0 391,351 355,746 8,792 364,538 363,137 574 363,711 94,236 30,188 2,865 127,289 0 88 $88 PROJECTED REVENUE 2009-10 $41,500 220,000 1,000 115,700 253,800 632,000 100,000 33,446 133,446 165,000 0 165,000 9,000 9,000 635,500 0 0 635,500 36,800 1,000 3,800 41,600 2,200 2,200 119,200 400 0 1 1 9,600^==^^=^^^^^^= 458,183 21,169 0 479,352 325,000 3,500 328,500==^=^=^^^^^^^ 367,904 0 367,904 136,400 7,200 0 143,600 174,300 0 $174,300 ESTIMATED REVENUE 2010-11 $25,000 7,000 0 325,000 75,000 432,000 100,000 23,800 123,800 112,925 0 112,925 20,000 20,000 664,419 0 0 664,419 42,000 0 9,000 51,000 6,400 6,400 0 500 0 500 433,230 19,500 0 452,730 345,000 3,000 348,000 614,858 0 614,858 50,000 18,000 0 68,000 0 0 $0 AS% OF FY 09-10 PROJECTED -39.8% -96.8% -100.0% 180.9% -70.5% -31.7% 0.0% -28.8% -7.2% -31.6% 0.0% -31.6% 122.2% 122.2% 4.6% 0.0% 0.0% 4.6% 14.1% -100.0% 136.8% 22.6% 190.9% 190.9% -100.0% 25.0% 0.0% -99.6% -5.5% -7.9% 0.0% -5.6% 6.2% -14.3% 5.9% 67.1% 0.0% 67.1% -63.3% 150.0% 0.0% -52.7% -100.0% 0.0% -100.0% DIFFERENCE 2009-10 TO 2010-11 ($16,500) (213,000) (1,000) 209,300 (178,800) (200,000) 0 (9,646) (9,646) (52,075) 0 (52,075) 11,000 11,000 28,919 0 0 28,919 5,200 (1,000) 5,200 9,400 4,200 4,200 (119,200) 100 0 (119,100) (24,953) (1,669) 0 (26,622) 20,000 (500) 19,500 246,954 0 246,954 (86,400) 10,800 0 (75,600) (174,300) 0 ($174,300) if CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES REVENUE SOURCE | SPECIAL REVENUE FUNDS • CONTINUED PUBLIC ART INTEREST TOTAL PUBLIC ART RECREATION DONATIONS DONATIONS INTEREST TOTAL RECREATION DONATIONS RENTAL ASSISTANCE FEDERAL GRANT INTEREST OTHER TOTAL RENTAL ASSISTANCE SENIOR DONATIONS DONATIONS INTEREST OTHER TOTAL SENIOR DONATIONS STREET LIGHTING FEDERAL GRANT STREET LIGHTING FEES OTHER INTEREST TOTAL STREET LIGHTING STREET TREE MAINTENANCE TREE MAINTENANCE FEES INTEREST TOTAL STREET TREE MAINTENANCE TOTAL SPECIAL REVENUE FUNDS ACTUAL REVENUE 2008-09 1 $8,608 8,608 28,857 6,836 35,693 5,535,430 50,699 4,966 5,591,095 31,516 8,239 0 39,755 0 722,148 237,387 34,461 993,996 465,080 17,218 482,298 $11,434,051 PROJECTED REVENUE 2009-10 $1,600 1,600 34,800 1,700 36,500 5,635,849 11,600 11,800 5,659,249 20,000 1,700 0 21,700 2,481,900 727,442 177,981 13,697 3,401,020 465,401 10,450 475,851 $12,827,922 ESTIMATED REVENUE 2010-11 $4,000 4,000 39,700 0 39,700 6,564,000 10,000 5,000 6,579,000 30,000 5,000 0 35,000 0 728,572 176,023 10,000 914,595 465,177 4,500 469,677 $10,936,604 AS% OF FY 09-10 PROJECTED 150.0% 150.0% 14.1% -100.0% 8.8% 16.5% -13.8% -57.6% 16.3% 50.0% 194.1% 0.0% 61.3% -100.0% 0.2% -1.1% -27.0% -73.1% -0.1% -56.9% -1.3% -14.7% DIFFERENCE 2009-10 TO 2010-11 $2,400 2,400 4,900 (1,700) 3,200 928,151 (1,600) (6,800) 919,751 10,000 3,300 0 13,300 (2,481,900) 1,130 (1,958) (3,697) (2,486,425) (224) (5,950) (6,174) ($1,891,318) 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 2008-09 1 $15,204,294 5,409,511 2,889,601 105,067 115,187 258,577 (103,039) 0 80,936 81,448 10,137,209 34,178,791 3,172,183 281,731 1,665,434 346,581 285,193 5,751,122 8,431,333 24,717 0 75,283 91,784 108,423 8,731,540 372,739 279,723 56,751 2,695,350 262,428 3,666,991 $52,328,444 PROJECTED REVENUE 2009-10 $17,000,000 7,000,000 2,775,000 80,000 100,000 233,600 1,500 0 48,000 0 327,500 27,565,600 4,200,000 400,000 1,500,000 200,000 326,413 6,626,413 9,200,000 20,000 0 60,000 51,000 50,000 9,381,000 223,000 275,000 52,000 2,645,605 264,013 3,459,618 $47,032,631 ESTIMATED REVENUE 2010-11 $18,348,353 7,555,204 2,730,000 80,000 100,000 232,000 1,500 209,927 48,000 80,000 312,500 29,697,484 4,533,123 431,726 1,500,000 200,000 288,013 6,952,862 9,652,083 20,000 284,113 60,000 51,000 25,000 10,092,196 223,000 275,000 52,000 2,658,434 285,167 3,493,601 $50,236,143 AS% OF FY 09-10 PROJECTED 7.9% 7.9% -1.6% 0.0% 0.0% -0.7% 0.0% 0.0% 0.0% 0.0% -4.6% 7.7% 7.9% 7.9% 0.0% 0.0% -11.8% 4.9% 4.9% 0.0% 0.0% 0.0% 0.0% -50.0% 7.6% 0.0% 0.0% 0.0% 0.5% -8.0% 1.0% 6.8% DIFFERENCE 2009-10 TO 2010-11 $1,348,353 555,204 (45,000) 0 0 (1,600) 0 209,927 0 80,000 (15,000) 2,131,884 333,123 31,726 0 0 (38,400) 326,449 452,083 0 284,113 0 0 (25,000) 711,196 0 0 0 12,829 21,154 33,983 $3,203,512 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 OTHER TOTAL SELF-INSURED BENEFITS VEHICLE MAINTENANCE INTERDEPARTMENTAL INTEREST OTHER TOTAL VEHICLE MAINTENANCE VEHICLE REPLACEMENT INTERDEPARTMENTAL INTEREST TOTAL VEHICLE REPLACEMENT INFORMATION TECHNOLOGY INTERDEPARTMENTAL INTEREST TOTAL INFORMATION TECHNOLOGY TOTAL INTERNAL SERVICE FUNDS ACTUAL REVENUE 2008-09 1 $1,397,001 261,006 44,876 1,702,883 1,324,610 10,376 24,720 1,359,706 945,341 37,322 982,663 2,736,744 8,338 34,275 2,779,357 2,147,933 454,978 2,602,911 5,865,580 148,721 6,423,428 $15,850,948 PROJECTED REVENUE 2009-10 $1,327,400 67,398 18,412 1,413,210 1,563,720 5,682 18,753 1,588,155 891,042 82,890 973,932 2,680,547 3,798 27,941 2,712,286 2,142,649 142,644 2,285,293 5,828,154 43,650 5,871,804 $14,844,680 ESTIMATED REVENUE 2010-11 $1,327,400 142,691 0 1,470,091 1,563,720 0 20,000 1,583,720 951,216 75,000 1,026,216 3,170,467 0 30,500 3,200,967 2,191,718 276,846 2,468,564 6,515,146 78,000 6,593,146 $16,342,704 AS% OF FY 09-10 PROJECTED 0.0% 111.7% -100.0% 4.0% 0.0% -100.0% 6.7% -0.3% 6.8% -9.5% 5.4% 18.3% -100.0% 9.2% 18.0% 2.3% 94.1% 8.0% 11.8% 78.7% 12.3% 10.1% DIFFERENCE 2009-10 TO 2010-11 $0 75,293 (18,412) 56,881 0 (5,682) 1,247 (4,435) 60,174 (7,890) 52,284 489,920 (3,798) 2,559 488,681 49,069 134,202 183,271 686,992 34,350 721,342 $1,498,024 A CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES REVENUE SOURCE IREDEVELOPNIENT FUNDS I 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 SCCRA OPERATIONS / DEBT SERVICE INTEREST TOTAL SCCRA OPERATIONS / DEBT SERVICE SCCRA LOW AND MOD INCOME HOUSING INTEREST TOTAL SCCRA LOW AND MOD INCOME HOUSING TOTAL REDEVELOPMENT FUNDS ACTUAL REVENUE 2008-09 $46,354 2,836,483 164,756 0 3,047,593 709,121 243,199 952,320 3,733 3,733 14,842 14,842 $4,018,488 PROJECTED REVENUE 2009-10 $14,000 2,643,000 90,000 19,000 2,766,000 632,000 128,000 760,000 11,000 11,000 8,000 8,000 $3,545,000 ESTIMATED REVENUE 2010-11 $14,000 2,580,000 33,000 0 2,627,000 647,000 100,000 747,000 8,000 8,000 8,000 8,000 $3,390,000 AS% OF FY 09-10 PROJECTED 0.0% -2.4% -63.3% -100.0% -5.0% 2.4% -21.9% -1.7% -27.3% -27.3% 0.0% 0.0% -4.4% DIFFERENCE 2009-10 TO 2010-11 $0 (63,000) (57,000) (19,000) (139,000) 15,000 (28,000) (13,000) (3,000) (3,000) 0 0_ ($155,000) [TOTAL OPERATING $199,496,930 $193,086,233 $191,292,451 ($1,793,782)1 CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE DEPARTMENT GENERAL FUND POLICY AND LEADERSHIP GROUP CITY COUNCIL CITY CLERK CITY TREASURER CITY MANAGER COMMUNICATIONS CITY ATTORNEY RECORDS MANAGEMENT TOTAL POLICY AND LEADERSHIP GROUP COMMUNITY AND ECONOMIC DEVELOPMENT FINANCE FIRE HOUSING AND NEIGHBORHOOD SERVICES HUMAN RESOURCES LIBRARY AND ARTS PARKS AND RECREATION POLICE PROPERTY AND ENVIROMENTAL MANAGEMENT TRANSPORTATION UTILITIES 2007-08 ACTUAL* HI $384,942 179,315 175,954 1,637,999 995,611 1,318,200 889,549 5,581,570 8,665,158 3,976,423 17,446,853 373,464 2,476,766 10,304,695 12,713,824 26,046,951 4,718,426 9,615,341 $322,663 2008-09 ACTUALS * $356,218 121,958 185,441 1,457,435 674,407 1,288,406 844,886 4,928,751 8,257,699 3,412,776 17,358,775 356,691 2,233,597 10,554,221 12,546,071 27,435,164 5,068,488 9,415,301 $283,705 2009-10 ESTIMATED EXPENDITURES * $324,888 107,628 190,672 1,794,225 721,398 1,272,169 782,821 5,193,801 8,264,961 3,092,919 17,170,075 380,405 2,047,016 9,850,276 12,465,382 27,049,583 4,736,832 9,285,282 $275,928 2009-10 BUDGET * $390,802 129,737 189,913 1,608,989 693,141 1,292,986 856,942 5,162,510 8,192,663 3,300,460 16,770,859 427,883 2,397,237 10,099,684 12,557,269 27,710,998 4,908,529 9,825,393 $295,701 2010-11 BUDGET $373,363 274,841 196,488 1,570,323 691,628 1,312,291 863,024 5,281,958 7,433,968 3,298,808 16,228,573 430,182 2,374,297 10,418,723 12,428,761 28,162,339 4,802,415 9,116,428 $262,108 %INCR (DEC) 09-10 BUD TO 10-11 BUD -4.5% 111.8% 3.5% -2.4% -0.2% 1.5% 0.7% 2.3% -9.3% -0.1% -3.2% 0.5% -1.0% 3.2% -1.0% 1.6% -2.2% -7.2% -11.4% NOTE: i • ACTUALS, ESTIMATED EXPENDITURES AND BUDGET HAVE BEEN ADJUSTED TO REFLECT THE CITY'S REORGANIZATION IMPLEMENTATION. CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE DEPARTMENT GENERAL FUND - CONTINUED MISCELLANEOUS NON-DEPARTMENTAL EXPENDITURES BEACH PARKING COMMUNITY CONTRIBUTIONS DISASTER PREPAREDNESS DUES & SUBSCRIPTIONS LEGAL SERVICES MISCELLANEOUS EXPENDITURES OTHER MISCSELLANEOUS EXPENDITURES PERSONNEL SAVINGS PROPERTY TAX & OTHER ADMINISTRATION TOTAL EXPEDNITURES TRANSFERS HOSP GROVE DEBT SERVICE INFRASTRUCTURE REPLACEMENT FUND MISCELLANEOUS TRANSFERS OUT TRANSFER TO LLD#1 (MEDIANS) TRANSFER TO STORM WATER PROGRAM TOTAL TRANSFERS TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND 2007-08 ACTUAL* H $1,625 45,000 595,957 52,904 246,666 218,653 0 0 426,282 1,587,087 275,000 7,900,000 10,850,000 0 138,800 19,163,800 $20,750,887 122,993,021 0 $122,993,021 2008-09 ACTUALS * $1,323 649,645 16,412 58,115 102,612 258,362 0 0 624,525 1,710,994 90,000 7,800,000 319,445 0 154,273 8,363,718 $10,074,712 111,925,951 0 $111,925,951 2009-10 ESTIMATED EXPENDITURES * $1,482 20,000 0 55,081 23,228 491,035 0 0 649,515 1,240,341 0 6,538,000 2,840,000 0 177,000 9,555,000 $10,795,341 110,607,801 0 $110,607,801 2009-10 BUDGET * $36,000 0 0 73,800 160,000 208,946 0 (800,000) 565,000 243,746 0 6,538,000 0 0 177,000 6,715,000 $6,958,746 108,607,932 500,000 $109,107,932 2010-11 BUDGET $0 0 0 73,800 160,000 152,500 6,066 0 670,000 1,062,366 0 7,175,000 0 253,850 207,000 7,635,850 $8,698,216 108,936,776 500,000 $109,436,776 %INCR (DEC) 09-10 BUD TO 10-11 BUD -100.0% - 0.0% 0.0% -27.0% - -100.0% 18.6% 335.8% - 9.7% - - 16.9% 13.7% 25.0% 0.3% 0.0% 0.3% CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE DEPARTMENT SPECIAL REVENUE FUNDS AFFORDABLE HOUSING BUENA VISTA CHANNEL MAINTENANCE CITIZEN'S OPTION FOR PUBLIC SAFETY COMMUNITY ACTIVITY GRANTS COMMUNITY DEVELOPMENT BLOCK GRANT CULTURAL ARTS DONATIONS LIBRARY AND ARTS ENDOWMENT FUND LIBRARY GIFTS/BEQUESTS LIGHTING AND LANDSCAPING DISTRICT NO. 2 LOCAL CABLE INFRASTRUCTURE FUND MEDIAN MAINTENANCE POLICE ASSET FORFEITURE POLICE GRANTS PUBLIC ART RECREATION DONATIONS RENTAL ASSISTANCE SENIOR DONATIONS STREET LIGHTING STREET TREE MAINTENANCE 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 SCCRA OPERATIONS / DEBT SVC SCCRA LOW/MOD INCOME HSNG TOTAL REDEVELOPMENT 2007-08 ACTUAL' $348,036 56,158 181,308 30,000 458,044 67,573 25,791 68,819 197,329 0 492,146 28,531 28,210 5,424 8,223 5,283,978 42,445 1,117,957 532,878 $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 ACTUALS * $432,908 39,304 200,883 29,000 1,034,621 86,979 15,670 159,709 186,997 172,523 552,874 249,394 0 33,488 10,295 6,158,419 29,079 1,007,361 556,124 $10,955,628 $26,239,389 6,007,633 11,494,070 2,580,222 $46,321,314 $2,194,246 1,309,057 976,127 2,440,291 1,398,923 5,792,178 $14,110,822 $2,048,177 79,990 126,621 53,044 $2,307,832 2009-10 ESTIMATED EXPENDITURES * $418,481 201,152 165,000 40,000 291,000 95,863 13,899 220,626 224,286 97,286 849,466 69,419 176,503 12,060 30,222 6,168,267 26,443 3,595,762 634,598 $13,330,333 $29,306,071 6,469,698 10,335,711 2,785,338 $48,896,818 $1,602,289 1,264,285 1,053,605 2,625,195 1,160,662 7,367,658 $15,073,694 $7,488,150 80,158 399,820 32,934 $8,001,062 2009-10 BUDGET* $500,961 74,200 171,880 40,000 730,120 92,055 15,000 6,000 222,036 60,901 678,068 42,000 0 20,000 72,800 6,169,619 35,500 979,254 605,930 $10,516,324 $34,795,184 6,412,539 10,184,486 3,178,116 $54,570,325 $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 2010-11 BUDGET $500,577 103,540 114,496 40,000 663,954 91,350 6,400 0 197,153 368,960 680,504 16,530 0 22,900 42,131 6,578,677 40,990 861,248 612,295 $10,941,705 $30,945,359 6,889,719 10,508,223 3,213,004 $51,556,305 $1,841,504 1,467,171 951,560 2,795,426 1,310,000 5,900,575 $14,266,236 $1,774,404 101,331 201,379 60,410 $2,137,524 %INCR (DEC) 09-10 BUD TO 10-11 BUD -0.1% 39.5% -33.4% 0.0% -9.1% -0.8% -57.3% -100.0% -11.2% 505.8% 0.4% -60.6% - 14.5% -42.1% 6.6% 15.5% -12.1% 1.1% 4.0% -11.1% 7.4% 3.2% 1.1% -5.5% 0.3% 0.5% -8.9% -2.7% -16.8% -5.8% -5.2% 18.2% 0.7% -0.1% 40.6% 15.7% TOTAL OPERATING FUNDS $191,249,068 $185.621.547 $195,909,708 $191,091,621 $188.338,546 -1.4% General Fund NonGF $109,436,776 78.901,770 $188,338,546 NOTE: Estimated expenditures may exceed Adopted Budget since they include prior year budget appropriations. " ACTUALS, ESTIMATED EXPENDITURES AND BUDGET HAVE BEEN ADJUSTED TO REFLECT THE CITY'S REORGANIZATION IMPLEMENTATION. Exhibit 3B CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 2009-10 JULY 1,2009 UNRESERVED FUND BTD#2 - POINSETTIA LANE/AVIARA PKWA 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 8,067,290 183,358 56,036,203 10,811,399 65,349,450 695,041 (39,690) 1,938 46,635,926 10,426,612 2,287,529 838,123 13,143 882,143 572,119 8,311,289 42,538,889 16,795,868 500,000 1 428,701 19,423,831 32,226,569 2,628,788 0 17,362,613 42,436 1,329,319 4,617,963 346,202 21,389,191 866,769 37,955,865 409,524,878 PROJECTED PROJECTED PROJECTED DEBT SERVICE REVENUES EXPENDITURES LOANS & OTHER 184,454 20,513 2,504,311 2,210,177 4,564,556 0 691,048 62 7,750,760 3,652,946 100,660 19,163 72,296 20,015 13,081 338,881 2,338,612 668,938 0 250,000 21,179 1,140,109 3,991,856 1,035,232 0 1,428,582 58,681 30,338 9,690,223 7,915 1,133,732 0 6,164,817 50,103,139 0 0 87,269 313,410 1,395,923 553,833 242,893 0 411,377 1,166,430 0 0 0 22,920 0 2,595,062 2,827,650 2,395,537 54,072 92,290 0 1,938,210 5,091,469 2,327,752 0 2,650,734 17,257 101 1,344,868 0 1,238,212 110,027 2,163,859 29,041,155 232,723 88,041 110,000 0 600,000 0 0 0 0 0 0 0 0 0 0 0 17,000 10,166,549 0 0 0 933,007 0 0 0 0 0 2,783 0 0 0 0 0 12,150,103 JUNE 30, 2010 PROJECTED BALANCE 8,019,021 115,830 58,343,245 12,708,166 67,918,083 141,208 408,465 2,000 53,975,309 12,913,128 2,388,189 857,286 85,439 879,238 585,200 6,055,108 42,032,851 4,902,720 445,928 157,711 449,880 17,692,723 31,126,956 1,336,268 0 16,140,461 83,860 1,356,773 12,963,318 354,117 21,284,711 756,742 41,956,823 418,436,759 CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 2010-11 FUND BTD#2 - POINSETTIA LANE/AVIARA PKWA 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 1,2010 PROJECTED BALANCE 8,019,021 115,830 58,343,245 12,708,166 67,918,083 141,208 408,465 2,000 53,975,309 12,913,128 2,388,189 857,286 85,439 879,238 585,200 6,055,108 42,032,851 4,902,720 445,928 157,711 449,880 17,692,723 31,126,956 1,336,268 0 16,140,461 83,860 1,356,773 12,963,318 354,117 21,284,711 756,742 41,956,823 418,436,759 ESTIMATED REVENUES 75,650 0 1,174,408 2,695,149 912,000 0 1,535,994 0 7,179,000 0 68,508 0 199,874 26,729 26,729 274,127 1,300,296 0 0 3,000,000 0 31,332,423 3,264,000 1,537,256 0 1,146,576 0 0 2,567,000 0 673,493 0 4,769,000 63,758,211 6/30/2010 CONTINUING APPROPR. 349,302 0 4,090,630 5,973,980 49,913,599 141,208 406,192 0 3,937,805 8,985,866 0 0 0 0 219,100 3,172,700 25,566,845 1,704,121 345,928 157,711 0 17,102,436 13,663,516 1,231,185 0 10,004,939 60,500 954,242 7,289,366 345,000 4,887,050 756,742 15,438,485 176,698,448 7/1/2010 NEW APPROPR. 0 0 210,000 4,399,298 5,242,205 0 1,535,994 2,000 607,000 0 0 150,000 70,000 0 0 0 1,356,656 0 0 3,000,000 0 26,353,419 6,886,260 1,642,339 0 806,000 0 0 3,000,000 0 50,000 0 6,199,900 61,511,071 2010-11 TOTAL CIP APPROPR. 349,302 0 4,300,630 10,373,278 55,155,804 141,208 1,942,186 2,000 4,544,805 8,985,866 0 150,000 70,000 0 219,100 3,172,700 26,923,501 1,704,121 345,928 3,157,711 0 43,455,855 20,549,776 2,873,524 0 10,810,939 60,500 954,242 10,289,366 345,000 4,937,050 756,742 21,638,385 238,209,519 JUNE 30, 2011 PROJECTED BALANCE 7,745,369 115,830 55,217,023 5,030,037 13,674,279 0 2,273 0 56,609,504 3,927,262 2,456,697 707,286 215,312 905,967 392,829 3,156,535 16,409,646 3,198,599 100,000 0 449,880 5,569,291 13,841,180 0 0 6,476,098 23,360 402,531 5,240,952 9,117 17,021,154 0 25,087,438 243,985,451 CITY OF CARLSBAD CAPITAL FUNDS REVENUES ACTUAL AND ESTIMATED FUND BTD#2 - POINSETTIA LANE/AVIARA PKV\A 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 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 13,045,539 475,315 174,290 260,945 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 0 6,115,644 101,874,031 2008-2009 ACTUAL REVENUE 436,317 (47,252) 4,153,702 2,187,647 4,554,259 0 168,724 78 9,621,834 247,832 180,821 29,757 67,638 91,263 24,907 505,827 3,024,501 764,973 432,707 3,804 458,710 1,690,893 5,327,358 1,829,400 35 1,283,873 2,101 57,903 830,196 15,066 1.428,654 0 6,215,761 45,589,289 2009-2010 PROJECTED REVENUE 184,454 20,513 2,504,311 2,210,177 4,564,556 0 691,048 62 7,750,760 3,652,946 100,660 19,163 72,296 20,015 13,081 338,881 2,338,612 668,938 0 250,000 21,179 1,140,109 3,991,856 1,035,232 0 1,428,582 58,681 30,338 9,690,223 7,915 1,133,732 0 6,164,817 50,103,139 2010-11 ESTIMATED REVENUE 75,650 0 1,174,408 2,695,149 912,000 0 1,535,994 0 7,179,000 0 68,508 0 199,874 26,729 26,729 274,127 1,300,296 0 0 3,000,000 0 31,332,423 3,264,000 1,537,256 0 1,146,576 0 0 2,567,000 0 673,493 0 4,769,000 63,758,211 Note: Revenues include loans, advances and transfers. CITY OF CARLSBAD CAPITAL FUNDS BUDGET EXPENDITURE SCHEDULE FUND BTD#2 - POINSETTIA LANE/AVIARA PKV\A 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 2007-2008 ACTUAL EXPENSE 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 ACTUAL EXPENSE 0 0 486,980 1,094,887 3,427,614 0 114,304 0 571,661 3,613,004 0 3,857,643 0 231,292 0 1,637,207 1,611,809 2,162,245 12,130 0 0 3,599,563 5,164,473 800,000 2,935 489,056 12,188 6,188 2,693,151 0 59,133 38,230 2,786,171 34,471,864 2009-10 ESTIMATED EXPENSE 232,723 88,041 197,269 313,410 1,995,923 553,833 242,893 0 411,377 1,166,430 0 0 0 22,920 0 2,595,062 2,844,650 12,562,086 54,072 92,290 0 2,871,217 5,091,469 2,327,752 0 2,650,734 17,257 2,884 1,344,868 0 1,238,212 110,027 2,163,859 41,191,258 2009-10 CONTINUING APPROPR. 349,302 0 4,090,630 5,973,980 49,913,599 141,208 406,192 0 3,937,805 8,985,866 0 0 0 0 219,100 3,172,700 25,566,845 1,704,121 345,928 157,711 0 17,102,436 13,663,516 1,231,185 0 10,004,939 60,500 954,242 7,289,366 345,000 4,887,050 756,742 15,438,485 176,698,448 2010-11 NEW APPROPR. 0 0 210,000 4,399,298 5,242,205 0 1,535,994 2,000 607,000 0 0 150,000 70,000 0 0 0 1,356,656 0 0 3,000,000 0 26,353,419 6,886,260 1,642,339 0 806,000 0 0 3,000,000 0 50,000 0 6,199,900 61,511,071 2010-11 TOTAL CIP APPROPR. 349,302 0 4,300,630 10,373,278 55,155,804 141,208 1,942,186 2,000 4,544,805 8,985,866 0 150,000 70,000 0 219,100 3,172,700 26,923,501 1,704,121 345,928 3,157,711 0 43,455,855 20,549,776 2,873,524 0 10,810,939 60,500 954,242 10,289,366 345,000 4,937,050 756,742 21,638,385 238,209,519 n 2010-11 Capital Improvement Program PROJ. ID 40001 35721 35722 36551 40031 40032 39011 36861 36861 36851 34554 34553 40051 36341 60151 36501 38961 47001 47002 PROJECT TITLE CIVIC PROJECTS ADMINISTRATIVE FACILITIES CIVIC CENTER CIVIC CENTER CIT~» ADMIN TRAINING FACILITY (PRE-DESIGN) - PROP C INF RASTRUCTURE REPLACEMENT FUND - MASTER PLAN OPPORTUNISTIC SAND PUBLIC WORKS CENTER PUBLIC WORKS CENTER PUBLIC WORKS CENTER POI-ICE 8. FIRE FACILITIES FIR E STATION »3 RELOCATION FIR E STATION #3 RELOCATION (GENERAL FUND) FIRE STATION «6 (PERMANENT) JOI NT FIRST RESPONDERS TRAINING FACILITY JOI NT FIRST RESPONDERS TRAINING FACILITY - PROP C JOI NT FIRST RESPONOERS TRAINING FACILITY - PHASE II POLICE CAD IMPLEMENTATION LIBRARY FACILITIES LIBRARY EXPANSION (COLE) LIBRARY EXPANSION (COLE) MISCELLANEOUS CITYWIDE PROJECTS PROPOSITION C PROJECTS CFD*1 ADMINISTRATION COASTAL RAIL TRAIL COASTAL RAIL TRAIL (CMAQ) HUMAN CAPITAL MANAGEMENT SYSTEM PUBLIC WORKS INVENTORY AND FAC MAINT PROGRAM STREETSCAPE IMPROVEMENTS VILUAGE PUBLIC PARKING ENHANCEMENT PROGRAM SUBTOTAL CMC 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 SUBTOTAL FACILITIES MAINTENANCE FUND CFLW1 IRF GCC IRF ST GRANT CFD*1 WATER REPL SEWER REPL PFF GCC PFF GCC GCC GCC GCC CFD»1 PFF GCC CFD»1 TRANSNET/BIKE FED GRNT GCC GCC REDVL VILLAGE REDVL VILLAGE IRF GCC STATE TRANS TOTAL BUDGET 26,100,000 900,000 100000 100,000 2,000 17,080,366 7,169600 3,861,200 8,630000 540000 5,324,100 2,850,000 13,650,000 8,000000 2.312,228 4,763,217 9,776,000 5,034,205 838,224 279,525 4,413.784 2.840,000 404,992 400,000 850.000 126,219,441 517,500 130,000 944,000 1,591,500 PRIOR EXP/ENC 1.222,636 1,000,000 540000 5,224,100 1,802,028 2,162,558 133,224 219,025 4,007,592 604,000 399,907 54,072 - 17,369,142 207,856 102,038 774.794 1.084,688 BALANCE FORWARD 4,045 630 - 100,000 1,047,972 13,650,000 8,000,000 149,670 45,000 60,500 406,192 2.236,000 5.085 345,928 30,091 ,977 309.644 27,962 169.206 506,812 YEAR1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 26,100,000 900,000 100.000 100,000 2,000 100000 11.712,100 65.000 7.104,600 35.000 3,826,200 980,000 6,650,000 4,763,217 9,776,000 5,034,205 110,000 110,000 110,000 110,000 110,000 110,000 850,000 6,426,205 6,760.000 110.000 22,852,900 110,000 27,960,000 14,539.217 6/23/2010,11:33 AM 2010-11 Capital Improvement Program PROJ. ID 39722 38661 NEW 38011 36491 45021 45041 38372 39251 39252 39252 45051 39611 PROJECT TITLE PARK fROJECTS CITVWIDE PARKS BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING) CARLSBAD MUNICIPAL GOLF COURSE LAKE CALAVERA TRAILS MASTER PLAWCONSTRUCTION VETERAN'S MEMORIAL PARK NORTHWEST QUADRANT PARKS PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II PIME AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II PINE AVENUE PARK-RESTROOM/STORAGE BUILDING PINE PARK MADISION PROPERTIES, PHASE 1 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 COMMUNITY PARK - PARKING SOUTHEAST QUADRANT PARKS ALGA NORTE 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 ($197K= GRANT) SUBTOTAL PARK PROJECTS FUND ZONES GOLF COURSE GCC CFD*1 PIL-NW PFF PFF PIL-NW PIL-NE PFF PIL-SW PIL-SW PFF PFF PFF PFF GCC GCC PFF PIL-SE PFF GCC TOTAL BUDGET 3,400,000 55,266,655 598,750 23,239.800 1.751,776 7.91 9,958 376,656 70,000 1,800.000 7,937,488 2.806.648 238,000 14,620,640 513,400 22,107,510 6,099,695 6,000,000 16,215,795 1.057,000 866,100 500,000 500,000 173,885,871 PRIOR EXP/ENC 55,125,447 65,467 18.900 1,085,200 417,320 3,725,602 500,148 389,765 29.860 458,730 61,816.439 BALANCE FORWARD 141.208 533,283 219,100 4,000 96,080 18,381,908 5,599.547 6,000,000 15,826,030 470,140 41,270 47,312.566 YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 3.400,000 23,239.800 1.751,776 7,919,958 376.656 70,000 150,000 1,650,000 7,937.488 2,806,648 1,076,400 12,455,040 310,500 746,500 866,100 596,656 - - 1,386,900 14,067,640 - 48,705,670 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID 33382 33381 66101 36241 39192 66071 36363 66061 NEW 66021 36811 66081 66082 66111 66121 66041 66042 PROJECT TITLE DRAINAGE PROJECTS AGLJA HEDIONDA CHANNEL AGLJA HEDIONDA CHANNEL (PLDA "B" • FACILITY B + BN) BCC DRAINAGE FACILITY (REIMB) CARLSBAD BLVD STORM DRAIN REPLACEMENT CARLSBAD BOULEVARD ENCINAS CREEK BRIDGE REPLACEMENT (PLDA'C" - C1) CMP REPLACEMENT PROGRAM COULEGE BLVD. BRIDGE (REIMBJPLDA"B" - FACILITY BL-L ) COULEGE BLVD/CANNON RD (PLDA "B" - FACILITY BJ B * BNB t BJ-1) FIRE STATIONS 1 THRU 5 DRAINAGE SYSTEMS KELLY DRIVE CHANNEL REPAIR KELLY DRIVE CHANNEL REPLACEMENT LA COSTA AVE STORM DRAIN REPLACEMENT MARCA DRIVE DRAINAGE IMPROVEMENTS MASTER DRAINAGE PLAN PROJECT AAA (Jefferson Street) MASTER DRAINAGE PLAN PROJECT AAAA (Madison Street) MASTER DRAINAGE PLAN PROJECT AC (Highland Drive/Hosp Grove) MASTER DRAINAGE PLAN PROJECT AFA (Hidden Valley Drainage Restoration) MASTER DRAINAGE PLAN PROJECT AFB (Calavera Hills Drainage Restoration) MASTER DRAINAGE PLAN PROJECT BB 1 and 2 (Washington Street) MASTER DRAINAGE PLAN PROJECT BCB (Magnolia Avenue) MASTER DRAINAGE PLAN PROJECT BFA (Country Store) MASTER DRAINAGE PLAN PROJECT BFB-U (El Camino Real) MASTER DRAINAGE PLAN PROJECT BL-U (Collage Blvd. Drainage) MASTER DRAINAGE PLAN PROJECT BM (College Blvd./Canatarini Box Culvert) MASTER DRAINAGE PLAN PROJECT BQ (Sunnycraek Road) MASTER DRAINAGE PLAN PROJECT BR (CanatarWCollege Blvd.) MASTER DRAINAGE PLAN PROJECT C2 (Paseo Del Norte) MASTER DRAINAGE PLAN PROJECT CA (Avenida Encinas) MASTER DRAINAGE PLAN PROJECT DBA (Poinsettia Village) MASTER DRAINAGE PLAN PROJECT DBB (Avenida Encinas) MASTER DRAINAGE PLAN PROJECT DFA (Batiquitos Lagoon) MASTER DRAINAGE PLAN PROJECT DH (Altiva Place Canyon) MASTER DRAINAGE PLAN PROJECT DQB (La Costa Town Canter) MASTER DRAINAGE PLAN PROJECT DZ (Poinsettia Lane) 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) PARK DRIVE DRAINAGE AND STREET IMPROVEMENTS RANCHO CARRILLO WATER SEEPAGE ROMERIA DRAINAGE IMPROVEMENTS ROMERIA DRAINAGE IMPROVEMENTS TAMARACK AND ECR STORM DRAIN AND SILT BASIN (REIMB./PLDA 'B' - BFB-L t BF-1) SUBTOTAL DRAINAGE PROJECTS FUND GCC PLD PLD IRF PLD IRF PLD PLD GCC IRF IRF IRF GAS TAX PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD PLD GAS TAX GCC GAS TAX PLD GCC GCC GCC GAS TAX PLD TOTAL BUDGET 859,037 4,384,413 511,979 505,000 2,539,565 2,598,000 1,816,101 2,889,757 225.000 1.161,000 1,769,500 492.150 65,000 289.534 416,500 992,913 91.608 163,164 1,086,065 468,096 963,673 138,220 384,509 204,077 131,355 180.773 727,730 529,402 167.215 429,108 256,423 232,812 745.842 642,063 560.000 460,250 3,392,594 1,068,613 155.500 53,000 299,000 338,000 904,329 36.288,870 PRIOR EXP/ENC 2,062,263 177,574 466,430 2,476,971 562.859 2,236,206 159,204 6.496 - - - - 78,480 201,440 52.245 40,851 166 114,849 14,712 8,650.746 BALANCE FORWARD 859.037 2,122,150 334,405 38.570 62,594 1,246,141 - 653,551 1,001,796 485,654 150,000 - - - 481,520 258,810 861,383 114,649 52,834 164,151 323,288 9,210,533 YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 40,000 40,000 40,000 40,000 40,000 507,000 282,000 1,816,101 225,000 1,769,500 65,000 289.534 416,500 842.913 91,608 163,164 1,086,065 468,096 963,673 138,220 384,509 204.077 131,355 180,773 727.730 529,402 167.215 429,108 256.423 232,812 745,842 642,063 525,898 694,228 949,500 153,840 155,500 1,068,613 5,000 5,000 5,000 5,000 904.329 1.037,898 1,311,228 994,500 198,840 195,500 4,694,214 9,995,411 6/23/2010, 11:33 AM o 2010-11 Capital Improvement Program PROJ. ID 58001 58011 58031 55121 55011 NEW 55071 55131 38731 55091 39511 55001 NEW 35371 55101 35381 55051 38401 39271/55031 55111 55112 55041 55021 34921 55081/55082 38861 39491 39501 PROJECT TITLE SEWEFt PROJECTS FNCINA WATER POLLUTION CONTROL FACILITY BUILDING IMPROVEMENTS CAPITALACQ/REPL/REHAB AND STAFFING PH/VSE IV EXPANSION - DEBT SERVICE PHASE V EXPANSION SjyVER COLLECTION SYSTEM AVENIDA ENCINAS GRAVITY SEWER BEECH STREET SEWER REPLACEMENT BUENA INTERCEPTOR SEWER IMPROVEMENTS BUENA VISTA LIFT STATION IMPROVEMENTS CALJWERA 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 PIPELINES HOME PLANT- PIPELINE REPLACEMENT HOME PLANT LIFT STATION REPLACEMENT AND FORCE MAIN LA COSTA MEADOWS SEWER EXTENSION LA GOLONDRIA SEWER EXTENSION NCTD RIGHT OF WAY UTILITY RELOCATION (SEWER) NORTH AGUA HEDIONDA INTERCEPTOR - WEST SEGMENT NORTH AGUA HEDIONDA TRUNK SEWER REACH NAHT1A (SBA "B") NORTH BATIQUITOS INTERCEPTOR REHABILITATION SEWER LIFT STATION REMOVAL - GATESHEAD 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 AGUA HEDIONDA LIFT STATION AND FM (VC12-VC13) VISTA/CARLSBAD INTERCEPTOR BUENA VISTA LIFT STATION FORCE MAIN (VC-4) VISTA/CARLSBAD INTERCEPTOR REACH VC11B VISTA/CARLSBAD INTERCEPTOR REACH VC14 TO VC15 VISTAICARLSBAD INTERCEPTOR REPLACEMENT REACH 3 SUBTOTAL SEWER PROJECTS FUND SEWER REPL SEWER REPL SEWER CONN SEWER CONN SEWER REPL 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 SEWER REPL SEWER REPL SEWER REPL SEWER CONN SEWER CONN SEWER REPL SEWER CONN SEWER CONN SEWER CONN SEWER CONN SEWER CONN TOTAL BUDGET 4,593,155 42,033,986 5.584.974 10,910,356 475,000 1,947,000 2,840.000 1.050.000 723,500 567,000 2,368.000 626,000 919,000 4,139,000 1.146.877 1,108,543 120,000 5,854,000 2,862,000 1,199,000 344,000 1,360.380 5.974.600 400,000 100,000 352,000 548,000 17.400,000 6,225,000 6,430,000 16,100,000 2,688.200 148,989,571 PRIOR EXP/ENC 3,759.110 1,952,437 933,007 10,418,965 272.838 161,089 7.974 - 5.000 153.765 385,231 515.120 418,033 5,309,604 1,953,386 497,363 86,513 754,612 581,219 239.279 90.315 50,000 10,526 1,894,160 589,934 718,803 1,010,743 32,769,026 BALANCE FORWARD 834,045 1,101,723 491,391 1,674,162 1.298,911 15,526 306,000 765,235 1,526.769 631,757 690,510 544,396 906,614 701,637 2,487 5,768 2,478.781 160,721 9.685 60.000 14,474 4,505,640 5,635,066 2,711,197 3.689,257 30,765,952 YEAR 1 2010-2011 YEAR 2 2011-2012 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 BUILDOUT 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 1 ,699,260 931,419 2.517.469 932,469 3,030,975 1.063.508 1,465,245 7,169.725 22.033,644 931.469 928,419 928,191 75,000 400.000 402,000 978,000 75,000 175,000 800.000 700,000 567,000 705,000 1,663.000 313,000 2.227,000 120,000 400,000 60,000 100,000 330.000 195,000 100,000 330.000 330,000 330.000 1,594,600 22.000 22,000 22,000 22,000 22,000 110,000 22.000 523,000 11,000,000 3,000.000 11,400,000 33.204,679 596,200 8,241,138 2,092,000 7.189,444 3,143,927 2.745,436 8,874.325 22,065,644 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID 50231 38421 50071 50121 50131 33762 33761 50141 39121 39001 36223 50281 50151 50251 38211 50091 50042 60041 50061 50011 50171 39041 50191 NEW 35311 NEW 50201 50241 NEW 50081 50161 36641 PROJECT TITLE WATER DISTRIBUTION SYSTEM AVI ARA PARKWAY AT PLUM TREE BueNA VISTA PUMP STATION IMPROVEMENTS (STUDY) CAL-AVERA HILLS WATER BOOSTER STATION STANDBY GENERATOR CARLSBAD BOULEVARD - SOUTH OF AVENIDA ENCINAS CATHODIC PROTECTION PROGRAM COLLEGE BOULEVARD - CANNON TO BADGER LANE COLLEGE BOULEVARD (ECR TO CANNON ROAD) - Reimb CRESTVIEW DRIVE TRANSMISSION MAIN D Ft ESERVOIR- PHASE 1 D RESERVOIR -PHASE II D RESERVOIR DRAINAGE IMPROVEMENTS (STUDY) DESALINATION GROUNDWATER/SEAWATER STUDY EL FU6RTE - NORTH OF LOKER - (Reimb) EL FUERTE AND CORINTIA STREET ELL-ERY WATER PUMP PROJECT FAF3ADAY AVENUE - ORION TO MELROSE WATERLINE - (Reimb) FARADAY AVENUE EXTENSION - Reimb GROUNDWATER DEVELOPMENT - SAN LUIS REY RIVER (STUDY) HYDROELECTRIC PRESSURE REDUCING STATION-MAERKLE RESERVOIR KELLY RANCH PRESSURE REDUCING STATION 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 MELROSE DRIVE - PALOMAR AIRPORT ROAD TO FARADAY - (Reimb} MISCELLANEOUS PIPELINE REPLACEMENT PROJECTS MISCELLANEOUS WATER VALVE REPAIRS/REPLACEMENTS NCTD RIGHT OF WAY UTILITY RELOCATION (WATER) OCEANSIDE INTERTIE UPGRADE PARK DRIVE WATER LINE AND SURFACE IMPROVEMENTS POINSETTW 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 RESERVOIR REPAIR (MAINTENANCE PROGRAM SANTA FE II RESERVOIR SITE DRAINAGE TRI-AGENCIES WATER TRANSMISSION PIPELINE REPLACEMENT WATER MASTER PLAN UPDATE WATER SYSTEM INTERTIE CONNECTION SUBTOTAL WATER DISTRIBUTION SYSTEM FUND WATER REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER CONN WATER CONN 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 REPL WATER REPL WATER CONN WATER REPL WATER REPL WATER CONN WATER REPL WATER CONN WATER CONN WATER REPL 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 CONN WATER REPL TOTAL BUDGET 494,726 200,000 502,444 953,888 1,246.700 1,066.000 1,060,000 162.032 6,666.504 2,222,064 175,000 774,176 250,000 168.168 205,900 887,210 776.000 55,000 2.000,000 560.000 6,796,908 2,135,200 1.000.200 998,427 328,750 14,814,280 6,330,000 797,888 1,475,000 1,876,700 250,000 80,000 114,600 1,000,000 130,728 508,684 398,944 239,720 239,616 1,102.000 4,185,000 645,000 6,455,000 700,000 439,000 73,467,439 PRIOR EXP/ENC 8,510 - 64,098 23,495 245,957 401,619 436,723 5,705.620 877,874 44,322 120.168 8,882 61,120 262,815 34.154 67,203 128,744 504,366 34,774 9,030.444 BALANCE FORWARD 100000 1,099.800 1,066,000 1 060000 . 166490 185,902 641,253 374,381 1,563,277 1.091,286 1,257.326 208.582 4,866,118 1,413,680 1.170,185 215,846 1,034,797 125,000 1,126,256 145,634 - 18,912,015 YEAR1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 494,728 100,000 54,100 448,344 953,888 146,900 33,800 128,232 6.666.504 2,222,064 774,176 168,168 182,405 55,000 560,000 85,000 915,200 85,000 869,105 14,814,280 1,455.000 797,888 443,700 80,000 114,600 1,000,000 130,728 508,664 398,944 239,720 239,616 1,760,000 1,150,000 1,150,000 645,000 5,200,000 50,000 404,226 4.241,900 24,452,269 1,736,558 1,231,644 1,884,305 11,180,416 797,888 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID 50271 50211 52001 NEW 34871 52021 52022 52011 52012 50221 50261 PROJECT TITLE RECYCLED WATER PROJECTS ENCINA WATER POLLUTION CONTROL FACILITY CARLSBAD WATER RECYCLING FACILITY (ENCINA) RECYCLED WATER SYSTEM 12- RECYCLED WATER TRANSMISSION MAIN-CWRF TO CHINQ CARLSBAD WATER RECYCLING FACILITY SCADA MODIFICATIONS CHESTNUT AVENUE RECYCLED WATER LINE ECRTAMARACK PUMP STATION REMOVAL I-5 RECYCLED WATER TRANSMISSION LINE PAL- OMAR BUISNESS PARK RECYCLED WATER PIPELINES PUMP STATION REMOVAL RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY RECYCLED WATER LINE - IRRIGATION SERVICES RECYCLED WATER LINE - IRRIGATION SERVICES RECYCLED WATER MASTER PLAN UPDATE RECYCLED WATER PROJECTS-l-5 CROSSING SUBTOTAL RECYCLED WATER PROJECTS FUND WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL WATER REPL RECL WATER WATER REPL RECL WATER WATER REPL WATER REPL WATER REPL TOTAL BUDGET 500.000 975,000 210,000 716,600 60,019 277,274 1,110,000 442,700 675.000 410,000 230,000 240,000 672,468 200,200 6,739,261 PRIOR EXP/ENC 75,135 157,441 110,330 129,039 3,578 19,219 185.818 413,546 1,094,106 BALANCE FORWARD 174,865 52,559 332,370 545,961 406,422 210,781 54,182 256,922 134,200 2,170.262 YEAR 1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 42,000 130,000 228,000 50,000 50,000 725,000 716,600 80.019 277,274 1,110,000 66,000 1,943,000 846,600 505,274 130,019 50,000 0 0 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID NEW 33691 33692 33693 39021 63011 63021 63031 63141 63121 39381 NEW 34061 39401 NEW 63051 PROJECT TITLE CIRCU'UTION SYSTEM TR-AFFIC SIGNAL PROJECTS TRVF SIG - ALGA ROAD AND CA2ADERO TRV\F SIG - ARAMADA DRIVE AND FLEET STREET (S) JRSf SIG • ARMADA DRIVE AND GRAND PACIFIC RESORTS TR-^F SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL TR>\F SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL TRV*F SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL TRV*F SIG - CAMINO DE LOS COCHES AND LA COSTA AVENUE TR>\F SIG - CAMINO VIDA ROBLE AND YARROW DRIVE TRXF SIG - CANNON ROAD AND AVENIDA ENCINAS-REIMB. TR>AF SIG - CANNON ROAD AND COLLEGE BOULEVARD TRWF SIG - CARLSBAD BLVD & TAMARACK SIGNAL REPAIRS TR>M= SIG - CARLSBAD BOULEVARD AND CHERRY AVENUE TR>\F SIG - EL CAMINO REAL AND CHESTNUT SIGNAL REPAIRS TRyAF SIG - EL CAMINO REAL AND TAMARACK SIGNAL REPAIRS TR>\F SIG - EL FUERTE ST AND RANCHO PANCHO TR>M= SIG - FARADAY AVE. AND CAMINO HILLS DRIVE TRXiF SIG - FARADAY AVENUE AND PALMER WAY TRV^F SIG - FARADAY AVENUE AND RUTHERFORD ROAD TRAP SIG - LA COSTAAVENUE AND CALLE MADERO TFtAF SIG - LA COSTA AVENUE AND ESFERA STREET TFlAF SIG - LA COSTA AVENUE AND GIBRALTAR TR>VF SIG - LA COSTAAVENUE AND LEVANTE TFLAF SIG - LA COSTAAVENUE AND QUINTA STREET TFLAF SIG • LA COSTAAVENUE/NUEVA CASTILLA WAY TFLAF SIG - MONROE STREET AND HOSP WAY TRAP SIG - POINSETTIA LANE AND BRIGANTINE ROAD TRAP SIG • RANCHO SANTA FE ROAD AND CALLE JUNIPERO TRAP SIG - RANCHO SANTA FE ROAD AND QUESTHAVEN ROAD TRAP SIG - TAMARACKAVE. AND PONTIAC DRIVE TRAP SIG - TAMARACK AVE. AND VALLEY STREET TRAFFIC MANAGEMENT CENTER (TMC) AND ATMS VIDEO DETECTION CONVERSION SUBTOTAL TRAFFIC SIGNAL PROJECTS FUND GAS TAX GAS TAX GAS TAX TIP OTHER GAS TAX GAS TAX GAS TAX PFF GAS TAX IRF GAS TAX IRF IRF GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GAS TAX GCC GAS TAX TOTAL BUDGET 210,000 190,000 190.000 29,969 645,447 160,000 190,000 190,000 150,000 210,000 230,000 190.000 276,000 200,000 190.000 190,000 190,000 190,000 210,000 210,000 210,000 210,000 190,000 210,000 210,000 190.000 210.000 124,767 210.000 190.000 912,000 1,850,000 8,958,183 PRIOR BALANCE EXP/ENC FORWARD 10,869 19,100 343,356 302,091 164 159,836 300 149,700 230,000 276,000 200,000 - 190,000 187,916 2,084 - 124,757 3,954 202,800 658.200 749,359 2,311,778 YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 BUILDOUT 2021-BO 210,000 190,000 190,000 190.000 190,000 210,000 190,000 190,000 190,000 210.000 210,000 210.000 210,000 190,000 210,000 210,000 190,000 210,000 208,046 190,000 203,000 233,000 163,000 313,000 247,000 307,000 300,000 135,000 1,480.000 1,110,000 863,000 448,000 - 1,806,046 190,000 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID 60041 NEW 60301 38141 60142 60143 60162 60163 60001 60311 60321 35571 60171 36362 38791 60131 60132 60211 36431 36432 39091 39201 39572 39573 39291/39571 39571 60091 60081 60241 60201 60101 60071 60072 NEW PROJECT TITLE ST«EET PROJECTS AVemDA ENCINAS WIDENING - SOUTH OF PALOMAR AIRPORT ROAD BATIQUITOS DRIVE GROUNDWATER SEEP AND SLOPE STABILIZATION CAMINO HILLS AND JACKSPAR SLOPE STABILIZATION 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 - PEDESTRIAN ENHANCEMENT CARLSBAD BLVD. REALIGNMENT CARLSBAD BOULEVARD RIP RAP EXTENSION CARLSBAD BLVRD REALIGNMENT / PALOMAR AIRPORT ROAD (SEGMENT 2) (20%) CARLSBAD BLVRD REALIGNMENT / PALOMAR AIRPORT ROAD (SEGMENT 2) (RTCIP / 20%} CARLSBAD BOULEVARD MEDIAN-TAMARACK AVENUE TO PINE AVENUE CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (20%) CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (RTCIP/20" CARLSBAD BOULEVARD RETROFIT OVER SDNR CARLSBAD BOULEVARD REALIGNMENT - CANNON TO MAN2ANO (SEGMENT 1 ) CARLSBAD VILLAGE DRIVE - PONTIAC TO VICTORIA CARLSBAD VILLAGE DRIVE AND AVENIDA DE ANITA COLLEGE BLVD REACH A AND CANNON REACH 4A COLLEGE/CANNON ASSESSMENT DISTRICT CONCRETE REPAIR PROGRAM CONCRETE REPAIR PROGRAM CONCRETE REPAIR WORK EL CAMINO REAL / CANNON ROAD INTERSECTION IMPROVEMENTS EL CAMINO REAL AND CARLSBAD VILLAGE DRIVE DUAL LEFT TURNS EL CAMINO REAL LEFT TURN LANE TO WEST TAMARACK EL CAMINO REAL MEDIANS EL CAMINO REAL MEDIANS EL CAMINO REAL MEDIANS - LA COSTA EL CAMINO REAL RIGHT TURN LANE TO NORTH ALGA ROAD EL CAMINO REAL WIDENING - CASSIA RD TO CAMINO VIDA ROBLE EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENUE EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENUE (RTCIP) 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 CHESTNLTT EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT (RTCIP) EL FUERTE EXTENSION FAFtADAY AVENUE EXTENSION 1-5 AND LA COSTA AVENUE AUXILIARY LANES LA COSTA AVE SLOPE REPAIR WEST OF ROMERIA MARBELLAWALL BEAUTIFICATION MELROSE DRIVE - SOUTH OF PALOMAR AIRPORT ROAD MELROSE DRIVE AND ALGA ROAD DUAL LEFT TURN LANES (RTCIP) MELROSE DRIVE EXTENSION -A MELROSE DRIVE EXTENSION - B MELROSE DRIVE TURN LANE TO WEST PALOMAR AIRPORT ROAD MUTCD STREET NAME SIGN REPLACEMENT FUND TIF GAS TAX GCC TRANSNET-HWY FED GRNT TRANSNET-LOC FED GRNT TRANSNET-LOC REDVL VILLAGE REDVL SCCRDA GAS TAX TIF TIF GAS TAX TIF TIF TRANSNET-LOC TIF TIF GCC OTHER OTHER GCC GAS TAX GAS TAX TIF TIF TIF PFF GAS TAX PFF TIF TRANSNET-LOC TIF TIF TRANSNET-LOC TRANSNET-LOC TRANSNET-LOC TRANSNET-STP TIF TIF OTHER OTHER CFD#1 GAS TAX GCC OTHER TIF OTHER OTHER TIF GAS TAX TOTAL BUDGET 5,402,000 40,100 87,000 1,761,000 1.217,287 157,713 340.840 44,160 100.000 3,250,000 842,000 740.896 2,927,600 2,197,000 782.496 1,012,960 1.734.000 5,574,400 2,466,880 105.000 1.713,002 10,314.481 250,000 1,500.000 750,000 589,000 899,600 286,000 909.500 2,866.600 1,390,500 348,400 2,650,000 1.772.160 625,040 2,125,000 574,782 3,925,885 345,000 7,656.023 422,000 4,095,146 16,248,065 2,000,000 199,000 180.000 458,563 983,640 1,525,584 3,477,792 410.000 260,000 PRIOR EXP/ENC 168714 11,688 806.758 8,853 4.846 13,280 5,585 92,289 4,320 . - 1,489,918 91,306 418,411 10,011,630 201.722 196,295 367,475 - 144,030 - - 555.897 1,064,721 720.810 15.774.327 22.988 38,520 458.563 1.495,541 3,477,792 BALANCE FORWARD 56,286 75,312 954,242 152,867 38.575 157,711 837,680 244,082 13.694 1,294,591 302,851 48,278 553.705 282,525 - 765,470 1.135,000 18,885 3,925,885 345,000 6,591,302 422,000 3.374,336 473,738 176.012 141,480 30,043 YEAR 1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT 2010-2011 2011-2012 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 421,000 2,395,000 2,361,000 40,100 1,208,434 327,560 100,000 3,000,000 740,896 2,927,600 2,197,000 782,496 1,012,960 5,574,400 2.466.880 250000 250000 250,000 100,000 589,000 899,600 286,000 1,731,600 90.500 1,300,000 348,400 215,000 2,435,000 1,772.160 625,040 170,000 1,955,000 2,000,000 983.840 410,000 260,000 6/23/2010, 11:33 AM \ 2010-11 Capital Improvement Program PROJ. ID 60281 60291 60121 60123 60111 38111 60011 60012 60013 60015 60014 39221 36892 38601 31906 39071 NEW 60191 60021 60181 60261 60271 NEW 60031 38951 PROJECT TITLE PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANES PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANES/DRAINAGE PALOMAR AIRPORT ROAD AND MELROSE DRIVE RIGHT TURN PALOMAR AIRPORT ROAD AND MELROSE DRIVE RIGHT TURN PALOMAR AIRPORT ROAD LEFT TURN LANE EXPANSION TO N/B PASEO DEL NORTE (Reimb) PALOMAR AIRPORT ROAD LEFT TURN LANE EXPANSION TO N/B PDN PALOMAR AIRPORT ROAD RIGHT TURN LANE TO S/B PASEO DEL NORTE PALOMAR AIRPORT ROAD RIGHT TURN LANE TO S/B PASEO DEL NORTE (Reimb) PALOMAR AIRPORT ROAD TURN LANE TO NORTH EL FUERTE STREET PALOMAR AIRPORT ROAD TURN LANE TO SOUTH EL CAMINO REAL 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 PAVEMENT MANAGEMENT PROGRAM (NON-JURIS FEES) PAVEMENT MANAGEMENT PROGRAM (PROP 1B Funds) PAVEMENT MANAGEMENT PROGRAM (PROP 42 Funds) POINSETTIA LANE - REACH E POINSETTIA LANE - REACHES A,B.C,F,G & AVIARA PKWY REIMB POINSETTIA LANE EAST OF EL CAMINO REAL FINANCING PROGRAM POINSETTIA LANE WIDENING - PASEO DEL NORTE TO BATIOUITOS (RTCIP) RANCHO SANTA FE ROAD AND OLIVENHAIN IMPROVEMENTS RANCHO SANTA FE ROAD NORTH - PHASE I RANCHO SANTA FE ROAD NORTH - PHASE II (BRIDGE) RETROREFLECTIVITY SIGN REPLACEMENT PROGRAM SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS (Reimb - 20A) SIDEWALK/STREET CONSTRUCTION - VARIOUS LOCATIONS TAMARACK AND ADAMS TRAFFIC CALMING - DONNA DRIVE (DESIGN) TRAFFIC CALMING - SIERRA MORENA AVENUE (DESIGN) TRAFFIC IMPACT FEE UPDATE TRAFFIC MONITORING PROGRAM UNDERGROUND DIST. 17 - HARDING. ROOSEVELT SUBTOTAL STREETS PROJECTS FUND TIF GCC OTHER TIF GAS TAX GAS TAX GAS TAX GAS TAX TIF TIF OTHER TIF GAS TAX TRANSNET-LOC GAS TAX TRANSNET-LOC STATE TRANS STATE TRANS BTD»2 BTD*2 OTHER TIF RSF ROAD RSF ROAD RSF ROAD GAS TAX WATER REPL TIF TIF TIF GAS TAX GAS TAX GAS TAX TIF TIF GCC TOTAL BUDGET 587,000 250,500 165,980 88,500 25,394 206.276 450,215 112,785 952,640 590.720 2,826,268 1.676,019 416,300 50,650,515 26.874,088 12,342,476 3.167,193 1,890.083 13.535,600 1,373,558 28,932.793 825,760 5,985,905 26,408,243 20,671,000 2,320,000 200,000 1.020,097 490.000 3,295,672 48,500 113,000 90,000 200,000 1,718,900 509,800 313,544,075 PRIOR EXP/ENC 1,465 42.354 12,194 - 2.624,351 1,313,843 22,976,180 7,907,873 507,739 1,540,000 812.958 698 26,050,120 4,840,011 26,300,836 20,218,180 64.237 49.431 38,352 64,180 47,203 324,907 92,218 153,475,609 BALANCE FORWARD 585,535 250.500 123,626 76,306 - 201,917 362,176 1,149,335 86,215 1 ,759,737 89,937 972,042 349,302 2,882,673 1,145.894 105.407 452,820 1,746,241 10,148 48,820 42,797 145,993 417,582 35,416,553 YEAR 1 YEAR 2 2010-2011 2011-2012 YEARS YEAR 4 YEARS YEAR 6-10 BUILDOUT 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 25.394 206,276 450,215 112.765 952,640 590,720 416,300 1,940,000 1,080.000 1,100,000 660,000 1,990,000 2.030,000 1,875,000 9,880.000 8,810,000 1,130,000 1,170,000 1.400,000 6,000,000 7,000,000 680,000 700,000 725,000 3.620,000 3,690,000 1,537.256 105.083 1,600,000 11,585,600 1,373,558 825,760 100,000 525,000 525,000 475,000 475,000 220,000 200,000 955,860 490,000 300,000 300,000 180,000 180,000 180,000 360,000 200,000 96,000 96,000 96,000 96,000 96,000 480,000 288,000 8,980,733 7,896,530 10,116,000 7,012,500 10,133.920 28,253,240 52,258.990 6/23/2010, 11:33 AM 2010-11 Capital Improvement Program PROJ. ID PROJECT TITLE LOANS TO OTHER FUNDS PFF LOAN TO PIL-NE FOR PARK SITE ACQUISITION SEWER REPL TO SEW BENEF A FOR CARLSBAD TRUNK SEWER GCC LOAN TO SCCRA FOR CARLSBAD BLVD. REALIGNMENT STUDY TRANSNET-LOC LOAN TO SCCRA FOR CARLSBAD BLVD REALIGNMENT STUDY SUBTOTAL FUTURE LOANS TO OTHER FUNDS LOAN REPAYMENTS AND TRANSFERS GAS TAX TRANSFER TO GENERAL FUND (TRANSPORTATION OPERATING BUDGET) PIL-NE TO PFF FOR PARK SITE ACQUISITION SBA 'A' FOR CARLSBAD TRUNK SEWER SCCRA TO GCC FOR CARLSBAD BLVD. REALIGNMENT STUDY SCCRA TO TRANSNET-LOC FOR CARLSBAD BLVD. REALIGNMENT STUDY SUBTOTAL LOAN REPAYMENTS GRAND TOTAL ALL FUNDED PROJECTS FUND PFF SEWER REPL GCC TRANSNET-LOC GAS TAX PIL-NE SEW BENEF REDVL SCCRDA REDVL SCCRDA TOTAL PRIOR BALANCE BUDGET EXP/ENC FORWARD 4,550,000 4.550,000 450,000 250,000 250,000 3,000,000 8,250,000 4,800,000 9,000,000 4,550.000 450,000 250,000 3,000,000 17,250,000 915.184,211 290.839,559 176.698,448 YEAR1 2010-2011 YEAR 2 2011-2012 YEAR 3 YEAR 4 YEARS YEAR 6-10 BUILDOUT 2012-2013 2013-2014 2014-2015 2016-2020 2021-BO 450.000 3,000,000 3,000,000 600,000 450,000 600,000 600.000 600,000 600,000 3,000,000 3,000,000 4,550,000 450.000 250,000 3,000,000 600,000 61,511,071 600.000 51.667,765 600,000 600.000 600,000 3.000,000 11.250.000 22,114,776 37,004,730 29,786,601 85.768,241 159,792,820 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) CARLSBAD BOULEVARD REALIGNMENT - SEGMENTS 3-5 EL CAMINO REAL AND COLLEGE BOULEVARD INTERSECTION IMPROVEMENTS HOSP GROVE/BUENA VISTA LAGOON REC'L IMPROVEMENTS PINE AVENUE PARK - MADISION PROPERTY, PHASE 2 ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING) TOTAL UNFUNDED PROJECTS 7.100,000 2,243,000 27,000,000 6.905,600 14,109,600 26,100,000 515,000 1,260,000 2,320.000 8,700,000 96,273,200 * 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 6/23/2010,11:33 AM Exhibit 3C [PERSONNEL ALLOCATIONS IPOLICY AND LEADERSHIP GROUP CITY COUNCIL CITY TREASURER CITY MANAGER COMMUNICATIONS CITY ATTORNEY RECORDS MANAGEMENT [COMMUNITY AND ECONOMIC DEVELOPMENT COMMUNITY AND ECONOMIC DEVELOPMENT (FINANCE FINANCE AND RISK MANAGEMENT IFIRE FIRE (HOUSING AND NEIGHBORHOOD SERVICES HOUSING AND NEIGHBORHOOD SERVICES [HUMAN RESOURCES HUMAN RESOURCES & WORKERS COMP | INFORMATION TECHNOLOGY INFORMATION TECHNOLOGY | LIBRARY & ARTS LIBRARY & ARTS | PARKS AND RECREATION PARKS AND RECREATION IPOLICE POLICE (PROPERTY AND ENVIRONMENTAL MANAGEMENT PROPERTY AND ENVIRONMENTAL MANAGEMENT (TRANSPORTATION TRANSPORTATION (UTILITIES MAINTENANCE AND OPERATIONS FULL AND 3/4 TIME LABOR FORCE I I I I I 1 | | | 1 I I 1 FINAL BUDGET 2008-09 1.00 0.75 9.00 2.75 7.00 8.00 56.00 31.00 88.75 11.00 10.00 23.50 53.00 73.50 162.00 43.05 63.20 70.75 714.25 FINAL BUDGET 2009-10 1.00 0.75 8.00 2.75 7.00 8.00 56.00 31.00 88.75 11.00 10.00 23.00 53.00 72.95 162.00 43.25 61.35 72.95 712.75 PRELIMINARY BUDGET 2010-11 1.00 0.75 8.00 2.75 7.00 8.00 54.00 30.50 88.75 11.00 9.00 22.50 52.25 71.95 162.00 41.60 58.40 69.55 699.00 1 2010-11 REQUESTED CHANGES 0.00 0.00 0.00 0.00 0.00 0.00 (2.00) (0.50) 0.00 0.00 (1.00) (0.50) (0.75) (1.00) 0.00 (1.65) (2.95) (3.40) (13.75) SUMMARY OF 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* REQUESTED LABOR FORCE BY CATEGORY 2008-09 2009-10 709.00 707.50 5.25 5.25 4.50 3.50 (3.00) (12.00) 137.83 138.44 853.58 842.69 2010-11 694.50 4.50 0.00 (6.00) 138.94 831.94 Difference (13.00) (0.75) (3.50) N/A 0.50 (16.75) o6