HomeMy WebLinkAbout2011-06-21; City Council; Resolution 2011-143Exhibit 3
1 RESOLUTION NO. 2011-143
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 2011-12 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 2011-12 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 2011-12 Preliminary Operating Budget
16 and FY 2011-12 to Buildout Capital Improvement Program - Preliminary" as amended
in accordance with Exhibits 3-A through 3-C attached hereto and incorporated by
18
17
reference herein, is hereby adopted as the Operating and Capital Improvement Budgets
19
for the City of Carlsbad for the fiscal year along with the Program Options determined
20
by the City Council as set forth in the minutes of the Council meeting of Tuesday, June
21
21,2011.
22
23 3. That the amounts reflected as estimated revenues for FY 2011-12 as
24 shown in Exhibits 3-A and 3-B are hereby adopted as the budgeted revenues for 2011-
25 12.
26 4. That the amounts designated as the 2011-12 Budget request in Exhibits 3-
27 A and 3-B are hereby appropriated to the department or fund for which they are
28
Exhibit 3
1 designated and such appropriation shall not be increased except as provided herein.
2 5. That the City Council authorizes the transfer of funds necessary to
3 subsidize the operation of The Crossings municipal golf course from fiscal year 2011-12
4 forward, without the necessity for repayment, since the accumulated advances with
5 interest from the General Fund to date have no realistic possibility of repayment in the
6 foreseeable future. This authorization does not violate the prohibition on gifts of public
7 funds in Article XVI, Section 6 of the Constitution of the State of California in that it is in
8 the public interest to subsidize funding of the operation of the Golf Course which
9 provides a unique recreational amenity for the citizens of Carlsbad at discounted play
10 rates.
11 6. That total appropriations for each fund may only be increased or
12 decreased by the City Council by passage of a resolution amending the budget except
13 as provided herein.
14 7. That the following controls are hereby placed on the use and transfers of
15 budget funds:
16 A. No expenditure of funds shall be authorized unless sufficient funds
17 have been appropriated by the City Council or City Manager as described below.
18 i. The City Manager may authorize all transfers of funds from
19 account to account within any department.
20 ii. The City Manager may authorize transfers of funds between
21 departments within the same fund in an amount up to $100,000 per transfer.
22 iii. The City Manager may delegate any of the authority given to
23 him/her under this resolution.
24 iv. The City Manager may authorize budget adjustments involving
25 offsetting revenues and expenditures; the City Manager may authorize increases
26 in an appropriation for a specific purpose where the appropriation is offset by
27
28 u r--^ U
Exhibit 3
1 unbudgeted revenue, which is designated for said specific purpose.
2 v. The City Manager may authorize the transfer of appropriations
3 between accounts and/or capital projects up to $1,000,000 for the costs
4 associated with the Encina Wastewater Facility (Encina) as authorized by the
5 Encina Wastewater Authority's staff and/or Board. Any increase to the total
6 appropriations for Encina's operating budget and capital program must be
7 approved by the City Council.
8 vi. The City Manager may authorize budget adjustments to increase
9 the appropriations for Workers Compensation, Risk, Self Insured Benefits and
10 Liability Funds operating budgets in an amount equal to the increases in costs of
11 claims expenses.
12 vii. The City Council must authorize all transfers of funds from the
13 Council's Contingency Account.
14 B. The City Manager may authorize emergency out of state travel for
15 public safety or emergency services purposes.
16 C. The City Council must authorize any increase in the number of
17 authorized permanent personnel positions above the level identified in
18 Exhibit 3-C.
19 D. The City Manager may authorize the hiring of temporary or part time
20 staff as necessary, within the limits imposed by the controls listed above.
21 8. That the legal level of budgetary control is the fund level. Budgets may
22 not legally be exceeded at the fund level without appropriate authorization by the City
23 Council.
24 9. That interest earned on grants may be appropriated during the year for the
25 purpose for which the grant was received.
26 10. That The City Manager or his/her designee is authorized to set recreation
27
28 i ;
Exhibit 3
1 program and class fees that are included in the Community Services Guide. The fee
2 shall not exceed the fully burdened (direct and indirect) costs of providing the program
3 or class but shall be no less than the lowest fee charged for like kind programs or
4 classes in the North County cities of Oceanside, Vista, San Marcos, Escondido, or
5 Encinitas. There are no fees in the Master Fee Schedule that will be changed as a
6 result of this authority.
7 11 .That The City Manager may authorize budget adjustments to increase the
8 appropriations in the Public Facilities Fee Fund in an amount equal to the utility
9 expenses for the City of Carlsbad's Las Palmas facility, while the building remains
10 vacant.
11 12.That all appropriations in the Operating Budget and in Capital
12 Improvement Program remaining unexpended at June 30, 2011, are hereby
13 appropriated to FY 2011-12.
14 13. That all appropriations for outstanding encumbrances as of June 30,
15 2011, are hereby continued into FY 2011-12 for such contracts or obligations.
16
17
18 '"
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PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the
Carlsbad Municipal Water District Board of Directors, Carlsbad City Council, Carlsbad
Housing and Redevelopment Commission held on the 21st day of June 2011, by the
following vote to wit:
AYES: Board Members Hall, Kulchin, Blackburn, Douglas, Packard.
NOES: None.
ABSENT: None.
MATT HALL, President
ATTEST:
.ORRAINE M. WOOD, Secretary
(SEAL)
|§
CITY OF CARLSBAD
OPERATING FUNDS
PROJECTED FUND BALANCES
Exhibit 3A
FUND
GENERAL FUND I
REPAYMENT FROM SOLID WASTE
ADVANCE TO SCCRA
ADVANCE TO GOLF COURSE FUND
ADVANCE TO HABITAT MITIGATION FEE FUND
CHANGE IN RESERVATIONS & DESIGNATIONS
TOTAL GENERAL FUND
SPECIAL REVENUE I
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 - SECTION 8
SENIOR DONATIONS
STREET LIGHTING
STREET TREE MAINTENANCE
TOTAL SPECIAL REVENUE
ENTERPRISE
WATER OPERATIONS
RECYCLED WATER OPERATIONS
WASTEWATER OPERATIONS
SOLID WASTE MANAGEMENT
TOTAL ENTERPRISE
I 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/MOO INCOME HOUSING
TOTAL REDEVELOPMENT
ITOTAL OPERATING FUNDS
UNRESERVED
BALANCE
JULY 1.2010
$51.416,340 '
51.416.340
13.895.198
1.289.237
(16,056)
1,052,132
1.116
190.476
263,690
48,213
967,077
411.534
303,356
763,972
140,686
185,490
182.877
1,296.366
195,313
1,367.733
303.559
22.841.969
(5.193,120)
5,884,064
(1,373,418)
9,404,757
8,722,283
2,419,910
685,100
1,250,809
580,759
12.553,655
4,051,712
21,541,945
1,829,425
5.685,553
147.170
309,911
7,972,059
$112,494.598
PROJECTED
REVENUES
$111.348,000
111,348,000
657,100
123.800
112,925
20,000
2,440,000
47,000
5,000
196,800
452.730
357,500
614,858
54,000
200,000
3,300
58,700
6,652,400
29,900
2,453,773
469.677
14,949.463
30,964,800
5,835,850
10.239,000
3.407,310
50,446.960
1,443.903
1,630,632
915,003
2,848.029
2,431,718
6,593.146
15.862,431
2,767,000
941.250
57,000
0
3.765,250
$196,372.104
PROJECTED
EXPENDITURES
$106,703,055
106,703,055
504,913
129.573
96,869
0
622.567
94,806
6,605
130,806
199,353
294,458
908,074
19,756
340,686
28.445
33.157
6,346,335
31,000
3,132,266
694,860
13,612,529
29,335,177
7.110,264
9,648,270
2,779,458
48,873,167
2.868,608
2.087,080
990.328
2,713.374
1,631,750
6,661,743
16,952,883
3,908,282
80,585
400,990
43,185
4,433,042
$190,574,676
ADVANCES PROJECTED
& FUND OTHER BALANCE
TRANSFERS CHANGES JUNE 30. 2011
$56.081.285 "
680,219 680.219
(285,000) (285,000)
(1,640,000) (1,640.000)
(230,755) (230,755)
(1,393,173) (1.393,173)
53,192,576
14.047,385
1,283,464
0
1,072.132
1,818.549
142.670
262.085
114.207
1.220,454
474.576
12,140
798.216
0
160,345
208.420
1.602.431
194,213
689,240
78.376
24,178,903
(3,563,497)
4.609.650
(782.688)
(680,219) 9,352,392
9.615,857
995.205
228.652
1,175.484
715.414
13,353.623
3,983.115
20.451.493
688,143
6,546.218
285,000 88,180
266,726
7,589,267
($1,870,755) ($1,393,173) $115,028,0961
• 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 SCCRDA
ADVANCE TO GOLF COURSE FUND
ADVANCE TO HABITAT MITIGATION FEE FUND
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
POUCE GRANTS
PUBLIC ART
RECREATION DONATIONS
RENTAL ASSISTANCE - SECTION 8
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/MOO INCOME HOUSING
TOTAL REDEVELOPMENT
TOTAL OPERATING FUNDS
PROJECTED
BALANCE
JULY 1.2011
$53,192,576 •
53,192,576
14,047,385
1.283,464
0
1,072,132
1,818,549
142,670
262,085
114,207
1,220.454
474,576
12,140
798,216
0
160.345
208,420
1,602,431
194,213
689,240
78,378
24,178,903
I
(3.563.497)
4,609,650
(782,688)
9,352,392
9.615.857
I
995,205
228,652
1,175,484
715,414
13,353,623
3,983,115
20,451.493
688,143
6,546,218
88.180
266.726
7.589,267
$115,028,096
ESTIMATED
REVENUES
$113,569.453
113.569.453
654.000
125,710
0
20,000
664,214
14.000
4.000
59,000
432,544
361,000
718,674
65,000
0
0
32.450
6.618.000
28,000
920,990
580,319
11,297.901
31,660,268
6,515.252
11,152.614
3,495.100
52,823,234
1,573.841
1,629,110
956,860
2.917,809
2,162,321
6,774,624
16,014,565
2,726,800
700,000
30,000
6.000
3,462,800
$197,167.953
ADVANCES
ADOPTED & FUND OTHER
BUDGET TRANSFERS CHANGES
$113.126,757
(85,000)
113.126,757
473.580
293,511
0
50.000
664,834
76,960
4,000
59,000
216,847
366,962
730.814
156,258
0
0
44.408
6,622.482
34,990
1,002,765
643',892
11,441.303
31,554,624
7.4O4.022
11.008,124
3,500.924
53,467,694
1.996.557
1,381,044
1,098,265
2,845,518
1.716.500
6,299,288
15,337,172
1,441,954
73,558
190,459 85,000
54.016
1,759.987
$195,132,913 $0
PROJECTED
BALANCE
JUNE 30. 2012
$53.635,272 •
0
(85,000)
0
0
0
53,550,272
14,227,805
1,115,663
0
1.042.132
1,817,929
79,710
262,085
114.207
1.436,151
468,614
0
706,958
0
160,345
196,462
1.597.949
187,223
607.465
14,803
24,035.501
(3,457,853)
3,720,880
(638,198)
9,346,568
8,971,397
572,489
476,718
1,034.079
787,705
13.799,444
4,458,451
21,128.886
1.972.989
7.172,660
12,721
218.710
9,377.080
$117,063.136 |
• 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
2009-10
I
$49,694,555
22,819,426
11,490,486
4,906.139
3,457,779
757,632
93,126,019
308,984
376,145
1,010,807
1,695,936
731,260
549,900
1,281,160
358,831
537,681
2,318,371
1,704,791
1,116,000
6,035,674
1,054,086
3,544,468
2,710,558
6,310,229
$115,758,130
PROJECTED
REVENUE
2010-11
$48,424,000
26,342,000
11,365,000
4,696,000
3,378,000
804,000
95,009,000
317,000
381,000
956,000
1,654,000
700,000
750,000
1,450,000
180,000
610,000
630,000
2,387,000
1,650,000
497,000
5,954,000
977,000
2,532,000
2,786,000
986,000
$111,348,000
ESTIMATED
REVENUE
2011-12
$48,273,000
27,063,000
11,968,000
4,632,000
3,453,000
1,075,000
96,464,000
322,000
383,000
912,163
1,617,163
600,000
773,000
1,373,000
186,000
560,000
574,500
2,439,000
1,648,000
538,640
5,946,140
1,021,600
2,578,100
3,592,600
976,850
$113,569,453
AS%
OF FY 10-11
PROJECTED
-0.3%
27%
5.3%
-1.4%
2.2%
33.7%
1.5%
1.6%
0.5%
-4.6%
-2.2%
-14.3%
3.1%
-5.3%
3.3%
-8.2%
-8.8%
2.2%
-0.1%
8.4%
-0.1%
4.6%
1.8%
29.0%
-0.9%
2.0%
DIFFERENCE
2010-11 TO
2011-12
($151,000)
721,000
603,000
(64,000)
75,000
271,000
1,455,000
5,000
2,000
(43,837)
(36,837)
(100,000)
23,000
(77,000)
6,000
(50,000)
(55,500)
52,000
(2,000)
41,640
(7,860)
44,600
46,100
806,600
(9,150)
$2,221,453
• INTEREST IS CALCULATED ON AN AMORTIZED COST BASIS
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
[SPECIAL REVENUE FUNDS |
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
OTHER
TOTAL MEDIAN MAINTENANCE
POLICE ASSET FORFEITURE
ASSET FORFEITURES
INTEREST
OTHER
TOTAL POLICE ASSET FORFEITURE
POLICE GRANTS
FEDERAL GRANT
INTEREST
ACTUAL
REVENUE
2009-10
$180,676
227,124
1,000
359,024
323,161
1,090,985
81.369
33,441
114,810
107,793
(3,664)
104,129
28,171
28,171
294,813
53,573
54,910
403,296
36.823
4,509
7,500
48,832
6,870
6,870
119,321
2,494
0
121,815
440,336
23,393
0
463,729
337,880
10,556
348,436
355,134
192
0
355,326
144.732
21,150
0
165,882
174,311
2,476
PROJECTED
REVENUE
2010-11
$170,000
7,100
0
260,000
220,000
657,100
100,000
23,800
123,800
112,925
0
112,925
20,000
20,000
406,000
947,000
1,087,000
2,440,000
42.000
3,000
2,000
47,000
5,000
5,000
195,000
1,800
0
196,800
433,230
19,500
0
452,730
350,000
7,500
357,500
361,008
0
253,850
614,858
40,000
14,000
0
54,000
200,000
0
OTHER
ESTIMATED
REVENUE
2011-12
$234,000
0
0
260,000
160,000
654,000
100,000
25,710
125,710
0
0
20,000
20,000
664,214
0
0
664,214
14.000
0
0
14,000
4,000
4,000
59,000
0
59.000
412,576
19,968
0
432,544
355,000
6,000
361,000
359,174
0
359,500
718,674
50,000
15.000
0
65,000
0
0
-
AS%
OF FY 10-11
PROJECTED
37.7%
-100.0%
0.0%
0.0%
-27.3%
-0.5%
0.0%
8.0%
1.5%
-100.0%
0.0%
-100.0%
0.0%
0.0%
63.6%
-100.0%
-100.0%
-72.8%
-66.7%
-100.0%
-1000%
-70.2%
-20.0%
-20.0%
-69.7%
-100.0%
0.0%
-70.0%
-4.8%
2.4%
0.0%
-4.5%
1.4%
-200%
1.0%
-05%
0.0%
41.6%
16.9%
25.0%
7.1%
0.0%
20.4%
-100.0%
0.0%
00%
DIFFERENCE
2010-11 TO
2011-12
$64,000
(7,100)
0
0
(60,000)
(3.1001
0
1,910
1,910
(112,925)
0
(112,925)
0
0
258,214
(947,000)
(1,087.000)
J1, 775,786)
(28,000)
(3,000)
(2,000)
J33.000)
(1.000)
(1,000)
(136,000)
(1,800)
0
(137,800)
(20,654)
468
0
(20,186)
5,000
(1,500)
3,500
(1.834)
0
105,650
103,816
10,000
1,000
0
11,000
(200,000)
0
0
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
TOTAL POLICE GRANTS
ACTUAL
REVENUE
2009-10
$176,787
PROJECTED
REVENUE
2010-11
$200,000
ESTIMATED
REVENUE
2011-12
$0
AS%
OFFY10-11
PROJECTED
-100.0%
DIFFERENCE
2010-11 TO
2011-12
($200,000)
(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
OTHER
TOTAL STREET TREE MAINTENANCE
TOTAL SPECIAL REVENUE FUNDS
H
$4,853
4,853
38,470
4,984
43,454
5,723,985
20,540
15,313
5,759,838
23,725
5,155
0
28,880
938,900
727,554
243,551
48,476
1,958,481
465,838
7,071
0
472,909
$11,697,483
$3,300
3,300
55,000
3,700
58,700
6,618,000
21,500
12,900
6,652,400
12,500
3,600
13,800
29,900
1,539,178
728,572
176,023
10,000
2,453,773
465,177
4,500
0
469,677
$14,949,463
$0
0
32,450
0
32,450
6,600,000
18,000
6,618,000
28,000
0
28,000
0
729,689
177,516
13,785
920,990
465,269
1,550
113,500
580,319
$11,297,901
-100.0%
-100.0%
-41.0%
-100.0%
-44.7%
-0.3%
-16.3%
-100.0%
-0.5%
124.0%
-100.0%
-100.0%
-6.4%
-100.0%
0.2%
0.9%
37.9%
-62.5%
0.0%
-65.6%
00%
23.6%
-24.4%
($3,300)
(3,300)
(22,550)
(3,700)
(26,250)
(18,000)
(3,500)
(12,900)
(34,400)
15,500
(3,600)
(13,800)
(1,900)
(1,539,178)
1,117
1,493
3,785
(1,532,783)
92
(2,950)
113,500
110,642
($3,651,562)
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
I 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
2009-10
I
$17,701,110
6,957,486
2.797,015
125,880
116,672
261,326
(68,194)
0
114,996
352,860
28,359,151
4,101,232
450,332
1,660,097
191,993
223,143
6,626,797
9,491,143
23,906
0
70,616
55,046
76,689
9,717,400
245,955
272,184
51,847
2,663,770
233,942
3,467,698
$48,171,046
PROJECTED
REVENUE
2010-11
$16,700,000
7,370.000
2,871,700
120,000
120.000
280,000
(53,800)
86,000
82,000
500
3,388,400
30,964,800
4,035,000
520,000
1,000,000
130,000
150,850
5,835,850
9,900,000
21,000
180,000
70,000
51,000
17,000
10,239,000
170,000
275,000
55,200
2,645,605
261,505
3,407,310
$50,446,960
ESTIMATED
REVENUE
2011-12
$19,320,497
8,526,471
2,950,000
100,000
100,000
257,000
1,000
80,000
75.000
250,300
31,660,268
4,668,156
601,596
1,000,000
130,000
115,500
6,515,252
10,815,614
20,000
180,000
70,000
51,000
16,000
11,152,614
190,000
275,000
55,000
2,700,000
275,100
3,495,100
$52,823,234
AS%
OF FY 10-11
PROJECTED
15.7%
15.7%
2.7%
-16.7%
-16.7%
-82%
101.9%
-7.0%
-8.5%
-100.0%
-92.6%
23%
15.7%
15.7%
0.0%
0.0%
-234%
11.6%
9.3%
-4.8%
0.0%
0.0%
0.0%
-5.9%
8.9%
11.8%
0.0%
-0.4%
2.1%
-5.2%
2.6%
4.7%
DIFFERENCE
2010-11 TO
2011-12
$2,620,497
1.156,471
78,300
(20,000)
(20,000)
(23,000)
54,800
(6,000)
(7,000)
(500)
(3,138,100)
695,468
633,156
81,596
0
0
(35,350)
679,402
915,614
(1,000)
0
0
0
(1.000)
913,614
20,000
0
(200)
54,395
13,595
87,790
$2,376,274
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
OTHER
TOTAL INFORMATION TECHNOLOGY
TOTAL INTERNAL SERVICE FUNDS
ACTUAL
REVENUE
2009-10
I
$1.327,400
155,307
36,974
1,519,681
1,563,720
21,805
21,787
1,607,312
875,677
0
75,762
951,439
2,689,237
13,136
28,801
2,731,174
2,143,637
324,856
0
2,468,493
0
5,838,489
106,362
297,957
6,242,808
$15,520,907
PROJECTED
REVENUE
2010-11
$1,327.400
110,611
5,892
1,443,903
1,610,632
20,000
1,630,632
837,147
77,856
915,003
2,819,223
28,806
2,848,029
2,191,718
240,000
0
2,431,718
0
6,515,146
78,000
6,593,146
$15,862,431
ESTIMATED
REVENUE
2011-12
$1,457,230
110,611
6,000
1,573,841
1,609,110
0
20,000
1,629,110
879,004
0
77,858
956,860
2,885,809
0
32,000
2,917,809
1,862,321
300,000
0
2,162,321
0
6,683,208
75,000
16,416
6,774,624
$16,014,565
AS%
OF FY 10-11
PROJECTED
9.8%
0.0%
18%
9.0%
-0.1%
00%
0.0%
-0.1%
5.0%
-100.0%
0.0%
4.6%
2.4%
0.0%
11.1%
2.5%
-15.0%
25.0%
0.0%
-11.1%
0.0%
2.6%
-3.9%
0.0%
2.8%
1.0%
DIFFERENCE
2010-11 TO
2011-12
$129,830
0
108
129,938
(1,522)
0
0
(1,522)
41,857
(77,856)
77,856
41,857
66,586
0
3,194
69,780
(329,397)
60,000
0
(269,397)
0
168,062
(3,000)
16,416
181,478
$152,134
0
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
REVENUE SOURCE
| REDEVELOPMENT 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
OTHER
TOTAL VILLAGE LOW AND MOD INCOME HOUSING
SCCRA OPERATIONS / DEBT SERVICE
TAX INCREMENT
INTEREST
OTHER
TOTAL SCCRDA OPERATIONS / DEBT SERVICE
SCCRA LOW AND MOD INCOME HOUSING
TAX INCREMENT
INTEREST
TOTAL SCCRDA LOW AND MOD INCOME HOUSING
TOTAL REDEVELOPMENT FUNDS
ACTUAL
REVENUE
2009-10
$9,053
2,823,918
18,277
5,396,000
8,247,248
705,980
146,987
852,967
21,057
1,427,000
1,448,057
8,027
8,027
$10,556,299
PROJECTED
REVENUE
2010-11
$14,000
2,700,000
43.000
10,000
2,767,000
681,250
260,000
941.250
57,000
0
57,000
-
0
$3,765,250
ESTIMATED
REVENUE
2011-12
$14,000
2.665.600
47,200
0
2,726,800
600,000
100,000
700,000
30,000
0
30,000
6,000
6,000
$3,462,800
AS%
OF FY 10-11
PROJECTED
0.0%
-1.3%
9.8%
-1000%
-1.5%
-11.9%
-61.5%
0.0%
-25.6%
0.0%
-47.4%
0.0%
-47.4%
0.0%
0.0%
0.0%
-8.0%
DIFFERENCE
2010-11 TO
2011-12
$0
(34,400)
4,200
(10,000)
(40,200)
(81,250)
(160,000)
0
(241,250)
0
(27.000)
0
(27,000)
0
6,000
6,000
($302,450)
| TOTAL OPERATING $201,703.865 $196,372,104 $197,167,953 $795,849 |
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
DEPARTMENT
| GENERAL FUND |
POLICY AND LEADERSHIP GROUP
CITY COUNCIL
CITY ATTORNEY
CITY CLERK
CITY MANAGER
CITY TREASURER
COMMUNICATIONS
RECORDS MANAGEMENT
TOTAL POLICY AND LEADERSHIP GROUP
INTERNAL SERVICES
FINANCE
HUMAN RESOURCES
PROPERTY AND ENVIROMENTAL MANAGEMENT
TOTAL ADMINISTRATIVE SERVICES
COMMUNITY DEVELOPMENT
COMMUNITY AND ECONOMIC DEVELOPMENT
HOUSING AND NEIGHBORHOOD SERVICES
TOTAL COMMUNITY DEVELOPMENT
COMMUNITY SERVICES
LIBRARY AND ARTS
PARKS AND RECREATION
TOTAL COMMUNITY SERVICES
PUBLIC SAFETY
FIRE
POLICE
TOTAL PUBLIC SAFETY
PUBLIC WORKS
TRANSPORTATION
STORM DRAIN ENGINEERING
TOTAL PUBLIC WORKS
2008-09
ACTUAL*
$356,218
1,288,406
121,958
1 ,457,435
185,441
674,407
844,886
4,928,751
3,412,776
2,233.597
5,068,488
10,714,861
8,257,699
356,691
8,614,390
10,554,221
12,546,071
23,100,292
17,358,775
27,435,164
44,793,939
9,415,301
283,705
$9,699,006
2009-10
ACTUALS *
$333,004
1 ,294,939
105,532
1,598,471
189,895
765.065
777,147
5,064,053
3,290,451
2,255,036
4,637,869
10,183,356
8,141,073
390,147
8,531,220
10,101,250
12,223,237
22,324,487
17,111,580
27,391,882
44,503,462
9,023,875
279,592
$9,303,467
2010-11
ESTIMATED
EXPENDITURES
$351,108
1,320,616
176,214
1,341,748
180,644
784,573
761,686
4,916,589
3,341,585
2,360,346
5,206,628
10,908,559
7,005,702
361,118
7,366,820
9,946,230
11,530,978
21,477,208
16,067,247
27,731,971
43,799,218
9,286,686
255,125
$9,541,811
2010-11
BUDGET
$373,363
1,312,291
274,841
1,570,323
196,488
691.628
863,024
5,281,958
3,298,808
2,374,297
4,802,415
10,475,520
7,433,968
430,182
7,864,150
10,418,723
12,428,761
22,847,484
16,228,573
28,162,339
44,390,912
9,116,428
262,108
$9,378,536
2011-12
BUDGET
$372,344
1,336,460
139,803
1,491,771
197,922
679,661
698,511
4,916,472
3,383,709
2,294,266
4,738,531
10,416,506
7,161,357
550,245
7.711,602
10,412,121
13,020,229
23,432,350
16,931,875
28,204,533
45,136,408
8,883,352
281,317
$9,164,669
%INCR (DEC)
10-11 BUD
TO
11-12 BUD
-0.3%
1.8%
-49.1%
-5.0%
0.7%
-1.7%
-19.1%
-6.9%
2.6%
-3.4%
-1.3%
-0.6%
-3.7%
27.9%
-1.9%
-0.1%
4.8%
2.6%
4.3%
0.1%
1.7%
-2.6%
7.3%
-2.3%
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.
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
MANAGEMENT INCENTIVE PAY
PROFESSIONAL SERVICES
OTHER MISCSELLANEOUS EXPENDITURES
PERSONNEL RELATED
PROPERTY TAX & OTHER ADMINISTRATION
TOTAL EXPEDNITURES
TRANSFERS
HOSP GROVE DEBT SERVICE
INFRASTRUCTURE REPLACEMENT FUND
MISCELLANEOUS TRANSFERS OUT
TRANSFERS TO GOLF COURSE: DEBT SERVICE
TRANSFERS TO GOLF COURSE: OPERATING SUBSIDY
TRANSFER TO LLD#1 (MEDIANS & TREES)
TRANSFER TO STORM WATER PROGRAM
TOTAL TRANSFERS
TOTAL MISCELLANEOUS NON-DEPARTMENTAL
SUBTOTAL GENERAL FUND
CONTINGENCIES
TOTAL GENERAL FUND
2008-09
ACTUAL*
$1,323
649,645
16,412
58,115
102,612
0
258,362
0
0
624,525
1,710,994
90,000
7,800,000
319,445
0
0
0
154,273
8,363,718
$10,074,712
111,925,951
0
$111,925,951
2009-10
ACTUALS *
$1,483
22,000
0
55,081
42,231
0
428,523
0
0
660,807
1,210,125
0
6,538,000
3,137,463
0
0
0
177,000
9,852,463
$11,062,588
110,972,633
0
$110,972,633
2010-11
ESTIMATED
EXPENDITURES
$0
30,000
0
65,000
60,000
0
132,000
0
0
770,000
1 ,057,000
0
7,175,000
0
0
0
253,850
207,000
7,635,850
$8,692,850
106,703,055
0
$106,703,055
2010-11
BUDGET
$0
0
0
73,800
160,000
0
152,500
6,066
0
670,000
1,062,366
0
7,175,000
0
0
0
253,850
207,000
7,635,850
$8,698,216
108,936,776
500,000
$109,436,776
2011-12
BUDGET
$0
0
0
55,000
80,000
0
88,000
0
1,400,000
750,000
2,373,000
0
7,382,000
0
1,110,750
295,000
473,000
215,000
9,475,750
$1 1 ,848,750
112,626,757
500,000
$113,126,757
%INCR (DEC)
10-11 BUD
TO
11-1 2 BUD
-
-
-
-25.5%
-50.0%
-
-42.3%
-100.0%
-
11.9%
123.4%
-
2.9%
-
-
-
86.3%
3.9%
24.1%
36.2%
3.4%
0.0%
3.4%
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
2008-09
ACTUAL'
$432,903
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
111,807
67,858
$2,307,832
2009-10
ACTUALS *
$489,965
81,213
128,970
40,000
435,628
83,512
13,025
188,672
214,478
197,584
599,179
99,419
38,304
6,542
26,933
6,251,051
23,095
1,287,285
552,035
$10,756,890
$29,330,780
6,419,797
10,003,749
2,660,596
$48,414,922
$1,596,033
1,118,322
959,026
2,576,267
1,042,260
5,971,417
$13,263,325
$7,776,839
82,053
1,212,905
52,426
$9,124,223
2010-11
ESTIMATED
EXPENDITURES
$504,913
129,573
96,869
0
622,567
94,806
6,605
130,806
199,353
294,458
906,074
19,756
340,686
28,445
33,157
6,346,335
31,000
3,132.266
694,860
$13,612,529
$29,335,177
7,110,264
9,648,270
2,779,456
$48,873,167
$2,868,608
2,087,080
990,328
2,713,374
1,631,750
6,661,743
$16,952,883
$3,908,282
80,585
400,990
43,185
$4,433,042
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
196.379
65,410
$2,137,524
2011-12
BUDGET
$473,580
293,51 1
-
50,000
664,834
76,960
4.000
59,000
216,847
366,962
730,814
158,258
0
-
44.408
6,622,482
34,990
1,002,765
643,892
$11,441,303
$31.554,624
7,404,022
11,008,124
3,500,924
$53,467,694
$1,996,557
1.381,044
1.098.265
2,845,518
1,716,500
6,299,288
$15,337,172
$1.441,954
73.558
190,459
54,016
$1,759.987
%INCR (DEC)
10-11 BUD
TO
11-12 BUD
-5.4%
183.5%
-100.0%
25.0%
0.1%
-15.8%
-37.5%
-
10.0%
-0.5%
7.4%
845.3%
-
-100.0%
5.4%
0.7%
-14.6%
16.4%
5.2%
4.6%
2.0%
7.5%
4.8%
9.0%
3.7%
8.4%
-5.9%
15.4%
1.8%
31.0%
6.8%
7.5%
-18.7%
-27.4%
-3.0%
-17.4%
-17.7%
[TOTAL OPERATING FUNDS $185,621,547 $192,531,993 $190.574.676 $188,338,546 $195,132,913 3.6%
General Fund
NonGF
$113,126,757
82,006,156
$195,132,913
NOTE: Estimated expenditures may exceed Adopted Budget since they include prior year budget appropriations.
* ACTUALS,!
Exhibit 3B
CITY OF CARLSBAD
CAPITAL FUNDS
PROJECTED FUND BALANCES FOR FY 2010-11
FUND
BTD#2 - POINSETTIA LANE/AVIARA PI
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
UNRESERVED
BALANCE
8,031,543
99,183
59,265,329
12,290,830
67,682,249
17,732
(81,421)
1,989
53,930,506
9,432,913
2,361,902
858,766
65,093
880,756
586,211
6,516,331
44,191,308
5,410,958
1,844,938
158,027
440,257
17,518,336
31,720,596
3,020,909
0
16,530,886
83,132
1,359,115
4,410,575
354,729
21,935,512
562,404
42,845,062
414,326,656
PROJECTED
PROJECTED PROJECTED DEBT SERVICE
REVENUES EXPENDITURES LOANS & OTHER
213,856
63,157
2,450,343
2,932,592
1,248,683
0
1,257,783
0
8,328,387
50,321
148,097
16,309
44,694
25,318
55,732
327,241
2,651,034
94,555
0
3,000,000
8,634
31,982,751
3,226,731
262,958
150,660
1,647,013
59,389
25,812
9,236,869
6,737
1,490,981
0
6,102,984
77,109,624
0
0
2,564,671
1,311,891
16,474,903
17,732
321,381
1,989
927,516
145,234
0
0
1,848
0
0
1,500,792
1,812,407
624,700
93,100
42,920
0
827,878
4,525,807
2,168,063
560
256,104
27,695
0
160,187
0
353,660
483,317
1,126,987
35,771,342
0
0
110,000
600,000
0
0
0
0
0
0
0
0
0
0
0
0
17,000
74,100
0
0
0
931,419
0
0
0
0
0
0
3,000,000
0
0
0
0
4,732,519
JUNE 30, 2011
PROJECTED
BALANCE
8,245,399
162,340
59,041,001
13,311,531
52,456,029
0
854,981
0
61,331,377
9,338,000
2,509,999
875,075
107,939
906,074
641,943
5,342,780
45,012,935
4,806,713
1,751,838
3,115,107
448,891
47,741,790
30,421,520
1,115,804
150,100
17,921,795
114,826
1,384,927
10,487,257
361,466
23,072,833
79,087
47,821,059
450,932,419
CITY OF CARLSBAD
CAPITAL FUNDS
PROJECTED FUND BALANCES FOR FY 2011-12
FUND
BTD#2 - POINSETTIA LANE/AVIARA PI
BTD#3 - CANNON ROAD WEST
CFDtfl -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, 2011
PROJECTED
BALANCE
8,245,399
162,340
59,041,001
13,311,531
52,456,029
0
854,981
0
61,331,377
9,338,000
2,509,999
875,075
107,939
906,074
641,943
5,342,780
45,012,935
4,806,713
1,751,838
3,115,107
448,891
47,741,790
30,421,520
1,115,804
150,100
17,921,795
114,826
1,384,927
10,487,257
361,466
23,072,833
79,087
47,821,059
450,932,419
ESTIMATED
REVENUES
619,868
0
1,110,581
2,885,766
263,160
0
1,498,548
0
7,443,000
0
69,979
0
128,490
32,075
181,757
271,306
1,140,633
0
0
0
0
4,618,655
3,648,887
0
0
1,090,460
0
0
2,778,000
0
637,576
0
4,993,000
33,411,742
06/30/2011
CONTINUING
APPROPR.
349,302
0
1,632,589
6,271,534
25,274,333
0
854,981
0
4,342,027
5,050,096
0
150,000
68,152
0
219,100
2,039,135
25,981,583
1,732,543
1,751,838
3,115,107
0
41,692,926
15,013,059
1,115,804
150,100
9,545,936
89,213
954,242
7,313,761
345,000
3,801,040
79,087
20,129,476
179,061,964
07/01/2011
NEW
APPROPR.
0
0
11,922,000
3,949,228
6,853,605
0
1,498,548
0
1,879,360
0
0
0
0
0
0
100,000
6,650,000
0
0
0
0
7,254,469
8,679,944
0
0
2,562,000
0
0
2,795,299
0
500,000
0
10,062,500
64,706,953
2011-12
TOTAL CIP
APPROPR.
349,302
0
13,554,589
10,220,762
32,127,938
0
2,353,529
0
6,221,387
5,050,096
0
150,000
68,152
0
219,100
2,139,135
32,631,583
1,732,543
1,751,838
3,115,107
0
48,947,395
23,693,003
1,115,804
150,100
12,107,936
89,213
954,242
10,109,060
345,000
4,301,040
79,087
30,191,976
243,768,917
JUNE 30, 2012
PROJECTED
BALANCE
8,515,965
162,340
46,596,993
5,976,535
20,591,251
0
0
0
62,552,990
4,287,904
2,579,978
725,075
168,277
938,149
604,600
3,474,951
13,521,985
3,074,170
0
0
448,891
3,413,050
10,377,404
0
0
6,904,320
25,613
430,685
3,156,197
16,466
19,409,370
0
22,622,083
240,575,244
CITY OF CARLSBAD
CAPITAL FUNDS
REVENUES ACTUAL AND ESTIMATED
FUND
BTD#2 - POINSETTIA LANE/AVIARA PI
BTD#3 - CANNON ROAD WEST
CFDtfl -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
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
ACTUAL
REVENUE
212,563
2,896
3,568,167
2,345,206
4,883,088
0
152,163
52
8,052,920
290,510
80,133
22,649
52,799
22,806
15,460
234,507
3,240,518
73,992
5,231,171
1,417,988
250,548
3,320,441
3,924,544
2,509,480
0
1,915,237
59,625
35,815
761,665
9,356
1,603,100
0
6,572,739
50,862,138
2010-11
PROJECTED
REVENUE
213,856
63,157
2,450,343
2,932,592
1,248,683
0
1,257,783
0
8,328,387
50,321
148,097
16,309
44,694
25,318
55,732
327,241
2,651,034
94,555
0
3,000,000
8,634
31,982,751
3,226,731
262,958
150,660
1,647,013
59,389
25,812
9,236,869
6,737
1,490,981
0
6,102,984
77,109,624
2011-12
ESTIMATED
REVENUE
619,868
0
1,110,581
2,885,766
263,160
0
1,498,548
0
7,443,000
0
69,979
0
128,490
32,075
181,757
271,306
1,140,633
0
0
0
0
4,618,655
3,648,887
0
0
1,090,460
0
0
2,778,000
0
637,576
0
4,993,000
33,411,742
Note: Revenues include loans, advances and transfers.
CITY OF CARLSBAD
CAPITAL FUNDS
BUDGET EXPENDITURE SCHEDULE
FUND
BTD#2 - POINSETTIA LANE/AV1ARA PI
BTD#3 - CANNON ROAD WEST
CFDttl -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
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
ACTUAL
EXPENSE
232,723
88,041
258,165
822,406
2,128,078
0
193,893
0
548,070
1,280,539
0
0
0
22,920
0
2,038,498
1,470,841
11,834,866
55,062
91,973
0
2,860,160
4,290,481
2,117,700
0
2,644,562
18,199
2,884
951,464
0
1,004,929
95,026
1,544,773
36,596,253
2010-11
ESTIMATED
EXPENSE
0
0
2,674,671
1,911,891
16,474,903
17,732
321,381
1,989
927,516
145,234
0
0
1,848
0
0
1,500,792
1,829,407
698,800
93,100
42,920
0
1,759,297
4,525,807
2,168,063
560
256,104
27,695
0
3,160,187
0
353,660
483,317
1,126,987
40,503,861
2010-11
CONTINUING
APPROPR.
349,302
0
1,632,589
6,271,534
25,274,333
0
854,981
0
4,342,027
5,050,096
0
150,000
68,152
0
219,100
2,039,135
25,981,583
1,732,543
1,751,838
3,115,107
0
41,692,926
15,013,059
1,115,804
150,100
9,545,936
89,213
954,242
7,313,761
345,000
3,801,040
79,087
20,129,476
179,061,964
2011-12
NEW
APPROPR.
0
0
11,922,000
3,949,228
6,853,605
0
1,498,548
0
1,879,360
0
0
0
0
0
0
100,000
6,650,000
0
0
0
0
7,254,469
8,679,944
0
0
2,562,000
0
0
2,795,299
0
500,000
0
10,062,500
64,706,953
2011-12
TOTAL CIP
APPROPR.
349,302
0
13,554,589
10,220,762
32,127,938
0
2,353,529
0
6,221,387
5,050,096
0
150,000
68,152
0
219,100
2,139,135
32,631,583
1,732,543
1,751,838
3,115,107
0
48,947,395
23,693,003
1,115,804
150,100
12,107,936
89,213
954,242
10,109,060
345,000
4,301,040
79,087
30,191,976
243,768,917
Note: Expenditures include loans, advances and transfers.
2011-12 Capital Improvement Program
PROJECT TITLE
CIVIC PROJECTS
ADMINISTRATIVE FACILITIES
CIVIC CENTER
CIVIC CENTER
CITY ADMIN TRAINING FACILITY (PRE-DESIGN) - PROP C
MAINTENANCE AND OPERATIONS CENTER
MAINTENANCE AND OPERATIONS CENTER
MAINTENANCE AND OPERATIONS CENTER
POLICE & FIRE FACILITIES
FIRE STATION B3 RELOCATION
FIRE STATION #3 RELOCATION (GENERAL FUND)
FIRE STATION #6 (PERMANENT)
JOINT FIRST RESPONDERS TRAINING FACILITY
JOINT FIRST RESPONDERS TRAINING FACILITY - PROP C
JOINT FIRST RESPONDERS TRAINING FACILITY - PHASE II
POLICE CAD IMPLEMENTATION
LIBRARY FACILITIES
LIBRARY EXPANSION (COLE)
LIBRARY EXPANSION (COLE)
MISCELLANEOUS CITYWIDE PROJECTS
PROPOSITION C PROJECTS
CFD81 ADMINISTRATION
COASTAL RAIL TRAIL
COASTAL RAIL TRAIL (CMAQ)
HUMAN CAPITAL MANAGEMENT SYSTEM
IRF MASTER PLAN
NEW VILLAGE ARTS TENANT IMPROVEMENTS
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
SUBTOTAL FACILITIES MAINTENANCE
FUND
CFDK1
IRF
GCC
CFD#1
WATER REPL
SEWER REPL
PFF
GCC
PFF
GCC
GCC
GCC
GCC
CFD#1
PFF
GCC
CFD#1
TRANSNET/BIKE
FEDGRNT
GCC
IRF
REDVL VILLAGE
GCC
REDVL VILLAGE
REDVL VILLAGE
IRF
GCC
STATE TRANS
TOTAL
BUDGET
26,812,000
925,000
100,000
17,080,266
7,170,000
3,861,000
8,630,000
540,000
5,324,100
2,850,000
13,650,000
8,000,000
2,312,228
4,894,000
10,044,000
5,034,205
690,698
336,875
4,789,686
2,840,000
100,000
1,500,000
404,992
400,000
850,000
129,139,050
517,500
130,000
944,000
1,591,500
PRIOR
EXP/ENC
-
-
3,810,677
-
-
1,012,139
540,000
5,224,955
2,850,000
12,990,652
-
2,290,980
-
65,698
247,662
4,259,647
2,578,204
-
399,907
148,162
-
36,418,683
207,346
-
836,990
1,044,336
BALANCE
FORWARD
-
1,557,589
65,000
35,000
967,861
99,145
659,348
-
21,248
-
75,000
89,213
530,039
261,796
100,000
1,500,000
5,085
251,838
-
6,218,162
310,154
130,000
107,010
547,164
YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 YEAR 11 -15
2011-12 2012-13 2013-14 2014-15 2015-16 2017-2021 2022-2026
100,000 26,712,000
925,000
100,000
11,712,000
7,105,000
3,826,000
6,650,000
8,000,000
4,894,000
10,044,000
5,034,205
110,000 110,000 110,000 110,000 110,000
850,000
34,537,205 110,000 210,000 110,000 110,000 36,487,000 14,938,000
-
PARK PROJECTS
NORTHWEST QUADRANT PARKS
BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING)
PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II
PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II
PINE AVENUE PARK-RESTROOM/STORAGE BUILDING
PINE PARK MADISION PROPERTIES, PHASE 1
VETERAN'S MEMORIAL PARK
NORTHEAST QUADRANT PARKS
LAKE CALAVERA TRAILS MASTER PLAN/CONSTRUCTION
ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING)
ZONES
PIL-NW
PFF
PFF
PIL-NW
CFD#1
GCC
PIL-NE
3,493,000
1,800,000
8,137,000
376,656
70,000
23,240,000
598,750
1,800,000
-
376,656
1,848 68,152
-
117,701 481,049
150,000
.
3,493,000
1,800,000
8,137,000
23,240,000
1,650,000
2011-12 Capital Improvement Program
PROJECT TITLE
SOUTHWEST QUADRANT PARKS
AVIARA COMMUNITY PARK COMMUNITY BUILDING
AVIARA COMMUNITY PARK COMMUNITY BUILDING
AVIARA REIMBURSEMENT AGREEMENT
POINSETTIA COMMUNITY PARK -PHASE III
POINSETTIA COMMUNITY PARK -PHASE III
SOUTHEAST QUADRANT PARKS
ALGA NORTE PARK - PARK (30 ACRES) - PHASE 1
ALGA NORTE PARK - POOL - PHASE 1
ALGA NORTE PARK - POOL - PHASE 2
ALGA NORTE PARK - POOL - PHASE 1 (PROP C FUNDS)
ALGA NORTE PARK- POOL- PHASE 2 (PROP C FUNDS)
LEO CARRILLO PARK - PHASE III
LEO CARRILLO PARK - PHASE III
LEO CARRILLO BARN
SUBTOTAL PARK PROJECTS
FUND
PFF
PIL-SW
PIL-SW
PFF
PIL-SW
PFF
PFF
GCC
GCC
GCC
PFF
PIL-SE
PFF
TOTAL
BUDGET
8,155,000
2,800,000
238,000
14,962,000
558,811
22,107,510
6,099,695
6,000,000
11,792,795
4,423,000
1,057,000
886,100
500,000
119,095,317
PRIOR
EXP/ENC
-
18,900
1,083,661
558,811
4,100,636
500,213
-
389,765
-
-
489,144
7,260,679
BALANCE
FORWARD
-
219,100
5,539
-
18,006,874
5,599,482
6,000,000
11,403,030
4,423,000
-
-
10,856
46,743,738
YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 YEAR 11 -15
2011-12 2012-13 2013-14 2014-15 2015-16 2017-2021 2022-2026
8,155,000
2,800,000
1,076,400 12,796,400
310,500 746,500
886,100
1,076,400 13,106,900 1,632,600 - 49,275,000
DRAINAGE PROJECTS
AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN)
AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN)
CARLSBAD BOULEVARD ENCINAS CREEK BRIDGE REPLACEMENT (PLDA "C" - Cl)
CMP REPLACEMENT PROGRAM
COLLEGE BLVD. BRIDGE (REIMB./PLDA "B" - FACILITY BL-L )
COLLEGE BLVD/CANNON RD (PLDA "B" - FACILITY BJ B + BNB + 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 (College Blvd. Drainage)
MASTER DRAINAGE PLAN PROJECT BM (College Blvd./Canatarini Box Culvert)
MASTER DRAINAGE PLAN PROJECT BQ (Sunnycreek Road)
MASTER DRAINAGE PLAN PROJECT BR (Canatarini/College 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 Center)
MASTER DRAINAGE PLAN PROJECT DZ (Poinsettia Lane)
MISCELLANEOUS ROAD SUBDRAINS
NW QUADRANT STORM DRAIN IMPROVEMENT PROGRAM
NW QUADRANT STORM DRAIN IMPROVEMENT PROGRAM
PLD
GCC
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
4,498,110
975,340
2,539,565
2,827,360
1,816,101
2,761,644
225,000
1,161,000
1,769,500
492,150
65,000
289,534
416,500
972,913
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
2,860,434
-
2,507,641
1,482,231
-
2,261,125
-
304,550
6,496
-
-
-
60,984
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
267,719
460,214
711,739
1,437,676
975,340
31,924
833,769
-
500,519
856,450
485,654
-
69,016
-
-
-
-
-
-
-
-
-
-
-
-
-
292,281
36
727,787
100,000 100,000
511,360
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
694,228 949,500 153,840 155,500
2011-12 Capital Improvement Program
PROJECT TITLE
PARK DRIVE AND TAMARACK AVENUE STORM DRAIN (PLDA "B" - FACILITY BCA)
PARK DRIVE DRAINAGE AND STREET IMPROVEMENTS
RAISE BURIED STORM DRAIN CLEANOUTS
RANCHO CARRILLO WATER SEEPAGE
ROMERIA DRAINAGE IMPROVEMENTS
ROMERIA DRAINAGE IMPROVEMENTS
TAMARACK AND ECR STORM DRAIN AND SILT. BASIN (REIMB./PLDA "B" - BFB-L + Bl
SUBTOTAL DRAINAGE PROJECTS
SEWER PROJECTS
ENCINA WATER POLLUTION CONTROL FACILITY
CAPITAL ACQ/REPL/REHAB AND STAFFING
PHASE IV EXPANSION - DEBT SERVICE
PHASE V EXPANSION
SEWER COLLECTION SYSTEM
AVENIDA ENCINAS GRAVITY SEWER
BATIQUITOS LIFT STATION PUMP REPLACEMENT
BEECH STREET SEWER REPLACEMENT
BUENA INTERCEPTOR SEWER IMPROVEMENTS
BUENA INTERCEPTOR REHAB AT ENCINA PLANT (REIMS)
BUENA VISTA LIFT STATION IMPROVEMENTS
CALAVERA HILLS TREATMENT PLANT - DEMOLITION
GATESHEAD SEWER LIFT STATION REMOVAL
VANCOUVER SEWER EXTENSION
SIMSBURY SEWER EXTENSION
SIMSBURY SEWER EXTENSION
CONDITION ASSESSMENT OF SEWER PIPELINES
FLOW METER REPLACEMENT
HOME PLANT - PIPELINE REPLACEMENT
HOME PLANT LIFT STATION REPLACEMENT AND FORCE MAIN
LA COSTA MEADOWS SEWER EXTENSION
LA GOLONDRIA SEWER EXTENSION
ODOR AND CORROSION PREVENTION ASSESSMENT
NCTD RIGHT OF WAY UTILITY RELOCATION (SEWER)
NORTH AGUA HEDIONDA INTERCEPTOR - WEST SEGMENT
NORTH AGUA HEDIONDA TRUNK SEWER REACH NAHT1A (SBA "B")
NORTH AGUA HEDIONDA SEWER INVERTED SIHPON REHAB
NORTH BATIQUITOS INTERCEPTOR REHABILITATION
OCCIDENTAL SEWER IMPROVEMENTS
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
SUMMERWIND PLACE SEWER RELOCATION
TAMARACK SEWER RELOCATION AT RAILROAD RIGHT-OF-WAY
TERRAMAR LIFT STATION REPLACEMENT
VISTA/CARLSBAD INTERCEPTOR AGUA HEDIONDA LIFT STATION AND FM (VC12-VC
VISTA/CARLSBAD INTERCEPTOR BUENA VISTA LIFT STATION FORCE MAIN (VC-4)
VISTA/CARLSBAD INTERCEPTOR REACH VC11B
VISTA/CARLSBAD INTERCEPTOR REACH VC14 TO VC15
VISTA/CARLSBAD INTERCEPTOR REPLACEMENT REACH 3
FUND
PLD
GCC
GCC
GCC
GCC
GAS TAX
PLD
SEWER REPL
SEWER CONN
SEWER CONN
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWER REPL
SEWBENEF
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 REPL
SEWER REPL
SEWER REPL
SEWER CONN
SEWER CONN
SEWER REPL
SEWER REPL
SEWER REPL
SEWER CONN
SEWER CONN
SEWER CONN
SEWER CONN
SEWER CONN
TOTAL
BUDGET
1,068,613
155,500
50,000
53,000
299,000
338,000
904,329
35,633,138
51,227,374
3,717,548
10,910,356
475,000
250,000
1,947,000
2,840,000
100,000
1,175,000
723,500
74,000
971,000
567,000
161,000
313,000
100,000
919,000
4,139,000
1,146,877
1,108,543
100,000
212,166
5,854,000
2,862,000
218,000
1,199,000
533,000
1,360,380
5,974,600
460,000
100,000
462,000
580,000
252,000
598,000
23,700,000
6,225,000
6,430,000
16,100,000
2,688,200
PRIOR
EXP/ENC
.
58,694
5
116,712
28,813
11,127,357
2,623,739
-
10,559,032
1,722,826
191,651
39,680
-
4,500
530,192
487,566
663,690
539,953
69
5,324,201
1,958,285
511,235
929,307
1,003,821
254,513
90,315
76,750
35,315
1,932,068
672,258
744,148
1,529,859
BALANCE
FORWARD
-
96,806
52,995
167,288
309,187
-
6,836,728
940,397
-
351,324
75,000
224,174
1,670,349
683,820
705,000
308,500
388,808
3,651,434
483,187
568,590
212,097
529,799
903,715
687,765
231,073
2,056,179
145,487
9,685
55,250
512,685
15,467,932
5,552,742
5,685,852
14,570,141
YEAR1
2011-12
YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 YEAR 11 -15
2012-13 2013-14 2014-15 2015-16 2017-2021 2022-2026
222,000 846,613
50,000
5,000 5,000 5,000
904,329
1,425,588
1,914,944
932,469
1,279,500 380,840 1,002,113 - 3,585,601 9,995,411
2,907,177 2,894,590 2,975,665 2,998,316 16,150,961 17,821,585
931,469 928,419 925,191
400,000
250,000
978,000
100,000
100,000 225,000 850,000
74,000
266,000
567,000
161,000
100,000
100,000
218,000
533,000
100,000
330,000
100,000
330,000 330,000 330,000 330,000 1,264,600
60,000
22,000 22,000 22,000 22,000 22,000 110,000 110,000
580,000
252,000
50,000
6,300,000
596,200 2,092,000
2011-12 Capital Improvement Program
PROJECT TITLE
SUBTOTAL SEWER PROJECTS
TOTAL
FUND BUDGET
158,773,544
PRIOR
EXP/ENC
32,424,973
BALANCE
FORWARD
56,670,985
YEAR1
2011-12
12,108,413
YEAR 2
2012-13
6,438,846
YEARS
2013-14
7,220,009
YEAR 4
2014-15
5,102,856
YEARS
2015-16
3,350,316
YEAR 6-10
2017-2021
17,525,561
YEAR 11 -15
2022 - 2026
17,931,585
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 AVENIDA ENCINAS
CATHODIC PROTECTION PROGRAM
COLLEGE BOULEVARD - CANNON TO BADGER LANE
COLLEGE BOULEVARD (ECR TO CANNON ROAD) - Reimb
CRESTVIEW DRIVE TRANSMISSION MAIN
D RESERVOIR - PHASE 1
D RESERVOIR - PHASE II
DESALINATION GROUNDWATER/SEAWATER STUDY
ELCAMINO REAL TRANSMISSION MAIN FROM FARADYTO COUGAR DRIVE
EL FUERTE - NORTH OF LOKER - (Reimb)
EL FUERTE AND CORINTIA STREET
ELLERY WATER PUMP PROJECT
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 FLOATING COVER REPLACEMENT
MAERKLE PUMP STATION IMPROVEMENTS
MAERKLE PUMP STATION IMPROVEMENTS
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
POINSETTIA LANE - ELCAMINO 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
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 REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER CONN
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
815,000
430,000
500,000
950,000
1,246,700
1,066,000
1,060,000
210,000
6,849,000
2,283,000
795,000
1,517,380
250,000
500,000
298,495
55,000
2,000,000
560,000
6,396,908
2,135,200
10,000,000
1,000,200
999,322
14,815,000
6,330,000
820,000
1,475,000
1,433,000
250,000
80,000
114,600
1,092,000
135,000
523,000
410,000
247,000
247,000
1,102,000
4,185,000
645,000
6,455,000
700,000
439,774
83,415,579
-
-
-
222
-
-
-
-
-
-
1,436,952
64,098
-
23,495
-
443,670
-
5,840,145
1,083,547
44,322
8,882
163,645
262,815
34,154
-
32,283
-
-
-
75,288
34,838
11,257
130,085
522,217
34,774
10,245,689
100,000
-
1,246,478
1,066,000
1,060,000
-
-
80,428
185,902
-
-
1,556,330
560,000
556,763
1,051,653
-
-
-
4,866,118
-
1,311,355
1,170,185
215,846
80,000
-
967,717
.
-
-
1,026,712
1,850,162
633,743
1,124,915
177,783
-
20,888,090
815,000
330,000
500,000
280,000 670,000
210,000
6,849,000
2,283,000
795,000
100,000 400,000
55,000 220,000
55,000
130,000 540,000
85,000
85,000
9,330,000
915,200
870,000
14,815,000
1,455,000
820,000
114,600
92,000
135,000
523,000
410,000
247,000
247,000
1,150,000 1,150,000
5,200,000
405,000
1,952,000 9,185,000 17,719,600 11,115,200 - 11,489,000 820,000
RECYCLED WATER PROJECTS
ENCINA WATER POLLUTION CONTROL FACILITY
CARLSBAD WATER RECYCLING FACILITY (ENCINA)
RECYCLED WATER SYSTEM
12" RECYCLED WATER TRANSMISSION MAIN-CWRF TO CHINQ
WATER REPL 1,103,666 - 42,000
WATER REPL 1,900,000 76,030 898,970
79,500 321,490 209,169 287,530 53,580 54,652 55,745
925,000
2011-12 Capital Improvement Program
PROJECT TITLE
CARLSBAD WATER RECYCLING FACILITY SCADA MODIFICATIONS
CHESTNUT AVENUE RECYCLED WATER LINE
ECR/TAMARACK PUMP STATION REMOVAL
1-5 RECYCLED WATER TRANSMISSION LINE
PALOMAR BUISNESS PARK RECYCLED WATER PIPELINES
PUMP STATION REMOVAL
RECYCLED WATER CONNECTION - ALGA ROAD
RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY
RECYCLED WATER LINE - INNOVATION WAYAND GATEWAY
RECYCLED WATER MASTER PLAN UPDATE
SUBTOTAL RECYCLED WATER PROJECTS
FUND
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
WATER REPL
RECL WATER
WATER REPL
WATER REPL
TOTAL
BUDGET
210,000
716,600
80,000
0
1,245,000
442,700
75,000
675,000
410,000
672,468
7,530,434
PRIOR
EXP/ENC
157,441
-
-
-
-
175,805
595,913
11,977
463,489
1,480,655
BALANCE
FORWARD
52,559
-
1,110,000
266,895
79,087
398,023
208,979
3,056,513
YEAR 1 YEAR 2 YEAR 3
2011-12 2012-13 2013-14
YEAR 4 YEAR 5 YEAR 6-10 YEAR 11 -15
2014-15 2015-16 2017-2021 2022-2026
716,600
80,000
135,000
75,000
1,214,500 1,038,090 209,169 287,530 133,580 54,652 55,745
CIRCULATION SYSTEM
TRAFFIC SIGNAL PROJECTS
AUDIBLE AND COUNTDOWN PEDESTRIAN SIGNALS
AUDIBLE AND COUNTDOWN PEDESTRIAN SIGNALS
PEDESTRIAN CROSSING - CARLSBAD BLVD./VILLAGE
TRAP SIG - ALGA ROAD AND CAZADERO
TRAP SIG - ARAMADA DRIVE AND FLEET STREET (S)
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
TRAF SIG - CAMINO DE LOS COCHES AND LA COSTA AVENUE
TRAF SIG - CAMINO VIDA ROBLE AND YARROW DRIVE
TRAF SIG - CANNON ROAD AND AVENIDA ENCINAS-REIMB.
TRAF SIG - CANNON ROAD AND COLLEGE BOULEVARD (DEVELOPER CONSTR)
TRAF SIG - CARLSBAD BLVD & TAMARACK SIGNAL REPAIRS
TRAF SIG - EL CAMINO REAL AND CHESTNUT SIGNAL REPAIRS
TRAF SIG - EL CAMINO REAL AND TAMARACK SIGNAL REPAIRS
TRAF SIG - EL FUERTE STAND RANCHO PANCHO
TRAF SIG - EL FUERTE ST AND LOKER AVENUE
TRAF SIG - FARADAY AVE. AND CAMINO HILLS DRIVE
TRAF SIG - FARADAY AVENUE AND PALMER WAY
TRAF SIG - FARADAY AVENUE AND RUTHERFORD ROAD
TRAF SIG - LA COSTA AVENUE AND LEVANTE
TRAF SIG - MONROE STREET AND HOSP WAY
TRAF SIG - POINSETTIA LANE AND BRIGANTINE ROAD
TRAF SIG - RANCHO SANTA FE ROAD AND CALLE JUNIPERO
TRAF SIG - RANCHO SANTA FE ROAD AND QUESTHAVEN ROAD
TRAF SIG - TAMARACK AVE. AND PONTIAC DRIVE
TRAF SIG - TAMARACK AVE. AND VALLEY STREET
TRAFFIC SIGNAL PROGRAM
TRAFFIC SIGNAL PROGRAM
SUBTOTAL TRAFFIC SIGNAL PROJECTS
TDA
GAS TAX
GAS TAX
GAS TAX
GAS TAX
GAS TAX
TIF
OTHER
GAS TAX
GAS TAX
GAS TAX
PFF
GAS TAX
IRF
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
GCC
IRF
150,660
31,811
200,000
210,000
190,000
190,000
20,000
302,000
160,000
190,000
190,000
150,000
80,000
230,000
276,000
200,000
190,000
210,000
190,000
190,000
190,000
210,000
210,000
190,000
210,000
124,767
213,954
190,000
912,000
4,698,000
10,699,192
560 150,100
31,811
-
-
-
-
-
-
300 149,700
-
230,000
276,000
200,000
-
-
168,357 21,643
-
-
-
-
124,767
3,954
-
1,050,000
173,171 2,234,021
200,000
210,000
190,000
190,000
20,000
302,000
160,000
190,000
190,000
80,000
190,000
210,000
190,000
190,000
210,000
210,000
190,000
210,000
210,000
190,000
912,000
1,368,000 2,280,000
2,770,000 2,680,000 380,000 - 672,000 1,600,000 190,000
STREET PROJECTS
AVENIDA 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
TIF
GAS TAX
GCC
TRANSNET-HW1
FEDGRNT
TRANSNET-LOC
FEDGRNT
5,402,000
40,100
859,400
1,761,000
818,903
106,097
1,047,044
169,631
403
39,194
806,758
19,574
1,356
22,883
55,369
39,697
47,806
954,242
129,820
16,853
195,122
421,000 2,395,000 2,361,000
772,400
669,509
87,888
829,039
2011-12 Capital Improvement Program
PROJECT TITLE
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
CARLSBAD BOULEVARD MEDIAN-TAMARACK AVENUE TO PINE AVENUE
CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (
CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (
CARLSBAD BOULEVARD RETROFIT OVER SDNR
CARLSBAD BOULEVARD REALIGNMENT - CANNON TO MANZANO (SEGMENT 1)
CARLSBAD VILLAGE DRIVE - GUARDRAIL REPLACEMENT
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 / CANNON ROAD INTERSECTION IMPROVEMENTS
EL CAMINO REAL AND CARLSBAD VILLAGE DRIVE DUAL LEFT TURNS
EL CAMINO REAL AN D COLLEGE BLVD INTERSECTION IMPROVEMENTS
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 OR
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
LA COSTA AVE TRAFFIC CALMING & ROAD DIET
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
PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANES
PALOMAR AIRPORT ROAD AND COLLEGE BOULEVARD-RIGHT TURN LANES/DRAINA
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
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
FUND
TRANSNET-LOC
REDVL VILLAGE
REDVLSCCRDA
GAS TAX
TIP
TIF
GAS TAX
TIF
TIF
TRANSNET-LOC
TIF
GCC
TIF
OTHER
OTHER
GCC
GAS TAX
GAS TAX
TIF
TIF
GAS TAX
TIF
PFF
GAS TAX
PFF
TIF
TRANSNET-LOC
TIF
TIF
TRANSNET-LOC
TRANSNET-LOC
TRANSNET-STP
TIF
TIF
OTHER
OTHER
CFDS1
GAS TAX
GAS TAX
OTHER
TIF
OTHER
OTHER
TIF
GAS TAX
TIF
GCC
OTHER
TIF
GAS TAX
GAS TAX
GAS TAX
GAS TAX
TIF
TIF
TOTAL
BUDGET
135,656
100,000
3,250,000
842,000
762,000
3,008,000
2,258,000
804,000
1,041,000
1,734,000
5,728,000
80,000
2,535,000
1,713,002
10,314,481
250,000
1,500,000
750,000
589,000
925,000
515,000
286,000
909,500
2,915,000
1,426,000
358,000
2,650,000
1,773,000
625,000
2,125,000
3,925,885
345,000
7,656,023
422,000
720,810
16,248,065
2,000,000
199,000
1,030,000
458,563
1,011,000
1,525,584
3,477,792
410,000
485,000
612,000
250,500
165,980
88,500
26,000
207,000
451,000
113,000
979,000
591,000
PRIOR
EXP/ENC
2,932
-
134,893
602,867
-
-
-
1,490,126
-
-
418,411
10,008,122
249,984
439,537
367,475
-
-
144,030
-
-
-
-
-
-
35,848
-
753,678
422,000
720,810
15,774,327
-
44,301
160,733
458,563
-
1,495,541
3,477,792
31,146
10,990
118,592
162,491
77,235
-
-
-
-
BALANCE
FORWARD
25,313
-
3,115,107
239,133
-
-
.
-
243,874
-
-
-
1,294,591
306,359
16
310,463
382,525
-
765,470
1,135,000
-
-
-
-
3,890,037
345,000
6,902,345
-
-
473,738
-
154,699
869,267
-
-
30,043
-
378,854
260,000
576,010
131,908
3,489
11,265
-
-
-
YEAR1 YEAR 2 YEARS YEAR 4 YEARS YEAR 6-10 YEAR 11 -15
2011-12 2012-13 2013-14 2014-15 2015-16 2017-2021 2022-2026
107,411
100,000
762,000
3,008,000
2,258,000
804,000
1,041,000
5,728,000
80,000
2,535,000
250,000 250,000 250,000
60,000 529,000
925,000
515,000
70,000 216,000
1,780,000
90,000 1,336,000
358,000
215,000 2,435,000
1,773,000
625,000
170,000 1,955,000
2,000,000
1,011,000
225,000
25,000
26,000
207,000
451,000
113,000
979,000
591,000
2011-12 Capital Improvement Program
PROJECT TITLE
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 IB 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 ELCAMINO 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 1
RANCHO SANTA FE ROAD NORTH - PHASE II (BRIDGE)
RETROREFLECTMTY 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 -
SIDEWALK/STREET CONSTRUCTION -VARIOUS LOCATIONS
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
LOANS TO OTHER FUNDS
PFF LOAN TO PIL-NE FOR PARK SITE ACQUISITION
SEWER REPLTO SEW BENEF A FOR SIMSBURY SEWER EXTENSION
GCC LOAN TO SCCRA FOR CARLSBAD BLVD. REALIGNMENT STUDY
CFD81TOTIF
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)
TIFTOCFDttl
PIL-NE TO PFF FOR PARK SITE ACQUISITION
SBA "A" FOR SIMSBURY SEWER EXTENSION
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
OTHER
TIF
GAS TAX
TRANSNET-LOC
GAS TAX
TRANSNET-LOC
STATE TRANS
STATE TRANS
BTDH2
BTDS2
OTHER
TIF
RSF ROAD
RSF ROAD
RSF ROAD
GAS TAX
WATER REPL
TIF
TIF
TIF
GAS TAX
GAS TAX
TIF
TIF
GCC
PFF
SEWER REPL
GCC
CFD*1
TRANSNET-LOC
GAS TAX
TIF
PIL-NE
SEW BENEF
REDVLSCCRDA
REDVLSCCRDA
TOTAL
BUDGET
2,826,268
1,676,019
416,300
52,860,515
29,824,088
13,282,476
3,167,193
1,890,083
13,853,000
1,411,000
28,932,793
849,000
5,985,905
26,406,243
20,671,000
2,320,000
291,000
1,184,237
490,000
3,250,567
113,000
90,000
200,000
2,006,900
509,800
319,842,272
4,550,000
435,000
256,301
2,816,498
3,000,000
11,057,799
9,000,000
2,816,498
4,550,000
435,000
256,301
3,000,000
20,057,799
896,835,624
PRIOR
EXP/ENC
2,624,351
1,263,103
-
22,812,064
7,908,879
443,243
2,423,399
1,625,083
698
-
26,192,834
-
4,818,243
26,315,345
20,197,017
-
-
64,237
-
2,300
36,907
58,028
-
405,990
92,218
155,946,162
4,550,000
-
256,301
2,816,498
3,000,000
10,622,799
266,745,504
BALANCE
FORWARD
201,917
412,916
-
1,313,451
1,165,209
1,824,233
743,794
265,000
349,302
-
2,739,959
-
1,167,662
90,898
473,983
100,000
-
-
-
1,048,267
76,093
31,972
-
160,910
417,582
35,866,563
-
-
179,061,964
YEAR 1 YEAR 2
2011-12 2012-13
YEAR 3 YEAR 4
2013-14 2014-15
YEARS
2015-16
YEAR 6-10
2017-2021
YEAR 11 -15
2022-2026
58,800 357,500
1,940,000 1,990,000
1,100,000 1,130,000
660,000 680,000
2,030,000 1,875,000
1,170,000 1,400,000
700,000 725,000
1,900,000
1,450,000
750,000
9,500,000
7,250,000
3,750,000
9,500,000
7,250,000
3,750,000
1,600,000 11,903,000
1,411,000
-
849,000
525,000 525,000 475,000 475,000 220,000
291,000
1,120,000
490,000
300,000 300,000 300,000 300,000 1,000,000
200,000
96,000 96,000 96,000 96,000 96,000 480,000 480,000
10,059,247 6,283,000 12,325,800 10,021,500 10,708,000 24,342,000 54,290,000
435,000
435,000 .....
600,000 600,000
40,000 40,000
600,000 600,000
40,000 40,000
600,000
40,000
3,000,000
200,000
3,000,000
2,416,498
4,550,000
435,000
256,301
3,000,000
640,000 640,000
64,706,953 28,089,436
640,000 640,000
40,161,818 41,386,099
640,000
17,246,496
3,200,000
98,283,814
13,657,799
161,153,540
\
2011-12 Capital Improvement Program
PROJECT TITLE FUND
TOTAL
BUDGET
PRIOR
EXP/ENC
BALANCE
FORWARD
YEAR1
2011-12
YEAR 2
2012-13
YEARS
2013-14
YEAR 4
2014-15
YEARS
2015-16
YEAR 6-10
2017-2021
YEAR 11-15
2022-2026
UNFUNDED PROJECTS*
AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN)
BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING)
CANNON LAKE PARK (6.7 ACRES)
CANNON ROAD REACH 4 (PARTIAL FUNDING)
CARLSBAD BOULEVARD REALIGNMENT- SEGMENTS 3-5
HOSP GROVE/BUENA VISTA LAGOON REC'L IMPROVEMENTS
PINE AVENUE PARK - MADISION PROPERTY, PHASE 2
ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING)
TOTAL UNFUNDED PROJECTS
560,992
7,100,000
2,243,000
27,000,000
CARLSBAD BOULEVARD MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (PARTIAL FUNDING) 6,905,600
CARLSBAD BOULEVARD / PALOMAR AIRPORT ROAD (PARTIAL FUNDING) 14,109,600
26,100,000
1,280,000
2,320,000
8,700,000
96,319,19?
* 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.
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
(POLICE
POLICE
(PROPERTY AND ENVIRONMENTAL MANAGEMENT
PROPERTY AND ENVIRONMENTAL MANAGEMENT
(TRANSPORTATION
TRANSPORTATION
(UTILITIES
MAINTENANCE AND OPERATIONS
FULL AND 3/4 TIME LABOR FORCE
FINAL
BUDGET
2009-10
J
1.00
0.75
8.00
2.75
7.00
8.00
I]
56.00n
31.00n
88.75
D
11.00n
10.00n
23.00
D
53.00n
72.95
n
162.00
I]
43.25n
62.35
D
71.95
712.75
FINAL
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
PRELIMINARY
BUDGET
2011-12
1.00
0.75
7.00
2.75
7.00
6.25
50.00
30.50
87.75
13.00
9.00
22.50
51.25
70.95
162.00
39.60
54.40
68.55
684.25
1
2011-12
REQUESTED
CHANGES
0.00
0.00
(1.00)
0.00
0.00
(1.75)
(4.00)
0.00
(1.00)
2.00
0.00
0.00
(1.00)
(1.00)
0.00
(2.00)
(4.00)
(1.00)
(14.75)
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
2009-10 2010-11
707.50 694.50
5.25 4.50
3.50 0.00
(12.00) (6.00)
138.44 138.94
842.69 831.94
2011-12
679.75
4.50
0.00
(3.00)
139.74
820.99
Difference
(14.75)
0.00
0.00
N/A
0.80
(13.95)