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HomeMy WebLinkAbout2013-06-11; City Council; Resolution 2013-137Exhibit 3 1 RESOLUTION NO. 2013-137 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, ADOPTING THE FINAL OPERATING BUDGET AND CAPITAL IMPROVEMENT 4 PROGRAM FOR FISCAL YEAR 2013-14 FOR THE CITY OF CARLSBAD AND ESTABLISHING CONTROLS ON 5 CHANGES IN APPROPRIATIONS FOR THE VARIOUS FUNDS. 6 7 WHEREAS, the City Council of the City of Carlsbad, California has reviewed the proposed final Operating Budget and Capital Improvement Program for FY 2013-14 and has held such public hearings as are necessary prior to adoption of the final budgets, NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Carlsbad, California, as follows: 1. That the above recitations are true and correct. 9 10 11 12 13 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 2013-14 Preliminary Operating Budget 16 and FY 2013-14 to FY 2027-28 Capital Improvement Program - Preliminary" as amended in accordance with Exhibits 3-A through 3-C attached hereto and incorporated by reference herein, is hereby adopted as the Operating and Capital Improvement Budgets for the City of Carlsbad for FY 2013-14 along with the Program Options determined by the City Council as set forth in the minutes of the Council meeting of Tuesday, June 11, 2013. 17 18 19 20 21 22 ^•^ 3. That the amounts reflected as estimated revenues for FY 2013-14 as shown in Exhibits 3-A and 3-B are hereby adopted as the budgeted revenues for 2013- 14. 4. That the amounts designated as the 2013-14 Budget request in Exhibits 3- A and 3-B are hereby appropriated to the department or fund for which they are 24 25 26 27 28 Exhibit 3 1 designated and such appropriation shall not be increased except as provided herein. 2 5. That total appropriations for each fund may only be increased or 3 decreased by the City Council by passage of a resolution amending the budget except 4 as provided herein. 5 6. That the following controls are hereby placed on the use and transfers of 6 budget funds: 7 A. No expenditure of funds shall be authorized unless sufficient funds 8 have been appropriated by the City Council or City Manager as described below. 9 i. The City Manager may authorize all transfers of funds from 10 account to account within any department. 11 ii. The City Manager may authorize transfers of funds between 12 departments within the same fund in an amount up to $100,000 per transfer. 13 iii. The City Manager may delegate any of the authority given to 14 him/her under this resolution. 15 iv. The City Manager may authorize budget adjustments involving 16 offsetting revenues and expenditures; the City Manager may authorize increases 17 in an appropriation for a specific purpose where the appropriation is offset by 18 unbudgeted revenue, which is designated for said specific purpose. 19 V. The City Manager may authorize the transfer of appropriations 20 between accounts and/or capital projects up to $1,000,000 for the costs 21 associated with the Encina Wastewater Facility (Encina) as authorized by the 22 Encina Wastewater Authority's staff and/or Board. Any increase to the total 23 appropriations for Encina's operating budget and capital program must be 24 approved by the City Council. 25 vi. The City Manager may authorize budget adjustments to increase 26 the appropriations for Workers Compensation, Risk, Self Insured Benefits and 27 28 Exhibit 3 1 Liability Funds operating budgets in an amount equal to the increases in costs of 2 claims expenses. 3 vii. The City Council must authorize all transfers of funds from the 4 Council's Contingency Account. 5 B. The City Manager may authorize emergency out of state travel for 6 public safety or emergency services purposes. 7 C. The City Council must authorize any increase in the number of 8 authorized permanent personnel positions above the level identified in 9 Exhibit 3-C. 10 D. The City Manager may authorize the hiring of temporary or part time 11 staff as necessary, within the limits imposed by the controls listed above. 12 7. That the legal level of budgetary control is the fund level. Budgets may 13 not legally be exceeded at the fund level without appropriate authorization by the City 14 Council. 15 8. That interest earned on grants may be appropriated during the year for the 16 purpose for which the grant was received. 17 9. The City Council hereby authorizes the City Manager or his/her designee 18 to set parks & recreation program, rental, and class fees that are included in the 19 Community Services Guide. The fee shall not exceed the fully burdened (direct and 20 indirect) costs of providing the program, rental, and class but shall be no less (except in 21 the case of introductory, discount or promotional pricing) than the lowest fee charged for 22 like kind programs or classes in similarly benchmarked Southern California cities. 23 10. That the City Manager may authorize budget adjustments to increase the 24 appropriations in the Public Facilities Fee Fund in an amount equal to the utility 25 expenses for the City of Carlsbad's Las Palmas facility, while the building remains 26 vacant. 27 28 HI Exhibit 3 1 11. That all appropriations in the Operating Budget and in Capital 2 Improvement Program remaining unexpended at June 30, 2013, are hereby 3 appropriated to FY 2013-14. 4 12. That all appropriations for outstanding encumbrances as of June 30, 5 2013, are hereby continued into FY 2013-14 for such contracts or obligations. /// /// 9 /// 10 /// 11 /// 12 /// 13 14 15 16 17 18 19 24 25 26 27 28 /// /// /// /// /// /// 20 /// 21 /// 22 /// 23 /// /// /// /// 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, Carlsbad Community Development Commission and City of Carlsbad as the Successor Agency to the Redevelopment Agency held on the 11^^ day of June, 2013, by the following vote to wit: AYES: NOES: ABSENT: Council Members Hall, Packard, Wood, Blackburn and Douglas. None. None. MATT HALL, Mayor ATTEST: (SEAL) /$^^.Q^ Exhibit 3-A1 CITY OF CARLSBAD OPERATING FUNDS PROJECTED FUND BALANCES UNRESERVED BALANCE JULY 1, 2012 PROJECTED REVENUES PROJECTED EXPENDITURES ADVANCES &FUND TRANSFERS OTHER CHANGES PROJECTED BALANCE JUNE 30, 2013 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 PARKING IN LIEU POLICE ASSET FORFEITURE POLICE GRANTS RECREATION DONATIONS RENTAL ASSISTANCE - SECTION 8 SENIOR DONATIONS STREET LIGHTING STREET TREE MAINTENANCE TOTAL SPECIAL REVENUE ENTERPRISE WATER OPERATIONS RECYCLED WATER OPERA"i IONS WASTEWATER OPERATIONS SOLID WASTE MANAGEMENT GOLF COURSE TOTAL ENTERPRISE INTERNAL SERVICE WORKERS' COMPENSATION RISK MANAGEMENT SELF-INSURED BENEFITS VEHICLE MAINTENANCE VEHICLE REPLACEMENT INFORMATION TECHNOLOGY TOTAL INTERNAL SERVICE I REDEVELOPMENT OBLIGATION RETIREMENT FUNDS VILLAGE RDA OBLIGATION RETIREMENT FUND TOTAL REDEVELOPMENT OBLIGATION RETIREMENT FUND! $117,296,000 [TOTAL OPERATING FUNDS $135,817,885 61,383,660 117,298,000 115,521,155 19,064,963 2,160,700 546,503 1,366,597 122,000 260,000 70,673 149,900 110,388 1,076,763 5,000 55,060 220,777 1,193,000 1,580,191 156,243 37,900 66,820 259,357 1,000 6,014 140,451 127,000 116,000 1,446,402 523,400 240,000 668,716 371,000 219,512 156,833 736,000 860,000 400,179 0 44,000 614,376 96,000 207,678 (171,343) 729,600 0 214,442 36,600 14,000 597,835 5,885,300 6,365,483 203,057 133,900 25,000 635,068 1,471,300 993,320 45,085 611,100 650,000 27,166,474 14,390,700 12,359,969 (7,763) 36,258,500 34,552,154 5,068,834 7,670,650 7,383,139 146,937 11,895,257 10,772,025 9,592,343 3,423,565 3,093,321 493,577 7,500,000 7,491,575 15,293,928 66,747,972 63,292,214 1,487,800 2,053,783 3,500,000 294,870 1,876,654 1,837,240 2,534,114 2,653,955 3,998,780 321,891 2,739,346 2,233,779 15,070,668 1,894,228 1,556,418 4,668,072 6,699,807 •5,609,756 24,377,415 17,917,773 18,735,973 7,596,408 53,006 7,223,526 7,596,408 53,006 7,223,526 (118,565) $217,132,837 ($118,565) $63,160,505 0 0 0 (118,565) 0_ 63,041,940 20,679,160 1,228,597 110,185 1,026,703 (166,414) 127,323 254,343 151,451 1,729,802 820,204 32,833 356,179 502,698 558,257 237,042 117,652 311,957 1,113,048 6,185 29,197,205 1,698,583 5,356,345 1,270,169 9,922,587 502,002 18,749,686 41,583 334,284 1,189,289 827,458 15,408,478 5,758,123 23,559,215 $134,973,934 * FOR THE GENERAL FUND ONLY THIS REPRESENTS UNASSIGNED FUND BAUNCE. B-17 CITY OF CARLSBAD OPERATING FUNDS PROJECTED FUND BALANCES Exhibit 3-A1 PROJECTED BALANCE JULY 1, 2013 ESTIMATED REVENUES ADOPTED BUDGET ADVANCES & FUND TRANSFERS OTHER CHANGES PROJECTED BALANCE JUNE 30, 2014 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 PARKING IN LIEU POLICE ASSET FORFEITURE POLICE GRANTS 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 GOLF COURSE TOTAL ENTERPRISE INTERNAL SERVICE WORKERS' COMPENSATION RISK MANAGEMENT SELF-INSURED BENEFITS VEHICLE MAINTENANCE VEHICLE REPLACEMENT INFORMATION TECHNOLOGY TOTAL INTERNAL SERVICE REDEVELOPMENT OBLIGATION RETIREMENT FUNDS VILUGE RDA OBLIGATION RETIREMENT FUND TOTAL REDEVELOPMENT OBLIGATION RETIREMENT FUNDS $63,041,940 1,698,583 5,356,345 1,270,169 9,922,587 502,002 18,749,686 41,583 334,284 1,189,289 827,458 15,408,478 5,758,123 23,559,215 425,888 425,888 $121,003,185 38,117,000 7,945,650 11,972,119 3,485,145 7,517,749 69,037,663 1,568,120 2,701,490 1,597,019 2,810,684 1,505,824 7,033,392 17,216,529 1,291,400 1,291,400 36,077,284 7,523,438 11,186,522 3,595,771 7,498,961 65,881,976 1,774,781 1,701,927 1,521,397 2,874,734 1,287,565 8,088,407 17,248,811 1,291,415 1,291,415 $67,127,235 0 0 0 0 0 63,041,940 121,003,185 116,917,890 67,127,235 20,679,160 595,000 461,067 20,813,093 1,228,597 121,000 105,925 1,243,672 110,185 110,400 125,035 95,550 1,026,703 10,000 10,000 1,026,703 (166,414) 913,000 563,190 183,396 127,323 40,500 68,400 99,423 254,343 2,000 4,000 252,343 151,451 120,000 63,367 208,084 1,729,802 542,153 246,439 2,025,516 820,204 371,000 356,738 834,466 32,833 713,734 741,370 5,197 356,179 0 42,000 314,179 502,698 54,500 251,761 305,437 558,257 8,100 0 566,357 237,042 23,700 51,969 208,773 117,652 5,551,700 5,990,386 (321,034) 311,957 30,000 35,100 306,857 1,113,048 882,402 882,971 1,112,479 6,185 652,283 649,668 8,800 29,197,205 10,741,472 10,649,386 29,289,291 3,738,299 5,778,557 2,055,766 9,811,961 520,790 21,905,373 (165,078) 1,333,847 1,264,911 763,408 15,626,737 4,703,108 23,526,933 425,873 425,873 TOTAL OPERATING FUNDS $134,973,934 $219,290,249 $211,989,478 $0 $0 $142,274,705 * FOR THE GENERAL FUND ONLY THIS REPRESENTS UNDESIGNATED, UNRESERVED FUND BAU^NCE. B-18 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES Exhibit 3-A2 REVENUE SOURCE ACTUAL REVENUE 2011-12 PROJECTED REVENUE 2012-13 ESTIMATED REVENUE 2013-14 AS% OF FY 12-13 PROJECTED DIFFERENCE 2012-13 TO 2013-14 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 $48,181,123 28,733,198 12,872,426 4,851,742 3.668.441 924,807 99.231,736 52.838 368.465 644.130 1.065.433 878.316 973.545 324,097 695,988 758,760 2,689.979 1.534.000 483.459 6,486,283 $47,703,000 29,910.000 13,857,000 4.908,000 3.536.000 1.086.000 101.000,000 55,000 370,000 500,000 925,000 577,000 640,000 1,217,000 213,000 457,000 499,000 2.763.000 1.582.000 594.000 6.108.000 $48,409,000 31,107,000 14,710,000 5,002,000 3,677,000 1,097,000 104,002,000 0 372,000 627,000 999,000 751,000 833,000 277,000 595,000 649,000 2,500,000 2,114.378 508.500 6.643.878 1.5% 4.0% 6.2% 1.9% 4.0% 1.0% -100.0% 0.5% 26.4% 8.0% 30.2% 30.2% 30.1% 30.2% 30.1% -9.5% 33.7% -14.4% 1.8% $706,000 1,197.000 853.000 94,000 141,000 11,000 3,002,000 (55,000) 2,000 127,000 74,000 174,000 193,000 64,000 138,000 150,000 (263,000) 532,378 (85,500) 535,878 (44.500) (449.176) $3.705.185 ' INTEREST IS CALCULATED ON AN AMORTIZED COST BASIS B-19 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES Exhibit 3-A2 REVENUE SOURCE ACTUAL REVENUE 2011-12 PROJECTED REVENUE 2012-13 ESTIMATED REVENUE 2013-14 AS% OF FY 12-13 PROJECTED DIFFERENCE 2012-13 TO 2013-14 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 PARKING IN LIEU IN LIEU FEES INTEREST TOTAL PARKING IN LIEU POLICE ASSET FORFEITURE ASSET FORFEITURES INTEREST OTHER TOTAL POLICE ASSET FORFEITURE POLICE GRANTS FEDERAL GRANT INTEREST TOTAL POLICE GRANTS $1,727,445 42.341 0 204.589 10,602,272 12,576,647 157,331 16,324 171,312 695 22.480 3.852 50.534 1.671 8.516 60.721 128.682 2.125 0 130.807 438,526 15,853 0 454,379 368,282 6,899 355,974 89 369,500 715,563 49,734 7,620 (74) 57,180 532,380 45 $1,116,400 809,300 0 200,000 35,000 2,160,700 100,000 22,000 149,900 0 967,600 400 225,000 37,000 300 600 126,000 1,000 0 127,000 489,600 28,400 5,400 365,000 6,000 358,000 0 378,000 736,000 94,500 1.500 0 96,000 $163,000 100,000 0 122.000 210,000 595,000 100,000 21,000 913,000 0 0 913,000 40,500 524,852 17,301 0 542,153 364,000 7,000 50,000 4,500 -85.4% -87.6% 0.0% -39.0% 500.0% -72.6% 0.0% -4.6% -26.4% 0.0% -5.6% -100.0% -100.0% -23.5% -10.8% -100.0% 1150.0% 6.9% -100 0% 0.0% 7.2% -39.1% -100 0% -0.3% 16.7% 0.2% 0.0% -6.1% 0.0% 00% -47.1% 200.0% 0.0% -43.2% ($953,400) (709.300) 0 (78.000) 175,000 (1,565,700) 0 (1,000) (1,000) (39,600) 0 (39,500) (64,600) (400) (225,000) (280,000) (4,000) (300) 6,900 2,600 (6,000) (1,000) 0 (7.000) 36.252 (11.099) (5.400) 18.753 (1.000) 1,000 734 0 (23.000) (22,266) (44,500) 3,000 0 (41,600) (721.600) 0 (721,500) B-20 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES Exhibit 3-A2 REVENUE SOURCE ACTUAL REVENUE 2011-12 PROJECTED REVENUE 2012-13 ESTIMATED REVENUE 2013-14 AS% OF FY 12-13 PROJECTED DIFFERENCE 2012-13 TO 2013-14 I SPECIAL REVENUE FUNDS - CONTINUED RECREATION DONATIONS DONATIONS & GRANTS INTEREST TOTAL RECREATION DONATIONS RENTAL ASSISTANCE FEDERAL GRANT INTEREST OTHER TOTAL RENTAL ASSISTANCE SENIOR DONATIONS DONATIONS INTEREST OTHER TOTAL SENIOR DONATIONS STREET LIGHTING GOVERNMENT GRANTS AND LOANS STREET LIGHTING FEES INTERDEPARTMENTAL OTHER INTEREST TOTAL STREET LIGHTING STREET TREE MAINTENANCE TREE MAINTENANCE FEES INTEREST OTHER TOTAL STREET TREE MAINTENANCE TOTAL SPECIAL REVENUE FUNDS 25,722 2,359 6,028,802 6,856 20,215 8,302 2,378 14,633 25,213 204,563 728,559 177,378 9,969 463,856 278 113,600 577,633 35,600 1,000 5,855,900 5,100 24,300 5,885,300 120,000 500 13,400 133,900 687,100 730,600 0 141,400 12,200 1,471,300 461,500 149,600 611,100 23,700 0 23,700 6,545,000 6,700 8,000 2,000 20,000 30,000 0 728,772 0 141,400 12,230 882,402 462,283 0 190.000 652,283 -33.4% -100.0% -5.3% 31.4% -100 0% -5.7% -93.3% 300 0% 49.3% -77.6% -100.0% -0.3% 0.0% 0.0% 0.3% -40.0% 0.2% 0.0% 27.0% 6.7% (11,900) (1,000) (12,900) (310,900) 1,600 (24,300) (333,600) (112,000) 1,600 6,600 (103,900) (687,100) (1,828) 0 0 30 (588,898) 783 0 40,400 41,183 ($3,649,228) B-21 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES Exhibit 3-A2 REVENUE SOURCE ACTUAL PROJECTED ESTIMATED AS% DIFFERENCE REVENUE REVENUE REVENUE OF FY 12-13 2012-13 TO 2011-12 2012-13 2013-14 PROJECTED 2013-14 $21,442,931 $23,900,000 $25,200,000 5.4% $1,300,000 8,026,609 8,700,000 9,160,000 6.2% 450,000 2,722,560 2.665.000 2,855,000 7.1% 190,000 129,695 135.000 120,000 -11.1% (15,000) 123,086 125.000 125,000 0.0% 0 301,394 316.500 280,000 -11.6% (36,500) 16,895 177,500 1,000 -99.4% (176,500) 88,337 80,000 80,000 0.0% 0 122,242 100,000 100,000 0.0% 0 0 0 0 0.0% 0 248,637 59,500 206,000 246.2% 146,600 33,222,286 36,258,500 38,117,000 5.1% 1,868,600 6,094,428 5,760,000 6,000,000 4.2% 240,000 580,879 626,000 650,000 4.0% 25.000 1,137,150 1,060,000 1,100,000 4.8% 50.000 70,363 70,000 50,000 -28.6% (20,000) 121,366 166,650 146,650 -12.1% (20,000) 7,004,186 7,670,660 7,945,650 3.6% 276,000 10,905,656 11,600,000 11.530.000 0.3% 30.000 31,339 32,000 23,000 -28.1% (9,000) 173,091 176,000 180,000 2.9% 5.000 52,174 85,000 80,000 -5.9% (6,000) 78,345 72,119 89,119 23.6% 17,000 94,491 31,138 70,000 124.8% 38,862 11,335,096 11,896,267 11,972,119 0.7% 76,862 119,781 126,000 113,145 -9.5% (11,855) 275,596 276,000 277,000 0.7% 2,000 63,739 67,000 57,000 0.0% 0 2,631,421 2,700,000 2,700,000 0.0% 0 269,414 266,666 338,000 26.8% 71,436 3,349,961 3,423,566 3,485,145 1.8% 61,580 92,292 90,000 90,000 0.0% 0 6,127,068 6,423,160 6,429,200 0.1% 6,040 1,644,592 986,840 998,649 1.2% 11,709 7,863,952 7,500,000 7,517,749 0.2% 17,749 $62,775,471 $66,747,972 $69,037,663 3.4% $2,289,691 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 GOLF COURSE OPERATIONS INTEREST CHARGES FOR SERVICES OTHER TOTAL GOLF COURSE OPERATIONS TOTAL ENTERPRISE FUNDS B-22 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES Exhibit 3-A2 REVENUE SOURCE ACTUAL REVENUE 2011-12 PROJECTED REVENUE 2012-13 ESTIMATED REVENUE 2013-14 AS% OF FY 12-13 PROJECTED DIFFERENCE 2012-13 TO 2013-14 [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 VEH'CLE 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 $1,457,230 74,471 286,347 1,818,048 1,609,110 3,094 28,733 1,640,937 813,828 0 1.470,175 2,284,003 2,516,825 2,422 21,000 2,539,247 1,917,674 176,651 3,387 2,096,612 6,682,808 54,783 16,482 6,764,073 $1,601,120 27,461 525,202 2,063,783 1,868,560 1,900 16,194 1,876.654 771,303 0 1,882,652 2,653,955 2,720,170 19,176 2,739,346 1.820,012 74,216 0 6.656.904 24.063 18.840 6.699.807 $17,917,773 $1,601,120 67.000 0 1,568.120 1,951,490 0 750,000 2,701,490 817,089 0 779,930 2,794,684 0 16,000 2,810,684 1,505,824 0 1,505,824 0 6,983,592 49.800 0 7,033,392 0.0% 144.0% -100.0% -23.7% 5.0% -100.0% 4531.3% 44.0% 5.9% 0.0% -58.6% -39 8% 2.7% 0.0% -16.6% 2.6% -17.3% -100.0% 0.0% -20.5% 0.0% 4.9% 107 0% -100 0% $0 39,539 (525,202) (486,663) 92,930 (1.900) 733,806 824,836 45,786 0 (1,102,722) (1,056,936) 74,614 0 (3,176) 71,338 (314,188) (74,216) 0 (388,404) 0 326,688 25,737 (18,840) 333,585 ($701,244) [REDEVELOPMENT OBLIGATION RETIREMENT FUNDS VILLAGE RDA OBLIGATION RETIREMENT FUND RENTAL INCOME TAX INCREMENT INTEREST OTHER TOTAL VILLAGE OPERATIONS / DEBT SERVICE $8,764 2,607,668 45,041 2,822 $0 63,006 $0 1.291.400 2,664.296 63.006 TOTAL REDEVELOPMENT FUNDS 0.0% 0.0% -100.0% 0.0% 2336.3% $0 1,291,400 (53,006) 0 1,238,394 [TOTAL OPERATING FUNDS $221.493,118 $219,290,249 B-23 6v DEPARTMENT CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE 2010-11 ACTUAL* 2011-12 ACTUALS 2012-13 ESTIMATED EXPENDITURES 2012-13 BUDGET 2013-14 BUDGET Exhibit 3-A3 %INCR (DEC) 12- 13 BUD TO 13- 14 BUD GENERAL FUND POLICY AND LEADERSHIP GROUP ADMINISTRATIVE SERVICES FINANCE HUMAN RESOURCES RECORDS MANAGEMENT TOTAL ADMINISTRATIVE SERVICES COMMUNITY DEVELOPMENT COMMUNITY SERVICES LIBRARY AND ARTS PARKS AND RECREATION TOTAL COMMUNITY SERVICES PUBLIC SAFETY FIRE POLICE TOTAL PUBLIC SAFETY PUBLIC WORKS CITY COUNCIL CITY ATTORNEY CITY CLERK CITY MANAGER CITY TREASURER COMMUNICATIONS TOTAL POLICY AND LEADERSHIP GROUP $352,145 1,327,414 176,655 1,348,850 181,262 793,887 4,180,213 3,472,814 2,320,758 775,002 6,568,574 COMMUNITY AND ECONOMIC DEVELOPMENT HOUSING AND NEIGHBORHOOD SERVICES TOTAL COMMUNITY DEVELOPMENT 7,309,222 400,062 7,709,284 10,528,095 11,867,576 PROPERTY AND ENVIROMENTAL MANAGEMENT TRANSPORTATION STORM DRAIN ENGINEERING TOTAL PUBLIC WORKS 22,395,671 16,121,182 27,670,820 43,792,002 4,660,673 8,312,277 260,580 13,233,530 $337,599 1,289,939 124,036 1,442,294 183,730 638,541 4,016,139 3,395,659 2,285,191 687,969 6,368,819 7,035,103 499,230 7,534,333 10,418,253 12,160,698 22,578,951 17,034,490 27,506,352 44,540,842 4,707,149 8,327,015 237,203 13,271,367 340,274 1,276,912 108,267 1,635,927 190,684 664,634 4,216,698 3,778,015 2,176,829 649,510 6,604,354 6,145,795 606,166 6,751,961 10,413,256 13,086,425 23,499,681 18,048,059 27.636,105 45,684,164 4,619,441 10,268,151 304,109 15,191,701 $352,729 1,336,908 141,563 1,504,476 194,812 725,987 4,256,475 3,511,305 2,275,507 792,303 6,579,115 7,061,612 576,991 7,638,603 10,308,502 12,718,661 23,027,163 17,540,315 27,937,848 45,478,163 5,135,939 8,840,761 281,483 14,258,183 $364,856 1,316,806 63,347 1,388,651 207,514 697,185 4,038,359 3,591,465 2,399,628 802,226 6,793,319 6,842,728 598,583 7,441,311 10,394,004 13,198,247 23,592,251 17,777,047 28,746,830 46,523,877 5,566,546 8,696,580 279,098 14,542,224 3.4% -1.5% -55.3% -7.7% 6.5% -4.0% -5.1% 2.3% 5.5% 1.3% 3.3% -3.1% 3.7% -2.6% 0.8% 3.8% 2.5% 1.3% 2.9% 2.3% 8.4% -1.6% -0.8% 2.0% 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. B-24 61 CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE Exhibit 3-A3 DEPARTMENT 2010-11 ACTUAL* 2011-12 ACTUALS 2012-13 ESTIMATED EXPENDITURES 2012-13 BUDGET 2013-14 BUDGET %INCR (DEC) 12- 13 BUD TO 13- 14 BUD GENERAL FUND - CONTINUED MISCELLANEOUS NON-DEPARTMENTAL EXPENDITURES COMMUNITY CONTRIBUTIONS 51,612 187,316 133,517 0 0 - DUES & SUBSCRIPTIONS 62,931 54,481 51,493 55,550 60,000 8.0% LEGAL SERVICES 58,605 60,656 10,000 80,000 80,000 0.0% PROFESSIONAL SERVICES 132,079 166,892 500,000 316.100 475,000 50.3% OTHER MISCELLANEOUS EXPENDITURES 48,039 367,818 500,000 0 0 - PERSONNEL RELATED 26,340 57,904 120,000 140,000 175,000 25.0% PROPERTY TAX & OTHER ADMINISTRATION 724,334 735,656 650,000 800,000 650,000 -18.8% TOTAL EXPENDITURES 1,103,940 1,630,723 1,965,010 1,391,650 1,440,000 3.5% TRANSFERS INFRASTRUCTURE REPLACEMENT FUND 7,175,000 7,382,000 7,547,000 7,547,000 7,800,000 3.4% TRANSFERS TO SELF INSURED BEN.-PERS SETASIDE 0 1,400,000 1,800,000 1,800,000 700,000 -61.1% TRANSFERS TO GOLF COURSE 0 1,644,592 986,840 945,000 998,549 5.7% TRANSFER TO LLD#1 (MEDIANS & TREES) 253,850 473,000 527,746 527,746 545,000 3.3% TRANSFER TO STORM WATER PROGRAM 134,790 165,497 246,000 210,000 253,000 20.5% OTHER MISCELLANEOUS TRANSFERS 1,350,000 1,629,806 500,000 0 750,000 - TOTAL TRANSFERS 8,913,640 12,694,895 11,607,586 11,029,746 11,046,549 0.2% TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND 10,017,580 14,325,618 13,572,596 12,421,396 12,486,549 0.5% TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND 107,896,854 112,636,069 115,521,155 113,659,098 115,417,890 1.5% TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND 0 0 0 1,500,000 1,500,000 0.0% TOTAL MISCELLANEOUS NON-DEPARTMENTAL SUBTOTAL GENERAL FUND CONTINGENCIES TOTAL GENERAL FUND $107,896,854 $112,636,069 $115,521,155 $115,159,098 $116,917,890 1.5% B-25 CITY OF CARLSBAD OPERATING FUNDS BUDGET EXPENDITURE SCHEDULE Exhibit 3-A3 DEPARTMENT 2010-11 ACTUAL* 2011-12 ACTUALS 2012-13 ESTIMATED EXPENDITURES 2012-13 BUDGET 2013-14 BUDGET %INCR (DEC) 12- 13 BUD TO 13- 14 BUD 0 0 0 0 0 SPECIAL REVENUE FUNDS AFFORDABLE HOUSING $422,790 $668,816 $546,503 $573,244 $461,067 -19.6% BUENA VISTA CHANNEL MAINTENANCE 84,852 111,753 260,000 133,230 105,925 -20.5% CITIZEN'S OPTION FOR PUBLIC SAFETY 90,447 99,569 110,388 110,388 125,035 13.3% COMMUNITY ACTIVITY GRANTS 0 1,680 55,060 28,000 10,000 -64.3% COMMUNITY DEVELOPMENT BLOCK GRANT 584,813 1,287,064 1,580,191 540,570 563,190 4.2% CULTURAL ARTS DONATIONS 88,949 66,854 66,820 62,500 68,400 9.4% LIBRARY AND ARTS ENDOWMENT FUND 6,605 4,195 6,014 4,000 4,000 0.0% LIBRARY GIFTS/BEQUESTS 118,516 117,952 116,000 65,620 63,367 -3.4% LIGHTING AND LANDSCAPING DISTRICT NO. 2 192,045 214,544 240,000 236,256 246,439 4.3% LOCAL CABLE INFRASTRUCTURE FUND 271,414 209,422 219,512 362,535 356,738 -1.6% MEDIAN MAINTENANCE 715,442 759,636 860,000 735,758 741,370 0.8% PARKING IN LIEU 0 0 44,000 0 42,000 POLICE ASSET FORFEITURE 19,450 247,319 207,678 35,775 251,761 603.7% POLICE GRANTS 341,661 748,169 0 0 0 PUBLIC ART 187,672 0 0 0 0 RECREATION DONATIONS 18,236 34,358 14,000 39,319 51,969 32.2% RENTAL ASSISTANCE 6,356,973 6,620,112 6,365,483 6,219,914 5,990,386 -3.7% SENIOR DONATIONS 30,973 16,924 25,000 37,990 35,100 -7.6% STREET LIGHTING 2,268,015 1,180,248 993,320 1,025,421 882,971 -13.9% STREET TREE MAINTENANCE 645,070 662,694 650,000 651,432 649,668 -0.3% TOTAL SPECIAL REVENUE FUNDS $12,443,923 $13,051,309 $12,359,969 $10,861,952 $10,649,386 -2.0% ENTERPRISE FUNDS WATER OPERATIONS $29,568,137 $30,796,638 $34,552,154 $34,654,191 $36,077,284 4.1% RECYCLED WATER OPERATIONS 6,721,454 7,332,485 7.383,139 7,682,227 7,523,438 -2.1% WASTEWATER OPERATIONS 9,502,110 10,374,682 10,772,025 11,336,015 11,186,522 -1.3% SOLID WASTE MANAGEMENT 2,544,050 2,941,131 3,093,321 3,503,924 3,595,771 2.6% GOLF COURSE OPERATIONS 7,554,766 7,528,195 7,491,575 7,491,475 7,498,961 0.1% TOTAL ENTERPRISE FUNDS $55,890,517 $58,973,131 $63,292,214 $64,667,832 $65,881,976 1.9% INTERNAL SERVICE FUNDS WORKERS' COMPENSATION $3,029,600 $2,236,534 $3,500,000 $1,655,668 $1,774,781 7.2% RISK MANAGEMENT 2,275,616 1,355,752 1,837,240 1,673,429 1,701,927 1.7% SELF-INSURED BENEFITS 983,628 892,560 3,998,780 4,188,113 1,521,397 -63.7% VEHICLE MAINTENANCE 2,696,576 2,773,322 2,233,779 2,837,449 2,874,734 1.3% VEHICLE REPLACEMENT 599,765 1,406,396 1,556,418 1,274,500 1,287,565 1.0% INFORMATION TECHNOLOGY 6,458,357 6,298,298 5,609,756 6,519,859 8,088,407 24.1% TOTAL INTERNAL SERVICE FUNDS $16,043,542 $14,962,862 $18,735,973 $18,149,018 $17,248,811 -5.0% $1,473,037 146,863 $7,223,526 $1,396,715 $1,291,415 -7.5% REDEVELOPMENT OBLIGATION RETIREMENT FUNDS $1,473,037 146,863 $7,223,526 $1,396,715 $1,291,415 -7.5% VILLAGE RDA OBLIGATION RETIREMENT FUND sec RDA OBLIGATION RETIREMENT FUND TOTAL REDEVELOPMENT $2,068,690 210,908 $1,473,037 146,863 $7,223,526 $1,396,715 $1,291,415 -7.5% VILLAGE RDA OBLIGATION RETIREMENT FUND sec RDA OBLIGATION RETIREMENT FUND TOTAL REDEVELOPMENT $2,279,598 $1,619,900 $7,223,526 $1,396,715 $1,291,415 -7.5% TOTAL OPERATING FUNDS $194,554.434 $201,243,271 $217,132,837 $210,234,615 $211,989,478 0.8% General Fund $116,917,890 NonGF 95,071,588 $211,989,478 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. B-26 CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 2012-13 Exhibit SB JULY 1,2012 PROJECTED JUNE 30,2013 UNRESERVED PROJECTED PROJECTED DEBT SERVICE PROJECTED FUND BALANCE REVENUES EXPENDITURES LOANS & OTHER BALANCE BTD#2 - POINSETTIA LANE/AVIARA PKWY 9,021,580 760,253 0 0 9,781.833 BTD#3 - CANNON ROAD WEST 164,942 20,987 0 0 185,929 CFD#1 -CITYWIDE 63,579,828 1,906,399 33,306 142.111 65,310,810 GAS TAX 14,802,567 3,086,599 1,275,914 600,000 16,013,252 GENERAL CAPITAL CONST. 53,725,127 585,124 12,833,377 0 41,476,874 GRANTS - FEDERAL (86,517) 527,474 388,237 0 52,720 INFRASTRUCTURE REPLACEMENT 68,954,438 8,310,954 816,164 25,000 76,424,228 OTHER 2,982,706 21,514 0 0 3,004,220 PARK FEE ZONES 5,13,16 2,642,328 91,992 0 0 2,734,320 PARK-IN-LIEU NE 889,105 8,924 0 0 898,029 PARK-IN-LIEU NW 149,705 24,018 0 0 173,723 PARK-IN-LIEU SE 1,203,852 113,654 0 0 1,317,506 PARK-IN-LIEU SW 1,666,562 202,967 0 0 1,869,529 PLANNED LOCAL DRAIN'G 5,545,486 301,101 462,632 0 5,383,955 PUBLIC FACILITIES FEE 49,048,636 2,111,184 17,123,394 17,000 34,019,426 RANCHO SANTA FE ROAD PROJECT 4,913,711 2,998,520 133,766 0 7,778,465 RORF VILLAGE 1,500,000 0 0 0 1,500,000 SEWER CONNECTION 19,541,985 30,136,624 1,931,683 931,469 46,815,457 SEWER REPLACEMENT 30,645,819 4,168,608 4,565,110 0 30,249,317 TDA 31,122 0 7,797 0 23,325 TRAFFIC IMPACT FEE 18,872,055 1,468,476 724,501 42,000 19,574,030 TRANSNET/BIKE 67,252 691 (4,990) 2,377 70,556 TRANSNET/HIGHWAY 1,403,583 14,125 0 1,417.708 0 TRANSNET/LOCAL 19,725,251 3,177,293 2,185,897 0 20,716,647 TRANSNET/STP 367,258 3,687 0 0 370,945 WATER - MAJOR FACILITY 24,370,004 1,233,457 29,619 0 25,573,842 WATER - RECYCLED WATER 0 0 0 0 0 WATER - REPLACEMENT 53,613,926 5,915,875 3,154,891 0 56,374,910 TOTAL 449,342,311 67,190,500 45,661,298 3,177,665 467,693,848 362 363 430 152 300 392 370 ASSM DIST 334 331 330 333 332 35X 320 431 801 512 515 380 310, 315 341 340 342 343 506 507,502 505,508 5"y CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 2013-14 Exhibit 3B JULY 1,2013 6/30/2013 7/1/2013 2013-14 JUNE 30, 2014 PROJECTED ESTIMATED CONTINUING NEW TOTAL CIP PROJECTED FUND BALANCE REVENUES APPROPR. APPROPR. APPROPR. BALANCE BTD#2 - POINSETTIA LANE/AVIARA PKWY 9,781,833 524,595 641,332 0 641,332 9,665,096 BTD#3 - CANNON ROAD WEST 185,929 100,251 0 0 0 286,180 CFD#1 - CITYWIDE 65,310,810 1,263,172 13,327,237 110,000 13,437,237 53,136,745 GAS TAX 16,013,252 3,124,163 9,658,127 5,633,000 15,291,127 3,846,288 GENERAL CAPITAL CONST. 41,476,874 0 3,698,884 9,322,806 13,021,690 28,455,184 GRANTS - FEDERAL 52,720 1,644,357 52,720 1,644,357 1,697,077 0 INFRASTRUCTURE REPLACEMENT 76,424,228 7,800,000 7,401,117 4,027,250 11,428,367 72,795,861 OTHER 3,004,220 1,367,000 1,612,232 1,367,000 2,979,232 1,391,988 PARK FEE ZONES 5,13,16 2,734,320 43,164 0 0 0 2,777,484 PARK-IN-LIEU NE 898,029 0 0 0 0 898,029 PARK-IN-LIEU NW 173,723 107,075 0 0 0 280,798 PARK-IN-LIEU SE 1,317,506 5,346 0 0 0 1,322,852 PARK-IN-LIEU SW 1,869,529 122,953 219,100 0 219,100 1,773,382 PLANNED LOCAL DRAIN'G 5,383,955 322,253 1,839,238 322,000 2,161,238 3,544,970 PUBLIC FACILITIES FEE 34,019,426 845,358 15,495,515 722,000 16,217,515 18,647,269 RANCHO SANTA FE ROAD PROJECT 7,778,465 264,823 530,380 0 530,380 7,512,908 RORF VILLAGE 1,500,000 0 1,500,000 0 1,500,000 0 SEWER CONNECTION 46,815,457 225,360 43,236,263 978,419 44,214,682 2,826,135 SEWER REPLACEMENT 30,249,317 3,654,660 15,487,479 5,409,396 20,896,875 13,007,102 TDA 23,325 0 22,653 0 22,653 672 TRAFFIC IMPACT FEE 19,574,030 1,585,020 11,369,582 2,181,000 13,550,582 7,608,468 TRANSNET/BIKE 70,556 0 0 0 0 70,556 TRANSNET/LOCAL 20,716,647 3,199,000 10,668,527 2,994,192 13,662,719 10,252,928 TRANSNET/STP 370,945 0 345,000 0 345,000 25,945 WATER - MAJOR FACILITY 25,573,842 514,242 1,171,109 215,000 1,386,109 24,701,975 WATER - RECYCLED WATER 0 5,100,000 0 5,100,000 5,100,000 0 WATER - REPLACEMENT 56,374,910 10,265,000 33,370,950 4,664,815 38,035,765 28,604,145 TOTAL 467,693,848 42,077,792 171,647,445 44,691,235 216,338,680 293,432,960 Exhibit 38 CITY OF CARLSBAD CAPITAL FUNDS REVENUES ACTUAL AND ESTIMATED 2009-10 2010-11 2011-12 2012-13 2013-14 ACTUAL ACTUAL ACTUAL PROJECTED ESTIMATED FUND REVENUE REVENUE REVENUE REVENUE REVENUE BTD#2 - POINSETTIA LANE/AVIARA PKWV 212,563 174,051 754,248 760,253 524,595 BTD#3 - CANNON ROAD WEST 2,897 63,308 1,933 20,987 100,251 CFD#1 -CITYWIDE 3,608,907 3,018,210 3.440,334 1,906,399 1,263,172 GAS TAX 2,345,207 2,701,571 3,246,871 3,086,599 3,124,163 GENERAL CAPITAL CONST. 4,883,089 1,151,005 2,226,470 585,124 0 GRANTS - FEDERAL 152,163 247,653 158,153 527,474 1,644,357 INFRASTRUCTURE REPLACEMENT 8.052,920 8,123,424 8,267,968 8,310,954 7,800,000 OTHER 357,242 59,834 39,633 21,514 1,367,000 PARK FEE ZONES 5,13,16 80,133 138,058 121,800 91,992 43,164 PARK-IN-LIEU NE 22,649 11,984 10,419 8,924 0 PARK-IN-LIEU NW 52,799 8,729 145.792 24,018 107.075 PARK-IN-LIEU SE 22.806 32,610 284,214 113,654 5,346 PARK-IN-LIEU SW 15,461 200,360 881,352 202,967 122,953 PLANNED LOCAL DRAIN'G 234,507 171,867 225,052 301,101 322,253 PUBLIC FACILITIES FEE 3,240,518 2,938,293 3,224,274 2,111,184 845,358 RANCHO SANTA FE ROAD PROJECT 73,992 143,790 57,471 2,998,520 264,823 RORF VILLAGE 5.231,171 1,812,986 52,044 0 0 RORF SOUTH CARLSBAD 1,667,988 3,229,006 387,647 0 0 SEWER BENEFIT AREAS 12,597 6,443 12,478 0 0 SEWER CONNECTION 3,320,442 917,116 1,107.247 30,136,624 225,360 SEWER REPLACEMENT 3.924,543 3,080,381 4.022,001 4,168,608 3,654,660 STATE TRANSPORTATION 2,509,480 9,551 35 0 0 TDA 0 0 208,672 0 0 TRAFFIC IMPACT FEE 1,915,237 1,791,212 1,719,138 1,468,476 1,585,020 TRANSNET/BIKE 59,625 59,157 396 691 0 TRANSNET/HIGHWAY 35,815 18,966 16,490 14,125 0 TRANSNET/LOCAL 761,665 3,711,539 1,807,535 3,177,293 3,199,000 TRANSNET/STP 9,356 4,950 4,301 3,687 0 WATER - MAJOR FACILITY 1,603,100 1,127,989 1,516,854 1.233.457 514.242 WATER - RECYCLED WATER 95,026 464,293 729 0 5,100,000 WATER - REPLACEMENT 6,572,739 5,974,696 5,992,152 5,915.875 10,265,000 TOTAL CAPITAL FUNDS 51.076.637 41,393,032 39,933,703 67,190,500 42,077,792 CITY OF CARLSBAD CAPITAL FUNDS BUDGET EXPENDITURE SCHEDULE Exhibit 38 2010-11 2011-12 2012-13 2012-13 2013-14 2013-14 ACTUAL ACTUAL ESTIMATED CONTINUING NEW TOTAL CIP FUND EXPENSE EXPENSE EXPENSE APPROPR. APPROPR. APPROPR. BTD#2 - POINSETTIA LANE/AVIARA PKW> 0 7,970 0 641,332 0 641,332 CFD#1 -CITYWIDE 2,713,091 79,213 175,417 13,327,237 110,000 13,437,237 GAS TAX 1,983,452 1,550,072 1,875,914 9,658,127 5,633,000 15,291,127 GENERAL CAPITAL CONST 8,542,813 9,780,427 12,833,377 3,698,884 9,322,806 13,021,690 GRANTS - FEDERAL 193,876 184,643 388,237 52,720 1,644,357 1,697,077 GRANTS - STATE 1,989 0 0 0 0 0 INFRASTRUCTURE REPLACEMENT 811,806 971,791 841,164 7,401,117 4,027,250 11,428,367 OTHER 130,023 592 0 1,612,232 1,367,000 2,979,232 PARK-IN-LIEU NW 2,545 67,439 0 0 0 0 PARK-IN-LIEU SW 0 0 0 219,100 0 219,100 PLANNED LOCAL DRAIN'G 1,068,618 369,439 462,632 1,839,238 322,000 2,161,238 PUBLIC FACILITIES FEE 1,521,377 176,295 17,140,394 15,495,515 722,000 16,217,515 RANCHO SANTA FE ROAD PROJECT 451,395 76,851 133,766 530,380 0 530,380 RORF VILLAGE 61,863 0 1,500,000 0 1,500,000 RORF SOUTH CARLSBAD 44,971 0 0 0 0 SEWER CONNECTION 1,357,095 4,690,166 2,863,152 43,236,263 978,419 44,214,682 SEWER REPLACEMENT 5,581,085 3,328,934 4,565,110 15,487,479 5,409,396 20,896,875 STATE TRANSPORTATION 1,856,934 1,217,826 0 0 0 0 TDA 112,558 64,992 7,797 22,653 0 22,653 TRAFFIC IMPACT FEE 517,201 171,991 766,501 11,369,582 2,181,000 13,550,582 TRANSNET/BIKE 27,695 48,627 (2,613) 0 0 0 TRANSNET/HIGHWAY 0 0 1,417,708 0 0 0 TRANSNET/LOCAL 166,862 2,241,943 2,185,897 10,668,527 2,994,192 13,662,719 TRANSNET/STP 0 0 0 345,000 0 345,000 WATER - MAJOR FACILITY 270,648 132,128 29,619 1,171,109 215,000 1,386,109 WATER - RECYCLED WATER 464,293 729 0 0 5,100,000 5,100,000 WATER - REPLACEMENT 820,893 679,502 3,154,891 33,370,950 4,664,815 38,035,765 TOTAL CAPITAL FUNDS 28,703,083 25,841,570 48,838,963 171,647,445 44,691,235 216,338,680 Note: Expenditures include loans, advances and transfers. ^7 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD CIVIC PROJECTS ADMINISTRATIVE FACILITIES CIVIC CENTER CFD#1 28.301.400 100,000 CIVIC CENTER IRF 976.400 -- CITY ADMIN TRAINING FACILITY (PRE-DESIGN) - PROP C GCC 100.000 -- MAINTENANCE AND OPERATIONS CENTER CFD#1 17,080.264 3,853.027 13.227,237 MAINTENANCE AND OPERATIONS CENTER WATER REPL 7.170.000 -7,170,000 MAINTENANCE AND OPERATIONS CENTER SEWER REPL 3,861,000 15.500 3.845.500 DOWNTOWN AREA PROJECTS BARRIO STREET LIGHTING GCC 100,000 VILLAGE AND BARRIO BIKE AND PEDESTRIAN WAYFINDING GCC 250,000 VILLAGE AND BARRIO TRAFFIC CIRCLES GCC 315,000 VILLAGE DECORATIVE LIGHTING GCC 130,000 VILLAGE PARKING WAYFINDING GCC 105.000 VILLAGE SAFETY LIGHTING GCC 210,000 VILLAGE STREETSCAPE GCC 290,000 POLICE & FIRE FACILITIES FIRE STATION #3 RELOCATION PFF 9,352,000 1.529.263 7,100,737 FIRE STATION #6 (PERMANENT) PFF 5.324,100 5,257,138 66,962 JOINT FIRST RESPONDERS TRAINING FACILITY GCC 2.850,000 2,850.000 - JOINT FIRST RESPONDERS TRAINING FACILITY - PROP C GCC 13,650,000 13.650,000 - JOINT FIRST RESPONDERS TRAINING FACILITY - PHASE II GCC 8.446,000 -- POLICE CAD IMPLEMENTATION GCC 2.312,227 2,265.042 47,185 LIBRARY FACILITIES LIBRARY EXPANSION (COLE) CFD#1 5,166,500 -- LIBRARY EXPANSION (COLE) PFF 10,603,900 -- LIBRARY EXPANSION (COLE/BROWNLEY DONATION) GCC 1,000,000 COLE LIBRARY IMPROVEMENTS (BROWNLEY DONATION) GCC 629,806 COLE LIBRARY IMPROVEMENTS GCC 1,070,194 DOVE LIBRARY IMPROVEMENTS GCC 1,301,000 TRAILS ARROYO VISTA TRAIL EXTENSION (PROP C) GCC 235,000 COASTAL RAIL TRAIL TDA 60.784 38.131 22,653 COASTAL RAIL TRAIL (ROUNDABOUT NORTHERLY CITY LIMITS) (CMAQ) FED GRNT 4.482.195 4,438.550 43,645 COASTAL RAIL TRAIL (ROUNDABOUT NORTHERLY CITY LIMITS) SANDAG ATG GRANT OTHER 800.000 COASTAL RAIL TRAIL (ROUNDABOUT NORTHERLY CITY LIMITS) GAS TAX 793,000 LAKE CALAVERA SOUTH TRAIL IMPROVEMENTS GCC 131,000 117.401 13,599 LAKE CALAVERA TRAILS MASTER PLAN/CONSTRUCTION GCC 598,749 180,189 418,560 RORF (FORMERLY RDA) PROJECTS NEW VILLAGE ARTS TENANT IMPROVEMENTS RORF VILLAGE 1,500,000 -1,500,000 MISCELLANEOUS CITYWIDE PROJECTS CFD#1 ADMINISTRATION CFD#1 330,000 HUMAN CAPITAL MANAGEMENT SYSTEM GCC 3.190.000 3,176,585 13,415 OPEN SPACE AND TRAILS (PROP C) GCC 4,686,806 -- SUBTOTAL CIVIC PROJECTS 137,402,325 37,370,826 33,569,493 FACILITIES MAINTENANCE BEACH ACCESS STAIRS REPLACEMENT IRF 517,500 247,973 269,527 CITY HALL ELECTRICAL PANEL UPGRADES IRF 85,000 18,500 66.500 COLE LIBRARY REFURBISHMENTS IRF 1.553.750 DOVE LIBRARY REFURBISHMENTS IRF 500,000 FARADAY EXTERIOR REFURBISHMENT IRF 40.000 HARDING CENTER REFURBISHMENT IRF 100.000 62 jS^ FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 YEAR 2 2014-15 YEARS 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 YEAR 6-10 2019-23 YEAR 11 -15 2024-28 28.201.400 976.400 100,000 100.000 250.000 315.000 130.000 105,000 210,000 290,000 722,000 8,446.000 5.166.500 10.603.900 1.000,000 629,806 1.070,194 1,301.000 235,000 800.000 ^93.000 110,000 110.000 110.000 4.686.806 11,747,806 110,000 110,000 0 37,723,800 16,770,400 1.553.750 500,000 40.000 100.000 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD HOLIDAY PARK FACILITIES MAINTENANCE IRF 50,000 PARK ATHLETIC FIELD LIGHTING RETROFITS IRF 756,000 SENIOR CENTER REFURBISHMENT IRF 52,000 SYNTHETIC TURF REPLACEMENT: POINSETTIA PARK SOCCER FIELD IRF 665,500 ROOF RENOVATION/REPLACEMENT - DOVE LIBRARY AND LAS PALMAS IRF 315,000 315.000 ROOF REPLACEMENT AT THE RAILROAD DEPOT (VISITOR CENTER) IRF 150,000 150.000 SAFETY CENTER EXTERIOR WATERPROOFING IRF 145,000 145.000 FUTURE FACILITIES MAINTENANCE PROJECTS IRF 14.540,000 SUBTOTAL FACILITIES MAINTENANCE 19,469,750 266,473 946,027 PARK PROJECTS NORTHWEST QUADRANT PARKS BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING) ZONE 5 4.202,400 -- PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II PIL-NW 1.900.400 -- PINE AVENUE PARK - PINE COMMUNITY BUILDING - PHASE II PFF 8,590,200 -- VETERAN'S MEMORIAL PARK (CITYWIDE ALL QUADRANTS) CFD#1 23.240.000 -- NORTHEAST QUADRANT PARKS ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING) PIL-NE 2,700,000 - SOUTHWEST QUADRANT PARKS AVIARA COMMUNITY PARK COMMUNITY BUILDING PFF 8,609,800 -- AVIARA COMMUNITY PARK COMMUNITY BUILDING PIL-SW 2,956,100 -- AVIARA REIMBURSEMENT AGREEMENT PIL-SW 238,000 18.900 219,100 POINSETTIA COMMUNITY PARK -PHASE III PFF 16.483,625 1,072,725 - SOUTHEAST QUADRANT PARKS ALGA NORTE PARK - PARK (30 ACRES) - PHASE 1 PFF 22,107,510 20,408,755 1,698,755 ALGA NORTE PARK - POOL - PHASE 1 PFF 6,099.695 385,445 5,714,250 ALGA NORTE PARK - POOL - PHASE 1 (PROP C FUNDS) GCC 11.792.796 11.766,849 25,947 ALGA NORTE PARK - POOL - PHASE 2 GCC 6.180.000 - ALGA NORTE PARK - POOL - PHASE 2 (PROP C FUNDS) GCC 4.535.398 676,498 LEO CARRILLO PARK - PHASE III PFF 1.057,000 -- LEO CARRILLO PARK - PHASE III PIL-SE 886,100 -- SUBTOTAL PARK PROJECTS 121,579,024 34,329,172 7,658,052 DRAINAGE PROJECTS AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN) PLD 4,598,109 3,351.472 1,146,637 AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN) GCC 975,340 -975,340 ASSET MANAGEMENT PLAN (STORM DRAINS) GCC 82,182 54.790 27,392 CARLSBAD BOULEVARD ENCINAS CREEK BRIDGE REPLACEMENT (PLDA "C" - C1) PLD 2.539,566 2.417,656 121,910 CMP REHABILITATION PROGRAM IRF 2,859,360 1.828,247 1.031,113 COLLEGE BLVD. BRIDGE (REIMB./PLDA "B" - FACILITY BL-L ) PLD 1.816.101 -. FIRE STATIONS 1 THRU 5 DRAINAGE SYSTEMS GCC 225.000 -225,000 KELLY DRIVE CHANNEL REPAIR IRF 1,161,000 304,713 856.287 KELLY DRIVE CHANNEL REPLACEMENT IRF 1,822,600 LA COSTA AVE DRAINAGE IMPROVEMENT PROJECT IRF 492.150 144,392 347.758 lA COSTA AVE SLOPE REPAIR WEST OF ROMERIA GAS TAX 209.000 46.376 157.624 MARCA DRIVE DRAINAGE IMPROVEMENTS GAS TAX 65,000 1.071 63,929 MASTER DRAINAGE PLAN PROJECT AAA (Jefferson Street) PLD 289,534 - MASTER DRAINAGE PLAN PROJECT AAAA (Madison Street) PLD 416,500 -- MASTER DRAINAGE PLAN PROJECT AC (Hosp Grove) PLD 992.913 71.505 58,495 MASTER DRAINAGE PLAN PROJECT AFA (Hidden Valley Drainage Restoration) PLD 91.608 -- MASTER DRAINAGE PLAN PROJECT AFB (Calavera Hills Drainage Restoration) PLD 163.164 -- MASTER DRAINAGE PLAN PROJECT BB 1 and 2 (Washington Street) PLD 1.086,065 -- MASTER DRAINAGE PLAN PROJECT BCB (Magnolia Avenue) PLD 468,096 -- MASTER DRAINAGE PLAN PROJECT BFA (Country Store) PLD 963,673 -- MASTER DRAINAGE PLAN PROJECT BFB-U (El Camino Real) PLD 138,220 -- MASTER DRAINAGE PLAN PROJECT BJ B, BNB AND BJ-1 PLD 2,761,644 2,249.448 512,196 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 YEAR 2 2014-15 YEARS 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 YEAR 6-10 2019-23 YEAR 11 -15 2024-28 50,000 756,000 52,000 665,500 1.490.000 800.000 1,200,000 1,050,000 5,000,000 5,000,000 3,717,250 1,490,000 800,000 1,200,000 1,050,000 5,000,000 5,000,000 4,202,400 1,900,400 8,590,200 23,240,000 150,000 2,550,000 8,609.800 2,956,100 15,410.900 80,000 230,000 110,000 110,000 867.000 886.100 1,753,100 6.180.000 3,858.900 25,449,800 100,000 1.816.101 1.822.600 5.000 52,048,900 289.534 416,500 862.913 91.608 163.164 1,086,065 468,096 963,673 138,220 U2 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD MASTER DRAINAGE PLAN PROJECT BL-U (College Blvd. Drainage) PLD 384.509 -- MASTER DRAINAGE PLAN PROJECT BM (College Blvd./Canatarini Box Culvert) PLD 204,077 -- MASTER DRAINAGE PLAN PROJECT BQ (Sunnycreek Road) PLD 131,355 -- MASTER DRAINAGE PLAN PROJECT BR (Canatarini/College Blvd.) PLD 180,773 -- MASTER DRAINAGE PLAN PROJECT C2 (Paseo Del Norte) PLD 727,730 -- MASTER DRAINAGE PLAN PROJECT CA (Avenida Encinas) PLD 529,402 -- • MASTER DRAINAGE PLAN PROJECT DBA (Poinsettia Village) PLD 167,215 -- MASTER DRAINAGE PLAN PROJECT DBB (Avenida Encinas) PLD 429,108 -- MASTER DRAINAGE PLAN PROJECT DFA (Batiquitos Lagoon) PLD 256,423 -- MASTER DRAINAGE PLAN PROJECT DH (Altiva Place Canyon) PLD 232.812 -- MASTER DRAINAGE PLAN PROJECT DQB (La Costa Town Center) PLD 745,842 -- MASTER DRAINAGE PLAN PROJECT DZ (Poinsettia Lane) PLD 642,063 -- NW QUADRANT STORM DRAIN IMPROVEMENT PROGRAM GAS TAX 5.509,094 1,673,234 1.410,020 PARK DRIVE AND TAMARACK AVENUE STORM DRAIN BCA (PLDA "B") PLD 1,068,613 -- PARK DRIVE RETAINING WALL AND STREET IMPROVEMENTS GCC 243,000 47,210 195.790 RAISE BURIED STORM DRAIN CLEANOUTS GCC 50.000 44,946 5,054 ROMERIA DRAINAGE IMPROVEMENTS GCC 299.000 116,752 182,248 ROMERIA DRAINAGE IMPROVEMENTS GAS TAX 348.000 44,785 293,215 TAMARACK AND ECR STORM DRAIN AND SILT BASIN (REIMB./PLDA "B" - BFB-L + BF-1) PLD 904.329 -- SUBTOTAL DRAINAGE PROJECTS 37,270,170 12,396,597 7,610,008 SEWER PROJECTS ENCINA WATER POLLUTION CONTROL FACILITY ENCINA CAPITAL PROJECTS SEWER REPL 58,948.857 6.959.432 2,338,318 PHASE IV EXPANSION - DEBT SERVICE SEWER CONN 1,853.610 PHASE V EXPANSION SEWER CONN 10.910.358 10,559.811 350.547 SEWER COLLECTION SYSTEM ASSET MANAGEMENT PLAN SEWER REPL 82,182 54.790 27.392 AVENIDA ENCINAS GRAVITY SEWER SEWER REPL 150,000 -150.000 BATIQUITOS LIFT STATION PUMP REPLACEMENT SEWER REPL 250,000 38,430 211.570 BUENA INTERCEPTOR SEWER ACCESS ROAD IMPROVEMENTS SEWER REPL 150,000 BUENA INTERCEPTOR SEWER REALIGNMENT - EAST SEGMENT SEWER REPL 1,987,000 BUENA INTERCEPTOR SEWER/MANHOLE REHABILITATION SEWER REPL 3.826,000 207,899 BUENA INTERDEPTOR REHAB AT ENCINA PLANT (REIMB) SEWER REPL 100,003 -100.000 CALAVERA HILLS TREATMENT PLANT - DEMOLITION SEWER REPL 723,500 282,926 440,574 CHINQUAPIN LS FORCE MAIN OUTFALL REALIGNMENT SEWER REPL 212,000 CREST DRIVE SEWER EXTENSION OTHER 350,000 FARADAY/EL CAMINO REAL SEWER REPLACEMENT SEWER CONN 1,540,000 FLOW METER REPLACEMENT AT EIGHT LIFT STATIONS SEWER REPL 100,000 45,476 54,524 FOXES LANDING LIFT STATION WETWELL AND PUMP REPLACEMENT SEWER REPL 2,650,000 36,317 713,683 FOXES LIFT STATION FORCEMAIN REHABILITATION SEWER REPL 225,000 25.000 GATESHEAD LIFT STATION REMOVAL SEWER REPL 74,000 HOME PLANT PIPELINE AND LIFT STATION REPLACEMENT SEWER REPL 4,139,000 992,963 3.146.037 LAS PALMAS TRUNK SEWER SEWER CONN 2,420,000 MARRON ROAD SEWER REPLACEMENT SEWER CONN 350,000 NORTH AGUA HEDIONDA INTERCEPTOR - WEST SEGMENT SEWER REPL 5,854,000 5,321,379 532,621 NORTH AGUA HEDIONDA TRUNK SEWER REACH NAHT1A (SBA "B") SEWER REPL 2.862.000 1,627,715 1.234.285 NORTH BATIQUITOS ACCESS ROAD IMPROVEMENTS SEWER REPL 250.000 NORTH BATIQUITOS LIFT STATION FORCEMAIN REHABILITATION SEWER REPL 550.000 OCCIDENTAL SEWER IMPROVEMENTS SEWER REPL 849.000 748,115 100.885 ODOR AND CORROSION PREVENTION ASSESSMENT SEWER REPL 100.000 -100.000 POINSETTIA LANE LIFT STATION EMERGENCY OVERFLOW BASIN SEWER REPL 1.200.000 QUARRY CREEK SEWER EXTENSION (SBA "A" - REIMB. AGREEMENT) OTHER 567.000 SEWER CAPACITY MONITORING PROGRAM SEWER CONN 590,000 113,527 90.473 SEWER EASEMENT ACCESS PROGRAM SEWER REPL 400.000 SEWER LIFT STATION REPAIRS AND UPGRADES SEWER REPL 2.860.380 1.310,199 50.181 SEWER LINE REFURBISHMENTS AND REPLACEMENT SEWER REPL 8,347,895 2,437.726 960.169 SEWER PIPELINE CONDITION ASSESSMENT SEWER REPL 633,000 39,484 353.516 ip3 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 YEAR 2 2014-15 YEARS 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 YEAR 6-10 2019-23 YEAR 11 -15 2024-28 384.509 204,077 131.355 180,773 727,730 529.402 167.215 429.108 256.423 232.812 745,842 642,063 2,140,000 130,340 155,500 222.000 846,613 10,000 904.329 2,477,000 976,953 155,500 3,638,701 10,015,411 2.495,396 928,419 1,900,000 74,000 30,000 567,000 50.000 400,000 100,000 330.000 80,000 1,979,719 925,191 4,494,401 2,684.612 3,906.289 16.185,113 17.905.577 150.000 507.000 1,654,101 60,000 140,000 200,000 430,000 350,000 250,000 115.000 90,000 50,000 100,000 330,000 80,000 1,480,000 1,964,000 152,000 1,400,000 350,000 1,990,000 435,000 1,080,000 22,000 100.000 330.000 80.000 22,000 100.000 330.000 22,000 100.000 330.000 110.000 500.000 1.650.000 110.000 500.000 1.650,000 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 TOTAL PRIOR BALANCE PROJECT TITLE FUND COST EXP/ENC FORWARD SIMSBURY SEWER EXTENSION SEWER REPL 161,000 TAMARACK SEWER REHABILITATION AT RAILROAD RIGHT-OF-WAY SEWER REPL 252,000 -252,000 TERRA MAR LIFT STATION REPLACEMENT SEWER REPL 987.000 986,576 424 TERRA MAR SEWER REPLACEMENT - EL ARBOL AND LOS ROBLES SEWER REPL 1,250,000 VANCOUVER SEWER EXTENSION SEWER REPL 1,006.000 155,200 850,800 VISTA/CARLSBAD BUENA VISTA LIFT STATION IMPROVEMENTS SEWER CONN 1.075.000 VISTA/CARLSBAD INTER. BUENA VISTA LS/FORCEMAIN (VC-4) SEWER CONN 5,725,000 4,825,876 899,124 VISTA/CARLSBAD INTER. HEDIONDA LS AND FORCEMAIN (VC12-VC13) SEWER CONN 23.700,000 1,967.911 21,732.089 VISTA/CARLSBAD INTERCEPTER REACHES 1 & 2 REHABILITATION SEWER REPL 141,000 VISTA/CARLSBAD INTERCEPTOR REACH VC11B SEWER CONN 6,930.000 763.238 6.166,762 VISTA/CARLSBAD INTERCEPTOR REACH VC14 TO VC15 SEWER CONN 16,100,000 2,102.732 13.997.268 VISTA/CARLSBAD INTERCEPTOR REPLACEMENT REACH 3 SEWER CONN 2,688.200 -- SUBTOTAL SEWER PROJECTS 176,119,985 41,577,722 54,878,242 WATER DISTRIBUTION SYSTEM ASSET MANAGEMENT PLAN WATER REPL 164,365 107.744 56,621 AVIARA PARKWAY AND PLUM TREE WATERLINE WATER REPL 815,000 -- BUENA VISTA PUMP STATION AND FOREBAY REMOVAL WATER REPL 150,000 CARLSBAD BOULEVARD - SOUTH OF AVENIDA ENCINAS WATER REPL 950,000 -- CATHODIC PROTECTION PROGRAM WATER REPL 1,246.700 192.442 1,054,258 COLLEGE BOULEVARD - CANNON TO BADGER LANE WATER CONN 1,090,000 - COLLEGE BOULEVARD PIPELINE "A" STREET TO CANNON ROAD WATER CONN 1,060,000 183 1,059,817 CRESTVIEW DRIVE TRANSMISSION MAIN WATER REPL 240,000 -- DESALINATED SEAWATER TRANSMISSION MAIN WATER CONN 473,000 DESALINATED SEAWATER TRANSMISSION MAIN WATER REPL 1,027,000 E TANK DECOMMISSION (THE CROSSINGS ROAD) WATER REPL 150.000 EL FUERTE AND CORINTIA STREET PRESSURE REDUCING STATION WATER REPL 500,000 -100,000 ELLERY WATER PUMP PROJECT WATER REPL 298,495 23,495 55,000 ELLERY PUMP STATION DECOMMISSION WATER REPL 120,000 FIRE FLOW SYSTEM IMPROVEMENTS WATER REPL 2,449.000 HYDROELECTRIC GENERATOR AT PALOMAR AIRPORT ROAD/WHITE SANDS WATER REPL 2.160,000 HYDROELECTRIC RENEWABLE ENERGY GENERATOR-MAERKLE RES. WATER REPL 2,000,000 453,640 1.546.360 KELLY RANCH PRESSURE REDUCING STATION WATER REPL 560.000 -560,000 LA COSTA HI RESERVOIR INLET PIPELINE WATER REPL 2.150,000 LAKE CALAVERA RESERVOIR IMPROVEMENTS WATER REPL 6,396,911 6,018,542 378,369 LIMITED ACCESS PIPELINE RELOCATION PROJECT WATER REPL 1,940,000 3,181 481,819 MAERKLE FACILITY IMPROVEMENTS WATER REPL 2.135,200 1,126,304 1,008,896 MAERKLE FLOATING COVER REPLACEMENT WATER REPL 10.000.000 130,000 MAERKLE PUMP STATION IMPROVEMENTS WATER CONN 1,955,200 -- MAERKLE TRANSMISSION MAIN WATER REPL 6,330,000 341,431 4,858,569 MISCELLANEOUS PIPELINE REPLACEMENTS WATER REPL 1,433,000 307,641 1,125,359 WATER VALVE REPLACEMENT PROGRAM WATER REPL 1,850,000 82,813 267,187 OCEANSIDE WATER INTERTIE UPGRADE WATER REPL 115,000 -- PARK DRIVE WATER LINE AND SURFACE IMPROVEMENTS WATER REPL 1,092,000 202,690 889,310 POINSETTIA LANE - CASSIA ROAD TO SKIMMER COURT WATER CONN 741.600 -- PRESSURE REDUCING STATION REPLACEMENT/REHABILITATION WATER REPL 1,102,000 366,117 735,883 RANCHO CARLSBAD GROUNDWATER SUPPLY WATER CONN 1,750,000 RANCHO CARLSBAD GROUNDWATER SUPPLY WATER REPL 1,750.000 RESERVOIR REPAIR AND MAINTENANCE PROGRAM WATER REPL 6.000,000 1,122,153 1,912.847 ROBERTSON RANCH WATER TRANSMISSION MAIN WATER REPL 1,200.000 1.200.000 SAN LUIS REY MISSION BASIN GROUNDWATER SUPPLY WATER CONN 8,527,500 SAN LUIS REY MISSION BASIN GROUNDWATER SUPPLY WATER REPL 8,527.500 SANTA FE II INLET PIPELINE WATER REPL 2,838,000 SANTA FE II RESERVOIR SITE DRAINAGE WATER REPL 645,000 484,240 160,760 TRI-AGENCIES WATER TRANSMISSION PIPELINE REPLACEMENT WATER REPL 6.455.000 132,035 1.122,965 WATER MASTER PLAN UPDATE WATER CONN 700,000 588,708 111.292 WATER SYSTEM INTERTIE CONNECTION WATER REPL 405,000 -- SUBTOTAL WATER DISTRIBUTION SYSTEM 91,492,471 11,553,359 18,815,312 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 YEAR 2 2014-15 YEARS 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 YEAR 6-10 2019-23 YEAR 11 -15 2024-28 161,000 180,000 1,070,000 100,000 225,000 750,000 20,000 121,000 596,200 2,092,000 6,954,815 8,468,211 17,035,404 4,236,612 4,358,289 18,445,113 20,165,577 815,000 150,000 280,000 670,000 1,090,000 240,000 45.000 45.000 383.000 100.000 80.000 847.000 150.000 400.000 220.000 120,000 720,000 720,000 1,009,000 85,000 275,000 1,800.000 250.000 1.900.000 485.000 485,000 485,000 140,000 9,730,000 170,000 1.785,200 1,130,000 100,000 100.000 100,000 100.000 100.000 500.000 500.000 115,000 741,600 325,000 1.425,000 325.000 1.425.000 965,000 150,000 1,850,000 27.500 8.500,000 27,500 8,500,000 470,000 2,368.000 100.000 5.100.000 405,000 4,125,000 20,665,200 8,563,000 2,570,000 100,000 4,750,600 20,350,000 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD RECYCLED WATER PROJECTS ENCINA WATER POLLUTION CONTROL FACILITY CARLSBAD WATER RECYCLING FACILITY (ENCINA PROJECTS) WATER REPL 4.546,315 40,323 430,177 RECYCLED WATER SYSTEM ABANDON POTABLE SERVICES (NEW RECYCLED SERVICES) WATER REPL 390.000 48,440 146,560 CWRF - FLOW EQUALIZATION AND CHLORINE CONTACT TANK COVERS WATER REPL 765.000 8,136 256,864 EL CAMINO REAL AND TAMARACK PUMP STATION REMOVAL WATER REPL 80.000 -- EL CAMINO REAL RECYCLED WATER PIPELINE (LA COSTA RESORT) WATER REPL 1.615,000 146,388 1,468.612 PALOMAR BUISNESS PARK RECYCLED WATER PIPELINES WATER REPL 1,245,000 -1,245,000 RECYCLED WATER LINE - CWRF TO CHINQUAPIN WATER REPL 1,900.000 160,140 1,739,860 RECYCLED WATER MASTER PLAN UPDATE WATER REPL 672,468 632,446 40,022 RECYCLED WATER PHASE III - PIPELINES RECL WATER 18.700.000 RECYCl ED WATER PHASE III - PIPELINES WATER REPL 2,000,000 867 1,999,133 RECYCLED WATER PHASE III - CWRF EXPANSION RECL WATER 6,260,000 RECYCLED WATER PHASE III - CWRF EXPANSION WATER REPL 640,000 277 639,723 RECYCLED WATER PHASE III - RESERVOIR RECL WATER 1,500.000 RECYCLED WATER PHASE III - RESERVOIR WATER REPL 300,000 300,000 SUBTOTAL RECYCLED WATER PROJECTS 40,613,783 1,037,017 8,265,951 CIRCULATION SYSTEM TRAFFIC SIGNAL PROJECTS PEDESTRIAN CROSSING - CARLSBAD BLVD./VILLAGE GAS TAX 200,000 50,909 149,091 TRAF SIG - ALGA ROAD AND CAZADERO GAS TAX 210,000 -- TRAF SIG - ARAMADA DRIVE AND FLEET STREET (S) GAS TAX 190,000 -- TRAF SIG - ARMADA DRIVE AND GRAND PACIFIC RESORTS GAS TAX 190,000 -- TRAF SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL GAS TAX 30,869 10,869 - TRAF SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL OTHER 645,356 343,356 - TRAF SIG - AVIARA PARKWAY-POINSETTIA LANE TO EL CAMINO REAL GAS TAX 160,164 164 - TRAF SIG - CAMINO DE LOS COCHES AND LA COSTA AVENUE GAS TAX 190,000 -- TRAF SIG - CAMINO VIDA ROBLE AND YARROW DRIVE GAS TAX 190,000 -- TRAF SIG - CANNON ROAD AND AVENIDA ENCINAS-REIMB. PFF 150,000 300 149,700 TRAF SIG - CANNON ROAD AND COLLEGE BOULEVARD (DEVELOPER CONSTR) GAS TAX 80.000 -80,000 TRAF SIG - EL CAMINO REAL AND CHESTNUT SIGNAL REPAIRS IRF 276.000 -276,000 TRAF SIG - EL CAMINO REAL AND TAMARACK SIGNAL REPAIRS IRF 200,000 -200,000 TRAF SIG - EL FUERTE ST AND LOKER AVENUE GAS TAX 210,000 204,161 5,839 TRAF SIG - EL FUERTE ST AND RANCHO PANCHO GAS TAX 190,000 -- TRAF SIG - FARADAY AVE. AND CAMINO HILLS DRIVE GAS TAX 190,000 -- TRAF SIG - FARADAY AVENUE AND PALMER WAY GAS TAX 190,000 TRAF SIG - LA COSTA AVENUE AND LEVANTE GAS TAX 210.000 -- TRAF SIG - MONROE STREET AND HOSP WAY GAS TAX 210,000 -- TRAF SIG - POINSETTIA LANE AND BRIGANTINE ROAD GAS TAX 190,000 -- TRAF SIG - TAMARACK AVE. AND VALLEY STREET GAS TAX 190,000 -- TRAFFIC SIGNAL PROGRAM GCC 912,000 911,674 326 TRAFFIC SIGNAL PROGRAM IRF 4,772,974 1,029.042 3,743,932 SUBTOTAL TRAFFIC SIGNAL PROJECTS 9,977,363 2,550,475 4,604,888 STREET PROJECTS ADA IMPROVEMENTS TRANSNET-LOC 1,670,000 AVENIDA ENCINAS WIDENING - SOUTH OF PALOMAR AIRPORT ROAD TIF 5,402,000 169,631 55,369 BATIQUITOS DRIVE SLOPE STABILIZATION GAS TAX 40.100 913 39,187 CAMINO HILLS AND JACKSPAR DRIVE SLOPE STABILIZATION GCC 859,400 20,882 838,518 CARLSBAD BLVD BRIDGE CONCRETE BARRIER POWER PLANT FED GRNT 1,032,482 141,049 8,345 CARLSBAD BLVD BRIDGE CONCRETE BARRIER POWER PLANT (LOCAL MATCH) TRANSNET-LOC 133.769 2,102 16,106 CARLSBAD BLVD BRIDGE CONCRETE BARRIER RAILROAD FED GRNT 979.275 217,276 730 CARLSBAD BLVD BRIDGE CONCRETE BARRIER RAILROAD (LOCAL MATCH) TRANSNET-LOC 126.876 20.198 8,047 CARLSBAD BLVD. REALIGNMENT TRANSNET-LOC 3,000,000 1,050,653 1,949.347 CARLSBAD BLVD. REALIGNMENT GCC 250,000 250.000 ^7 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 59.815 195,000 500,000 1,500,000 190,000 190,000 250,000 883,088 115.561 761.269 98,631 YEAR 2 2014-15 309,000 3,100,000 15,600,000 500,000 5,760,000 5,854,815 21,669,000 190,000 210,000 YEAR 3 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 301,000 106,000 400,000 250,000 80,000 381,000 106,000 20,000 302,000 160,000 190,000 190,000 YEAR 6-10 2019-23 862,000 250,000 250,000 250,000 421,000 2,395,000 2,361,000 210.000 190,000 190,000 210,000 190,000 190,000 1,180,000 420.000 YEAR 11 -15 2024-28 300.000 1.500,000 1,500,000 300,000 1,500,000 1,500,000 190,000 190,000 Lf2 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD CARLSBAD BLVD. REALIGNMENT / PALOMAR AIRPORT ROAD (SEGMENT 2) (20%) TIF 804,400 -- CARLSBAD BLVD. REALIGNMENT / PALOMAR AIRPORT ROAD (SEGMENT 2) (RTCIP / 20%) TIF 3,175.500 -- CARLSBAD BOULEVARD MEDIAN-TAMARACK AVENUE TO PINE AVENUE GAS TAX 2,383,400 -- CARLSBAD BOULEVARD REALIGNMENT - CANNON TO MANZANO (SEGMENT 1) TIF 6,047,100 -- CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (20%) TIF 848,700 -- CARLSBAD BOULEVARD WIDENING MOUNTAIN VIEW TO NORTHERLY CITY LIMITS (RTCIP/2( TIF 1,099,000 -- CARLSBAD VILLAGE DRIVE - PONTIAC TO VICTORIA TIF 2.675.900 -- COLLEGE BLVD REACH A AND CANNON REACH 4A OTHER 1,713.000 418,408 1,294,592 COLLEGE/CANNON ASSESSMENT DISTRICT OTHER 10.314.481 9,996,841 317,640 CONCRETE REPAIR/REPLACEMENT PROGRAM GAS TAX 5,000,000 924,051 325,949 CONCRETE REPAIR WORK GAS TAX 750,000 750,000 - EL CAMINO REAL AND CANNON ROAD INTERSECTION IMPROVEMENTS TIF 589,000 -65,000 EL CAMINO REAL AND CARLSBAD VILLAGE DRIVE DUAL LEFT TURNS TIF 976,400 -- EL CAMINO REAL AND COLLEGE BLVD INTERSECTION IMPROVEMENTS GAS TAX 515,000 EL CAMINO REAL LEFT TURN LANE TO WESTBOUND TAMARACK TIF 286,000 -- EL CAMINO REAL MEDIANS GAS TAX 1.984.530 -1,135,000 EL CAMINO REAL MEDIANS PFF 909.500 144.389 765,111 EL CAMINO REAL RIGHT TURN LANE TO NORTH ALGA ROAD TIF 378,000 -- EL CAMINO REAL WIDENING - CASSIA RD TO CAMINO VIDA ROBLE TRANSNET-LOC 2,820.000 -- EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENUE TIF 1,925.000 -- EL CAMINO REAL WIDENING - ARENAL ROAD TO LA COSTA AVENUE (RTCIP) TIF 625.000 -- EL CAMINO REAL WIDENING - LISA STREET TO CRESTVIEW DR OTHER 2,188,800 -- EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT TIF 8,141,022 1,175,292 6.480,730 EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT (RTCIP) TIF 422,000 422,000 - EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT TRANSNET-LOC 3.925.885 80,237 3,845,648 EL CAMINO REAL WIDENING - TAMARACK TO CHESTNUT TRANSNET-STP 345,000 -345,000 LA COSTA AVE - TRAFFIC CALMING GAS TAX 863,000 -- MELROSE DRIVE AND ALGA ROAD DUAL LEFT TURN LANES (RTCIP) TIF 1,067.100 -- MELROSE DRIVE RIGHT TURN LANE TO WEST PALOMAR AIRPORT ROAD TIF 561.000 95,632 465,368 MUTCD STREET NAME SIGN REPLACEMENT GAS TAX 756,217 22,878 733,339 PALOMAR AIRPORT RD. AND COLLEGE BLVD. INTERSECTION IMPROV. TIF 495,500 240,019 255,481 PALOMAR AIRPORT RD. AND COLLEGE BLVD. INTERSECTION IMPROV. GCC 250,500 187,571 62,929 PALOMAR AIRPORT RD/PASEO DEL NORTE LEFT TURN LANE GAS TAX 233,000 -233,000 PALOMAR AIRPORT RD/PASEO DEL NORTE RIGHT TURN LANE GAS TAX 564,000 -564,000 PALOMAR AIRPORT ROAD TURN LANE TO NORTH EL FUERTE STREET TIF 1,033,100 -- PALOMAR AIRPORT ROAD TURN LANE TO SOUTH EL CAMINO REAL TIF 591,000 -591,000 PALOMAR AIRPORT ROAD WIDENING AT PASEO DEL NORTE TIF 1,676,019 1,263,103 412,916 PARKING LOT MAINTENANCE PROGRAM IRF 1,530,000 PAVEMENT MANAGEMENT PROGRAM GAS TAX 26.238.128 1,478,877 3,339,251 PAVEMENT MANAGEMENT PROGRAM TRANSNET-LOC 35,946,376 10,288,984 2,752.392 PAVEMENT MANAGEMENT PROGRAM (NON-JURIS FEES) TRANSNET-LOC 14.782.474 1,510,487 2.096.987 PEDESTRIAN RAILWAY CROSSING FEDGRNT 15.315 15,315 - POINSETTIA LANE - REACH E BTD#2 14.822.000 8,668 641,332 POINSETTIA LANE - REACHES A,B,C,F,G & AVIARA PKWY REIMB BTD#2 1,489.400 -- POINSETTIA LANE WIDENING - PASEO DEL NORTE TO BATIQUITOS (RTCIP) TIF 896,100 -- RANCHO SANTA FE ROAD NORTH - PHASE II (BRIDGE) RSF ROAD 20.671.000 20,140,620 530,380 RETROREFLECTIVITY SIGN REPLACEMENT PROGRAM GAS TAX 2.320,000 21,317 1,128,683 SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS WATER REPL 291,000 204 290,796 SIDEWALK/STREET CONSTRUCTION - VALLEY AND MAGNOLIA SIDEWALKS TIF 1,674,236 89,694 1,584,542 SIDEWALK/STREET CONSTRUCTION - VARIOUS LOCATIONS TIF 4,100,000 341,070 1.058,930 TRAFFIC IMPACT FEE UPDATE TIF 200.000 -200,000 TRAFFIC MONITORING PROGRAM TIF 2.102.900 558.654 200,246 UNDERGROUND DIST. 17 - HARDING, ROOSEVELT GCC 509.800 92.219 417,581 SUBTOTAL STREETS PROJECTS 210,015,685 51,889,234 35,299,472 LOANS TO OTHER FUNDS LOAN - CFD #1 TO TIF CFD#1 2.597,039 2,597,039 LOAN - SEWER REPL TO SEWER CONN SEWER REPL 2,000,000 PFF LOAN TO PIL-NE FOR PARK SITE ACQUISITION PFF 4,550,000 4,550,000 ^9 FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 2013-14 250,000 524,000 286,000 450.000 485.000 310,000 1,170,000 1,830,000 700,000 475.000 300,000 96,000 8,984,549 YEAR 2 2014-15 YEAR 3 2015-16 YEAR 4 2016-17 YEAR 5 2017-18 YEAR 6-10 2019-23 250,000 250.000 250,000 250.000 515,000 849,530 325,000 2,495,000 1,925,000 175,000 863.000 375,000 420,000 425,000 1,400,000 1,450,000 1,450,000 1,450,000 1,575,000 1,500,000 1,500,000 1,500,000 725,000 750,000 750,000 750,000 1,436,000 475,000 220,000 300,000 300,000 300,000 300,000 96,000 96,000 96,000 96,000 1,250,000 976,400 378,000 2,188,800 1.033.100 7,250,000 7,500,000 3,750,000 1,200,000 480,000 9,728,000 11,490,530 8,245,000 4,596,000 26,426,300 2,000,000 YEAR 11-15 2024-28 804,400 3,175,500 2,383,400 6,047,100 848,700 1,099.000 2.675.900 1.250,000 1,067.100 7,250,000 7.500,000 3,750,000 12,736,000 1,489,400 896,100 384.000 53,356,600 qo FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 PROJECT TITLE FUND TOTAL COST PRIOR EXP/ENC BALANCE FORWARD SUBTOTAL FUTURE LOANS TO OTHER FUNDS 9,147,039 7,147,039 REPAYMENTS/TRANSFERS GAS TAX TRANSFER TO GENERAL FUND (TRANSPORTATION OPERATING BUDGET) GAS TAX 9.000.000 LOAN: PIL-NE TO PFF FOR PARK SITE ACQUISITION PIL-NE 4,550,000 LOAN REPAY - SEWER CONN TO SEWER REPL SEWER CONN 2,000.000 TIF TO CFD #1 TIF 2,557,039 SUBTOTAL LOAN REPAYMENTS 18,107,039 - GRAND TOTAL ALL FUNDED PROJECTS 871,194,634 200,117,914 171,647,445 UNFUNDED PROJECTS* AGUA HEDIONDA CHANNEL (PLDA "B" - FACILITY B + BN) 4,600,000 BUSINESS PARK RECREATIONAL FACILITY (PARTIAL FUNDING) 6,600,000 CANNON LAKE PARK (6.7 ACRES) 2,243,000 CANNON ROAD REACH 4 (PARTIAL FUNDING) 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 CARLSBAD BOULEVARD REALIGNMENT - SEGMENTS 3-5 26,100.000 HOSP GROVE/BUENA VISTA LAGOON RECL IMPROVEMENTS 1.280,000 PINE AVENUE PARK - MADISION PROPERTY. PHASE 2 2.320.000 ROBERTSON RANCH PARK DEVELOPMENT (PARTIAL FUNDING) 7.800.000 TOTAL UNFUNDED PROJECTS 98,958,200 9/ FY 2013-14 PRELIMINARY CAPITAL IMPROVEMENT PROGRAM Exhibit 38 YEAR 1 YEAR 2 YEARS YEAR 4 YEAR 5 YEAR 6-10 YEAR 11 -15 2013-14 2014-15 2015-16 2016-17 2017-18 2019-23 2024-28 2,000,000 .... 600,000 600,000 600,000 600,000 600,000 3,000,000 3.000.000 4,550,000 2.000,000 40,000 40,000 40,000 40,000 40,000 200,000 2.157.039 640,000 640,000 640,000 640,000 640,000 5,200,000 9,707,039 44,691,235 64,377,364 42,147,434 18,750,712 11,044,289 129,314,314 189,103,927 EXHIBIT 3 - C PERSONNEL ALLOCATIONS FINAL BUDGET 2011-12 FINAL BUDGET 2012-13 FINAL BUDGET 2013-14 2013-14 CHANGES CITY ATTORNEY 7.00 7.00 7.00 0.00 CITY COUNCIL 1.00 1.00 1.00 0.00 CITY MANAGER 7.00 7.00 7.00 0.00 CITY TREASURER 0.75 0.75 0.75 0.00 COMMUNICATIONS 2.75 2.75 2.75 0.00 COMMUNITY AND ECONOMIC DEVELOPMENT 50.00 47.00 44.00 (3.00) FINANCE AND RISK MANAGEMENT 30.50 30.50 31.50 1.00 FIRE 87.75 87.75 88.00 0.25 HOUSING AND NEIGHBORHOOD SERVICES 13.00 10.00 10.00 0.00 HUMAN RESOURCES & WORKERS COMP 9.00 9.00 9.00 0.00 INFORMATION TECHNOLOGY 22.50 22.50 22.50 0.00 LIBRARY & ARTS 51.25 51.25 51.25 0.00 PARKS AND RECREATION 70.95 68.40 67.60 (0.80) POLICE 162.00 161.00 161.00 0.00 PROPERTY AND ENVIRONMENTAL MANAGEMENT 39.60 40.55 40.60 0.05 RECORDS MANAGEMENT 6.25 6.00 5.00 (1.00) TRANSPORTATION 54.40 54.40 53.40 (1.00) UTILITIES 68.55 67.65 65.40 (2.25) FULL AND 3/4 TIME LABOR FORCE 684.25 674.50 667.75 (6.75) SUMMARY OF REQUESTED LABOR FORCE BY CATEGORY 2011-12 2012-13 Difference Full Time Personnel 3/4 Time Personnel in Full Time Count Limited Term Personnel Unfunded Full Time Positions Hourly Full Time Equivalent Personnel 679.75 450 0.00 (3.00) 139.74 669.00 4.50 1.00 0.00 132.58 661.00 3.75 2.00 1.00 150.58 (8.00) (0.75) 1.00 1.00 18.00 TOTAL LABOR FORCE* 820.99 807.08 818.33 11.25 A-23 73