HomeMy WebLinkAbout2020-06-23; City Council; Resolution 2020-127RESOLUTION NO. 2020-127
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD,
CALIFORNIA, ADOPTING THE FINAL OPERATING BUDGET AND CAPITAL
IMPROVEMENT PROGRAM FOR FISCAL YEAR 2020-21 FOR THE CITY OF
CARLSBAD AND ESTABLISHING CONTROLS ON CHANGES IN
APPROPRIATIONS FOR BUDGET FUNDS
EXHIBIT3
WHEREAS, the City Council of the City of Carlsbad, California has reviewed the
proposed final Operating Budget and Capital Improvement Program for fiscal year (FY) 2020-21 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.
2. That certain documents now on file in the office of the City Clerk of the City of
Carlsbad entitled, "City of Carlsbad, FY 2020-21 Preliminary Operating Budget and FY 2020-21 to FY
2034-35 Capital Improvement Program -Preliminary" as amended, if necessary, in accordance with
Exhibits 3A through 3C attached and incorporated by reference, are adopted as the final Operating
and Capital Improvement Budgets for the City of Carlsbad for FY 2020-21 along with the program
options and/or adjustments, if any, determined by the City Council as set forth in the minutes of the
City Council meeting of Tuesday, June 23, 2020.
3. That the amounts reflected as estimated revenues for FY 2020-21 as shown in
Exhibits 3A and 3B are adopted as the budgeted revenues for FY 2020-21.
4. That the amounts designated as the FY 2020-21 Budget request in Exhibits 3A
and 3B are appropriated to the department or fund for which they are designated and such
appropriation shall not be increased except as provided in this resolution.
5. That total appropriations for each fund may only be increased or decreased by
the City Council by passage of a resolution amending the budget except as provided in this resolution.
June 23, 2020 Item #9 Page 42 of 124
6. That the following controls are placed on the use and transfer of budget funds:
A. No expenditure of funds shall be authorized unless sufficient funds have been
appropriated by the City Council or City Manager as described below.
i. The City Manager may authorize all transfers of funds from account to
account within any department.
ii. The City Manager may authorize transfers of funds between departments
within the same fund in an amount up to $100,000 per transfer.
iii. The City Manager may delegate any of the authority given to him/her under
this resolution.
iv. The City Manager may authorize budget adjustments involving offsetting
revenues and expenditures; the City Manager may authorize increases in an appropriation for a
specific purpose where the appropriation is offset by unbudgeted revenue, which is designated for
said specific purpose.
v. The City Manager may authorize the transfer of appropriations between
accounts and/or capital projects up to $1,000,000 for the costs associated with the Encina
Wastewater Facility (Encina) as authorized by the Encina Wastewater Authority's staff and/or Board.
Any increase to the total appropriations for Encina's operating budget and capital program must be
approved by the City Council.
vi. The City Manager may authorize budget adjustments to increase the
appropriations for the Workers Compensation and Risk Management Funds operating budgets in an
amount equal to the increases in costs of estimated claims expenses.
vii. The City Manager may authorize budget adjustments to increase the
appropriations for the Workers Compensation and Risk Management Funds for estimated IBNR
(incurred but not reported) losses.
viii. The City Manager may authorize budget adjustments to increase the
appropriations for Mutual Aid Overtime in an amount equal to the increases in amounts to be
reimbursed by other agencies.
ix. The City Council must authorize all transfers of funds from the City Council's
June 23, 2020 Item #9 Page 43 of 124
Contingency Account.
B. The City Council must authorize any increase in the number of authorized
permanent personnel positions above the level identified in Exhibit 3C.
C. The City Manager may authorize the hiring of temporary or part-time staff as
necessary within the limits imposed by the controls listed above.
7. That the legal level of budgetary control is the fund level. Budgets may not legally be
exceeded at the fund level without appropriate authorization by the City Council.
8. That interest earned on grants may be appropriated during the year for the purpose
for which the grant was received.
9. That all appropriations in the Capital Improvement Program remaining unexpended at
June 30, 2020, are appropriated to FY 2020-21. Unexpended appropriations will remain in their
respective project budgets.
10. That all appropriations in the Operating Budget remaining unexpended at June 30,
2020 related to developer deposits received for developer funded studies not yet completed,
previously appropriated funding in the Innovation Fund or grant awards received or expected for
projects that are continuing into the next fiscal year are appropriated to FY 2020-21.
11. That all appropriations for outstanding encumbrances as of June 30, 2020, are
continued into FY 2020-21 for such contracts or obligations.
Ill
Ill
Ill
Ill
Ill
Ill
Ill
June 23, 2020 Item #9 Page 44 of 124
PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the City Council of the
City of Carlsbad, the Board of Directors of the Carlsbad Municipal Water District, the Board of
Directors of the Carlsbad Public Financing Authority, the City of Carlsbad Community Development
Commission, and the City Council of the City of Carlsbad as Successor Agency to the Carlsbad
Redevelopment Agency held on the 23 rd day of June, 2020, by the following vote to wit:
AYES:
NAYS:
ABSENT:
Hall, Blackburn, Bhat-Patel, Schumacher.
None.
None.
MATT HALL, Mayor
(SEAL)
June 23, 2020 Item #9 Page 45 of 124
CITY OF CARLSBAD
OPERATING FUNDS
PROJECTED FUND BALANCES
Projected
Beginning Advances Ending
Fund Balance Projected Projected & Fund Fund Balance
Fund July 1, 2019 Revenues Expenditures Transfers June 30, 2020
General Fund $82,479,945 *$164,252,000 $159,801,000 1,976,000 88,906,945 *
Special Revenue Funds
Affordable Housing 21,538,307 1,716,000 675,000 22,579,307
Agricultural Mitigation Fee 759,504 243,552 0 1,003,056
Buena Vista Channel Maintenance District 1,394,469 115,000 137,500 1,371,969
Citizen's Option for Public Safety 255,535 240,700 245,000 251,235
Community Activity Grants 1,085,116 21,000 0 1,106,116
Community Development Block Grant 5,645 821,700 827,345 0
Cultural Arts Donations 264,664 51,000 59,350 256,314
Flower Fields Grant Program 933,514 9,758 943,272 0
Habitat Mitigation Fee 0 1,500 1,104,114 1,104,114 1,500
Library and Arts Endowments 261,200 5,000 4,000 262,200
Library Gifts and Bequests 1,375,752 324,000 317,600 1,382,152
Lighting and Landscaping District No. 2 3,816,835 685,000 350,000 4,151,835
Local Cable Infrastructure 842,903 323,000 180,000 985,903
Median Maintenance District 243,627 906,500 890,000 260,127
Parking In Lieu Fee 1,062,401 155,880 48,000 1,170,281
Police Asset Forfeiture 181,385 246,500 125,000 302,885
Public Safety Grants 0 350,000 350,000 0
Recreation Donations 297,123 30,800 53,250 274,673
Rental Assistance 285,726 7,550,000 7,670,000 165,726
Senior Donations 334,086 22,000 36,000 320,086
Street Lighting Maintenance District 2,422,850 955,000 770,000 2,607,850
Street Tree Maintenance District 147,499 865,000 630,000 382,499
Total Special Revenue Funds 37,508,141 15,638,890 15,415,431 1,104,114 38,835,714
Enterprise Funds
Water Operations 28,064,543 45,571,000 44,000,000 29,635,543
Recycled Water Operations 8,572,441 8,348,600 9,000,000 7,921,041
Wastewater Operations 8,882,298 14,700,000 13,600,000 9,982,298
Solid Waste Management 14,652,576 3,869,000 4,212,000 14,309,576
Golf Course 1,961,770 6,205,000 7,379,000 787,770
Total Enterprise Funds 62,133,628 78,693,600 78,191,000 0 62,636,228
Internal Service Funds
Workers' Compensation 3,301,487 3,815,000 3,030,000 4,086,487
Risk Management 2,779,467 2,299,000 2,065,000 3,013,467
Self-Insured Benefits 1,900,266 19,897 0 1,920,163
Vehicle Maintenance 1,071,317 2,994,500 2,610,000 1,455,817
Vehicle Replacement 18,067,636 2,751,000 4,410,000 16,408,636
Information Technology 6,217,903 13,232,500 12,125,000 7,325,403
Total Internal Service Funds 33,338,076 25,111,897 24,240,000 0 34,209,973
Successor Agency Housing Trust Fund 1,305,531 5,110,000 1,825,000 (3,050,000)1,540,531
Total Operating Funds $216,765,321 $288,806,387 $279,472,431 30,114 226,129,391
* For the General Fund only, this represents unassigned fund balance. June 23, 2020 Item #9 Page 46 of 124
CITY OF CARLSBAD
OPERATING FUNDS
PROJECTED FUND BALANCES
Projected
Beginning Advances Ending
Fund Balance Estimated Adopted & Fund Fund Balance
Fund June 30, 2020 Revenues Budget Transfers June 30, 2021
General Fund $88,906,945 *$164,787,962 $163,621,037 2,460,000 92,533,870 *
Special Revenue Funds
Affordable Housing 22,579,307 1,131,000 880,698 22,829,609
Agricultural Mitigation Fee 1,003,056 7,000 0 1,010,056
Buena Vista Channel Maintenance District 1,371,969 114,000 195,245 1,290,724
Citizen's Option for Public Safety 251,235 177,000 253,937 174,298
Community Activity Grants 1,106,116 10,000 30,000 1,086,116
Community Development Block Grant 0 656,200 655,643 557
Cultural Arts Donations 256,314 52,700 122,385 186,629
Flower Fields Grant Program 0 0 0 0
Habitat Mitigation Fee 1,500 15,000 0 16,500
Library and Arts Endowments 262,200 3,000 6,000 259,200
Library Gifts and Bequests 1,382,152 258,700 426,910 1,213,942
Lighting and Landscaping District No. 2 4,151,835 681,300 354,681 4,478,454
Local Cable Infrastructure 985,903 295,000 351,000 929,903
Median Maintenance District 260,127 1,062,000 1,221,612 100,515
Parking In Lieu Fee 1,170,281 12,000 50,000 1,132,281
Police Asset Forfeiture 302,885 47,000 316,000 33,885
Public Safety Grants 0 0 0 0
Recreation Donations 274,673 50,000 98,700 225,973
Rental Assistance 165,726 7,751,000 7,723,066 193,660
Senior Donations 320,086 21,000 104,500 236,586
Street Lighting Maintenance District 2,607,850 910,000 967,581 2,550,269
Street Tree Maintenance District 382,499 470,000 877,810 (25,311)
Total Special Revenue Funds 38,835,714 13,723,900 14,635,768 37,923,846
Enterprise Funds
Water Operations 29,635,543 45,584,600 46,126,865 29,093,278
Recycled Water Operations 7,921,041 8,179,400 10,583,658 5,516,783
Wastewater Operations 9,982,298 14,317,000 15,235,755 9,063,543
Solid Waste Management 14,309,576 4,126,300 5,022,951 13,412,925
Golf Course 787,770 6,919,000 6,571,000 1,135,770
Total Enterprise Funds 62,636,228 79,126,300 83,540,229 58,222,299
Internal Service Funds
Workers' Compensation 4,086,487 4,066,093 3,664,554 4,488,026
Risk Management 3,013,467 2,393,460 2,684,739 2,722,188
Self-Insured Benefits 1,920,163 0 1,920,163 0
Vehicle Maintenance 1,455,817 3,552,550 3,296,304 1,712,063
Vehicle Replacement 16,408,636 3,312,445 3,779,298 15,941,783
Information Technology 7,325,403 12,499,451 13,567,910 6,256,944
Total Internal Service Funds $34,209,973 $25,823,999 $28,912,968 31,121,004
Successor Agency Housing Trust Fund $1,540,531 $3,955,000 $1,933,523 (2,460,000)1,102,008
Total Operating Funds $226,129,391 $287,417,161 $292,643,525 0 220,903,027
* For the General Fund only, this represents unassigned fund balance.
June 23, 2020 Item #9 Page 47 of 124
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
General Fund
Taxes
Property Tax $68,496,492 $72,425,000 $74,218,000 2.5%$1,793,000
Sales Tax 40,794,779 37,154,000 36,329,000 -2.2%(825,000)
Transient Occupancy Tax 26,320,645 17,948,000 18,463,000 2.9%515,000
Franchise Tax 6,099,805 5,815,000 5,512,000 -5.2%(303,000)
Business License Tax 5,321,780 5,071,000 4,990,000 -1.6%(81,000)
Transfer Tax 1,714,782 1,180,000 1,204,000 2.0%24,000
Total Taxes 148,748,283 139,593,000 140,716,000 0.8%1,123,000
Intergovernmental
Homeowners Exemption 345,211 350,000 350,000 0.0%-
Other Intergovernmental 1,592,991 786,000 574,000 -27.0%(212,000)
Total Intergovernmental 1,938,202 1,136,000 924,000 -18.7%(212,000)
Licenses and Permits
Building Permits 1,696,927 1,250,000 795,000 -36.4%(455,000)
Other Licenses and Permits 971,121 1,245,000 1,019,000 -18.2%(226,000)
Total Licenses And Permits 2,668,048 2,495,000 1,814,000 -27.3%(681,000)
Charges for Services
Planning Fees 730,167 318,000 367,000 15.4%49,000
Building Department Fees 1,161,368 890,000 850,000 -4.5%(40,000)
Engineering Fees 583,903 590,000 565,000 -4.2%(25,000)
Ambulance Fees 2,500,590 2,639,000 2,830,000 7.2%191,000
Recreation Fees 2,897,546 2,137,000 2,195,000 2.7%58,000
Other Charges or Fees 1,262,965 485,000 608,000 25.4%123,000
Total Charges For Services 9,136,539 7,059,000 7,415,000 5.0%356,000
Fines and Forfeitures 539,537 480,000 515,000 7.3%35,000
Income from Investments and Property 9,602,281 7,131,000 7,482,000 4.9%351,000
Interdepartmental Charges 4,581,303 4,898,000 4,955,962 1.2%57,962
Other Revenue Sources 1,774,163 1,460,000 966,000 -33.8%(494,000)
Total General Fund $178,988,356 $164,252,000 $164,787,962 0.3%$535,962
* Interest is calculated on an amortized cost basis.
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
B-21June 23, 2020 Item #9 Page 48 of 124
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
Special Revenue Funds
Affordable Housing
Affordable Housing Fees $732,010 $450,000 $46,000 -89.8%($404,000)
Property Tax 492,876 760,000 615,000 -19.1%(145,000)
Interest Income 1,179,139 426,000 440,000 3.3%14,000
Other Revenue 133,481 80,000 30,000 -62.5%(50,000)
Total Affordable Housing 2,537,506 1,716,000 1,131,000 -34.1%(585,000)
Agricultural Mitigation Fee
Agricultural Mitigation Fees - 227,552 - -100.0%(227,552)
Interest Income 31,798 16,000 7,000 -56.3%(9,000)
Total Agriculutural Mitigation Fee 31,798 243,552 7,000 -97.1%(236,552)
Buena Vista Channel Maintenance
Assessment Fees 91,388 90,000 100,000 11.1%10,000
Interest Income 53,652 25,000 14,000 -44.0%(11,000)
Total Buena Vista Channel Maintenance 145,040 115,000 114,000 -0.9%(1,000)
Citizen's Option for Public Safety
State Funding (AB3229)255,040 235,200 175,000 -25.6%(60,200)
Interest Income 10,105 5,500 2,000 -63.6%(3,500)
Total Citizen'S Option For Public Safety 265,145 240,700 177,000 -26.5%(63,700)
Community Activity Grants
Interest Income 40,769 21,000 10,000 -52.4%(11,000)
Total Community Activity Grants 40,769 21,000 10,000 -52.4%(11,000)
Community Development Block Grant
Federal Grant 625,448 604,000 655,000 8.4%51,000
Interest Income 9,926 1,500 1,200 -20.0%(300)
Other Revenue 190,740 216,200 - -100.0%(216,200)
Total Community Dev. Block Grant 826,114 821,700 656,200 -20.1%(165,500)
Cultural Arts Donations
Donations 41,901 45,000 46,500 3.3%1,500
Interest Income 9,771 6,000 3,200 -46.7%(2,800)
Other Revenue 5,870 - 3,000 0.0%3,000
Total Cultural Arts Donations 57,542 51,000 52,700 3.3%1,700
Flower Fields Grant Program
Interest Income 36,447 9,758 - -100.0%(9,758)
Total Flower Fields Grant Program 36,447 9,758 0 -100.0%(9,758)
Habitat Mitigation Fee
Mitigation Fees 17,202 - 15,000 0.0%15,000
Interest Income 1,874 1,500 - -100.0%(1,500)
Total Habitat Mitigation Fee 19,076 1,500 15,000 900.0%13,500
June 23, 2020 Item #9 Page 49 of 124
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
Special Revenue Funds - Continued
Library And Arts Endowment Fund
Interest Income 9,851 5,000 3,000 -40.0%(2,000)
Total Library And Arts Endowment Fund 9,851 5,000 3,000 -40.0%(2,000)
Library Gifts/Bequests
Gifts and Bequests 1,154,287 299,000 245,200 -18.0%(53,800)
Interest Income 36,320 25,000 13,500 -46.0%(11,500)
Other Revenue - - - 0.0%-
Total Library Gifts/Bequests 1,190,607 324,000 258,700 -20.2%(65,300)
Lighting And Landscaping District No. #2
Assessment Fees 609,793 610,000 638,000 4.6%28,000
Interest Income 131,429 75,000 43,300 -42.3%(31,700)
Other Revenue - - - 0.0%-
Total Lighting And Landscaping Dist. No. #2 741,222 685,000 681,300 -0.5%(3,700)
Local Cable Infrastructure Fund
Cable Fees 424,979 307,000 285,000 -7.2%(22,000)
Interest Income 26,130 16,000 10,000 -37.5%(6,000)
Total Local Cable Infrastructure Fund 451,109 323,000 295,000 -8.7%(28,000)
Median Maintenance
Assessment Fees 354,872 355,000 362,000 2.0%7,000
Other 506,003 551,500 700,000 26.9%148,500
Total Median Maintenance 860,875 906,500 1,062,000 17.2%155,500
Parking In Lieu
Parking In Lieu Fees 22,480 134,880 - -100.0%(134,880)
Interest Income 41,997 21,000 12,000 -42.9%(9,000)
Total Parking In Lieu 64,477 155,880 12,000 -92.3%(143,880)
June 23, 2020 Item #9 Page 50 of 124
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
Special Revenue Funds - Continued
Police Asset Forfeiture
Asset Forfeitures 41,771 240,000 45,000 -81.3%(195,000)
Interest Income 6,647 6,500 2,000 -69.2%(4,500)
Total Police Asset Forfeiture 48,418 246,500 47,000 -80.9%(199,500)
Public Safety Grants
Federal Grant 553,229 350,000 - -100.0%(350,000)
Total Police Grants 553,229 350,000 0 -100.0%(350,000)
Recreation Donations
Donations 59,402 25,000 47,000 88.0%22,000
Interest Income 11,018 5,800 3,000 -48.3%(2,800)
Total Recreation Donations 70,420 30,800 50,000 62.3%19,200
Rental Assistance
Federal Grant 7,494,252 7,400,000 7,680,000 3.8%280,000
Other Revenue 262,334 150,000 71,000 -52.7%(79,000)
Total Rental Assistance 7,756,586 7,550,000 7,751,000 2.7%201,000
Senior Donations
Donations 128,796 6,000 6,000 0.0%-
Interest Income 12,184 7,000 6,000 -14.3%(1,000)
Other Revenue 9,129 9,000 9,000 0.0%-
Total Senior Donations 150,109 22,000 21,000 -4.6%(1,000)
Street Lighting
Assessment Fees 738,247 735,000 742,000 1.0%7,000
Other Revenue 159,401 170,000 145,000 -14.7%(25,000)
Interest Income 91,997 50,000 23,000 -54.0%(27,000)
Total Street Lighting 989,645 955,000 910,000 -4.7%(45,000)
Street Tree Maintenance
Assessment Fees 467,495 465,000 470,000 1.1%5,000
Other Revenue 276,209 400,000 - -100.0%(400,000)
Total Street Tree Maintenance 743,704 865,000 470,000 -45.7%(395,000)
Total Special Revenue Funds $17,589,689 $15,638,890 $13,723,900 -12.3%($1,914,990)
June 23, 2020 Item #9 Page 51 of 124
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
Enterprise Funds
Water Operations
Water Sales $26,824,255 $28,165,000 $28,127,000 -0.1%($38,000)
Ready-to-Serve charge 12,098,600 12,053,000 11,986,000 -0.6%(67,000)
Water Rebates 259,491 - - 0.0%-
Property Tax 3,981,688 3,590,000 3,805,000 6.0%215,000
New Account Charges 133,525 132,000 134,000 1.5%2,000
Back-Flow Program Fees 163,073 166,000 162,000 -2.4%(4,000)
Penalty Fees 303,953 303,000 303,000 0.0%-
Interest Income 1,165,139 633,500 550,000 -13.2%(83,500)
Engineering Overhead 37,143 38,000 64,000 68.4%26,000
Service Connection Fees 68,403 66,000 85,000 28.8%19,000
Other Revenue 305,497 424,500 368,600 -13.2%(55,900)
Total Water Operations 45,340,767 45,571,000 45,584,600 0.0%13,600
Recycled Water Operations
Water Sales 5,653,189 6,945,000 6,561,000 -5.5%(384,000)
Ready-to-Serve charge 1,157,960 1,183,600 1,150,000 -2.8%(33,600)
Recycled Water Credits 690,490 - - 0.0%-
Interest Income 145,917 118,000 80,000 -32.2%(38,000)
Other Revenue 555,265 102,000 388,400 280.8%286,400
Total Recycled Water Operations 8,202,821 8,348,600 8,179,400 -2.0%(169,200)
Wastewater Operations
Service Charges 13,977,282 14,292,000 14,012,000 -2.0%(280,000)
Misc. Sewer 27,048 22,000 27,000 22.7%5,000
Engineering Overhead 29,703 31,000 50,000 61.3%19,000
Penalty Fees 94,452 92,000 92,000 0.0%-
Interest Income 475,977 207,000 75,000 -63.8%(132,000)
Other Revenue 63,394 56,000 61,000 8.9%5,000
Total Wastewater Operations 14,667,856 14,700,000 14,317,000 -2.6%(383,000)
Solid Waste Management
Recycling Fees (AB939)378,933 330,000 340,000 3.0%10,000
Penalty Fees 58,457 60,000 60,000 0.0%-
Trash Surcharge 3,000,274 3,075,000 3,000,000 -2.4%(75,000)
Interest Income 550,004 272,000 273,300 0.5%1,300
Other Revenue 353,604 132,000 453,000 243.2%321,000
Total Solid Waste Management 4,341,272 3,869,000 4,126,300 6.7%257,300
Golf Course Operations
Charges for Services 7,978,896 6,105,000 6,332,000 3.7%227,000
Interest Income 46,358 29,000 5,000 -82.8%(24,000)
Other Revenue 182,560 71,000 582,000 719.7%511,000
Total Golf Course Operations 8,207,814 6,205,000 6,919,000 11.5%714,000
Total Enterprise Funds $80,760,530 $78,693,600 $79,126,300 0.6%$432,700
June 23, 2020 Item #9 Page 52 of 124
CITY OF CARLSBAD
OPERATING FUNDS
REVENUE ESTIMATES
2019-20 2020-21 Change as %Difference
2018-19 Estimated Estimated of 19-20 2019-20 to
Revenue Source Actuals Revenue Revenue Estimated 2020-21
Internal Service Funds
Workers' Compensation
Interdepartmental Charges $3,004,370 $3,455,000 $1,880,930 -45.6%($1,574,070)
Interest Income 451,433 250,000 250,000 0.0%-
Other Revenue 1,773,924 110,000 1,935,163 1659.2%1,825,163
Total Workers' Compensation 5,229,727 3,815,000 4,066,093 6.6%251,093
Risk Management
Interdepartmental Charges 2,091,149 2,195,000 2,309,460 5.2%114,460
Interest Income 153,651 86,000 70,000 -18.6%(16,000)
Other Revenue 50,967 18,000 14,000 -22.2%(4,000)
Total Risk Management 2,295,767 2,299,000 2,393,460 4.1%94,460
Self-Insured Benefits
Interdepartmental Charges 298,133 - - 0.0%-
Other Revenue 75,048 19,897 - -100.0%(19,897)
Total Self-Insured Benefits 373,181 19,897 0 -100.0%(19,897)
Vehicle Maintenance
Interdepartmental Charges 2,770,789 2,950,000 3,500,050 18.7%550,050
Interest Income 29,134 9,500 7,500 -21.1%(2,000)
Other Revenue 64,552 35,000 45,000 28.6%10,000
Total Vehicle Maintenance 2,864,475 2,994,500 3,552,550 18.6%558,050
Vehicle Replacement
Interdepartmental Charges 2,272,471 2,366,000 2,872,445 21.4%506,445
Interest Income 679,775 355,000 350,000 -1.4%(5,000)
Other Revenue 25,662 30,000 90,000 200.0%60,000
Total Vehicle Replacement 2,977,908 2,751,000 3,312,445 20.4%561,445
Information Technology
Interdepartmental Charges 11,352,800 13,048,100 12,379,451 -5.1%(668,649)
Interest Income 271,211 137,000 120,000 -12.4%(17,000)
Other Revenue 32,643 47,400 - -100.0%(47,400)
Total Information Technology 11,656,654 13,232,500 12,499,451 -5.5%(733,049)
Total Internal Service Funds $25,397,712 $25,111,897 $25,823,999 2.8%$712,102
Trust Funds
Sucssessor Agency Housing Fund
Property Tax Increment 3,637,680 5,095,000 3,940,000 -22.7%(1,155,000)
Interest Income 87,709 15,000 15,000 0.0%-
Total Successor Agency Housing Fund 3,725,389 5,110,000 3,955,000 -22.6%(1,155,000)
Total Trust Funds $3,725,389 $5,110,000 $3,955,000 -22.6%($1,155,000)
Total Operating Funds $306,461,676 $288,806,387 $287,417,161 -0.5%($1,389,226)
June 23, 2020 Item #9 Page 53 of 124
% Incr / (Decr)
2019-20 19-20 Budget
2017-18 2018-19 Estimated 2019-20 2020-21 to
Department Actuals Actuals Expenditures Budget Budget 20-21 Budget
General Fund
Policy And Leadership Group
City Council $414,273 $453,386 $456,000 $608,117 $586,317 -3.6%
City Attorney 1,645,117 1,751,649 1,885,000 1,930,232 1,987,318 3.0%
City Manager 2,345,020 2,329,708 2,476,500 3,350,555 2,153,294 -35.7%
City Treasurer 236,335 212,225 205,000 249,496 244,090 -2.2%
Community Outreach And Engagement 1,511,292 1,602,350 1,603,500 1,675,553 1,692,761 1.0%
Total Policy And Leadership Group 6,152,037 6,349,318 6,626,000 7,813,953 6,663,780 -14.7%
Administrative Services
Finance 4,075,310 5,195,794 5,745,000 6,099,607 5,989,716 -1.8%
Human Resources 3,174,602 3,561,005 4,130,000 5,043,384 5,010,104 -0.7%
Innovation and Economic Development 697,403 673,700 977,000 943,462 1,131,877 20.0%
Total Administrative Services 7,947,315 9,430,499 10,852,000 12,086,453 12,131,697 0.4%
Community Services
Community Services Administration - - - - 581,849 -
City Clerk Services 886,743 1,013,027 1,100,600 1,336,532 1,263,159 -5.5%
Community Development 9,881,459 10,692,924 10,280,000 11,155,303 10,781,168 -3.4%
Library And Cultural Arts 11,990,021 12,969,709 12,817,000 13,743,851 13,291,868 -3.3%
Parks And Recreation 16,028,770 17,165,407 16,745,500 18,890,152 17,993,237 -4.7%
Total Community Services 38,786,993 41,841,067 40,943,100 45,125,838 43,911,281 -2.7%
Public Safety
Fire 22,736,339 24,017,515 26,600,000 25,724,746 27,173,120 5.6%
Police 35,310,020 39,009,548 43,085,000 42,017,261 44,593,457 6.1%
Total Public Safety 58,046,359 63,027,063 69,685,000 67,742,007 71,766,577 5.9%
Public Works
Public Works Administration 1,569,375 1,626,845 1,696,000 2,067,458 1,786,198 -13.6%
Construction Management & Inspections 2,706,324 2,575,598 3,150,000 3,459,299 2,893,903 -16.3%
Environmental Management 585,802 669,711 882,000 772,217 808,946 4.8%
Facilities 4,848,898 5,058,965 5,385,000 5,754,883 5,862,683 1.9%
Transportation 6,174,496 6,877,759 6,715,000 7,607,635 7,410,972 -2.6%
Total Public Works 15,884,895 16,808,878 17,828,000 19,661,492 18,762,702 -4.6%
Miscellaneous Non-Departmental Expenditures
Community Contributions 13,666 11,213 10,000 0 0 -
Dues & Subscriptions 50,848 51,688 71,500 55,000 75,000 36.4%
Legal Services 717,087 793,095 800,000 750,000 750,000 0.0%
Professional Services 143,077 39,830 40,000 40,000 42,000 5.0%
Other Miscellaneous Expenditures 163,807 738,439 650,000 0 0 -
Personnel Related 140,607 149,563 152,400 175,000 284,000 62.3%
Property Tax & Other Administration 639,319 660,633 670,000 725,000 725,000 0.0%
Total Expenditures 1,868,411 2,444,461 2,393,900 1,745,000 1,876,000 7.5%
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
Estimated expenditures may exceed adopted budget since they include prior year budget appropriations.
June 23, 2020 Item #9 Page 54 of 124
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
% Incr / (Decr)
2019-20 19-20 Budget
2017-18 2018-19 Estimated 2019-20 2020-21 to
Department Actuals Actuals Expenditures Budget Budget 20-21 Budget
General Fund - Continued
Transfers
Transfer to Infrastructure Replacement Fund 9,970,000 10,681,000 5,111,500 5,111,500 1,000,000 -80.4%
Transfer to General Capital Construction Fund 0 0 5,111,500 5,111,500 4,500,000 -12.0%
Transfer to Golf Course Operations Fund 0 0 0 0 500,000 -
Transfer To LLD#1 (Medians & Trees)850,000 775,000 950,000 950,000 700,000 -26.3%
Transfer To Storm Water Program 218,511 219,274 300,000 300,000 309,000 3.0%
Other Miscellaneous Transfers 1,858,216 1,500,000 0 0 0 -
Total Transfers 12,896,727 13,175,274 11,473,000 11,473,000 7,009,000 -38.9%
Total Miscellaneous Non-Departmental 14,765,138 15,619,735 13,866,900 13,218,000 8,885,000 -32.8%
Subtotal General Fund 141,582,737 153,076,560 159,801,000 165,647,743 162,121,037 -2.1%
Contingencies - - - 1,500,000 1,500,000 0.0%
Total General Fund 141,582,737 153,076,560 159,801,000 167,147,743 163,621,037 -2.1%
Special Revenue Funds
Affordable Housing $393,438 $704,106 $675,000 $1,128,778 $880,698 -22.0%
Agricultural Mitigation Fee 275,834 149,893 0 0 0 -
Buena Vista Channel Maintenance 102,839 135,419 137,500 194,882 195,245 0.2%
Citizen's Option For Public Safety 322,045 236,881 245,000 268,428 253,937 -5.4%
Community Activity Grants 0 0 0 10,000 30,000 200.0%
Community Development Block Grant 132,519 509,402 827,345 632,895 655,643 3.6%
Cultural Arts Donations 49,182 29,920 59,350 70,200 122,385 74.3%
Flower Fields Grant Program 0 50,000 943,272 50,000 0 -100.0%
Habitat Mitigation Fee 4,356 3,637 1,104,114 0 0 -
Library And Arts Endowment Fund 5,955 1,493 4,000 4,000 6,000 50.0%
Library Gifts/Bequests 132,290 301,371 317,600 327,277 426,910 30.4%
Lighting And Landscaping District No. 2 253,297 253,519 350,000 354,378 354,681 0.1%
Local Cable Infrastructure Fund 166,285 270,649 180,000 373,000 351,000 -5.9%
Median Maintenance 981,749 960,502 890,000 1,206,305 1,221,612 1.3%
Parking In Lieu 43,262 46,102 48,000 50,000 50,000 0.0%
Police Asset Forfeiture 92,205 25,600 125,000 94,000 316,000 236.2%
Police Grants 113,278 566,987 350,000 0 0 -
Recreation Donations 89,871 47,518 53,250 112,000 98,700 -11.9%
Rental Assistance 7,216,263 7,479,464 7,670,000 7,755,564 7,723,066 -0.4%
Senior Donations 52,004 105,492 36,000 205,500 104,500 -49.1%
Street Lighting 566,517 754,086 770,000 1,038,120 967,581 -6.8%
Street Tree Maintenance 665,323 658,389 630,000 864,537 877,810 1.5%
Total Special Revenue Funds 11,658,512 13,290,430 15,415,431 14,739,864 14,635,768 -0.7%
Estimated expenditures may exceed adopted budget since they include prior year budget appropriations.
June 23, 2020 Item #9 Page 55 of 124
CITY OF CARLSBAD
OPERATING FUNDS
BUDGET EXPENDITURE SCHEDULE
% Incr / (Decr)
2019-20 19-20 Budget
2017-18 2018-19 Estimated 2019-20 2020-21 to
Department Actuals Actuals Expenditures Budget Budget 20-21 Budget
Enterprise Funds
Water Operations $44,087,903 $42,715,366 $44,000,000 $45,213,561 $46,126,865 2.0%
Recycled Water Operations 8,732,260 9,342,838 9,000,000 10,127,818 10,583,658 4.5%
Wastewater Operations 13,224,657 18,534,329 13,600,000 14,163,213 15,235,755 7.6%
Solid Waste Management 3,318,047 3,955,189 4,212,000 4,820,871 5,022,951 4.2%
Golf Course Operations 7,322,249 7,794,389 7,379,000 8,227,596 6,571,000 -20.1%
Total Enterprise Funds 76,685,116 82,342,111 78,191,000 82,553,059 83,540,229 1.2%
Internal Service Funds
Workers' Compensation $4,291,779 $5,411,518 $3,030,000 $3,651,419 $3,664,554 0.4%
Risk Management 2,041,118 2,181,589 2,065,000 2,519,958 2,684,739 6.5%
Self-Insured Benefits 746,570 382,552 - 86,000 1,920,163 2132.7%
Vehicle Maintenance 2,605,205 2,844,293 2,610,000 3,171,081 3,296,304 3.9%
Vehicle Replacement 3,201,201 2,067,034 4,410,000 4,107,783 3,779,298 -8.0%
Information Technology 8,769,808 12,433,677 12,125,000 12,549,759 13,567,910 8.1%
Total Internal Service Funds 21,655,681 25,320,663 24,240,000 26,086,000 28,912,968 10.8%
Trust Funds
Successor Agency Housing Fund 1,816,779 1,769,568 1,825,000 1,546,792 1,933,523 25.0%
Total Trust Funds 1,816,779 1,769,568 1,825,000 1,546,792 1,933,523 25.0%
Total Operating Funds 253,398,825 275,799,332 279,472,431 292,073,458 292,643,525 0.2%
General Fund 163,621,037
Non GF 129,022,488$292,643,525
Estimated expenditures may exceed adopted budget since they include prior year budget appropriations.
June 23, 2020 Item #9 Page 56 of 124
CITY OF CARLSBAD
CAPITAL PROJECT FUNDS
July 1, 2019 Projected June 30, 2020
Unreserved Projected Projected Debt Service Projected
Fund Balance Revenues Expenditures Loans & Other Balance
BTD#2 - Poinsettia Lane/Aviara Pkwy 12,147,090 2,331,495 - - 14,478,585
BTD#3 - Cannon Road West 503,448 7,982 - - 511,430
Community Development Block Grant - - - - -
CFD #1 - Citywide 87,334,515 3,596,787 1,193,377 182,658 89,555,267
Gas Tax 13,344,910 2,284,930 3,001,992 610,000 12,017,848
Gas Tax (Road Maint. & Rehab Acct.)1,337,299 1,724,259 1,639,351 - 1,422,207
General Capital Const.42,666,245 5,111,500 4,769,387 - 43,008,358
Grants - Federal - 1,440,000 8,143 - 1,431,857
Infrastructure Replacement 118,964,129 7,195,384 6,630,249 - 119,529,264
Other 1,859,723 31,493 - - 1,891,216
Park Fee Zones 5,13,16, 17, 18 4,427,448 127,595 - - 4,555,043
Park-In-Lieu NE 3,835,412 468,015 - - 4,303,427
Park-In-Lieu NW 1,502,376 95,551 925 - 1,597,002
Park-In-Lieu SE 1,428,906 411,788 4,850 - 1,835,844
Park-In-Lieu SW 551,165 248,854 386,658 - 413,361
Planned Local Drainage Area A 1,012,787 128,865 140,102 - 1,001,550
Planned Local Drainage Area B 2,483,850 129,224 1,042,185 - 1,570,889
Planned Local Drainage Area C 1,598,249 38,156 98,923 - 1,537,482
Planned Local Drainage Area D 780,830 34,430 184,636 - 630,624
Public Facilities Fee 27,060,099 2,199,842 1,391,816 - 27,868,125
Sewer Connection 8,862,588 4,579,674 2,823,552 - 10,618,710
Sewer Replacement 26,060,652 13,961,082 5,539,804 - 34,481,930
TDA - - - - -
Traffic Impact Fee 22,594,162 3,008,280 1,191,233 - 24,411,209
Transnet/Local 25,361,161 5,437,581 6,320,961 - 24,477,781
Transnet/STP - - - - -
Water - Potable 33,719,528 1,614,105 153,259 - 35,180,374
Water - Recycled (4,138,167) 24,033,033 11,928,792 - 7,966,074
Water Replacement - Potable 55,115,949 7,109,794 11,533,731 - 50,692,012
Water Replacement - Recycled 16,654,808 1,440,899 188,034 - 17,907,673
Total 507,069,162 88,790,599 60,171,960 792,658 534,895,143
PROJECTED FUND BALANCES FOR FY 2019-20
June 23, 2020 Item #9 Page 57 of 124
CITY OF CARLSBAD
CAPITAL PROJECT FUNDS
July 1, 2020 June 30, 2020 July 01, 2020 2020-21 June 30, 2021
Projected Estimated Continuing New Total CIP Projected
Fund Balance Revenues Appropriations Appropriations Appropriations Balance
BTD#2 - Poinsettia Lane/Aviara Pkwy 14,478,585 - 13,769,150 - 13,769,150 709,435
BTD#3 - Cannon Road West 511,430 - 105,021 (105,021) - 511,430
Community Development Block Grant - - - - - -
CFD #1 - Citywide 89,555,267 4,379,265 29,825,834 134,000 29,959,834 63,974,698
Gas Tax 12,017,848 2,321,630 11,340,512 1,548,656 12,889,168 1,450,310
Gas Tax (Road Maint. & Rehab Acct.)1,422,207 1,958,885 971,972 2,176,000 3,147,972 233,120
General Capital Const.43,008,358 4,500,000 40,701,129 (2,819,079) 37,882,050 9,626,308
Grants - Federal 1,431,857 - 1,431,857 - 1,431,857 -
Infrastructure Replacement 119,529,264 1,000,000 26,185,187 6,500,000 32,685,187 87,844,077
Other 1,891,216 - 1,294,591 - 1,294,591 596,625
Park Fee Zones 5,13,16, 17, 18 4,555,043 70,281 - - - 4,625,324
Park-In-Lieu NE 4,303,427 - 200,000 - 200,000 4,103,427
Park-In-Lieu NW 1,597,002 361,321 792 - 792 1,957,531
Park-In-Lieu SE 1,835,844 326,756 - - - 2,162,600
Park-In-Lieu SW 413,361 255,278 222,573 - 222,573 446,066
Planned Local Drainage Area A 1,001,550 - 22,496 - 22,496 979,054
Planned Local Drainage Area B 1,570,889 226,596 2,401,013 (661,332) 1,739,681 57,804
Planned Local Drainage Area C 1,537,482 632 184,115 (163,016) 21,099 1,517,015
Planned Local Drainage Area D 630,624 91,841 22,511 - 22,511 699,954
Public Facilities Fee 27,868,125 962,903 2,105,322 1,151,581 3,256,903 25,574,125
Sewer Connection 10,618,710 349,946 3,899,731 246,000 4,145,731 6,822,925
Sewer Replacement 34,481,930 4,181,955 23,568,701 11,033,874 34,602,575 4,061,310
TDA - - - - - -
Traffic Impact Fee 24,411,209 948,884 21,073,781 (2,727,000) 18,346,781 7,013,312
Transnet/Local 24,477,781 4,209,000 17,723,960 7,834,000 25,557,960 3,128,821
Transnet/STP - - - - - -
Water - Potable 35,180,374 1,286,397 3,981,923 250,000 4,231,923 32,234,848
Water - Recycled 7,966,074 245,743 6,251,418 870,000 7,121,418 1,090,399
Water Replacement - Potable 50,692,012 6,845,091 44,527,182 1,965,300 46,492,482 11,044,621
Water Replacement - Recycled 17,907,673 - 4,351,401 1,887,900 6,239,301 11,668,372
Total 534,895,143 34,522,404 256,162,172 29,121,863 285,284,035 284,133,512
PROJECTED FUND BALANCES FOR FY 2020-21
June 23, 2020 Item #9 Page 58 of 124
CITY OF CARLSBAD
CAPITAL PROJECT FUNDS
REVENUES ACTUAL AND ESTIMATED
2016-17 2017-18 2018-19 2019-20 2020-21
Actual Actual Actual Projected Estimated
Fund Revenue Revenue Revenue Revenue Revenue
BTD#2 - Poinsettia Lane/Aviara Pkwy 59,251 305,677 751,810 2,331,495 -
BTD#3 - Cannon Road West 79,875 4,293 18,996 7,982 -
Community Development Block Grant 308,112 16,335 - - -
CFD #1 - Citywide 3,065,439 2,795,212 6,095,889 3,596,787 4,379,265
Gas Tax 2,194,398 2,749,382 3,299,173 2,284,930 2,321,630
Gas Tax (Road Maint. & Rehab Acct.)- 661,528 2,132,844 1,724,259 1,958,885
General Capital Const.10,521,222 - 1,077,525 5,111,500 4,500,000
Grants - Federal 19,890 40,371 956,847 1,440,000 -
Infrastructure Replacement 9,765,585 10,358,061 15,073,019 7,195,384 1,000,000
Other 11,763 19,704 109,630 31,493 -
Park Fee Zones 5,13,16, 17, 18 420,515 501,489 244,229 127,595 70,281
Park-In-Lieu NE 998,551 69,308 1,441,530 468,015 -
Park-In-Lieu NW 253,193 771,528 1,086,531 95,551 361,321
Park-In-Lieu SE 18,033 16,622 372,419 411,788 326,756
Park-In-Lieu SW 52,856 61,225 190,127 248,854 255,278
Planned Local Drainage Area A 49,255 77,773 155,094 128,865 -
Planned Local Drainage Area B 362,617 75,817 136,887 129,224 226,596
Planned Local Drainage Area C 4,339 5,489 82,796 38,156 632
Planned Local Drainage Area D 27,296 22,847 124,198 34,430 91,841
Public Facilities Fee 6,501,517 4,947,110 3,673,762 2,199,842 962,903
Sewer Connection 1,377,814 842,150 874,464 4,579,674 349,946
Sewer Replacement 4,932,632 4,872,244 7,662,061 13,961,082 4,181,955
TDA 59,887 23,682 - - -
Traffic Impact Fee 3,041,034 3,059,920 2,586,291 3,008,280 948,884
Transnet/Local 4,172,670 4,269,152 3,779,436 5,437,581 4,209,000
Transnet/STP (198) - - - -
Water - Potable 1,932,938 1,786,623 2,064,521 1,614,105 1,286,397
Water - Recycled 3,987,107 1,231,038 2,144,721 24,033,033 245,743
Water Replacement - Potable 5,073,257 5,002,438 6,970,260 7,109,794 6,845,091
Water Replacement - Recycled 1,015,575 1,348,906 2,046,796 1,440,899 -
Total 60,306,423 45,935,924 65,151,856 88,790,599 34,522,404
Note: Revenues include loans, advances and transfers.
June 23, 2020 Item #9 Page 59 of 124
CITY OF CARLSBAD
CAPITAL PROJECT FUNDS
BUDGET EXPENDITURE SCHEDULE
2017-18 2018-19 2019-20 2020-21 2020-21 2020-21
Actual Actual Estimated Continuing New Total CIP
FUND Expense Expense Expense Appropriations Appropriations Appropriations
BTD#2 - Poinsettia Lane/Aviara Pkwy 13,995 - - 13,769,150 - 13,769,150
BTD#3 - Cannon Road West 193,137 - - 105,021 (105,021) -
Community Development Block Grant 16,335 - - - - -
CFD #1 - Citywide 384,470 665,531 1,376,035 29,825,834 134,000 29,959,834
Gas Tax 2,862,646 2,609,525 3,611,992 11,340,512 1,548,656 12,889,168
Gas Tax (Road Maint. & Rehab Acct.)10,711 1,441,968 1,639,351 971,972 2,176,000 3,147,972
General Capital Const.3,122,730 3,355,394 4,769,387 40,701,129 (2,819,079) 37,882,050
Grants - Federal 975,193 - 8,143 1,431,857 - 1,431,857
Infrastructure Replacement 3,346,454 1,963,003 6,630,249 26,185,187 6,500,000 32,685,187
Other - - - 1,294,591 - 1,294,591
Park Fee Zones 5,13,16, 17, 18 - - - - - -
Park-In-Lieu NE - - - 200,000 - 200,000
Park-In-Lieu NW 992,883 (1,716) 925 792 - 792
Park-In-Lieu SE 887,896 432,960 4,850 - - -
Park-In-Lieu SW 9,191 2,458,313 386,658 222,573 - 222,573
Planned Local Drainage Area A - 3,352 140,102 22,496 - 22,496
Planned Local Drainage Area B 286,812 1,114,394 1,042,185 2,401,013 (661,332) 1,739,681
Planned Local Drainage Area C - 2,168 98,923 184,115 (163,016) 21,099
Planned Local Drainage Area D - 2,451 184,636 22,511 - 22,511
Public Facilities Fee 8,820,647 4,996,962 1,391,816 2,105,322 1,151,581 3,256,903
Sewer Connection 9,281,833 1,293,191 2,823,552 3,899,731 246,000 4,145,731
Sewer Replacement 6,993,624 5,934,908 5,539,804 23,568,701 11,033,874 34,602,575
TDA 5,783 - - - - -
Traffic Impact Fee 624,181 324,564 1,191,233 21,073,781 (2,727,000) 18,346,781
Transnet/Local 5,254,026 1,561,510 6,320,961 17,723,960 7,834,000 25,557,960
Transnet/STP - - - - - -
Water - Potable 43,344 6,700 153,259 3,981,923 250,000 4,231,923
Water - Recycled 3,727,004 825,659 11,928,792 6,251,418 870,000 7,121,418
Water Replacement - Potable 4,046,139 7,089,068 11,533,731 44,527,182 1,965,300 46,492,482
Water Replacement - Recycled 186,353 215,047 188,034 4,351,401 1,887,900 6,239,301
Total 52,085,387 36,294,952 60,964,618 256,162,172 29,121,863 285,284,035
Note: Expenditures include loans, advances and transfers.
June 23, 2020 Item #9 Page 60 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Abandon Potable Services (New
Recycled Services)
Multiple
Districts
High
52051 WATER REPL 1,742,000
ADA Beach Access-Pine To Tamarack District 1 Medium
60651 GCC 375,000
Adaptive Traffic Signal Program Multiple
Districts
High
63261
TRANSNET-
LOC 2,641,938
63264
TRANSNET-
LOC 1,000,000
Advance Street Name Signs Multiple
Districts
High
60861 GAS TAX 40,000
Avenida Encinas Pedestrian Access
Improvements
District 2 Critical
60911 GAS TAX 75,000
Avenida Encinas Widening - South of
Palomar Airport Road
District 3 High
60041 TIF 5,177,000
Aviara Community Park - Phase 2 District 2 High
46041 PIL-SW 3,120,500
46042 PIL-SW 38,200
46043 PFF 700,000
Aviara Parkway And Plum Tree
Waterline
District 2 Low
19021 WATER REPL -
Barrio Street Lighting District 1 High
40131 GCC 760,000
Beach Access Repair/Upgrades - Pine
Avenue To Tamarack
District 1 Critical
38961 IRF 1,612,750
38962 GCC 4,199,000
Buena Interceptor Sewer Access Road
Improvements
District 3 High
55371 SEWER REPL 1,150,000
Buena Interceptor Sewer
Improvements
Multiple
Districts
Critical
55011 SEWER REPL 1,588,499
55012
SEWER
CONN 550,000
Buena Interceptor Sewer Realignment
- East Segment
District 2 High
55441 SEWER REPL 507,000
Business Park Recreational Facility
(Partial Funding)
District 2 Low
19041 ZONE 5 -
Calavera Hills Community Center
Referbishment
District 2 Medium
47461 IRF 45,000
Calavera Hills Community Park
Gateway Improvements
District 2 Medium
46011 GCC 1,046,850
46012 GCC 10,500
1,742,000-------
2,875,000-----2,500,000-
2,641,938-------
1,000,000-------
40,000-------
75,000-------
5,177,000-----5,177,000-5,177,000
3,120,500-------
38,200-------
700,000-------
1,100,500----1,000,500100,000-
999,999-----239,999-
1,612,750-------
6,199,000------2,000,000
1,150,000-------
3,758,499------2,170,000
550,000-------
1,987,000-----1,480,000-
4,760,0004,760,000------
685,000-----540,000100,000
1,146,850-----100,000-
Capital Projects
June 23, 2020 Item #9 Page 61 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Calavera Hills Community Park
Gateway Improvements
District 2 Medium
46011 GCC 1,046,850
46012 GCC 10,500
Cannon Park Restroom District 2 Medium
47261 GCC 690,000
Carlsbad Blvd And Tamarack Avenue
Pedestrian Improvements
District 1 Critical
60581 GAS TAX 1,576,000
60583
TRANSNET-
LOC 1,054,000
Carlsbad Blvd Realignment Multiple
Districts
Medium
60311
TRANSNET-
LOC 3,250,000
Carlsbad Blvd Realignment / Palomar
Airport Road (Segment 2)
District 2 Low
19081 TIF -
Carlsbad Boulevard Waterline
Replacement At Terramar
District 2 Critical
50481 WATER REPL 2,430,000
Carlsbad Boulevard Widening
Mountain View Drive to Northerly City
Limits
District 1 Low
19101 TIF -
19102 TIF -
Carlsbad Village Dr. & Grand Ave.
Pedestrian And Crossing Imp.
District 1 High
19121
TRANSNET-
LOC -
Carlsbad Village Drive Widening -
Pontiac Drive To Victoria Avenue
Multiple
Districts
Low
19131 TIF -
Chestnut Avenue Complete Street
Improvements-Valley To Pio Pico
District 1 Medium
19161
TRANSNET-
LOC -
Christiansen Way Improvements District 1 Medium
19171
TRANSNET-
LOC -
City Hall Complex Multiple
Districts
Critical
40081 CFD#1 1,028,105
College Boulevard - Cannon Road To
Badger Lane (375 Zone)
District 2 Medium
50131
WATER
CONN 1,060,000
College Boulevard - Cannon Road To
Badger Lane (490 Zone)
District 2 Medium
50121
WATER
CONN 1,090,000
College Boulevard Reach A and Cannon
Road Reach 4A
District 2 High
36362 OTHER 1,713,002
36363 PLDB -
36364
TRANSNET-
LOC -
Crestview Drive Transmission Main District 2 Low
50331 WATER REPL 240,000
Desalinated Water Flow Control
Facility No. 5
District 2 High
50381
WATER
CONN 1,904,300
DMP Facility AAA (Jefferson Street) District 1 Low 19231 PLDA -
11,500-----1,000-
690,000-----634,354-634,354
1,576,000-------
1,054,000-------
3,250,000-------
932,000932,000------
5,080,000----150,0002,500,000-
984,000984,000------
1,274,0001,274,000------
1,320,000-----1,320,000-
3,102,0003,102,000------
1,080,000-----1,080,000-
310,000-----310,000-
51,028,105-50,000,000-----
1,095,000----35,000--
1,460,000----370,000--
1,713,002-------
512,196512,196------
1,205,000------1,205,000
240,000-------
10,104,300-----7,950,000250,000
Capital Projects
June 23, 2020 Item #9 Page 62 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
DesalinatedWaterFlowControl
Facility No. 5 District 2 High 50381
WATER
CONN 1,904,300
DMP Facility AAA (Jefferson Street) District 1 Low
19231 PLDA -
DMP Facility AAAA (Madison Street) District 1 Medium
19241 PLDA -
DMP Facility AC (Highland Drive
Drainage Project)
District 1 Medium
66091 PLDA -
DMP Facility AFA (Hidden Valley
Drainage Restoration and Enhanceme..
District 2 Low
19251 PLDA -
DMP Facility AFB (Calavera Hills
Drainage Restoration and Enhanceme..
District 2 Low
19261 PLDA -
DMP Facility BB 1 And 2 (Washington
Street)
District 1 Low
19271 PLDB -
DMP Facility BCB (Magnolia Avenue) District 1 Medium
19281 PLDB -
DMP Facility BFB-L & BFB-1 (Tamarack
And El Camino Real Plda "B")
District 2 Low
19291 PLDB -
DMP Facility BFB-U (El Camino Real) District 2 High
66221 PLDB 138,220
DMP Facility BL-L (College Blvd. Bridge
Reimb. Plda "B")
District 2 Low
19301 PLDB -
DMP Facility BL-U (College Boulevard) District 2 Low
19311 PLDB -
DMP Facility BM (Cantarini/College
Boulevard Box Culvert)
District 2 Low
19321 PLDB -
DMP Facility BQ (Sunny Creek) District 2 Low
19331 PLDB -
DMP Facility BR (Cantarini/College
Boulevard Pipe Drainage)
District 2 Low
19341 PLDB -
DMP Facility C1 - Carlsbad Boulevard
Encinas Creek Bridge Plda "C")
District 3 High
39192 PLDC 2,539,565
DMP Facility C2 (Paseo Del Norte) District 3 Low
19351 PLDC -
DMP Facility CA (Avenida Encinas) District 3 Low
19361 PLDC -
DMP Facility DBA (Poinsettia Village) District 4 Low
19371 PLDD -
DMP Facility DBB (Avenida Encinas) District 4 Low
19381 PLDD -
DMP Facility DFA (Batiquitos Lagoon
Stormwater Treatment)
District 4 Low
19391 PLDD -
DMP Facility DH (Altive Place Canyon
Restoration)
District 3 Low
19401 PLDD -
DMP Facility DQB (La Costa Town
Center)
District 4 Medium 19411 PLDD -
289,534289,534------
416,500416,500------
921,408921,408------
91,60891,608------
163,164163,164------
1,086,0651,086,065------
468,096468,096------
904,329904,329------
891,220------753,000
1,816,101-1,816,101-----
384,509384,509------
204,077204,077------
131,355131,355------
180,773180,773------
2,376,549-------163,016
727,730727,730------
529,402529,402------
167,215167,215------
429,108429,108------
256,423256,423------
232,812232,812------
Capital Projects
June 23, 2020 Item #9 Page 63 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
DMP Facility DH (Altive Place Canyon
Restoration)District 3 Low 19401 PLDD -
DMP Facility DQB (La Costa Town
Center)
District 4 Medium
19411 PLDD -
DMP Facility DZ (Poinsettia Lane) District 3 High
19421 PLDD -
Drainage Master Plan Update Multiple
Districts
High
66231 PLDA 166,512
66232 PLDB 558,000
66233 PLDC 121,890
66234 PLDD 209,598
El Camino Real And Agua Hedionda
Creek Bridge Railing & Sidewalk
District 2 Critical
60561 IRF 210,000
El Camino Real And Cannon Road
Intersection Improvements
District 2 Critical
60421 TIF 2,615,000
El Camino Real And Carlsbad Village
Drive Dual Left Turns
District 1 Low
19431 TIF -
El Camino Real And College Blvd
Intersection Improvements
District 2 Critical
60711 GAS TAX 895,000
60712 GCC 131,000
El Camino Real Left Turn Lane To
Westbound Tamarack Avenue
District 2 Low
60501 TIF 286,000
El Camino Real Medians Multiple
Districts
High
36431 PFF 909,500
36432 GAS TAX 1,984,530
El Camino Real Right Turn Lane To East
Bound Alga Road
District 3 Low
19441 TIF -
El Camino Real Widening - Arenal Road
To La Costa Avenue
District 4 High
60511 TIF 3,200,000
El Camino Real Widening - Cassia Rd To
Camino Vida Roble
District 3 Critical
60721
TRANSNET-
LOC 1,380,000
60722 FED GRNT 1,440,000
El Camino Real Widening - Lisa Street
To Crestview Drive
District 2 Low
60851 GCC 108,953
El Camino Real Widening - Sunny Creek
To Jackspar
District 2 High
60941
TRANSNET-
LOC -
Faraday & El Camino Real Sewer
Replacement - Orion To PAR
District 2 High
55391
SEWER
CONN 140,000
Fire Station No. 2 Replacement District 4 High 40601 GCC 13,000,000
745,842745,842------
642,063642,063------
166,512-------
558,000-------
121,890-------
209,598-------
210,000-------
3,315,000------700,000
1,132,000-1,132,000-----
895,000-------
131,000-------
0-------286,000
695,781-------213,719
1,404,530-------580,000
438,000-438,000-----
5,000,000-----1,800,000-
1,555,000------175,000
1,440,000-------
0-------108,953
4,000,000------4,000,000
436,000----250,00046,000-
Capital Projects
June 23, 2020 Item #9 Page 64 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Faraday&ElCaminoRealSewer
Replacement - Orion To PAR District 2 High 55391
SEWER
CONN 140,000
Fire Station No. 2 Replacement District 4 High
40601 GCC 13,000,000
Fire Station No. 4 Expansion District 3 High
47401 IRF 810,000
Foxes Landing Lift Station Wetwell And
Pump Replacement
District 1 Critical
55261 SEWER REPL 5,492,000
Hydroelectric Generator at Desal Flow
Control Facility No. 5
District 2 Medium
50591
WATER
CONN 200,000
Intelligent Traffic Control Devices Multiple
Districts
Low
66341 GAS TAX 200,000
Intersection Control - Camino De Los
Coches And La Costa Avenue
District 4 Critical
63251 GAS TAX 250,000
Kelly Drive And Park Drive Road Diet
And Multiuse Trail
District 2 Critical
60751
TRANSNET-
LOC 4,175,000
60753 GAS TAX 130,000
La Costa Avenue Traffic Improvements District 4 Medium
60761 GAS TAX 863,000
Laguna Drive Storm Drain District 1 Medium
66281 GAS TAX 370,000
Lake Calavera Outlet Improvements District 2 High
50541 GCC 1,220,000
Lake Calavera Trails Master
Plan/Construction (Prop C)
District 2 High
38661 GCC 1,063,250
Las Palmas Trunk Sewer District 2 Critical
55401
SEWER
CONN 556,000
Left Turn Lane Extensions Multiple
Districts
High
60771 GAS TAX 200,000
Leo Carrillo Ranch Park Phase 3 -
Stables Restoration and Restroom
Construction
District 2 Medium
46021 PFF 1,631,500
46022 PIL-SE 1,334,100
46023 PFF 29,655
Limited Access Pipeline Relocation
Program
Multiple
Districts
Critical
50351 WATER REPL 1,940,000
Maerkle Reservoir Floating Cover
Replacement
District 2 Critical
50361 WATER REPL 13,055,000
Maerkle Reservoir Transmission Main District 2 Critical
50011 WATER REPL 6,330,000
Marca Place Drainage Improvements District 4 Medium
66141 GAS TAX 65,000
Melrose Drive And Alga Road Dual Left
TurnLanes(RTCIP)
District 2 Low 19531 TIF -
13,000,000-------
5,335,000------4,525,000
5,492,000-------
2,275,000-----2,075,000-
200,000-------
250,000-------
4,175,000-------
130,000-------
863,000-----841,700-841,700
2,950,000----1,494,0001,000,00086,000
1,260,000-----40,000-
1,128,250------65,000
3,186,000-----2,630,000-
200,000-------
1,631,500-------
1,334,100-------
29,655-------
4,940,000----1,000,0002,000,000-
13,055,000-------
14,631,000---8,301,000---
65,000-------
Capital Projects
June 23, 2020 Item #9 Page 65 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
SourceMarca Place Drainage Improvements District 4 Medium 66141 GAS TAX 65,000
Melrose Drive And Alga Road Dual Left
Turn Lanes (RTCIP)
District 2 Low
19531 TIF -
Melrose Drive Right Turn Lane To West
Bound Palomar Airport Road
District 2 High
60341 TIF 561,000
Miscellaneous Pipeline Replacement -
Recycled
District 2 High
19541 RECL REPL -
Normally Closed Valve (Install
Motorized Valve)
District 2 High
50501 WATER REPL 485,000
North Batiquitos Access Road
Improvement
District 4 High
55471 SEWER REPL 250,000
North Batiquitos Lift Station
Forcemain Rehabilitation
District 4 Medium
55361 SEWER REPL 550,000
Ocean Street Restroom Facility District 1 High
47291 GCC 775,000
Orion Center District 2 High
35721 CFD#1 33,995,266
35722 WATER REPL 6,650,399
35723 SEWER REPL 3,995,000
35724 CFD#1 541,000
35725 RECL REPL 2,660,000
Palomar Airport Road And College Blvd
Improvements
District 2 High
60281 TIF 495,500
Palomar Airport Road/El Fuerte Street
Right Turn Lane
District 2 Low
19581 TIF -
Palomar Airport Road/Paseo Del Norte
Left Turn Lane Extension
Multiple
Districts
Medium
60431 Gas Tax 32,193
60432
TRANSNET-
LOC 250,277
Palomar Airport Road/Paseo Del Norte
Right Turn Lane
Multiple
Districts
Medium
60441 Gas Tax 101,891
60442
TRANSNET-
LOC 925,639
Palomar Airport Waterline
Realignment
District 2 High
50551 WATER REPL 525,000
Pine Avenue Park - Phase II
(Community Building)
District 1 High
46031 PIL-NW 2,197,000
46032 PFF 10,016,040
46033 PFF 123,300
1,237,0001,237,000------
711,000------150,000
6,010,0002,910,0002,150,000350,000350,000250,000--
485,000-------
250,000-------
550,000-------
775,000-------
34,705,846-----710,580-
6,789,409-----139,010-
4,078,500-----83,500-
552,310-----11,310-
2,715,600-----55,600-
995,500------500,000
1,198,000-1,198,000-----
47,193------15,000
250,277-------
116,891------15,000
925,639-------
1,000,000------475,000
2,197,000-------
10,016,040-------
Capital Projects
June 23, 2020 Item #9 Page 66 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Pine Avenue Park - Phase II
(Community Building)
District 1 High
46032 PFF 10,016,040
46033 PFF 123,300
Poinsettia Community Park - Phase 3 District 3 High
46051 PFF 5,231,475
46052 PFF 43,225
Poinsettia Community Park - Phase 4 -
Dog Park
District 3 Medium
46081 PFF 1,080,500
46082 PFF 11,340
Poinsettia Lane - Reach E Cassia Road
To Skimmer Court
District 3 High
39221 BTD#2 14,081,200
Poinsettia Lane - Reaches A,B,C,F,G &
Aviara Pkwy Reimb
District 2 High
19591 BTD#2 -
Poinsettia Lane Lift Station Overflow District 3 High
55291 SEWER REPL 1,106,243
Poinsettia Lane Widening - Paseo Del
Norte To Batiquitos Drive (RTCIP)
District 3 Null
19601 TIF -
Pressure Reducing Station Program Multiple
Districts
Critical
50201 WATER REPL 3,462,000
Recycled Water Line - CWRF To Agua
Hedionda Lagoon
Multiple
Districts
Critical
50271 WATER REPL 1,632,594
50272 RECL WATER 3,417,406
Recycled Water Phase 3 - CWRF
Expansion
District 3 High
52091 WATER REPL 3,517,276
52092 RECL WATER 6,844,124
Recycled Water Phase 3 - Pipelines Multiple
Districts
Critical
52081 WATER REPL 2,497,529
52082 RECL WATER 21,256,331
Recycled Water Phase 3 - Reservoir District 3 High
52101 WATER REPL 690,000
52102 RECL WATER 2,250,000
Robertson Ranch Park Development
(Partial Funding)
District 2 Medium
38011 PIL-NE 200,000
38012 PFF -
Santa Fe II Inlet Pipeline Null High
50571 WATER REPL 495,000
SCADA Improvements Multiple
Districts
Critical 55421 SEWER REPL 1,207,500
123,300-------
5,231,475-------
43,225-------
2,061,000------980,500
21,140------9,800
14,081,200-------
1,168,8331,168,833------
1,106,243-------
1,039,0001,039,000------
11,862,0003,000,0003,000,000600,000600,000600,000600,000-
1,632,594-------
3,417,406-------
3,517,276-------
6,844,124-------
2,497,529-------
21,256,331-------
980,000------290,000
3,120,000------870,000
2,735,000----2,450,00085,000-
12,592,000----12,592,000--
2,865,000----2,370,000--
Capital Projects
June 23, 2020 Item #9 Page 67 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
SourceSanta Fe II Inlet Pipeline Null High 50571 WATER REPL 495,000
SCADA Improvements Multiple
Districts
Critical
55421 SEWER REPL 1,207,500
55422 WATER REPL 1,305,000
55423 RECL REPL 357,500
Sewer Line Capacity Improvements Multiple
Districts
High
55481 SEWER REPL 100,000
Sidewalk/Street Construction Program Multiple
Districts
High
60021 TIF 3,200,000
Simsbury Sewer Extension District 2 Medium
55331 SEWER REPL 671,000
South Shore Agua Hedionda Lagoon
Trail
District 2 High
40851 GCC 674,500
State Street and Grand Avenue Road
Improvements
District 1 Medium
60821
TRANSNET-
LOC -
Terramar Area Coastal Improvements District 2 High
60541 TIF 6,000,001
60542 GCC 999,999
60543
TRANSNET-
LOC 1,000,000
60544 SEWER REPL 500,000
60545 PFF -
Traffic Control Improvements -
Poinsettia Lane & Cassia Road
Multiple
Districts
High
63292 GAS TAX 411,000
Traffic Control Improvements -
Poinsettia Lane & Oriole Court
District 3 High
63302 GAS TAX 411,000
Traffic Improvement Program Multiple
Districts
Critical
60701 GAS TAX 1,400,000
Traffic Signal - Faraday Avenue And
Camino Hills Drive
District 2 Medium
63311 GAS TAX 210,000
Traffic Signal - La Costa Avenue And
Levante Street
District 4 Low
39381 GAS TAX 250,000
Traffic Signal - Maverick Way & Camino
De Los Coches
District 4 Critical
63322 GAS TAX 140,000
Traffic Signal - Poinsettia Lane And
Brigantine Road
Multiple
Districts
Low
19711 GAS TAX -
Traffic Signal - Tamarack Avenue And
Valley Street
District 1 Medium
19721 GAS TAX -
Trail Connectivity To Tamarack State
Beach (Prop C)
District 1 Medium 40631 GCC 3,276,000
10,058,100--610,5002,412,5003,209,2001,858,100760,300
10,155,600--610,5002,412,5003,209,2001,858,100760,300
2,394,000--398,000337,600631,500381,500287,900
1,070,000-----870,000100,000
4,400,000---300,000300,000300,000300,000
671,000-------
719,500------45,000
325,000-----325,000-
6,650,001------650,000
999,999-------
1,000,000-------
1,000,000------500,000
2,450,000-----2,450,000-
411,000-------
411,000-------
2,300,000----300,000300,000300,000
210,000-----210,000-210,000
250,000-------
140,000-------
210,000---210,000---
290,000------290,000
Capital Projects
June 23, 2020 Item #9 Page 68 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
TrafficSignal-TamarackAvenueAnd
Valley Street District 1 Medium 19721 GAS TAX -
Trail Connectivity To Tamarack State
Beach (Prop C)
District 1 Medium
40631 GCC 3,276,000
Tri-Agency Water Transmission
Pipeline Replacement
District 2 High
50081 WATER REPL 6,455,000
Valley and Magnolia Complete Streets District 1 High
60191 TIF 3,286,206
60192 WATER REPL 71,000
60193 OTHER -
Valley Street Road Diet And Traffic
Calming
District 1 Medium
19741
TRANSNET-
LOC -
Veteran's Memorial Park (All
Quadrants)
Multiple
Districts
Critical
46091 CFD#1 478,200
Village and Barrio Traffic Circles District 1 High
40151 GCC 315,000
40152
TRANSNET-
LOC 1,025,000
40153 SEWER REPL 160,000
40154 GAS TAX -
Village Decorative Lighting District 1 Medium
40161 GCC 703,853
Village H South Off Leash Dog Area and
Trail Segment 5B
District 2 Low Not
Assigned PFF -
Village Intelligent Parking
Implementation
District 1 Low
60891 GCC 300,000
Villas Sewer Lift Station Replacement District 2 Critical
55501 SEWER REPL 130,000
Vista Carlsbad Interceptor - Agua
Hedionda LS & Forcemain (VC12-VC13)
District 2 Critical
34921
SEWER
CONN 30,863,405
Vista Carlsbad Interceptor - Buena
Vista Lift Station Improvements
District 1 Critical
55351
SEWER
CONN 1,125,000
Vista Carlsbad Interceptor - Lagoon
Bridge Replacement (VC11B)
Multiple
Districts
Critical
38861
SEWER
CONN 9,625,200
Vista Carlsbad Interceptor - Reach VC3 District 1 Critical
39501
SEWER
CONN 597,000
Vista Carlsbad Interceptor - Reach
VC14 To VC15
Multiple
Districts
High
39491
SEWER
CONN 21,107,163
Water Valve Repair/Replacement
Program
Multiple
Districts
Critical
50191 WATER REPL 5,990,000
3,276,000-----3,123,844-3,123,844
6,455,000-------
3,536,206------250,000
71,000-------
0-------
1,645,000-----1,645,000-
23,922,200-23,420,000----24,000
415,000------100,000
1,025,000-------
560,000------400,000
2,175,000------2,175,000
1,103,853-----400,000-
1,247,800----872,800-375,000
300,000----300,000--300,000
850,000-----720,000-
30,913,405------50,000
4,346,000-3,150,000----71,000
9,625,200-------
2,689,000---2,092,000---
21,107,163-------
20,540,0005,650,0005,110,000960,000960,000940,000930,000-
Capital Projects
June 23, 2020 Item #9 Page 69 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
ADA Improvement Program Multiple
Districts
Critical
60491
TRANSNET
-LOC 1,670,000
60492 IRF -
Agua Hedionda Creek Maintenance District 2 High
33381 PLDB 4,098,069
33382 IRF -
Agua Hedionda Lift Station Biological
Monitoring And Maintenance
District 2 Medium
55451
SEWER
REPL 150,000
Alga Norte Park Modifications District 3 Medium
47331 GCC 314,000
Assessment District 97-1 Concrete
Improvements
District 3 High
60841 GCC 420,000
Aviara and Hidden Canyon Parks
Playground Safety Resurfacing
Multiple
Districts
High
47451 IRF 600,000
Bridge Preventitive Maintenance
Program
Multiple
Districts
Critical
60661 IRF 1,227,511
Buena Vista Creek Channel Clearing At El
Camino Real
Multiple
Districts
High
66191 GCC 675,000
Camino Hills And Jackspar Drive Slope
Stabilization
District 2 Critical
60301 GCC 859,400
Cannon Road and Bobcat Blvd District 2 High
60901 GAS TAX 155,000
Carlsbad Blvd Emergency Repair District 3 Critical
60631 GAS TAX 841,000
Carlsbad Blvd Median-Tamarack Avenue
To Pine Avenue
District 1 Low
19071 GAS TAX -
Carlsbad Blvd Pedestrian Lighting -
Tamarack To State Street
District 1 High
60681
TRANSNET
-LOC 1,325,000
Carlsbad Blvd Realignment / Palomar
Airport Road (Segment 2) (RTCIP)
District 2 Low
19091 TIF -
Cathodic Protection Program Multiple
Districts
Critical
50071
WATER
REPL 1,426,700
City Facility Accessibility Upgrades Multiple
Districts
Medium
47271 GCC 500,000
City Facility Safety And Parking Lot
Lighting Assessment
Multiple
Districts
High
60741 IRF 410,000
City Hall Complex Refurbishment District 1 Medium
47181 IRF 1,059,000
City Hall Exterior Refurbishment District 1 Critical
47251 GCC 2,250,000
Citywide Drainage Improvement
Program
Multiple
Districts
High 66082 GAS TAX 6,090,594
2,060,000---65,000130,00065,000130,000
0-------
3,548,753-------549,316
330,000--60,00060,00060,00075,00075,000
225,000------75,000
974,000-----660,000-
420,000-------
600,000-------
2,457,511----230,000500,000500,000
1,250,000------575,000
859,400-----700,000-700,000
155,000-------
841,000-------
2,763,0002,763,000------
1,325,000-------
3,681,0003,681,000------
2,716,700280,000260,000190,000190,000190,000180,000-
500,000-------
1,410,000------1,000,000
1,059,000-------
2,250,000-------
Maintenance and Operations
June 23, 2020 Item #9 Page 70 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
SourceCity Hall Exterior Refurbishment District 1 Critical 47251 GCC 2,250,000
Citywide Drainage Improvement
Program
Multiple
Districts
High
66082 GAS TAX 6,090,594
66083 IRF 1,634,000
Citywide Street Lighting Program Multiple
Districts
Medium
60921 GAS TAX 150,000
Citywide Thermoplastic Pavement
Markings
Multiple
Districts
Critical
60931 GAS TAX 50,000
Cole Library Expansion District 1 Low
19211 CFD#1 -
19212 PFF -
19213 GCC -
College Boulevard Wetland Habitat
Creation
District 2 Medium
66211 PLDB 955,000
66212 GCC -
Concrete Repair/Replacement Program Multiple
Districts
High
60132 GAS TAX 2,933,000
60133 GAS TAX 107,000
Curb Inlet Filter Retrofit Program Multiple
Districts
Medium
66261 IRF 230,000
DMP Facility BFA (Country Store) District 2 High
66271 PLDB 963,673
Dove Library Lighting Improvements District 3 Low
40811 GCC 225,000
Dove Library Parking Lot Renovation District 3 Medium
47441 GCC 50,000
Emergency Operations Center
Reconfiguration
District 2 Medium
47191 GCC 1,658,000
47192 IRF 200,000
Faraday Center Refurbishment District 2 Medium
47201 IRF 3,154,380
Farol Court Storm Drain Outfall at Agua
Hedionda Creek
District 2 Medium
66181 IRF 696,700
Fire Flow System Improvements Multiple
Districts
High
50431
WATER
REPL 1,710,000
Fire Station No. 1, 4, and 5 Drainage
Improvements
Multiple
Districts
Medium
66161 GCC 350,000
Fire Station No. 5 New Roof And Storage
Building
District 2 Medium 47361 GCC 225,000
6,090,594-------
4,844,000----595,0001,865,000750,000
150,000-------
50,000-------
5,988,0005,988,000------
11,936,00011,936,000------
1,000,0001,000,000------
89,984-------865,016
410,000------410,000
6,433,0001,250,0001,250,000250,000250,000250,000250,000-
107,000-------
230,000-------
963,673-------
225,000-------
475,000------425,000
1,658,000-------
200,000-------
3,154,380-------
696,700-------
2,174,000---264,000100,000100,000-
480,000------130,000
Maintenance and Operations
June 23, 2020 Item #9 Page 71 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
FireStationNo.1,4,and5Drainage
Improvements
Multiple
Districts Medium 66161 GCC 350,000
Fire Station No. 5 New Roof And Storage
Building
District 2 Medium
47361 GCC 225,000
Fleet Fuel Island Upgrade District 2 High
47471 IRF 150,000
Fleet Maintenance Refurbishment District 2 High
47141 IRF 1,374,000
47142 GCC 896,100
Guardrail Replacement And
Improvement Program
Multiple
Districts
Medium
60871 GAS TAX 250,000
Harding Center Refurbishment District 1 Low
47081 IRF 115,000
Headwall Replacement Program Multiple
Districts
Medium
66241 IRF 510,000
Holiday Park Facilities Maintenance District 1 Medium
47091 IRF 80,000
Hosp Grove Park Improvements District 1 Medium
47281 IRF 1,682,000
Kelly Drive Channel Repair District 2 High
66061 IRF 1,341,000
La Costa Slope Repair West of Romeria District 4 Low
60241 GAS TAX 255,749
Lake Calavera Reservoir Maintenance District 2 High
50492 GCC 721,001
Lake Calavera Storm Drain
Improvements
District 2 Medium
66251 GCC 451,500
Leo Carrillo Ranch Roof Repairs District 2 High
47481 IRF 250,000
Library Fire Alarm Panel Upgrades Multiple
Districts
Low
47411 IRF 180,000
Maerkle Facility Improvements District 2 Critical
50091
WATER
REPL 2,235,200
Miscellaneous City Building
Improvements
Multiple
Districts
Medium
47231 IRF 1,565,000
Miscellaneous Pipeline Replacements Multiple
Districts
Critical
39041
WATER
REPL 7,838,366
Monroe Street Pool Replacement District 1 High
47241 IRF 6,187,000
47242 GCC 62,000
New Village Arts Building Roof And
Exterior Refurbishment
District 1 Medium
47391 IRF 253,626
Park Drive Street and Drainage
Improvement
District 1 High 66111 GCC 717,439
225,000-------
150,000-------
2,074,000-----700,000-
896,100-------
250,000-----100,000-100,000
295,000-----130,00050,000
510,000-------
80,000-------
1,877,000-----195,000-
1,341,000-----300,000-300,000
255,749-------
639,501----58,50050,000-190,000
5,569-------445,931
1,550,000-----1,200,000100,000
180,000-------
2,235,200-------
3,665,000750,000750,000150,000150,000150,000150,000-
59,028,36621,080,00019,890,0003,000,0002,800,0002,690,0001,730,000-
6,723,000-----536,000-
67,360-----5,360-
253,626-------
Maintenance and Operations
June 23, 2020 Item #9 Page 72 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
NewVillageArtsBuildingRoofAnd
Exterior Refurbishment District 1 Medium 47391 IRF 253,626
Park Drive Street and Drainage
Improvement
District 1 High
66111 GCC 717,439
66112 GAS TAX 1,865,000
Parking Lot Maintenance Program Multiple
Districts
High
60521 IRF 1,530,000
Pavement Management Program Multiple
Districts
High
60011
TRANSNET
-LOC 20,946,374
60012 GAS TAX 8,138,130
60013
TRANSNET
-LOC 9,222,476
60016 RMRA 3,960,000
Public Beach Access Improvements
(Ocean Street)
District 1 High
60571 GCC 3,610,336
60572 IRF 726,683
Rancho Santa Fe Trail Slope
Improvements
District 4 High
60881 GCC 350,000
Recycled Water Condition Assessment
Program
Multiple
Districts
Critical
52111 RECL REPL 650,000
Recycled Water Valve & Appurtenance
Replacement Program
Multiple
Districts
Critical
52121 RECL REPL 260,000
Reservoir Repair And Maintenance
Program
Multiple
Districts
Critical
50241
WATER
REPL 5,850,000
Retroreflectivity Sign Replacement
Program
Multiple
Districts
Medium
60371 GAS TAX 1,000,000
Roadway Slope Stabilization Multiple
Districts
Medium
60811 GAS TAX 614,000
Romeria Drainage Improvements District 4 High
66041 GCC 410,000
66042 GAS TAX 348,000
Safety Center Renovation District 2 High
47151 IRF 5,953,050
47152 GCC 2,013,500
Safety Training Center Settlement District 2 Low
47431 GCC 1,077,525
Senior Center Refurbishment District 1 Medium
47381 IRF 1,248,000
Sewer Lift Station Repairs And Upgrades Multiple
Districts
Critical 38401 SEWER
REPL
2,935,380
717,439-------
1,865,000-------
1,530,000-----500,000-500,000
40,446,3747,500,0007,500,0001,500,0001,500,0001,500,000--
8,138,130-------
28,446,4765,500,0005,500,0001,100,0001,100,0001,100,0002,600,0002,324,000
32,736,0009,500,0009,500,0001,900,0001,900,0001,900,0001,900,0002,176,000
3,610,336-------
726,683-------
350,000-------
1,440,000310,000280,00050,00050,00050,00050,000-
2,060,000700,000630,000120,000120,000120,000110,000-
14,490,0003,610,0003,070,000-1,960,000---
1,660,000-----660,000-
614,000-----200,000-200,000
410,000-------
347,356-------644
12,603,050-----6,650,000-
2,013,500-------
1,077,525-------
1,248,000-------
Maintenance and Operations
June 23, 2020 Item #9 Page 73 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
SourceSenior Center Refurbishment District 1 Medium 47381 IRF 1,248,000
Sewer Lift Station Repairs And Upgrades Multiple
Districts
Critical
38401
SEWER
REPL 2,935,380
Sewer Line Condition Assessment Multiple
Districts
Critical
55131
SEWER
REPL 1,458,000
Sewer Line Refurbishments And
Replacement
Multiple
Districts
High
55031
SEWER
REPL 7,376,475
Sewer Monitoring Program (Capacity) Multiple
Districts
Critical
55041
SEWER
CONN 517,000
Stagecoach Park Synthetic Turf
Replacement
District 4 High
47421 IRF 2,200,000
Storm Drain Condition Assessment Multiple
Districts
High
66201 IRF 600,000
Storm Drain System Rehab And Repair
Program
Multiple
Districts
High
66071 IRF 4,591,360
Street Lighting Replacement Program Multiple
Districts
High
60621 GCC 319,269
60622
TRANSNET
-LOC 3,325,000
The Crossings Golf Course Lake Liner
Replacement
District 2 High
40841 GCC 835,500
Traffic Monitoring Program Multiple
Districts
High
60031 TIF 1,430,900
Traffic Signal Operations Modifications Multiple
Districts
Medium
63271 GAS TAX 180,000
Vallecitos Interceptor Sewer Cleaning
and CCTV
Multiple
Districts
High
55491
SEWER
REPL 250,000
Vista Carlsbad Interceptor -
Rehabilitation (VC1 & VC2)
District 2 Critical
55511
SEWER
REPL 20,000
Water Infrastructure Condition
Assessment Program
Multiple
Districts
Critical
50511
WATER
REPL 990,000
Water Loss Monitoring Program Multiple
Districts
High
50521
WATER
REPL 300,000
Wayfinding Sign Replacement Program Multiple
Districts
Medium
60611 GAS TAX 150,000
5,185,380750,000750,000150,000150,000150,000150,000150,000
4,968,0001,370,0001,240,000225,000225,000225,000225,000-
42,176,47514,050,00013,350,0001,850,0001,850,0001,850,0001,850,000-
950,000110,000110,00022,00022,00022,00022,000125,000
2,200,000-------
1,200,000---200,000200,000200,000-
5,391,360---200,000200,000200,000200,000
319,269-------
3,325,000-------
835,500-------
2,198,900-288,00096,00096,00096,00096,00096,000
180,000-------
250,000-------
1,936,000-----1,795,000121,000
7,750,0002,480,0002,250,000420,000410,000410,000400,000390,000
1,700,000500,000500,000100,000100,000100,00050,00050,000
150,000-------
Maintenance and Operations
June 23, 2020 Item #9 Page 74 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Chestnut Complete Street I-5 To Railroad
Project Study
District 1 Medium
60691
TRANSNET
-LOC -
Maerkle Reservoir Solar Project District 2 Low
47221 GCC 250,000
Ocean Street Reconfiguration Concepts
Study
District 1 Medium
60781 GCC 95,000
Odor And Corrosion Prevention Assessment Multiple
Districts
Medium
55201
SEWER
REPL 320,000
Railroad Double Tracking Multiple
Districts
Critical
60591 GCC 2,250,000
Rancho Carlsbad Groundwater Supply District 2 Low
19621
WATER
CONN -
19622
WATER
REPL -
Roadway Improvements - Coastal Area
Analysis & Implementation
Multiple
Districts
Medium
60791 GCC 200,000
San Luis Rey Mission Basin Groundwater
Supply
Multiple
Districts
Low
50441
WATER
CONN 77,500
50442
WATER
REPL 77,500
Sewer Modeling Multiple
Districts
Low
55461
SEWER
CONN 300,000
Traffic Impact Fee Update Multiple
Districts
High
60401 TIF 200,000
Traffic Signal Master Plan Multiple
Districts
High
63331 GCC 150,000
Utility Undergrounding Program Study Multiple
Districts
Medium
60831 GCC 100,000
Village Public Gathering Spaces Study District 1 Medium
40611 GCC 345,000
Water Modeling Multiple
Districts
Low
50581
WATER
CONN 300,000
Water, Recycled And Sewer Master Plan Multiple
Districts
Critical
55431
SEWER
REPL 422,680
55432
WATER
REPL 543,560
55433 RECL REPL 411,760
85,000-----85,000-
250,000----249,170--249,170
95,000-----95,000-95,000
320,000-------
173,173-------2,076,827
1,750,0001,425,000325,000-----
1,750,0001,425,000325,000-----
200,000-------
8,577,5002,500,0006,000,000-----
8,577,5002,500,0006,000,000-----
650,000125,000125,00025,00025,00025,00025,000-
200,000-------
150,000-------
100,000----100,000--100,000
345,000-----345,000-345,000
675,000125,000125,00025,00025,00025,00050,000-
422,680-------
543,560-------
411,760-------
Planning
June 23, 2020 Item #9 Page 75 of 124
Project Name District Score
Funding
ID
Funding
Source
Prior
Appropriation
Year 1
(2020-21)
Year 2
(2021-22)
Year 3
(2022-23)
Year 4
(2023-24)
Year 5
(2024-25)
Year 6-10
(2026-30)
Year 11-15
(2031-35)
Total
Funding
Source
Aviara Reimbursement Agreement District 2 Low
36491 PIL-SW 238,000
Btd#3 Reconciliation And Closeout District 2 Low
60671 BTD#3 125,000
Carlsbad Water Recycling Facility (Encina
Capital Projects)
District 3 Critical
52031
WATER
REPL 709,390
52032 RECL REPL 631,710
CFD#1 Administration Multiple
Districts
Low
19151 CFD#1 -
Encina Capital Projects Multiple
Districts
High
58011
SEWER
REPL 35,243,727
Gas Tax Transfer to General Fund
(Transportation Operating Budget)
Multiple
Districts
Null Not
Assigned GAS TAX -
Loan Repayment - Park-in-Lieu SW to
Public Facility Fee Fund
Null Null Not
Assigned PIL-NE -
Loan Repayment - Sewer Connection to
Sewer Repl
Null Null Not
Assigned
SEWER
CONN -
Open Space And Trail Acquisition (Prop C) Multiple
Districts
High
40831 GCC 2,215,000
Poinsettia Lane - Cassia Road To Skimmer
Court (Reimb. Agreement)
District 3 Medium
50451
WATER
CONN 600,000
Quarry Creek Sewer Extension (SBA "A" -
Reimb. Agreement)
District 2 Low
19611 OTHER -
Traffic Impact Fee Funds to CFD #1 Null Null Not
Assigned TIF -
238,000-------
19,979-------105,021
709,390-------
6,941,7101,300,0001,200,000125,000320,000315,0001,450,0001,600,000
550,000--110,000110,000110,000110,000110,000
139,503,16536,720,30534,753,1467,547,8956,880,0636,217,3605,383,0956,757,574
3,600,000-600,000600,000600,000600,000600,000600,000
1,100,0001,100,000------
4,700,0004,700,000------
4,015,000------1,800,000
600,000-------
567,000-----567,000-
1,944,0001,404,00090,00090,00090,00090,00090,00090,000
Project Accounting
June 23, 2020 Item #9 Page 76 of 124
Project Name Reason District Score Funding Source
Chinquapin Lift Station Force Main Outfall Realignment No current need based on existing and build-out conditions per the 2019 Sewer Master Plan
Update.
District 1 Low SEWER REPL
El Fuerte And Corintia Street Pressure Reducing Station Project will be incorporated into the Pressure Reducing Station Program, CIP No. 5020.District 3 Low WATER REPL
San Dieguito Water Intertie And Pipeline Extension Project deemed infeasible and of limited benefit.District 4 Low WATER REPL
Santa Fe II Reservoir Site Electrical Improvements Utility Department operations staff completed a small project within the last year which made
this project obsolete.
District 2 Medium WATER REPL
Terramar Sewer Replacement - El Arbol and Los Robles Further field investigation revealed root intrusion through the private sewer laterals was the
cause; therefore it was determined more appropriate to address via existing sewer lateral
replacement grant program.
District 2 High SEWER REPL
Traffic Signal - Alga Road And Cazadero Drive Upon re-evaluation of this location, traffic signal warrants are no longer met.District 3 Low GAS TAX
Traffic Signal - Armada Drive And Fleet Street South Upon re-evaluation of this location, traffic signal warrants are no longer met.District 2 Low GAS TAX
Traffic Signal - Armada Drive And Grand Pacific Resorts Upon re-evaluation of this location, traffic signal warrants are no longer met.District 2 Low GAS TAX
Traffic Signal - Camino Vida Roble And Yarrow Drive Upon re-evaluation of this location, traffic signal warrants are no longer met.Multiple Districts Low GAS TAX
Traffic Signal - El Fuerte Street And Rancho Pancho Upon re-evaluation of this location, traffic signal warrants are no longer met.Multiple Districts Low GAS TAX
Traffic Signal - Faraday Avenue And Palmer Way Upon re-evaluation of this location, traffic signal warrants are no longer met.District 2 Medium GAS TAX
Traffic Signal - Monroe Street And Hosp Way Upon re-evaluation of this location, traffic signal warrants are no longer met.District 1 Low GAS TAX
Safety Training Center Water Recirculating System Study Project is not critical to facility operations and not needed at this time.District 2 Low GCC
CWRF Irrigation and Landscape Project is not critical to facility operations and not needed at this time.District 3 Low RECL REPL
La Costa Avenue Drainage Improvements Project will be incorporated into Storm Drain System Rehabilitation and Repair Program, CIP
No. 6607 and Citywide Drainage Improvement Program, CIP No. 6608
District 4 High IRF
CITY OF CARLSBAD FY 2020-21
REMOVED CIP PROJECTS
Exhibit 3B-2June 23, 2020 Item #9 Page 77 of 124
Adopted Adopted Adopted Prelim
Budget Budget Budget Budget
Department(*)2017-18 2018-19 2019-20 2020-21
City Attorney 7.00 7.00 8.00 8.00
City Clerk Services 6.00 7.00 7.00 7.00
City Council 1.00 2.00 2.00 2.00
City Manager 8.00 9.00 12.00 7.00
City Treasurer 0.75 0.75 1.00 1.00
Communication & Engagement 5.00 7.00 7.00 7.00
Finance 32.00 32.00 31.00 31.00
Human Resources 11.00 11.00 17.00 17.00
Information Technology 27.00 32.00 35.00 37.00
Innovation & Economic Development 3.00 3.00 2.00 4.00
Community Services - Administration 0.00 0.00 0.00 3.00
Community Development 58.75 59.75 63.75 61.75
Library & Cultural Arts 51.50 50.50 52.50 52.50
Parks & Recreation 57.00 55.00 55.00 55.00
Fire 90.00 92.00 97.75 97.75
Police 170.00 170.00 184.00 184.00
Public Works 165.00 166.75 172.75 172.75
Total Full-Time Personnel 693.00 704.75 747.75 747.75
Hourly Full-Time Equivalent Personnel 179.09 185.87 199.97 186.19
Total 872.09 890.62 947.72 933.94
*Notes:
In FY 2018-19, Police IT was consolidated with city IT, resulting in the transfer of 5 FTE.
FY 2019-20 includes a mid-year increase of 2 FTE in Police as approved by City Council.
FY 2019-20 reorganizations include Finance, Human Resources, Community Development and Police.
This table excludes paid interns, due to transitional nature of intern employment.
PERSONNEL ALLOCATIONS
In FY 2020-21 5 FTEs were moved from City Manager to Comm. Serv. Admin. (3 FTE), and Innovation &
Economic Development (2 FTE).
Exhibit 3C
June 23, 2020 Item #9 Page 78 of 124