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HomeMy WebLinkAbout1981-06-23; City Council; Resolution 65961 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 RESOLUTION NO. 6596 A RESOLUTION OF THE CITY COlViCIL OF THE CITY OF CARLSBAD, CALIFORNIA, ADOPTING THE FINAL OPERATING BUDGET FOR THE FISCAL YEP.R 1981-82 FOR THE CITY OF CARLSBAD AND ESTABLISHING CONTROLS or4 CHANGES IN APPROPRIATIONS FOR THE VARIOUS DEPARTMENT FUNDS. WHEREAS, the city Counci 1 of the City of Carl sbad has reviewed the proposed final operating budget fcr fiscal year 1981-82 and has held such public hearings as are necessary prior to adoption of the final operating budget. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Carlsbad, California, as follows: 1. That certain documents now on file in the Office of the City Clerk of the City of Carlsbad ectitled, "City of Carlsbad 1981-82 Budget," as amended in accord with Exhibits A through F attached hereto and fncorporated by reference herein, shall be and the same is hereby adopted as the final operating budget for the City of Carlsbad for the fiscal year 1981-82. 2. That the amount designated as Department Total for each department and each fund in said document is hereby appropriated to the department or fund for which it is designated, and such appropriation shall be neither increased nor decreased except as provided herein without approval of the City Council. A1 1 amounts designated as Personnel Services , Maintenance and Opet-ations , and Capital Sutlay in said document are hereby anpropriated for sach uses to the department or fund under which they are listed subject to the controls herein. That the amounts designated in Exhibit F as Continuing Appropriations 3. are hereby adopted for the purposes indicated. 4. Tha.t the following controls are hereby placed on the use and transfer of budget funds: xxxxx xxxxx 3 2 1 4 F u E 7 E s IC 11 12 12 14 15 16 3.7 le 19 20 21 22 23 24 25 26 27 28 a. No expenditure of funds shall be authorized unless sufficient funds have been appropriated by the City Council or City Manager as described in paragraph b below: b. The City Manager may authorize transfers of funds from account to account and department to department within any fund in an amount up to $5,000.00 per transfer. c. The City Manager may authorize the expenditure of funds for Any expenditure of funds in . ,_ various purposes in amounts up to $5,000.00. excess of $5,000.00 will be governed by Section 3.28 of the Municipal Code. d. The City Council must authorize all transfers of funds from the budgeted contingency account. e. The City Council must authorize any increase in permanent personnel positions above the level included in the final budget. The City Maneger may authorize the hiring of temporary or part-time staff as necessary within the limits imposed by the controls listed above. f, The City Manager may approve change orders on Public Works contracts in amounts up to $5,000.00, if sufficient appropriated funds are available. The Manager may delegate the authority tcj approve change orders of $1,000.00 or less if funds are available to the Pub1 ic lzlorks Administrator, as described -in Administrative Order Number 7. 5. All additional revenues that may be received in the City General Fund during the 1980-81 fiscal year ars hereby appropriated and transfered to the General Capital Construction Fund. xxxxx xxxxx xxxxx xxxxx xxxxx I. 3 1 i 1 1 1 1 1 1 21 2: 2: 2: 24 2E 26 27 28 PASSED, APPROVED AND ADOPTED at a regular meeting of the City Council: on the 23rd day of June 1981, by the following vote, to wit: AYES: NOES : None Council Wers Packard, Casler, Anear, Lewis and Kulchin. ABSENT: None ATTEST: (SEAL) e EXHIBIT A e I -0 a, Uc, ca, gz om u a, CIC CI rl u 0 03 N, 8 cu, rl ', tc, n 00 00 3 q LL W S 3 LLW .u r c, w S 0 U m L a a, 3 S a, > ala, & .v) *I- C; v) S os -c, mu -3 .I- L QO m u RI L a S a, a 2 P C3 z I- W a 0 -I 4: I- 0 I- H s - Y tn a, *C c, -0 E: 3 LL c, L 0 c c, 3 < 0) S *r tn 3 0 I .r m a, tn L Q L a, c, S w -r m S .r c, S a, E Q 0 a, > a, U a, CT t- .I- Lt- .- > a, 0 3 a, -I I S H .r m c v) L, S 0 u V 5 LL ,-- m L a S a, a. X m I- tn m 0 a, 3 S a, > a, & u .I- L a, v) 5 L a, w m 3 Y L 5 P c n 3 p. .- uv) aJw +J 3 mr Ea, *I- > Wa, v)& w U 0 d. tr9 m d nn cow 0 hh 0 UJN 0 n 0 0 a, W N 0. Q, v 0000000 oc 0000000 4c WLn030a,Oh oc ma NC a_m" dUJ da ko,4'9,o,o,Ln, TC r n d v 0- 0 0 tr9 v) W LL 01 S V' J 'S x E.e3IT B I *. . * Ln co a3 h e3 00, d tc, U S 3 LLv) c, c, v) 5 0 V m c, Q a u m L aJ S a, a - .I- P S 0 c, u 3 L c, v) S 0 0 L ffl 3 a, m .C 0-l S L m -c m aJ 3 S a, > a, Ltl -r- W S 3 LL J aJ a I S U Y I- m .P n Y V 0 P ma v) >L aJQ a, . .r- nL 32 .f- w . S SL Ea, Ec, om V3 aJ > L W v) aJ L 0 OZI ZE m - L aJ S aJ a a, .s c, z L v- L aJ IC v) s 6 L w m CITY OF CARLSBAD 1981-82 REVENUE ESTIMATE EXHIBIT C (Page 1of4) Source OPERATING REVENUE: GENERAL FUND Property Tax (w/bai 1 -out) Sales Tax Transient Tax Franc h i ses Business Licenses Transfer Tax Con s t r uc t i on Perm i t s Vehicle Code Fines Interest Rent a1 Income P & R Facilities Rental Alcohol Beverage License Motor Vehicle In-Lieu Fees HOPTR & BITR (FALA) Trai ler Coach In-Lieu Cigarette Tax Other State Grants Disaster Re1 ief Mandated Cost Reimbursement Zoning Fees Subdivision Fees Sale of Maps, Publications Plan Checking Fees Engineering Fees Weed & Lot Cleaning Refuse Collection Amb u 1 ance Fees Library Fees Recreation Fees Refuse Admin. Fees Street Sweeping Environmental Impact Fees Misc. Reimbursed Expend. Post Rei mb ur semen t Sale of Property Miscell aneous Other SUB-TOTAL: GENERAL FUND 1979-80 Act u a1 Revenue 2 , 475 , 987 2 , 969 , 586 578 , 233 175,257 242 , 342 116,374 181,839 152,171 823,414 15 , 163 970 13,430 569 , 983 181,111 64,371 135 , 057 -0- 86,412 12 , 723 33 , 463 37 , 684 17 , 215 154,685 107 , 548 48 0 314 , 557 53,659 -0- -0- 7,056 7 , 010 8,523 11,310 34,590 613 3,993 9,598,030 11,221 DEDUCT: TOTAL GENERAL FUND Estimated loss of State Bailout funds and state subventions 1980-81 Estimated Revenue 2,870,000 3 , 200 , 000 600,000 243,000 255,000 135 , 000 300 , 000 825,000 7 , 000 190,000 6 , 000 20 , 000 620 , 000 250,000 50 , 000 155 , 000 -0- 38 , 900 -0- 36 , 000 25 , 000 19 , 000 225 , 000 200,000 4 , 800 335 , 000 45 , 000 10 , 000 -0- 15 , 000 12 , 000 10 , 000 90,500 15 , 000 4,400 100 25 , 000 10,836,700 1981-82 Estimated Revenue 3,528,300 3,662 , 000 675,000 292,000 285 , 000 135 , 000 710,000 210,000 800 , 000 7,000 6,000 20 , 000 746 , 000 274,000 50 , 000 155,000 - 0- -0- 5 , 000 38 , 700 27 , 000 20 , 500 335 , 000 300 , 000 5 , 000 336 , 000 55 , 000 10 , 000 120 , 700 18 , 000 12 , 000 10 , 000 30 , 000 15 , 000 4,000 100 25,000 12,92mOD 0 1979-80 1980-81 1981 - 82 Actual Estimated E st imat ed Revenue Revenue Revenue Source OPERATING REVENUE( Continued) GAS TAX 2106 Funds 2107 Funds 2107.5 Funds Interest 145,000 144 , 000 6 , 000 30.000 147,917 136,663 6,000 79,073 369,653 141,000 128,000 6 , 000 50,000 325 , 000 TOTAL GAS TAX 325,000 3,000 576,000 60,OO 639,000 SANITATION FUND 6 , 447 438 , 294 -0- Interest Sewer Service Charge Revenue From Revolving Fund 3,000 545,000 -0- TOTAL SANITATION 444,741 548,000 STREET LIGHTING Interest Lighting Dist. Revenue 2,799 224 , 021 500 280,100 -0- 449,900 449.900 TOTAL STREET LIGHTING 226.820 280.600 LIBRARY BOND Property Tax Interest 1,914 10,654 12.568 200 8,800 9 , 000 -0- 9,000 9 , 000 TOTAL LIBRARY BOND SEWER BONDS Property Tax Interest 137,280 11 , 899 127 , 500 2,500 130.000 127,500 2 , 500 130.000 TOTAL SEWER BONDS 149.179 *HIBIT c (page 3 of 4) 1979-80 1980-81 Actual Estimated Source Rev en ue Revenue OPERATING REVENUE( Continued) HOUSING AUTHORITY (Sec. 8j Interest & Other Grants TOTAL HOUSING AUTHORITY 39,086 597 , 948 637.034 REDEVELOPMENT 2,500 595 , 000 597,500 1981-82 Estimated Revenue -0- 816,200 816,200 Misc. Revenue OTHER SPECIAL REVENUE FUNDS -0- -- -0- -- -0- -- Library CLSA Nat'l Endowment for the Arts Bristol Cove Assmt. Dist. TOTAL OTHER SPECIAL FUNDS WATER - Interest Vat er S a1 es Other TOTAL WATER TOTAL OPERATING REVENUE 32,576 2,518 3,621 38,715 233,385 1,479,826 93,606 1.806.817 25,100 7,550 87,760 120,410 160,000 1,600,000 40,000 1.800.000 13,283,557 14,647,210 -0- -0- -0- - 0- 160,000 1,700,000 40,000 1,900,000 16,815,400 EXHIBIT c (Page 4 of 4) 1979-80 1980-81 Actual Estimated Revenue Revenue 1981-82 Estimated Revenue Source CAPITAL FUNDS: GENERAL CONSTRUCTION FUND -0- -0- -0- SEWER CONSTRUCTION 149,793 -0- -0- Interest Sewer Service Surcharges Capital Contributions 70,000 260 , 000 850,000 1,180,000 20 , 000 332 , 000 1,200,000 1,552,000 TOTAL SEWER CONSTRUCTION 149,793 REVENUE SHARING Interest Grants 166 , 120 461,143 627.263 150,000 448,000 100,000 440,000 540,000 TOTAL REVENUE SHARING -598,000 PUBLIC FACILITIES CONST. FUND Interest Public Facilities Fees 10,000 600,000 1,711 46,464 48.175 150,000 1,150,000 1,300,000 TOTAL PUBLIC FACILITES CONSTRUCTION FUND 610,000 PARK-IN-LIEU FUNDS Park-In-Lieu Fees TOTAL PARK-IN-LIEU FEES 138,811 138.811 300,000 300,000 300,000 300,000 HCD BLOCK GRANTS - All Revenue WATER TOTAL CAPITAL FUNDS TOTAL ALL FUNDS 38,280 -0- 941 ,DQO -0- -U- -0- 964,042 14,247,599 3,730,280 20,545,680 2,929,000 17,576,210 eXHIBIT D (Page 2 Of 3) 0 d I 9 .. 0 EXHmT D (Page 3 Of 3) d I I; c co Lo m 01 h co H n b, I I? 4 DEPARTMENT City Council City Manager City Clerk Street Maintenance 21 Mechanical Maintenance 6 Building Maintenance - Sanitation 1 Gen, Gov. Building Maintenance 4 Solid Wastes - Sanitation 0 Library - Administration 3.75 Library - Adult Services 7.50 Library - Children Services 2.50 I DEPARTMENT REQUEST 1980-81 BUDGET P.T. 5 P.T. General Gov. Administration 1 City Attorney 3 Finance 9.50 City Treasurer P.T. Central Services Purchasing Personnel Building Fire Administration Fire - Suppression Fire - Prevention Fire - Paramedic Developmental Services Utilities - Maintenance Engineering 6 3 4 10 2 37 2 9 4 4 18 1981-82 BUDGET REQ. P.T. 6 P.T, 0 3 10.50 P.T. 8 4 4 11 2 36 2 10 4 4 19 21 6 1 4 0 3.75 7.50 2,50 2.75 2.7-5 2.75 3.05 P.T. 8.95 5.50 1981-82 ADOPTED BUDGET P.T. 5 P.T. 0 3 9.50 P.T. 6 3 4 10 2 36 2 10 4 4 18 21 6 1 4 0 2.75 7.50 2.50 2.75 2.75 2.75 2.05 P.T. 8.45 5.50 I il I-. t . DEPARTMENT 1980-81 BUDGET Parks/Recreation - Administration 4.50 Parks/Recreation - Park Maint. 14 Parks/Recreation - Tree Maint. 5 Parks/Recreation - Recreation 2.50 Parks/Recreation - Recreation Fees .50 Parks/Recreation - Aquatics 1 Aqua Hedionda Lagoon 0 Police - Administration 4 Police - Field Operations 40 Police - Investigations 9 Police - Technical Services 15 Police - Reserve Officer 0 Housing/Redev. - Administration 4 Human Services 1 Exhi@ E (Page 2 of 2) 1980-82 DEPT. REO. 5 14 6 2.50 2.50 2 0 3 41 10 19 0 4 1.50 TOTAL: GENERAL FUNDS 288.0 OTHER FUNDS 305.50 Sanitation Street Lighting Water Operations Housing Redevelopment Block Grant 5.50 0 15.50 1 1 1 6.50 0 15.50 3 2.75 2.75 TOTAL: OTHER FUNDS 24.0 GRAND TOTAL: ALL FUNDS 30.0 335.50 312.0 1981-82 Adopted Budget 5 14 5 P.T. only 5 + P.T. 1.25 + P.1 0 2 41 9 16 0 3 1 287.75 5.50 0 15.50 3 2.0 1.0 27.0 314.75 ' cu' 0' 0 Y 7 r- ol w CR m c w m cn In 00 00 b 0 lnm 2% e 0 0 m 0, - 0 0 W W 0, OW ow -03 dN 0, '0, 0 0 0. ;?; cu C C P 0 0 cu N 5.