Loading...
HomeMy WebLinkAbout1998-06-16; City Council; Resolution 98-1911 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 0 0 EXHIBIT 2 RESOLUTION NO. 98-191 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, ADOPTING THE FINAL OPERATING BUDGET AND CAPITAL IMPROVEMENT CITY OF CARLSBAD AND ESTABLISHING CONTROLS ON CHANGES IN APPROPRIATIONS FOR THE VARIOUS FUNDS PROGRAM FOR THE FISCAL YEAR 1998-99 FOR THE WHEREAS, the City Council of the City of Carlsbad, California has reviewed the proposed final Operating Budget and Capital Improvement Program for fiscal year 1998-99 and has held such public hearings as are necessary prior to adoption of the final budgets. WHEREAS, the Planning Commission made a finding of General Plan Consistency for all projects receiving an allocation of funds for fiscal year 1998- 99 on May 6, 1998 pursuant to Planning Commission Resolution No. 4269, 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 entitled, "City of Carlsbad, 1998-99 Operating Budget and 1998-99 to Buildout Capital Improvement Program - Preliminary" as amended in accordance with Exhibits A through D attached hereto and incorporated by reference herein, is hereby adopted as the final Operating and Capital Improvement Budgets for the City of Carlsbad for the fiscal year 1998-99. 2. That the amounts reflected as estimated revenues for fiscal year 1997-98 as shown iTc Exhibits A and B are hereby adopted as the final budgeted revenues for 1997-98. 3. That the amounts designated as the 1998-99 Budget request in Exhibits A and B are hereby appropriated to the department or fund for which they are designated, and such appropriation shall not be increased except as 0 0 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 provided herein. 4. 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 herein. 5. That the following controls are hereby placed on the use and transfers 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 to department heads the authority to make budget transfers within their own departments. 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 Council must authorize all transfers of funds from the budgeted Contingency Account. 5. The City Manager may authorize emergency out of state travel for public safety or emergency services purposes. C. The City Council must authorize any increase in the number of authorized permanent personnel positions above the level identified in Exhibit 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. _* ~ li 0 0 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 6. 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. 7. That all appropriations for Capital Improvements Projects remaining unexpended at June 30, 1998 are hereby appropriated for such capital projects for the 1998-99 fiscal year. 8. That 1997-98 appropriations in the approximate amount of $1,350,476 are hereby continued into 1998-99 for the purposes shown in Exhibit D. All appropriations for outstanding encumbrances as of June 30, 1998, are hereby continued into 1998-99 for such contracts or obligations. 9. That an additional $12,000 be appropriated to COPS grant budget for 1997-98 budget as grant funds were received but not appropriated. IO. That the reimbursement for business mileage will be set at the rate established from time to time by the IRS (as of June 1998, the business mileage reimbursement is $0.325 per mile.) PASSED, APPROVED AND ADOPTED at a regular meeting of the City Council on the 16 day of June , 1998, by the following vote, to wit: AYES: Council Members Lkwis, F NOES: None ABSENT: None ATTEST: (SEAL) It 0 0 EXHIBIT A 1998-99 PROPOSED OPERATING BUDGET The City of Carlsbad’s proposed 1998-99 operating budget totals $94.4 million with revenues for the year estimated at $101 million. General fund revenues and expenditures are balanced at $55.4 million. The message which follows will summarize the operating revenues and expenditures, and review the new programs or increases in service levels proposed for the 1998-99 fiscal year. Much of the focus is on the General fund because it contains discretionary revenues that fund the basic core of City services. However, this should not diminish the importance of the other operating funds, as they also contribute to the array of services available within Carlsbad. The 1990’s have been a volatile time for the City of Carlsbad’s economic and budgeting strategies. The decade began strong with the City in good economic health bolstered by a very strong housing market. However, by 1992, the City was in the depths of one of the worst recessions since its incorporation. Property values plummeted, sales taxes dipped and development all but stopped. The State of California was in even worse shape and chose to balance their budget with cities’ and other agencies’ revenues. During this time, the State took over $2.5 million of annual revenues from Carlsbad’s General fund making the situation in Carlsbad even more difficult to manage. Then, beginning in 1994-95, the economy began expanding again bringing with it more jobs, more spending and more construction activity, especially in Carlsbad. The careful planning done by the City in the past years is now paying off as we see the industrial area developing and bringing in new jobs. San Diego County’s jobless rate for April 1998 was 3.3% - the fourth lowest in the state. New jobs create the need for housing, and we have seen the residential housing market spring back from the doldrums of the early 1990’s. It is expected that Carlsbad will issue approximately 1,400 residential building permits this year compared to 62 in 1991-92. Although this is nowhere near the over 2,500 per year issued in the late 1980’s, it is a significant change. The healthy economy coupled with low inflation has raised consumer confidence which has resulted in more sales taxes and increased tourism. The consumer confidence index as reported by the Union-Tribune, rose from 85.9 in April of 1996 to 126.4 in April 1998. All of these together contribute to a robust local economy which should be able to provide the funds to support the increased demands for City services. It is expected that the economy will continue at this level throughout fiscal year 1998-99. The City’s revenue projections reflect an expectation of increasing housing prices, level building activity and continued consumer confidence. They also show some increases in tourism as we begin to gear up for the opening of the Leg0 theme park in Carlsbad, a park primarily for children ages 2-13 based on the Leg0 building bricks. This theme park should give a boost to both transient occupancy taxes and sales taxes; although the full effect won’t be seen in the City’s revenues until fiscal year 1999-2000. In anticipation of the growth of our City population, both transient and permanent, staff is recommending some enhancements to our services in 1998-99 to ensure the maintenance of a high quality of life for Carlsbad’s residents. e 0 Revenue The following table shows the total operating revenues the City anticipates receiving for 1997- 98, as well as those estimated for 1998-99. REVENUE SUMMARY BY FUND TYPE (In Millions) PROJECTED ESTIMATED PERCENT FUND 1997-98 1998-99 DIFFERENCE CHANGE GENERAL FUND $53.0 $55.4 $2.4 5% SPECIAL REVENUE 9.0 7.1 -1.9 -21 % ENTERPRISE 23.7 27.8 4.1 17% INTERNAL SERVICE 8.2 8.9 0.7 9% REDEVELOPMENT 1.8 1.8 0.0 0% TOTAL $95.7 $1 01 .o $5.3 6% I I Revenue estimates for the operating budget indicate that the City will receive a total of $101 million, a $5.3 million increase over the current year projections. The majority of the increase can be found in the General fund and Enterprise funds. These and other funds will be discussed in more detail below. GENERAL FUND General fund revenues provide a representative picture of the local economy. These revenues are of particular interest as these resources fund basic City services such as Police, Fire, Library, Street Maintenance and Park and Recreation programs. The table below shows a summarized outlook for the major General fund revenues. SIGNIFICANT REVENUES TO THE GENERAL FUND (In Millions) PROJECTED ESTIMATED PERCENT FUND 1997-98 1998-99 DIFFERENCE CHANGE PROPERTY TAX $12.3 $1 3.3 $1 .o 8% SALES TAX 14.1 15.2 1 .I 8% TRANSIENT OCCUPANCY TAX 5.5 5.8 0.3 5% DEVELOPMENT RELATED REVENUES 7.8 7.3 -0.5 -6% ALL OTHER REVENUES 13.3 13.8 0.5 4% I I ) ) ) TOTAL GENERAL FUND REVENUE $53.0 $55.4 $2.4 5% I I 0 0 Sales tax is the single largest revenue source to the General fund representing 28% of the fund. Sales taxes are estimated at $15.2 million for 1998-99, an increase of 8% or $1 .I million over the projected 1997-98 receipts. About 3% of the increase is attributed to the expansion and full year of operations of the Carlsbad Company Stores, a retail center which initially opened in October 1997. The remaining increase is based on Statewide estimates of expected growth in sales taxes due to the healthy economy and high consumer confidence. This estimate also includes approximately $440,000 that is restricted to spending on public safety services under Proposition 172. Proposition 172 requires that the 1/2 cent increase in California sales taxes be deposited to State and local public safety trust funds and allocated to local agencies to fund public safety services. Although property taxes are often thought of as the major source of revenue for a municipality, this is no longer true for Carlsbad. Carisbad’s property taxes suffered some serious losses during the recession due to take-away by Pi the State and the deflation of real estate values. However, they are still a very important source of revenue to the City bringing in approximately 24% of the & General fund revenues. This year it is expected that property taxes will grow to $13.3 million, a $1 million or 8% increase over 1997-98’s estimates. By law, the assessed values upon which property taxes are based are only allowed to increase by 2% per year. The remainder of the growth is expected to come from new development and the increased value of property which was devalued during the recessionary times. Recent publications have shown the average price of housing increasing by as much as 11% in certain parts of Carlsbad. The next most significant General fund revenue is the Transient Occupancy Tax (TOT or hotel tax) which is estimated at $5.8 million for 1998-99, an increase of 5% over 1997-98 estimates. The addition of the Four Seasons Resort at Aviara to the City’s inventory of hotel and motel properties has had a very positive impact on the projections. The Four Seasons Resort is a 336 room, five star resort located in the southern section of the City next to the well-known Aviara golf course. The resort opened in August 1997. In addition, tourism has been at an all-time high throughout the San Diego Region. With the healthy economy and the opening of Leg0 in springkummer 1999, it is expected that receipts from the TOT will continue to grow. Development within Carlsbad saw a sudden upward turn in 1994-95 and has continued to accelerate since then, although it is still well below that experienced in the late 1980’s. One of the commonly used indicators of building activity is the number of residential permits issued. As of April 1998, Carlsbad has issued almost double the amount of permits than in the previous year. Projections for 1998-99 residential permits total approximately 1,400 which is about equal to the estimate for 1997-98. The 1997-98 development-related revenues, which include Planning, Engineering and Building Department fees as well as building permits and other permits and licenses, are expected to total $7.8 million or 19.5% of the total General fund revenues. The projections for 1998-99 show a 6% decrease in these revenues for a total combined revenue projection of $7.3 million. The decline is mainly in the Engineering fees. There were a number of large master plans processed this year and this activity level is not expected to continue as strong next year. It should also be noted that the license tax on new construction continues to be a revenue source of the General Capital Construction fund rather than the General fund. This change was made in fiscal year 1997-98. All other revenues include franchise taxes, transfer taxes, vehicle license fees, ambulance fees, recreation fees, and other charges and fees. These revenues totaling $13.8 million are projected to increase by 4% compared to the current fiscal year. The increases are spread pretty evenly throughout the various revenue sources and are the result of the overall health of the economy. 0 0 Overall, the outlook for the General fund revenues in the upcoming year is very good. All indicators point to a strong local economy persisting through 1998-99 especially in the building f"* and tourism industries. However, there is one cloud on the horizon for the C;?,;;,$?,;&&p$, 3 $;><+ ,$?flC$$: City's General fund revenues. There are currently several bills in the State $$p ~~~~~~~~~~,:,,~!~~~,, ,,L,,, ,,, :': Blii!,' E;,& ,:> legislature which would abolish the vehicle license fees (VLF). Vehicle license fees are paid when you register your vehicle and were put in place in lieu of /4$+4/ personal property tax on automobiles. The amount allocated to cities was to offset the amount of personal property taxes lost. B C'T / I For 1998-99, the City expects to receive approximately $2.9 million in vehicle license fees. Two of the bills pending in the State legislature would repeal the VLF over a five year period and, under the current versions, backfill it with sales tax revenue from the State. The other bill would eliminate all VLF immediately with no source of funds from which local government could offset the loss of revenues. If these bills were to pass, it is unlikely that the City would be able to replace the tax because of the constraints of Proposition 13 and the recent Proposition 218. While two of the proposals have language to backfill cities for the loss of revenue, it is unlikely that other competing interest for State General fund monies will permit the backfill to happen. If any of these bills were to pass without the backfill of monies from the State, cuts will be necessary from the budget presented here in order to maintain a balanced budget. OTHER FUNDS Revenues from Special Revenue funds are expected to total $7.1 million, a decrease of $1.9 million from 1997-98. The types of functions supported within Special Revenue funds include programs funded by specific revenue streams such as Section 8 Housing Assistance, Housing Trust fund, Community Development Block Grants (CDBG), and maintenance assessment districts. The Gas Tax funds were moved this year from the operating budget to the Capital Improvement Program which accounts for a decrease of $1.6 million. The other significant change was in the Citizen's Option for Public Safety (COPS) Grant which provides supplemental funding for local law enforcement. The grant program was established in 1997- 98; however, it requires an annual appropriation from the State to fund the program. For that reason, the revenues-for the next year of the program have not been shown. The grant has been used to fund two bicycle patrol officers and there are sufficient revenues available from the current grants to continue the program into 1998-99. Enterprise fund revenues for 1998-99 are projected at $27.8 million, up 17% or approximately $4 million more than 1997-98 projections. Enterprise funds are similar to a business in that rates are charged to support the operations which supply the service. Carlsbad Enterprises include the water and sanitation services, solid waste management, and the Carlsbad Golf Course. There are no changes in the rates for any of the Enterprise funds planned. The increase can be attributed mainly to increased water sales and a transfer from the General fund to the Golf Course fund of $1.7 million as discussed further below. Water Operations revenue shows an increase of $2.6 million over the 1997-98 projections, of which $2.5 million is due to higher projected water sales. The increased growth within the City brings more customers to the Water District thereby causing an increase in the total water sold. Also, the projected revenue for 1997-98 is lower than normal due to an unusually wet winter from "El Nino." Recycled water sales and Sanitation fund service charges are also projected to increase due to increased customers. Operating revenues to the Golf Course enterprise fund of $1.8 million represent the proposed transfer of funds from the General fund. These amounts are needed to provide sufficient funds to the golf course to pay off the special assessments owed for its share of the Palomar Airport Road Assessment District and to pay for other taxes, assessments and expenses as needed 0 0 F - BUDGET BUDGET PERCENT 'UND 1997-98 1998-99 DIFFERENCE CHANGE GENERAL FUND $48.1 $55.4 $7.3 15% SPECIAL REVENUE 8.9 6.3 -2.6 -29% ENTERPRISE 20.5 22.2 1.7 8% INTERNAL SERVICE 8.9 8.8 -0.1 -1 % REDEVELOPMENT 1.8 1.7 -0.1 0% I I I I I TOTAL $88.2 $94.4 $6.2 7% I I 0 0 Budaetaw Policies For most of the 199O's, budget policies for the City have, by necessity, been set based on the amount of revenues projected. Most of the years were plagued by decreasing or flat revenue projections which provided only enough funds to continue current services or, in some years, required cut-backs in services. This is the first time this decade that the revenues have not been the driving force behind the budget preparation. City of Carlsbad 7998 Strategic Goals Budget policies this year began with the assumption that departments would be allowed to maintain their "base budget." This is an amount allocated to each program sufficient to fund current services at current levels. The base budget is an approximation of the adopted budget for each department for fiscal year 1997-98, adjusted for Ensure the effective and efficient delivery of top quality services to our community e Create diverse, broad-based and healthy economic opportunities Integrate a comprehensive, efficient transporfatiol system which moves people, goods and services - m , 7 approved salary funds. or charges from Internal Service the community. increases and revised assessments Enhance educational opporfunities for all segments of In addition, departments were allowed to submit requests for additional resources. These requests were considered if the department could show how the outcome of the new program, or increase in service level, would help to achieve Council's vision of Carlsbad, and fit within Council's strategic goals for 1998. The proposed budget also incorporates the organizational and structural changes which have resulted from the strategic planning initiatives underway in the City. During 1997-98, the City completed an organizational redesign process which analyzed the City's current structure and made recommendations for a new design which would contribute to the effectiveness of the organization. This effort resulted in the creation of five major service areas defining the key businesses of the City, governed by the top executives of the City. The new structure is reflected throughout the budget document. Through the application of these guidelines and policies, the proposed 1998-99 operating budget of $94.4 million was developed. Only one position remains unfunded in this year's budget, down from six in the previous year. The Council Contingency account which is available for unanticipated emergencies or unforeseen program needs is budgeted at $4 million, or 8% of the 1998-99 budget requests. The budget also includes funds to enhance the services already being provided to the community as well as the addition of several new programs. The increased services incorporated into the proposed budget will bring the City closer to achieving Council's vision and specifically address the achievement of the 1998 strategic goals. 0 0 GENERAL FUND General fund expenditures show a $7.3 million, or 15% increase, from the current 1997-98 budget to the 1998-99 budget. In the past, several strategies were used in order to maintain the same service levels while balancing the General fund expenditures against the projected revenues. This year it has been possible to “undo” most of those balancing strategies since sufficient revenues are now available to fund the services. Some of the adjustments made this year include: > Only one position, a fire captain specialist, remains unfunded in this proposed budget. Six (6) positions were not funded in last year’s budget. The five positions which were funded this year are Library positions which will be used to support the new Carlsbad Library on Dove Street. > For the past five years, we have used alternate funding sources to support some General fund programs. This year we have been able to move the maintenance and operation costs of the DARE and Juvenile Diversion programs as well as all costs of the School Resource Officers program out of the Police Asset Forfeiture funds and back into the General fund. It is fortunate that we were able to do that this year as there are no longer sufficient funds in the Asset Forfeiture fund to support these programs. In addition, the Major Street Maintenance program totaling $552,000 was also moved back into the General fund from the Gas Tax fund. Gas Tax funds are once again being used mainly for new and reconstruction of the streets rather than maintenance. Transnet funds continue to be used to support about $1.2 million of the pavement management program each year. > A $1.7 million advance to the Golf Course fund has been included in the General fund budget for 1998-99. This will provide sufficient funds to the golf course to pay off the special assessments owed for its share of Palomar Airport Road and to pay for other taxes, assessments and expenses as needed for the project. > Capital outlay expenses totaling approximately $717,000 have been funded within the General fund budget. > A new category has been added to the Personnel Allocation tables for interns being used by the City. An intern position is a temporary position in which individuals just starting out in their careers can learn the trade and eventually transition into a permanent position in local government. The use of interns allows the City to augment its staff for certain short-term projects as well as providing a pool of trained employees from which vacancies can be filled. ghat’s 3 New Proarams and increased Service Levels oew The requests for increases in programs and service levels in the General fund were considered in light of the Strategic Goals for 1998. In total, 15.25 new full and % time employees are proposed in the 1998-99 operating budget, an increase of 3%. Carlsbad is known for its high level of public service and the proposed budget aims to maintain or improve upon the current service levels. The new or enhanced program requests are shown below under the Strategic Goal which they specifically address. Although, it should be noted that all requests in the proposed budget will assist the City in achieving the first stated goal of providing effective and efficient top quality services. 0 0 Sfrafeaic Goal: Ensure fhe effective and efficient delivery of fopqualify services to our communitv. I - I Enhanced Police Services As a result of the anticipated growth in the City over the next few years, the Police department has prepared a long-range staffing plan to ensure that the services provided to the citizens will remain at or above their current levels. The addition of three sworn officers and three non-sworn staff are included in the 1998-99 budget as part of this plan. The total cost of this request is approximately $312,000, which funds four positions for the entire year and two positions for half of the year. The approval of the staffing requests will allow the Police Department to be proactive rather than reactive to changing needs. r The Police are also requesting some enhancements to their fleet in order to better utilize their officers’ time. The program is the result of an analysis performed by the department to determine the optimum ratio of cars to patrol officers. These two factors must be balanced in order to provide enough vehicles so officers do not waste valuable patrol time waiting for a car and few enough cars to insure that all receive reasonable use. The request is for a one-time outlay of $90,000 to purchase three additional police vehicles and $60,750 to maintain them and provide for their eventual replacement. One other change in the delivery of Police services proposed in the 1998-99 operating budget is the assignment of a community services officer to the patrol of the Agua Hedionda Lagoon. This change will not increase the total complement of personnel allocations in the Police Department as they will be eliminating a vacant secretary position. The Lagoon Patrol was previously provided by the Recreation Department through the use of hourly personnel. The transition to the Police Department will provide better continuity in personnel and increased hours of coverage on weekends, holidays and in the off season. The outcome expected is a safer lagoon for the community to enjoy. Park Maintenance One of the services provided by the City that greatly contributes to the quality of life in this community is the Park system. During the recession, park maintenance is one area in which numerous cuts were made and the slogan “Brown grass is beautiful” was born. With the return of economic health to the City, it is now possible to upgrade our park maintenance program to ensure that the quality of our parks is maintained. In addition, the City is adding new parks which must be maintained including the skateboard park, landscaping to Leo Carrillo Park and additional facilities to Poinsettia Park. To provide top- quality service in the maintenance of our parks, an additional parks maintenance worker has been requested as well as additional funds for hourly personnel. The total additional requests for upgraded park maintenance and the additional parks is $185,000 of which $72,000 is for personnel and $1 13,000 is for supplies and services. Safetv Droqrams Included in the 1998-99 operating budget is approximately $80,000 in additional funding to bolster our current safety programming throughout the City. The Risk Management program is responsible for coordinating- the safety programs and has also been managing the Workers’ Compensation program. For fiscal year 1998-99, the management of the Workers’ Compensation program will be moved to the Human Resources Department along with a management analyst to support the program. This will allow the Risk Management Department more time to focus on addressing the safety needs of the City and will consolidate benefit delivery to the employees. The outcome expected is a safer workplace and community, with a corresponding decrease in claims. 0 0 [Strategic Goal: Create diverse, broad-based and healthy economic opportunities I Although there are no specific new requests in the proposed budget dedicated to the achievement of this goal, the economic development program, the redevelopment program and many other programs throughout the Major Service Areas are specifically dedicated to creating economic opportunities. All departments will continue their efforts to ensure that Carlsbad maintains a diverse and healthy economic base which provides opportunities for employment to the residents of Carlsbad and insures economic vitality in the community and the necessary revenues to support City services. Strategic Goal: lntegrate a comprehensive, efficient transportation system which moves people, goods and services Advanced Capital Improvement Proaram A large part of this goal will be accomplished through the Capital Improvement Program (CIP) which anticipates having $120.2 million in project funding for the upcoming year with much of it focused on improving our transportation systems. Although the CIP funds the cost of the project, it does not budget for the staff that is necessary to complete the project. The staffing is budgeted in the operating budget. A request has been included in the 1998- 99 operating budget for three additional positions in the Engineering Department; two engineering technicians and an associate engineer. These positions are needed in order to build the projects outlined in the CIP and to maintain services to the development community. Strategic Goal: Enhance educational opportunities for all segments of the community. I I - I New Carlsbad Librarv One of the most eagerly-awaited projects in recent years is finally coming to fruition: the construction of the new Carlsbad Library on Dove Street. This Library will be a 64,000 square foot state-of-the-art facility which will include a 220 seat auditorium and a 2,000 square foot art gallery for traveling art exhibits and productions. It is expected to open in July 1999. Staffing of the new facility will be handled by existing Main Library staff augmented by the five positions that have been allocated but vacant and unfunded in previous years. These positions will require funding for only a portion of the year. In addition, staff is requesting two information systems positions, one for a full year and one for half of the year, to provide the necessary technological needs of the new Library systems. The new Library will have its own minicomputer and software which will be used to provide the card catalog and checkout services. In addition, it is planned that approximately 150 personal computers will be housed in the new Library. With the new Library opening in July 1999, the Main Library will close for remodeling. During thattime, staff is requesting, through the CIP, funds to provide an interim facility to continue service in the northern part of the City. Additional funds for hourly employees (five full-time equivalents) are also requested to augment current staff so services can be maintained during the transition. The total cost of the additional requests to support the Library services is $245,500 for 1998-99. These funds will ensure that numerous educational opportunities are available for all segments of the community. 0 0 Enhanced Recreational Prosramminq A number of enhancements to the recreation programming have been proposed in the 1997-98 operating budget. Many of the programs will provide increased opportunities for our youth to participate in educational or sports-oriented activities. The total budget request for these programs is $201,000, of which $198,000 is expected to be recovered from program fees. $51,000 of the request is for additional hourly personnel with the remaining $150,000 for supplies and services. The additional or enhanced programs include the following: A 0 $3,600 for lifeguard services to Carlsbad High School physical education classes 0 $101,000 for additional enrichment classes 0 $17,000 to expand the Triathlon and beach festival 0 $14,000 to increase staffing and supplies for the Stay ‘N’ Play program 0 $22,000 to allow ,increased participation in the Youth Day Camps and Preschool 0 $13,000 to enhance the youth sports programs, and 0 $30,000 to extend other various recreation activities including increased hours of programs operation for the Carlsbad pool. Throughout the 1998 Strategic Goals, the words effective and efficient are often found. Improved technology is one way in which the City has increased the productivity of its staff; thus increasing their effectiveness and efficiency. In order to maintain the support to the City staff in the use of the technology, two additional technology positions are being requested. The total request amounts to $122,000. One of the positions will provide service to the Citywide network which links all of our various locations and provides a very effective communication tool as well as efficient word processing and other applications. The conversion of the Safety Center Macintosh Computers to PC’s has added 60 computers to the maintenance workload. This position is needed to maintain the basic level of service to the staff. The other position will allow for the expansion of the Geographic Information System to address the specific data needs of all City Departments and make the data available at their desktops. Both of these positions will provide support to all City staff in the achievement of their goals for 1998. One program not mentioned above but which may require significant future financing from the General fund is the Habitat Management Plan (HMP). The HMP is a plan which will conserve habitat throughout the City of Carlsbad for endangered and threatened species while allowing development to continue. It is linked to larger, regional efforts having the same objectives. Carlsbad’s HMP has not been approved by the resource agencies and the City is considering whether to continue to pursue its approval due to the costs. Recent information produced by SANDAG and City staff projects that implementation of the HMP could result in one-time costs to the City of $25 million to $50 million and recurring costs of $500,000 per year to maintain the habitat areas. If the HMP is not approved, it could significantly impact the ability of the City to develop to its full potential. The fiscal impact of this alternative has not yet been evaluated. Staff is continuing to work with the resource agencies on the plan; however, it is important to keep in mind these potential costs when considering items which may impact future budgets for the City. No allocation has been made in the 1998-99 budget for costs related to the HMP. CHANGES IN OTHER FUNDS Special Revenue funds at $6.3 million show a decrease in anticipated spending of approximately $2.6 million, or 29% which is mainly due to the transfer of programs back to the General fund and decreases in funding from. various Federal and State programs. As mentioned earlier, $552,000 in street maintenance costs are now being funded from the General fund rather than the Gas Tax fund. This will allow the Gas Tax receipts to once again be used to fund construction and reconstruction of streets rather than maintenance. The budget request from the Police Asset Forfeiture fund has decreased by $623,000 as the 0 0 maintenance and operation costs of the DARE and Juvenile Diversion programs as well as all costs of the School Resource Officers program are now being funded from the General fund. Asset Forfeiture receipts are no longer sufficient to fund these programs. The Housing Section 8 budget decreased by $1 91,000 for housing assistance payments based upon a decrease in revenues from HUD. Enterprise funds total $22.2 million which is an increase of $2 million, or approximately 9%. Much of the increase is for purchased water costs in Water Operations due to the anticipated addition of new customers. In addition, the Golf Course fund budget was increased by $420,000 in order to pay off the balance of the assessments due under the Palomar Airport Road Assessment District. Internal Service funds show a budget decrease of $1 24,000, the majority of which is a reduction in the Health Insurance fund request. The lower budget is the result of favorable claims experience in the past and additional funds which were included in 1997-98 budget for consultant assistance. The Liability Self-Insurance fund increased due to the increased emphasis being placed on the safety program as described earlier. The Vehicle Replacement fund budget request represents the cost of vehicles and equipment due for replacement in 1998-99. A list of these requests can be found later in this document. The Redevelopment Agency budgets have decreased for 1998-99 by a total of $40,000 due mainly to the decrease in special studies and consultant services planned for 1998-99. Summarv As can be seen from the previous information, the City of Carlsbad is once again entering a period of solid economic growth which is anticipated to continue for at least the next year or two. As the City expands, it is evident that the planning and foresight by the City Council and residents has provided a sound economic base from which to grow. Along with the population increases have also &me increases in the resources which will allow the City to maintain the quality of life in Carlsbad. Strong growth can be seen in all of the City’s base revenues: property taxes, sales taxes and transient occupancy taxes. The increased job opportunities from the development of the industrial and commercial areas is creating a higher demand for housing which will increase the property taxes. The opening of the Four Seasons resort in 1997, the Carlsbad Company Stores, a specialty retail mall, in late 1997, Legoland in 1999, as well as some smaller hotels and motels, will provide higher TOT revenues and sales taxes. In addition, the development revenues are providing the funding to pay for the services provided to the building industry. All of these events add to the diversity and strength of Carlsbad’s economic base which will provide the funding for additional services needed to maintain the quality of life in Carlsbad. The requests in this year’s budget reflect the anticipated achievement of Council’s vision and goals for the City. It allocates the available funding in a manner which proactively plans for the future. This plan will insure top quality services are provided to all who live, work and play in Carlsbad. CITY OF CARLSBAD OPERATING FUNDS e EXHIBIT A PROJECTED FUND BALANCES FOR FY 1997-98 UNRESERVED PROJECTED BALANCE ESTIMATED ESTIMATED FUND BALANCE FUND JULY 1.1997 REVENUES EXPENDITURES TRANSFERS JUNE 30.1998 ~~ ~ ~~ GENERAL FUND 21,675,226 53,016,000 46,258,890 28,432,336 ISPECIAL REVENUE I I POLICE ASSET FORFEITURE 795,218 COPS GRANT 126,728 LAW ENFORCEMENT BLOCK GRANT 72,337 HOUSING SECTION 8 137,476 HOUSING TRUST FUND 4,678,698 AUDIO-VISUAL INSURANCE 40,748 LIBRARY GIFTS/BEQUESTS 27,762 TREE MAINTENANCE 518,531 MEDIAN MAINTENANCE 91,465 STREET LIGHTING 911,166 BUENA VISTA CRK CHNL MNT 477,236 STATE GRANTS (CLSA) 89,702 STATE GRANTS (PLF) 90,209 ARTS SPECIAL EVENTS 38.375 SENIOR NUTRITION 0 SENIOR DONATIONS 105,364 CDBG ENTITLEMENT/REHAB 7,101 ARTS GENERAL DONATIONS 27,055 11 8,400 172,700 3,700 2,822,234 1,312,200 76,000 47,500 554,700 390,400 697,800 130,400 162,000 53,000 26,000 202,564 66,500 618,200 6,700 710,000 112,269 71,000 2,823,234 258,773 110,128 49,100 536,701 399,296 635,376 47,590 228,267 53,000 22,785 202,564 65,000 464,351 10,000 203,618 187,159 5,037 136,476 5,732,125 6,620 26,162 536,530 82,569 973,590 560,046 23,435 90,209 41,590 0 106,864 160,950 23,755 IENTERPRISE I I I WATER OPERATIONS 11,477,700 15,427,800 12,859,880 RECYCLED WATER OPERATIONS 792,400 1,491,800 1,363,200 SEWER OPERATIONS 5,589,400 5,534,400 3,848,300 SOLID WASTE MANAGEMENT 1,233,900 600,036 120,991 GOLF COURSE 2,243,500 615,500 490,000 14,045,620 921,000 7,275,500 1,712,945 2,369,000 IINTERNAL SERVICE I I I WORKERS COMP SELF INSURANCE 1,077,594 834,900 850,606 LIABILITY SELF INSURANCE 2,443,978 1,102,890 1,190,775 HEALTH INSURANCE 132,747 2,039,300 2,171,219 VEHICLE MAINTENANCE (43,000) 1.51 0,730 1,330,100 VEHICLE REPLACEMENT 3,885.396 1,337,300 1,253,100 INFORMATION SYSTEMS 704,276 1,349,550 1,658,500 ~_____ 1,061,888 2,356,093 828 137,630 3,969,596 395,326 IREDEVELOPMENT I I I OPERATIONS 79,042 120,100 441,775 360,000 11 7,367 DEBT SERVICE 1,073,898 1,275,000 1,081,000 (360,000) 907,898 LOWAND MOD INCOME HSNG 1,217,744 375,000 116,251 1,476,493 TOTAL OPERATING FUNDS $61,818,972 $94,091,304 $81,834,021 $0 $74,076,255 1 I 0 CITY OF CARLSBAD OPERATING FUNDS e PROJECTED FUND BALANCES FOR FY 1998-99 PROJECTED PROJECTED BALANCE ESTIMATED ESTIMATED FUND BALANCE FUND JULY 1,1998 REVENUES EXPENDITURES TRANSFERS JUNE 30,1999 GENERAL FUND 28,432,336 55,370,000 55,369,798 28,432,538 SPECIAL REVENUE I POLICE ASSET FORFEITURE 203.61 8 COPS FUND 187,159 LAW ENFORCEMENT BLOCK GRANT 5,037 HOUSING SECTION 8 136,476 HOUSING TRUST FUND 5,732,125 AUDIO-VISUAL INSURANCE 6,620 LIBRARY GIFTSIBEQUESTS 26,162 TREE MAINTENANCE 536,530 MEDIAN MAINTENANCE 82,569 STREET LIGHTING 973,590 BUENA VISTA CRK CHNL MNT 560,046 STATE GRANTS (CLSA) 23,435 STATE GRANTS (PLF) 90,209 ARTS SPECIAL EVENTS 41,590 SENIOR NUTRITION 0 SENIOR DONATIONS 106,864 CDBG ENTITLEMENTIREHAB 160,950 ARTS GENERAL DONATIONS 23,755 50,000 5,000 0 2,883,000 1,250,000 70,000 32,500 550,200 390,500 695,500 131,000 153,000 39,000 21,600 194,000 64,000 606,100 6,500 123,000 137,064 0 2,884,117 240,970 63,500 46,500 577,332 429,545 651,656 7,048 175,950 47,900 22,945 194,037 104,000 612,270 11,021 130,618 55,095 5,037 135,359 6,741,155 13,120 12,162 509,398 43,524 1,017,434 683,998 485 81,309 40,245 (37) 66,864 154,780 19,234 ENTERPRISE WATER OPERATIONS 14,045,620 18,035,200 15,161,281 RECYCLED WATER OPERATIONS 921,000 1,613,500 1,660,200 SEWER OPERATIONS 7,275,500 5,748,000 4,305,644 SOLID WASTE MANAGEMENT 1,712,945 615,000 189,278 GOLF COURSE 2,369,000 1,805,000 942,310 16,919,539 874,300 8,717.856 2,138,667 3,231,690 [INTERNAL SERVICE I I WORKERS COMP SELF INSUR RISK MANAGEMENT HEALTH INSURANCE VEHICLE MAINTENANCE VEHICLE REPLACEMENT INFORMATION SYSTEMS REDEVELOPMENT OPERATIONS DEBT SERVICE LOWAND MOD INCOME HOUSING 1,061,888 2,356,093 828 137,630 3,969,596 395,326 117,367 907,898 1,476,493 802,150 1,061,700 2,609,360 1,553,900 1,310,700 1,589,400 120,300 1,275,000 375,000 893,508 1,325,722 2,305,181 1,403,529 1,216,100 1,645,958 462,508 1,120,000 133,335 970,530 2,092,071 305,007 288,001 4,064,196 338,768 380,000 155,159 (380,000) 682,898 1,718,158 TOTAL OPERATING FUNDS $74,076,255 $101,026.110 $94,463,207 $0 $80,639,158 DEPARTMENT e CITY OF CARLSBAD OPERATING FUNDS 0 BUDGET EXPENDITURE SCHEDULE FISCAL YEAR 1995-96 THROUGH 1998-99 1997-98 1995-96 1996-97 ESTIMATED 1997-98 ACTUALS ACTUALS EXPENDITURES BUDGET IGENERAL FUND I I I ~~~~ ~~~ POLICY AND LEADERSHIP GROUP CITY COUNCIL 176,855 198,867 CITY MANAGER 805,256 903,568 CITY CLERK 394,289 336,417 CITY ATTORNEY 511,313 568,277 CITY TREASURER 78,982 112,087 TOTAL POLICY/LEADERSHIP GROUP 1,966,695 2,119,216 173,000 173.983 859,802 893,414 329,400 361,520 610,072 61 1,553 114,430 126,027 2,086,704 2,166,497 ADMINISTRATIVE SERVICES FINANCE 928,481 1,084,277 1,140,000 1,141,721 PURCHASING 360,819 391,747 449,717 461,546 HUMAN RESOURCES 825,912 991,134 1,323,422 1,353,424 TOTAL GENERAL GOVERNMENT 6,048,602 2,467,158 . 2,913,139 2,956,691 PUBLIC SAFETY POLICE 9,528,510 9,657,322 10,061,256 10,379,622 FIRE 7,053,852 7,234,412 7,748,428 7,748.433 TOTAL PUBLIC SAFETY 16,582,362 16,891,734 17,809,684 18,128,055 COMMUNITY DEVELOPMENT COMMUNITY DEVEL ADMIN 563,958 GEOGRAPHIC INFORMATION 157,305 ECONOMIC DEVELOPMENT 110,548 PLANNING 1,831,291 GROWTH MANAGEMENT 77,914 BUILDING 854,093 TOTAL COMMUNITY DEVELOPMENT 3,595,109 COMMUNITY SERVICES LIBRARY 2,467,210 CULTURAL ARTS PROGRAM 259,232 SISTER CITY PROGRAM 4,040 PARK PLANNlNGlRECREATlON MGT 586,697 RECREATION 1.71 8,646 SENIOR PROGRAMS 234.460 TOTAL COMMUNITY SERVICES ~~ 5,270,285 570,161 161,627 101,747 1,921,739 80,404 1.076.912 3,912,590 2,534,746 281,223 6,619 679,966 1,998,668 257,110 5,758,332 575,000 140,087 104,143 2,279,256 82,000 1.294.000 4,474.486 2,829,456 304,890 6,800 621,880 2,061,375 300.933 6,125,334 575,705 224,951 124,230 2,293,057 82,696 1,294,034 4,594,673 2,867,351 304,890 6,800 626,582 2,094,772 308,395 6,208,790 1 3,388,588 357,655 7,320 485.517 2,322,761 349.930 6,911,771 %INCR (DEC) 97-98 BUD TO 98-99 BUD 21.0% 5.3% 13.6% 0.1% 9.1% 6.7% 3.8% 2.1% -0.9% 1.4% 14.1% 5.7% ~~ 10.5% -9.8% 4.2% 11.0% 5.5% -100.0% 14.7% 4.0% 18.2% 17.3% 7.6% -22.5% 10.9% 13.5% 11.3% 0 CITY OF CARLSBAD OPERATING FUNDS 0 BUDGET EXPENDITURE SCHEDULE FISCAL YEAR 1995-96 THROUGH 1998-99 1997-98 1995-96 1996-97 ESTIMATED 1997-98 DEPARTMENT ACTUALS ACTUALS EXPENDITURES BUDGET PUBLIC WORKS PUBLIC WORKS ADMIN 0 0 87,500 87,843 ENGINEERING 3,182,877 3,682,939 4,252,982 4,317,982 PARK MAINTENANCE 1,613,414 1,793,573 1,940,900 1,976,212 STREET MAINTENANCE 1,394,490 1,429,136 1,592,870 1,614,896 FACILITIES MAINTENANCE 1,230,262 1 I 178.285 1,445,876 1,445,981 Major Facility Maintenance (Transfer) 0 212,600 200,000 200.000 TRAFFIC SIGNAL MAINT 314,623 299,487 471,740 505,843 TOTAL PUBLIC WORKS 7,735,666 8,596,020 9,991,868 10,148,757 NON-DEPARTMENTAL COMMUNITY PROMOTION (CCVB) BEACH PARKING COMMUNITY CONTRIBUTIONS BATIQUITOS LAGOON FOUNDATION HIRING CENTER HOSP GROVE PAYMENT AUDIT PROPERTY TAX ADMIN FEE ANIMAL REGULATION CONTRACT DUES & SUBSCRIPTIONS MlSC I TRANSFERS OUT ASSESSMENT SERVICES GOLF COURSE TRANSFER HARMONY GROVE FIRE COST 184,255 36,000 0 0 75,578 793,080 20,095 150,902 138,027 26,774 916,944 9,025 0 0 TOTAL NON-DEPARTMENTAL 2,350,680 207,593 35,600 0 0 75,046 797,500 33,550 170,222 144,857 38,916 1,685,574 18,779 470,000 318.533 3,996,170 375,667 36,000 225,000 0 80,000 800,000 45,000 180,000 150,000 36,000 395,453 35,000 490,000 9.555 ~ 2,857,675 375,667 36,000 225,000 0 80,000 800,068 80,054 185,000 160,000 36,100 395,453 35,000 490,000 9,555 2,907,897 SUBTOTAL GENERAL FUND 41,582,704 43,741,220 46,258,890 47,111,360 CONTINGENCIES 0 0 0 961,615 TOTAL GENERAL FUND 41,582,704 43,741,220 46,258,890 48,072,975 1998-99 BUDGET 684,400 3.788,576 2,398,253 2,129,849 1,528,343 200,000 387,121 11,116,542 243,000 36,000 75,000 20,000 80,000 800,000 55,000 190,000 0 46,500 0 56,000 1,680,000 0 3,281,500 51,426,098 II 3,943,700 55,369,798 %INCR (DEC) 97-98 BUD TO 98-99 BUD 679.1 % -12.3% 21.4% 31.9% 5.7% 0.0% -23.5% ~ ~ 9.5% -35.3% 0.0% -66.7% 0.0% 0.0% -31.3% 2.7% -100.0% 28.8% -100.0% 60.0% 242.9% 12.8% 9.2% 310.1% 15.2% DEPARTMENT 0 CITY OF CARLSBAD OPERATING FUNDS a BUDGET EXPENDITURE SCHEDULE FISCAL YEAR 1995-96 THROUGH 1998-99 1997-98 1995-96 1996-97 ESTIMATED 1997-98 ACTUALS ACTUALS EXPENDITURES BUDGET (SPECIAL REVENUE FUNDS I I 1 ~ ~ ~~ ~ POLICE ASSET FORFEITURE 267,725 COPS FUND 0 LAW ENFORCEMENT BLOCK GRANT 0 HOUSING SECTION 8 2,934,973 HOUSING TRUST 3,000 AUDIO VISUAL INSURANCE LIBRARY GIFTSBEQUESTS GAS TAX TREE MAINTENANCE MEDIAN MAINTENANCE STREET LIGHTING BUENAVISTA CRK CHNL MNT STATE GRANTS (CLSA) STATE GRANTS (PLF) ARTS SPECIAL EVENTS SENIOR NUTRITION SENIOR DONATIONS CDBG ENTITLEMENT/REHAB ARTS GENERAL DONATIONS TOTAL SPECIAL REVENUE FUNDS 138,363 0 1,046,973 508,934 328,006 945,980 4,611 257,248 27.458 0 189,702 0 731,350 0 7,384,323 458.152 38,865 21,282 2,838,313 31,532 102,582 41,551 1 455,310 526,886 394,118 646,820 203,786 267,057 38,541 18,345 175,854 29,673 573,556 782 6,862,965 710,000 112,269 71,000 2,823,234 258,773 110,128 49,100 387,750 536,701 399,296 635,376 47,590 228,267 53,000 22,785 202,564 65,000 464,351 10,000 7.187,184 746,179 148,411 165,559 3,113,401 291,883 129,393 59,673 531,351 571,193 398,405 739,836 67,590 228,267 53,000 22,855 203,517 102,456 1,265,814 11,571 8,850,354 ENTERPRISE FUNDS 1 WATER OPERATIONS 12,007,874 13,060,127 RECYCLED WATER OPERATIONS 1,132,909 1,055,743 SANITATION OPERATIONS 4,136,530 3,899,664 SOLID WASTE MANAGEMENT 159,211 133,869 GOLF COURSE 314,186 252,505 TOTAL ENTERPRISE FUNDS 17,750,710 18,401,908 12,859.880 13,968,728 1,363,200 1,461,766 3,848,300 4.388.441 120,991 169,116 490,000 490,000 18,682,371 20,478,051 INTERNAL SERVICE FUNDS 1 WORKERS COMP SELF INSURANCE 600,222 RISK MANAGEMENT 1,326,746 HEALTH INSURANCE 1,692,776 VEHICLE MAINTENANCE 1,284,387 VEHICLE REPLACEMENT 1,253.857 INFORMATION SYSTEMS 1,245,494 TOTAL INTERNAL SERVICE FUNDS 7,403,482 783,954 874,475 2,169,937 1,327,544 883,893 1,173,052 7,212,855 850,606 1,190,775 2,171,219 1,330,100 1,253,100 1,658,500 8,454,300 910,891 1,244,125 2,459,984 1.335,157 1,253,064 1,710,815 8,914,036 -. 1998-99 BUDGET 123,000 137,064 0 2,884.117 240,970 63,500 46,500 0 577,332 429,545 651,656 7,048 175,950 47,900 22.945 194,037 104,000 612,270 11,021 6,328,855 15,161,281 1,660,200 4,305,644 189.278 942,310 22,258,713 893,508 1,325,722 2,305,181 1,403,529 1,216,100 1,645,958 8,789,998 %INCR (DEC) 97-98 BUD TO 98-99 BUD -83.5% -7.6% -100.0% -7.4% -17.4% -50.9% -22.1 % -100.0% 1.1% 7.8% -1 1.9% -89.6% -22.9% -9.6% 0.4% -4.7% 1.5% -51.6% -4.8% -28.5% 8.5% 13.6% -1.9% 11.9% 92.3% 8.7% -1.9% 6.6% -6.3% 5.1% -2.9% -3.8% -1.4% DEPARTMENT 0 CITY OF CARLSBAD OPERATING FUNDS 0 BUDGET EXPENDITURE SCHEDULE FISCAL YEAR 1995-96 THROUGH 1998-99 %INCR (DEC) 1997-98 1995-96 1996-97 ESTIMATED 1997-98 ACTUALS ACTUALS EXPENDITURES BUDGET rl BUDGET 1998-99 :::I::: REDEVELOPMENT OPERATIONS 526,702 539,517 441,775 548,630 DEBT SERVICE 1,612,195 1,093,023 1,081,000 1,081,000 LOW AND MOD INCOME HSNG 9a,m 75,548 116,251 126,163 TOTAL REDEVELOPMENT 2,237,661 1,708,088 1,639,026 1,755,793 L4 462,508 1,120,000 133,335 1,715,843 -15.7% 3.6% 5.7% -2.3% TOTAL OPERATING FUNDS 76,358,880 77,927,036 82,221,771 88,071,209 94,463,207 7.3% +l 0 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 ESTIMATED PROJECTED 1998-99 1998-99 OF FY 97-98 1997-98 TO REVENUE AS % DIFFERENCE PROJECTED REVENUE 1997-98 $12,300,000 14,120.000 5,500,000 1,580,000 570,000 34,070,000 ACTUAL REVENUE 1996-97 $1 1,238,207 12,495,143 3,675,472 1,512,823 465,668 29,387,313 REVENUE SOURCE GENERAL FUND TAXES PROPERN TAX SALES TAX TRANSIENT TAX FRANCHISE TAX TRANSFER TAX TOTAL TAXES LICENSES AND PERMITS BUILDING PERMITS BUSINESS LICENSES LICENSE TAX-CONSTRUCTION OTHER LICENSES & PERMITS TOTAL LICENSES & PERMITS STATE SUBVENTIONS VEHICLE LICENSE FEES OTHER TOTAL STATE SUBVENTIONS CHARGES FOR SERVICES PLANNING FEES BUILDING DEPT. FEES ENGINEERING FEES AMBULANCE FEES RECREATION FEES PROPERTY RENTALS OTHER CHARGES OR FEES TOTAL CHARGES FOR SERVICES FINES AND FORFEITURES :-I $13,300,000 15,240,000 5,775,000 1,645,000 580,000 36,540,000 8.1 Yo 1,000,000 7.9% 1,120,000 5.0% 275,000 4.1 % 65,000 I .8% 10,000 7.3% 2,470,000 1,262,177 1,510,462 396,529 1,065,484 1,800,000 1,700,000 0 H 1,800,000 1,800,000 1,010,000 4,610,000 0.0% 0 5.9% 100,000 0.0% 0 -0.2% (2,000) 2.2% 98,000 1,012,000 4,512,000 4,234,652 2,666,452 219,088 2,800,000 205,000 H 2,900,000 3.6% 100,000 210,000 2.4% 5,000 3,110.000 3.5% 105,000 2.885.540 3,005.000 1,649,806 943,739 3,013,313 574,692 924,840 183,895 607,117 1,200,000 1,270,000 2,500,000 700,000 1,040,000 170,000 51 1,000 0.0% -1.6% -20.0% 5.0% 0.0% 5.9% 14.5% 1,200,000 1,250,000 2,000.000 735,000 1,040,000 180,000 585,000 6,990,000 440,000 0 (20,000) (500,000) 35,000 0 10,000 74,000 (401,000) 7,897,402 -5.4% 7,391,000 317,892 434,000 1.4% 6.000 INTEREST 1,157,912 1,425,000 -I 1,500,000 INTERDEPARTMENTAL CHARGES 2,042,503 1,650,000 1,650,000 OTHER REVENUE SOURCES 2,078,982 529,000 530,000 5.3% 75,000 0.0% 0 0.2% 1,000 TOTAL GENERAL FUND 50,002,196 53,016,000 55,370,000 4.4% 2,354,000 I 0 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 REVENUE SOURCE ACTUAL PROJECTED REVENUE REVENUE 1996-97 1997-98 SPECIAL REVENUE FUNDS I POLICE ASSET FORFEITURE ASSET FORFEITURES 138,372 76,800 INTEREST 50,542 41,600 OTHER 5,355 0 TOTAL 194,269 118,400 COPS GRANT STATE FUNDING (AB3229) 158,748 161,300 INTEREST 6,845 11,400 TOTAL 165,593 172,700 LAW ENFORCEMENT BLOCK GRANT FEDERAL GRANT 83.130 0 OTHER 1,252 3,700 TOTAL 84,382 3,700 HOUSING - SECTION 8 INTEREST 18.885 18,700 FEDERAL GRANT 2,688,905 2,703,534 OTHER 111,800 100,000 TOTAL 2,819,590 2,822,234 HOUSING TRUST FUND INTEREST 160,548 315,000 INCLUSIONARY HOUSING FEES 1,060,440 915,000 OTHER 1,413,528 82,200 TOTAL 2,634.516 1,312,200 AUDIO-VISUAL INSURANCE INTEREST 3,135 2,500 INSURANCE FEES 91,668 73,500 TOTAL 94,803 76,000 LIBRARY GlFTSlBEQUESTS GIFTSIBEQUESTS 37 ~ 863 45,000 INTEREST 1,133 2,500 TOTAL 38,996 47,500 ESTIMATED REVENUE 1998-99 30,000 20,000 0 50,000 Fl 0 5,000 18,000 2,690,000 175,000 2,883,000 200,000 1,000,000 50,000 1,250,000 2,000 68,000 70,000 30,000 2,500 32.500 AS % DIFFERENCE OF FY 97-98 1997-98 TO PROJECTED 1998-99 -60.9% (46,800) -51.9% (21,600) 0.0% 0 -57.8% (68,400) -100.0% (161,300) -56.1 % (6,400) -97.1 Yo (167,700) 0.0% 0 -100.0% (3,700) -100.0% (3,700) -3.7% (700) -0.5% (13,534) 75.0% 75,000 2.2% 60,766 -36.5% (1 15,000) 9.3% 85,000 -39.2% (32,200) -4.7% (62,200) -20.0% (500) -7.5% (5,500) -7.9% (6,000) -33.3% (15,000) 0.0% 0 -31.6% (15,000) * CITY OF CARLSBAD 0 OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 ACTUAL PROJECTED REVENUE REVENUE AS % DIFFERENCE ESTIMATED OF FY 97-98 1997-98 TO REVENUE REVENUE SOURCE 1996-97 1997-98 PROJECTED 1998-99 1998-99 GAS TAX - SEE CAPITAL IMPROVEMENT PROGRAM FOR 1998-99 GAS TAX REVENUES 1,236,734 1,280,000 I 01 -100.0% (1,280,000) INTEREST OTHER 233,479 300,000 -100.0% (300,000) Ll 1,545 0 0.0% 0 TOTAL 1,471,758 1,580,000 -100.0% d (1,580,000) TREE MAINTENANCE INTEREST 20,534 30,500 MISC. REIMBURSEMENTS 2,750 1,000 TREE MAINTENANCE FEES 459,766 457,000 25,000 2,000 457,000 -18.0% (5.500) 100.0% 1,000 0.0% 0 INTERDEPARTMENTAL 66,200 66,200 66,200 0.0% 0 TOTAL 549,250 554,700 550,200 -0.8% (4,500) H MEDIAN MAINTENANCE INTEREST 6,231 3,900 MEDIAN MAINTENANCE FEES 392,452 385,000 3,200 385,300 -18.Oo/o 0.1% (700) 300 OTHER 2,255 1,500 2,000 33.3% 500 TOTAL 400,938 390,400 390,500 0.0% 100 H m STREET LIGHTING INTEREST 47.127 58,800 INTERDEPARTMENTAL 40,100 53,500 STREET LIGHTING FEES 589,036 580,000 OTHER TOTAL 1 3,056 5,500 689,319 697,800 BUENA VISTA CREEK CHNL MAINT INTEREST 29,769 30,400 BUENAVISTA FEES 99,868 100,000 TOTAL 129,637 130,400 55,000 53,500 582,000 5,000 695,500 31,000 100,000 131,000 STATE GRANTS (CLSA) INTEREST 6.691 4,000 3,000 GRANTS 203,013 158,000 150,000 TOTAL 209,704 162,000 153,000 L-l -6.5% (3.800) 0.0% 0 0.3% 2,000 -9.1 % (500) -0.3% (2.300) 2.0% 600 0.0% 0 0.5% 600 -25.0% (1,000) -5.1 % (8,000) -5.6% (9,000) STATE GRANTS (PLF) INTEREST 4,623 5,000 -40.0% (2,000) 3,000 GRANTS TOTAL 39,879 48,000 36,000 -25.0% (12,000) 44,502 53,000 39,000 -26.4% (14,000) H, 0 CITY OF CARLSBAD @ OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 REVENUE SOURCE ACTUAL PROJECTED OF FY 97-98 1997-98 TO REVENUE REVENUE REVENUE AS % DIFFERENCE ESTIMATED 1996-97 1997-98 PROJECTED 1998-99 1998-99 ARTS SPECIAL EVENTS INTEREST 665 2,600 1,600 DONATIONS 20,637 23,400 20,000 TOTAL 21,302 26,000 21,600 H SENIOR NUTRITION GRANTS 80,520 107,264 98,000 DONATIONS 95,334 95,300 96,000 TOTAL 175,854 202,564 194,000 w -38.5% (1.000) -14.5% (3,400) -16.9% (4,400) -8.6% (9.264) 0.7% 700 -4.2% (8.564) SENIOR DONATIONS INTEREST 2,964 6,500 4,000 -38.5% (2,500) DONATIONS 36,963 60,000 60,000 0.0% 0 TOTAL 39,927 66,500 64,000 -3.8% (2,500) Ll CDBG ENTITLEMENT/REHAB INTEREST 91 200 -2.0% (12,100) 606,100 TOTAL 567,521 618,200 -1.9% (12,000) 606,000 GRANT REVENUE 567,430 618,000 -50.0% (100) 100 ARTS GENERAL DONATIONS INTEREST 74 1 1,700 3.0% (200) 6,500 TOTAL 74 1 6,700 0.0% 0 5,000 DONATIONS 0 5,000 -1 1.8% (200) 1,500 TOTAL SPECIAL REVENUE FUNDS 10,332,602 9,040,998 7,141,900 -21.0% (1,899,098) 0 CITY OF CARLSBAD 0 OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 ACTUAL PROJECTED ESTIMATED AS % DIFFERENCE rn REVENUE REVENUE REVENUE OF FY 97-98 1997-98 TO REVENUE SOURCE 1996-97 1997-98 PROJECTED 1998-99 1998-99 ENTERPRISE FUNDS WATER OPERATIONS WATER SALES READY TO SERVE CHARGES NEW ACCOUNT CHARGES BACK-FLOW PROGRAM FEES PENALTY FEES INTEREST ENGINEERING & PLAN CHECK FEE SERVICE CONNECTION FEES AGRICULTURAL CREDITS OTHER 11,387,296 2,730,221 91,870 70,946 192,364 667,349 188.447 120,631 217.777 120,382 TOTAL 15.787.283 RECYCLED WATER WATER SALES 1,008,690 READY-TO-SERVE CHARGE 32,855 RECYCLED WATER CREDITS 456,174 INTEREST 39,629 OTHER TOTAL 4.557 1,541,905 SANITATION OPERATIONS SERVICE CHARGES 5,076,838 LATERAL CONNECTIONS 10,025 PRE-TREATMENT CHARGES 74,876 INTEREST 317,927 OTHER TOTAL 5,554 5,485,220 10,800,000 2,832,000 95,000 69,900 204,500 698,000 170,400 175,000 197,000 186,000 15.427.800 13,300,000 2,900.000 100,000 70,200 210,000 725,000 175,000 180,000 200,000 175,000 18,035,200 950,000 I$ 1,050,000 53,500 53,500 425,000 63,300 60,000 0 1,491,800 1,613,500 5,019,600 21,000 68,000 420,800 23.2% 2.4% 5.3% 0.4% 2.7% 3.9% 2.7% 2.9% 1.5% -5.9% 16.9% 2,500,000 68,000 5,000 300 5,500 27,000 4,600 5,000 3,000 (11,000) 2,607,400 5,200,000 25,000 68,000 450,000 10.5% 100,000 0.0% 0 5.9% 25,000 -5.2% (3.300) 0.0% 0 8.2% 121,700 5,000 H 5,000 5,534,400 5,748,000 3.6% 180,400 19.1% 4,000 0.0% 0 6.9% 29,200 0.0% 0 3.9% 213,600 SOLID WASTE MANAGEMENT INTEREST 6,340 84,300 0.0% 8 122,000 RECYCLING FEES (AB939) 168.21 1 121,992 0.8% 700 85,000 NON-JURISDICTIONAL FEES 131,339 393,744 3.6% 14,256 408,000 OTHER 973,363 0 2.5% 14,964 615,000 TOTAL 1,279,253 600,036 0.0% 0 0 GOLF COURSE INTEREST 75,468 125.500 193.3% 1,189,500 1,805,000 TOTAL 549,364 615,500 0.0% 0 0 OTHER 3,896 0 242.9% 1,190,000 1,680,000 TRANSFER FROM GENERAL FUND 470,000 490,000 -0.4% (500) 125,000 TOTAL ENTERPRISE FUNDS 24,643,025 23,669,536 17.5% 4,147,164 27,816,700 0 CITY OF CARLSBAD 0 OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 ACTUAL PROJECTED AS % DIFFERENCE ESTIMATED REVENUE REVENUE OF FY 97-98 1997-98 TO REVENUE REVENUE SOURCE 1996-97 1997-98 PROJECTED 1998-99 1998-99 INTERNAL SERVICE FUNDS WORKERS COMP SELF-INSURANCE INTEREST 102,223 115,900 80,000 INTERDEPARTMENTAL 614,970 668,800 I 672,150 I OTHER TOTAL 828 50,200 w 50,000 718,021 834,900 802,150 LIABILITY SELF-INSURANCE INTEREST 210,195 174,100 INTERDEPARTMENTAL 928,851 921,790 OTHER TOTAL 358 7,000 1,139,404 1,102,890 I I 140,000 921,700 0 H 1,061,700 -31.0% (35,900) 0.5% 3,350 -0.4% (200) -3.9% (32,750) -19.6% (34,100) 0.0% (90) -100.0% (7.000) -3.7% (41,190) HEALTH INSURANCE INTEREST 75,323 27,100 35.1 % 585,710 2,253,000 INTERDEPARTMENTAL 1,598,252 1,667,290 -7.8% (2,100) 25,000 REIMBURSEMENTS 330,464 344.91 0 331,360 -3.9% (13,550) TOTAL 2,004,039 2,039,300 2,609,360 28.0% 570,060 H VEHICLE MAINTENANCE INTERDEPARTMENTAL 1,345,272 1,467,830 0 INTEREST (316) 0 1,523,900 OTHER TOTAL VEHICLE REPLACEMENT INTERDEPARTMENTAL lNTEREST STATE GRANT SALE OF PROPERTY TOTAL INFORMATION SYSTEMS ~~ ~ ~~ INTEREST INTERDEPARTMENTAL OTHER TOTAL ~~~ 42,111 42,900 H 30,000 1,387,067 1,510,730 1,553,900 957,328 1,048,700 198,682 253,600 64,800 0 85,626 35,000 1,306,436 1,337,300 35,953 51,350 1,199,150 1,298,200 3,158 0 1,238,261 1,349,550 3.8% 56,070 0.0% 0 -30.1% (12,900) 2.9% 43,170 I 1,090,700 4.0% 42,000 -27.1 % (68,600) 0.0% 0 35,000 0.0% 0 1,310,700 -2.0% (26,600) "$ 25,000 1,564,400 1,589,400 -51.3% (26,350) 20.5% 266,200 0.0% 0 17.8% 239,850 TOTAL INTERNAL SERVICE FUNDS 7,793,228 8,174,670 9.2% 752,540 8,927,210 0 CITY OF CARLSBAD OPERATING FUNDS REVENUE ESTIMATES FOR 1998-99 ACTUAL PROJECTED OF FY 97-98 i 997-98 TO REVENUE REVENUE REVENUE AS % DIFFERENCE ESTIMATED REVENUE SOURCE 1996-97 1997-98 PROJECTED 1998-99 1998-99 REDEVELOPMENT FUNDS OPERATIONS RENTAL INCOME 43,527 43,800 ADMINISTRATIVE FEES 71,380 71,300 INTEREST (2,423) 2,000 OTHER TOTAL 11,912 3,000 124,396 120,100 ~ 44,000 71,300 2,000 3,000 120,300 0.5% 200 0.0% 0 0.0% 0 0.0% 0 0.2% 200 DEBT SERVICE TAX INCREMENT 1,142,537 1,200,000 1,200,000 a.a% 0 INTEREST 82,887 75,000 75,000 0.0% 0 OTHER 1,105 0 0.0% 0 TOTAL 1,226,529 1,275,000 1,275,000 0.0% 0 I LOWAND MOD INCOME HSNG TAX INCREMENT 285,634 300,000 INTEREST 75,927 75,000 OTHER TOTAL 527 0 362,088 375,000 I I 300,000 75,000 0 H 375,000 0.0% 0 0.0% 0 0.0% 0 0.0% 0 TOTAL REDEVELOPMENT FUNDS 1,713,013 1,770,100 I 1,770,300 I 0.0% 200 ITOTAL OPERATING $94,484,064 $95,671,304 $101,026,110 5.6% $5,354,806 I I .. .. .. .. I 0 0 EXHIBIT B 1998-99 PROPOSED CAPITAL IMPROVEMENT PROGRAM INTRODUCTION 0 0 0 0 REVENUES Revenues for Capital Projects from now until buildout total $479 million and may be segregated into four major categories: 1) fees generated by development in Carlsbad, 2) special district fees and taxes (Community Facilities Districts and Bridge 8 Thoroughfare Districts), 3) Water and Sewer depreciation replacement reserves, and 4) other sources including grants, bond issues, and contributions from other agencies. Approximately 43.6% of all capital revenues are received as a result of development, and are dependent upon assumptions made about the City’s annual growth in dwelling units and commercial/industriaI’ square feet. Development revenues include Public Facilities Fees (PFF), Traffic Impact Fees (TIF), Park-In- Lieu fees (PIL), Planned Local Drainage (PLD) Fees, Water Connection Fees (MFF), and Sewer Connection charges. Community Facilities District and Bridge & Thoroughfare District revenues comprise 16.5% of the total. Water and Sewer replacement revenues generated by user fees equal approximately 17.9% of the total revenues, and the remaining 22% are related to federal & state grants, license tax on new construction, the County sales tax program (Transnet), San Diego Gas & Electric funding, and contributions from other agencies. Funding Sources 1998-99 to Buildout Total Revenue = $479 million Other 22% WaterISewer Replacement 17.9% Development Special 43.6% Districts 16.5% I 1 Calculation of Future Fees The revenue projections of the proposed Capital Improvement Program reflect the growth assumptions identified in the previous section. The following information delineates how those assumptions were applied to predict future development revenues. The mix of multi-family and single-family residential units was assumed to be 20% and 80% respectively and reflects the anticipated mix of residential development shown in current plans for each Local Facilities Management Zone. The building permit valuation used for computing Public Facilities fees was $89,500 per multi-family dwelling unit, and $175,000 per single-family dwelling unit. The mix of commercial and industrial development is based on actual projections in each category this year, with office space 0 e included in the commercial category. A blended building permit valuation of $38 per square foot of construction was used to calculate non-residential Public Facilities fees. In order to calculate estimated revenues for Traffic Impact Fees (TIF), the number of average daily trips was computed for each type of use. A multi-family residential dwelling unit was assigned eight trips per day and a single-family unit was assigned ten trips per day. Each residential trip was valued at the current TIF of $85. The trips-per-day value for commercial and industrial buildings was averaged at 30 trips per 1,000 square feet of development, although the actual volume of trips generated by commerciaMndustria1 building can vary widely depending on the ultimate land use. The value assigned to each commercial/industriaI trip was $34, the current TIF. The implementation of CFD No. 1 in 1991 reduced the total amount of projected PFF and TIF revenues, as some projects previously funded from these sources are now funded through this CFD. CFD No. 2 is proposed to fund Rancho Santa Fe Road and Olivenhain Road, but has not yet been formally established. A prepayment program is in place to enable development to proceed within this proposed district. There is one new and one proposed Bridge & Thoroughfare Fee District included in this year’s CIP. BTD No. 2 (Poinsettia Lane - Aviara Parkway) was formed this year to finance the construction of Poinsettia Lane between Aviara Parkway and El Camino Real and Aviara Parkway between Palomar Airport Road and Poinsettia Lane. BTD No. 3 (Cannon Road West) is proposed to fund portions of Cannon Road from Interstate 5 to El Camino Real. Several reimbursement or prepayment agreements are in place so that developers can construct portions of the roadways in advance of formal adoption of the fee program, and thus, proceed with their development projects. PROPOSED CAPITAL PROJECTS Project construction is reliant upon the availability of capital and operating funds in addition to established growth management standard requirements for facilities. Wherever project scheduling changes were proposed, compliance with the Growth Management Plan and funding availability were evaluated. In the past, selected park and street projects were scheduled in phases to defer costs and balance CIP expenditures with projected revenues. With the increased development in Carlsbad during the past couple of years and increased estimates for the future, proposed construction of projects has been accelerated. PROPOSED CAPITAL PROJECTS 1998-99 TO BUILDOUT The CIP for 1998-99 to buildout outlines approximately 208 future projects at a total cost of $460.4 million. The largest expenditure category is for street, traffic signal and interchange projects at $130 million or 28.2% of the total. Included are the construction of arterials and roadways as well as the widening of some existing streets such as La Costa Avenue and Rancho Santa Fe Road. Construction on the La Costa Avenue widening project began in 1997- 98, following completion of the La Costa Avenue project. Work on Rancho Santa Fe Road between Questhaven and Melrose is expected to begin in 1998-99, as well as the extension of Poinsettia Lane from Aviara Parkway to El Camino Real. The second largest expenditure category is for park projects totaling $87.5 million, or 19% of the total planned capital expenditures. Park projects include development of acreage within all quadrants of Carlsbad including Poinsettia Park, Veterans Memorial Park, Larwin Park, Leo Carrillo Park, a Business Park recreational facility, a skateboard park, community centers in the 0 0 northwest and southwest quadrants and the Carlsbad Municipal Golf Course. The third largest level of expenditures at $86.9 million, or 18.9% of the total planned capital expenditures, is sewer projects. Sewer projects include the construction of the South Agua Hedionda interceptor, the Vista/Carlsbad trunk line interceptor, cleaning and refurbishment of existing sewer lines and access holes, the repayment of bonds for the expansion of the Encina Wastewater Facility, and the Encina parallel ocean outfall and cogeneration projects. Civic and facilities maintenance projects represent the fourth largest level of expenditures at $71.3 million (15.5%), and include construction of the South Carlsbad Library and a new City Hall, the expansion and remodeling of the existing Cole Library, various Americans with Disabilities Act projects, the Public Safety and Service Center, Public Works/Community Development Administrative Offices, expansion and the re-roofing, painting, repair and refurbishment of various City facilities. Any facility maintenance project equal to or exceeding $25,000 is shown as a separate line item, while all others are grouped together as one project. Water projects total $35.4 million (7.7%) and include the second phase of the “D” Reservoir improvements, reclaimed and potable pipelines, and repayment of loans for water projects. Specific timing and cost estimates for all capital projects are identified in the Current and Future (1 998-99 to Buildout) Projects schedule following the narrative. CIP Expenditures by Category 1998-99 to Buildout Total Expenditures = $460.4 million I Parks Other Drainage 19.0% 5.6% Streets 28.2% I I e 0 0 0 0 Skateboard Park - The skateboard park located between Fire Station #5 and the parking area for the conference center at the Public Safety and Service Center should begin construction in 1998-99. Amenities at this 40,000 square foot site include fencing, lighting, bleachers, and a 25,000 square foot skateboard surface. 0 Poinsettia Park - In 1998-99 the completion of Phase 1A will add two baseball/softball fields, a restroom facility, and fencing around the existing soccer field. 0 South Aqua Hedionda Interceptor - In 1998-99, construction of an interceptor sewer including a sewage lift station and forcemain is planned. This project will provide sewer service to those areas generally tributary to the south side of the Agua Hedionda Lagoon. Vista/Carlsbad Interceptor - This $17 million project involves installation of a new and upgraded sewer trunk line through the downtown portion of Carlsbad to the Encina Water Pollution Control Facility. PROPOSED CAPITAL PROJECTS 1998-99 There are approximately 104 capital projects totaling $74 million proposed for 1998-99. These projects are categorized and shown below. Appropriations of approximately $46.4 million for ongoing capital projects which remain unspent at the end of FY 1997-98 will be added to the new 1998-99 CIP appropriations for a total 1998-99 CIP appropriation of $120.4 million. Proposed 1998-99 CIP Expenditures by Category Total Expenditures = $74 million. Parks Other 19.0% 10.5% Streets 27.7% I I Street & Traffic Signal Proiects Street construction projects are 27.7% of the total 1998-99 expenditures at $20.5 million. The largest appropriation is $6.8 million for Cannon Road West, which will extend from Interstate 5 west to El Camino Real when complete. This $18 million project is primarily funded from 0 0 Transnet Highway Taxes ($4.2 million), CFD #I revenues ($6.5 million) and Bridge and Thoroughfare District Fees ($7.0 million). The project to extend Faraday Avenue is scheduled for a $3.3 million appropriation from the CFD#I fund, and the Poinsettia Lane extension project will receive an additional $2.6 million from Bridge and Thoroughfare District Fees. Once completed, this road will extend east to El Camino Real from its existing intersection at Aviara Parkway. There are five traffic signals planned in 1998-99 are located at the following intersections: Carlsbad Village Drive and Donna Drive, Carlsbad Village Drive and Valley Street, El Camino Real and Calle Barcelona, Faraday Avenue and Priestly Drive, and Palomar Airport Road and Melrose Drive. There are no additional appropriations scheduled for 1-5 interchange projects. Park Proiects Park construction projects are 19% of the total 1998-99 expenditures at $14.1 million. The largest appropriation is $13.2 million for the Carlsbad Municipal Golf Course to be funded by a bond issue. In addition, during 1998-99 Phase IA of Poinsettia Park will undergo additional construction. Sewer Proiects Sewer funding of $13.4 million reflects Carlsbad’s share of costs for the Encina Wastewater Facility capital improvements, and two major interceptor projects. The construction of the VistaCarlsbad Interceptor will continue with another $6.8 million towards the installation of a new and upgraded sewer trunk line. The South Agua Hedionda Interceptor project is scheduled to receive an additional appropriation of $2.7 million in 1998-99, and will provide sewer service to those areas generally to the south side of Agua Hedionda Lagoon. Civic Proiects Civic projects total 10% or $7.4 million of the 1998-99 capital appropriation. The largest appropriation is $3.8 million for the Public Safety and Service Center. Other projects in this category include design for the Cole Library remodel, the Financial Information System implementation, and ADA modifications at various locations throughout the City. Water Proiects The water category, including reclaimed water, is 9.4% of the total 1998-99 CIP with appropriations of $7 million. The Cannon Road Transmission Main will receive an additional $800,000, and water lines totaling almost $1.8 million are scheduled along Poinsettia Lane in conjunction with the road construction project. Another $1.4 million is scheduled for debt service payments on previous potable and reclaimed water projects. Drainage Proiects Drainage projects are 5.3% of the total 1998-99 expenditures at $3.9 million. This is almost exclusively for the continued construction of the South Carlsbad Village Storm Drain funded by Transnet-Local funds. This project will construct a storm drain system (primarily within the Northern San Diego Railroad right-of-way) to carry storm water from the area bounded by Carlsbad Village Drive, Highland Drive, Garfield Street and Agua Hedionda Lagoon. 0 0 SUMMARY The proposed 1998-99 to Buildout CIP continues to reflect an aggressive plan for new facilities. It is being driven by the increased pace of development and the need to insure that facilities are available to service the developing areas as well as the current residents. Significant progress continues on the traffic circulation projects in response to and in anticipation of current and future development within the City. The 1-5 interchange at La Costa Avenue is complete, and the La Costa Avenue widening to El Camino Real is underway. Other major circulation projects under construction or scheduled in the next year include Cannon Road West, Poinsettia Lane- Aviara Parkway, and the extension of Faraday Avenue. Funding for the Public Service Center is included in the 1998-99 CIP, and the construction of the Carlsbad Municipal Golf Course should begin. The current fee structure is working in conjunction with the growth management plan as evidenced by the availability of revenue to fund the increased need for capital projects. Carlsbad’s philosophy has been to build quality capital facilities which meet, and at times exceed, growth management standards. Practices such as phasing projects over a period of years to match funding availability as well as maximizing the use of available balances have been implemented, when necessary, in order to meet the needs of Carlsbad’s citizens. The 1998-99 to Buildout Capital Improvement Program reflects the commitment of Carlsbad’s Council and staff to providing its residents with a better quality of life. 0 0 GROWTH MANAGEMENT PLAN The Growth Management Plan was developed and voted into law by the citizens of Carlsbad in 1986. The plan was established in an effort to manage development within the City by linking residential, commercial, and industrial development directly to standards for availability of public services and facilities. The Growth Management Plan adopted has established precise standards for eleven public facilities. Standards must be met at all times as growth occurs. Facilities for which standards have been established are as follows: - City Administrative - Wastewater Treatment - Circulation - Fire - Water Distribution - Schools - Library - Parks - Drainage - Open Space - Sewer Collection The Plan requires that appropriate public facilities be available, in conformance with the adopted performance standards, as development occurs. Unless each of the eleven public facility standards have been met, no new development can occur. The Growth Management Plan impacts both the operating budget and the Capital Improvement Program. The detailed level of planning required by growth management has allowed Carlsbad’s Capital Improvement Program to anticipate the funding needed for capital improvements through buildout of the City. The timing of construction of facilities is governed by the rate of development and the eleven performance standards. New public facilities often require additional staffing and other resources, which affects the operating budget. Facilities such as community centers, parks, and fire stations have been constructed and opened to the public under this program. The Capital Improvement Program has been designed to specifically address areas where new or expanded facilities will be needed to maintain compliance with the adopted performance standards. With the adoption of the 1998-99 CIP, compliance with the Growth Management Plan is assured. 0 CALIFORNIA ASSEMBLY BILL 1600 (AB 1600) In 1987 the California Legislature passed Assembly Bill 1600 (AB 1600) which set forth the process a city or county must follow to establish developer fees to finance public facilities. This legislation applies to fees established, increased, or imposed on or after January 1, 1989, the effective date of the law. AB 1600 contains four general requirements: > A "nexus" or connection must be established between a development project or class of project and the public improvement being financed with the fee. All AB 1600 fees adopted by the City have met the nexus test. For example, Traffic Impact, Bridge and Thoroughfare District and Drainage Sewer Benefit Area fees were all established under AB 1600. > The fee must be segregated from the General fund. Carlsbad segregates all capital funds not only from the General fund, but also each classification of fee as well. > Fees collected by a city or county must be spent or committed to a project within a five year period. Funds are viewed to be committed if they are programmed to be spent on a specific project(s). If the money is not spent, findings must be made describing the continuing need for that money each fiscal year after the five years have expired. The City of Carlsbad commits the revenues from these fees through its Capital Improvement Program budget. This budget, which is adopted by the City Council, sets forth the City's Capital Improvement Program from the current year to projected build out of the City. The expenditure plan is updated annually as part of the City's budget process. > Refunds must be made only if the City cannot make the required findings. At this time, no refunds are due because the City's Capital Improvement Program commits all AB 1600 fees to projects to be constructed both in the current year and in the future. 0 0 CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 1997-98 FUND GENERAL CAPITAL CONST. PUBLIC ART GOLF COURSE PUBLIC FACILITIES FEE ZONE 5,13,16 PARK FEE PIL AREA 1 NW PIL AREA 2 NE PIL AREA 3 SW PIL AREA 4 SE LETTERS OF CREDIT TRAFFIC IMPACT FEE TRANSNETILOCAL TRANSNET/HlGHWAY TRANSNET/BlKE TRANSNET/STP TDA STATE GRANTS COUNTY GRANTS ASSESSMENT DISTRICTS CFD #I CFD #2 CANNON ROAD WEST BTD#3 POINSETTIA BTD #2 FEDERAL GRANTS SDG & E PLANNED LOCAL DRAINAGE SEWER BENEFIT AREAS SEWER CONNECTION SEWER REPLACEMENT WATER - RECYCLED WATER WATER CONNECTION WATER REPLACEMENT REDEVELOPMENT BONDS GAS TAX JULY 1,1997 UNRESERVED BALANCE 2,633,473 31 5,481 2,243,545 14,638,029 3,016,808 2,385,629 81 6,776 355,934 1,138,654 0 3,088,381 842,883 (374,299) 24,823 1,179,066 66,589 112,773 1,606,663 1,422,447 22,822,712 11,304,215 479,780 3,471,999 (266) 0 4,479,721 542,734 14,942,223 8,583,931 869,452 4,954,331 7,899,739 2,325,280 4,750,106 ESTIMATED ESTIMATED CAPITAL REVENUES EXPENDITURES 1,720,999 1,480,947 10,738 64,525 573,155 1,766,123 7,551,332 545,286 1,155,242 39,942 181,649 0 46,527 0 603,599 3,449 452,342 0 0 0 2,389,333 81 1,562 4,546,370 2,032,218 3,278,127 2,495,484 878 0 67,078 0 314,114 7,649 155,938 38,834 267,916 36,253 0 151,830 14,237,303 17,831,752 4,454,497 936,342 266,787 29,520 (122,658) 182,239 299,854 105,166 0 0 1 ,I 59,953 92,068 177,592 104,789 4,697,425 802,143 280,956 733,688 579,444 10,627 4,927,905 1,690,998 762,931 1,834,895 79,835 536,787 1,546,746 42,316 ESTIMATED DEBT SERVICE & OTHER 785,165 0 490,000 0 0 0 0 0 0 0 0 0 0 0 0 0 133,023 0 124,000 138,776 0 15,872 40,000 0 0 0 0 1,106,820 0 160,000 1,280,985 243,997 77 531,351 JUNE 30,1998 PROJECTED BALANCE 2,088,360 261,694 560,577 21,644,075 4.1 32,108 2,567,278 863,303 956,084 1,590,996 0 4,666,152 3,357,035 408,344 25,701 1,246,144 373,054 96,854 I ,838,326 1,146,617 19,089,487 14,822,370 701,175 3,127,102 194,422 0 5,547,606 61 5,537 17,730,685 8.1 31 ,I 99 1,278,269 6,910,253 6,583,778 1,868,251 5,723,185 OTHER 1,139,366 3,125,493 3,173,643 0 1,091,216 TOTAL 124,078,978 59,789,401 37,581,075 5,050,066 141,237,238 0 0 CITY OF CARLSBAD CAPITAL FUNDS PROJECTED FUND BALANCES FOR FY 1998-99 JULY 1,1998 PROJECTEI TOTAL CIP CONTINUING NEW PROJECTED ESTIMATED JUNE 30,19! 1998 - 99 1997 - 98 FUND BALANCE REVENUES I APPROPR. APPROPR. GENERAL CAPITAL CONST. 2,088,360 1,925,000 I 1,392,211 1,897,000 I 3,289,211 I 724,l APPROPR. I BALANCE PUBLIC ART 261,694 0 1,272,890 4,521,581 SEWER REPLACEMENT 8,131,199 1,200,000 5,185,575 9,241,846 SEWER CONNECTION 17,730,685 10,956,060 397,211 2,665,000 SEWER BENEFIT AREAS 615,537 3,025,000 1,027,407 0 PLANNED LOCAL DRAINAGE 5,547,606 224,090 0 0 SDG & E 0 0 192,140 0 FEDERAL GRANTS 194,422 0 536,916 2,600,000 POINSETTIA BTD #2 3,127,102 416,183 420,571 0 CANNON ROAD WEST BTW3 701,175 600,509 1,867,825 500,000 CFD #2 14,822,370 1,736,750 9,683,465 11,664,600 CFD #I 19,089,487 8,969,923 926,547 0 ASSESSMENT DISTRICTS 1,146,617 0 1,792,946 0 COUNTY GRANTS 1,838,326 221,618 80,757 0 STATE GRANTS 96,854 0 352,329 0 TDA 373,054 0 0 0 TRANSNETISTP 1,246,144 0 0 0 TRANSNETlBlKE 25,701 0 293,451 743,000 TRANSNEnHlGHWAY 408,344 743,000 2,469,231 8,210,000 TRANSNEnLOCAL 3,357,035 7,490,000 2,096,581 2,817,000 TRAFFIC IMPACT FEE 4,666,152 1,613,029 0 0 LETERS OF CREDIT 0 0 0 0 PIL AREA 4 SE 1,590,996 186,690 0 238,000 PIL AREA 3 SW 956,084 386,610 0 0 PIL AREA 2 NE 863,303 141,120 0 0 PIL AREA 1 NW 2,567,278 334,152 3,960,058 0 ZONE 5,13,16 PARK FEE 4,132,108 387,200 4,249,577 1,554,750 PUBLIC FACILITIES FEE 21,644,075 5,036,875 560,577 15,000,000 GOLF COURSE 560,577 15,000,000 116,118 20,000 WATER - RECYCLED WATER 1,278,269 250,000 389,882 160,000 WATER CONNECTION 6,910,253 4,444,089 46,406,369 73,978,297 TOTAL 141,237,238 70,982,899 853,192 70,000 OTHER 1,091,216 70,000 844,684 1,573,200 GAS TAX 5,723.1 85 1,500,000 301,878 1,550,000 REDEVELOPMENT BONDS 1,868,251 0 2,285,700 2,510,451 WATER REPLACEMENT 6,583,778 4,125,000 2,856,650 6,441,869 A - 136,118 15,560,577 5,804,327 3,960,058 0 0 238,000 0 0 4,913,581 10,679,231 1,036,451 0 0 352,329 80,757 1,792,946 926,547 21,348,065 2,367,825 420,571 3,136,916 192,140 0 1,027,407 3,062,211 14,427,421 5,794,471 549,882 9,298,519 4,796,151 1,851,878 2,417,884 923,192 120,384,666 125,5 20,876,f 559,2 2,901.4 1,004,4 1 ,I 04,f 1,777.E 1,365,E 167,e 114,e 25,7 1.246,l 20,7 16,C 266,s 220,c 6,711,: 14,191.: 881.1 406.3 22 4,744,2 578,3 14,259,: 3,536,7 978.2 2,055,E 5,912.f 162 4,805,: 238,C E 1,835,4 " " " 0 0 CITY OF CARLSBAD CAPITAL FUNDS REVENUE ESTIMATES FOR 1998-99 1994-95 1995-96 (1) 1996-97 (1) 1997-98 (1) 1998-99 (1) ACTUAL ACTUAL ACTUAL ESTIMATED ESTIMATED FUND REVENUES REVENUES REVENUE REVENUE REVENUE GENERAL CAPITAL CONST. 1,010,273 2,888,993 3,000,585 1,720,999 1,925,000 PUBLIC ART 17,457 20,454 18,033 10,738 0 GOLF COURSE 109,308 42,191 79,365 573,155 15,000,000 PUBLIC FACILITIES FEE 2,266,914 3,172,700 4,618,487 7,551,332 5,036,875 ZONE 513 & 16 PARK FEE 1,940.27a 375,038 701,492 1,155,242 387,200 PIL AREA 1 NW 102,202 271,399 283,688 181,649 334,152 PIL AREA 2 NE 31,349 234,755 44,222 46,527 141,120 PIL AREA 3 SW 36,066 12,911 403,682 603,599 386.61 0 PIL AREA 4 SE 48,832 68,857 278,736 452,342 186,690 LE'TTERS OF CREDIT 0 0 0 0 0 TRAFFIC IMPACT FEE 481,029 772,544 1 ,101,838 2,389,333 1,613,029 TRANSNET/LOCAL 22,535 24,122 1,155,361 4,546,370 7,490,000 TRANSNEnHlGHWAY 9,667 8,503 103 3,278,127 743,000 TRANSNET/BIKE 1,351 97 520,948 878 0 TRANSNETETP 43,438 660,599 237,167 67,078 0 TDA 5,604 82,683 189,854 314,114 0 STATE GRANTS 642,181 213,661 2,596,708 155,938 0 COUNTY GRANTS 232,371 253,417 277,695 267,916 221,618 ASSESSMENT DISTRICTS 160,693 1,037,967 269,106 0 0 CFD #1 6,433,487 7,279,245 10,676,209 14,237,303 8,969,923 CFD #2 573,940 3,017,345 6,085,033 4,454,497 1,736,750 BTW3 CANNON ROAD WEST 101,163 408,294 26,238 266,787 600,509 BTW2 POINS. LN-AVlARA PKWY 0 1,265,756 2,289,588 (122,658) 41 6,183 FEDERAL GRANTS 1,180,179 165,994 421,036 299,854 0 SDG&E 0 0 0 0 0 PLANNED LOCAL DRAIN'G 655,752 488,794 863,504 1,159,953 224,090 SEWER BENEFIT AREAS (C,D,E,F) 0 0 253,024 177,592 3,025,000 SEWER CONNECTION 1,331,031 2,669,428 2,823,755 4,697,425 10,956,060 SEWER REPLACEMENT 81 1,481 1,233,895 2,014,974 280,956 1,200,000 WATER - RECYCLED WATER 40,606 230,676 593,808 579,444 250,000 WATER CONNECTION 1,341,224 2,442,896 2,266,441 4,927,905 4,444,089 WATER REPLACEMENT 1,231,779 1 ,I 07,737 2,185,341 762,931 4,125,000 REDEVELOPMENT BONDS 501,656 133,308 127,079 79,835 0 GAS TAX 0 1,415,803 1,471,758 1,546,746 1,500,000 OTHER 436,484 542,320 1,352,547 3,125,493 70,000 TOTAL CAPITAL FUNDS 21,800,330 32,542,382 49,227,405 59,789,401 70,982,899 (1) INCLUDES INTERFUND LOANS OR TRANSFERS. 0 e CITY OF CARLSBAD CAPITAL FUNDS BUDGET EXPENDITURE SCHEDULE 1995-1996 TO 1998-1999 1997-98 1998-99 1998-99 1995-96 1996-97 1997-98 (1) CONTINUING NEW TOTAL C I P FUND ACTUAL ACTUAL ESTIMATED 560,577 15,000,000 15,560,! GOLF COURSE 677.1 35 252,506 2,256,123 116,118 20,000 136.1 PUBLIC ART 33,838 26,780 64,525 1,392,211 1,897,000 3,289,; GENERAL CAPITAL CONST. 1,711,165 3,068,165 2,266,112 APPROPR. APPROPR. APPROPR. PUBlfC FACILITIES FEE 3,217,822 1,285,908 545,286 4,249,577 1,554,750 5,804,: ZONE 5,13 & 16 PARK FEE 0 0 39,942 0 238,000 238.1 PIL AREA 3 SW 0 301,226 3,449 0 0 PIL AREA 2 NE 0 0 0 0 0 PIL AREA 1 NW 0 0 0 3,960,058 0 3,960,( 420,571 0 420,5 BTD#3 CANNON ROAD WEST 37,532 17,505 45,392 1,867,825 500,000 2,367,e CFD #2 855,711 255,722 936,342 9,683,465 11,664,600 21,348,C CFD #I 2,298,482 3,540,881 17,970,528 926,547 0 926,: ASSESSMENT DISTRICTS 952,074 279,582 275,830 1,792,946 0 1,792,s COUNTY GRANTS 540 261 36,253 80,757 0 80,7 STATE GRANTS 91 1,459 2,516,379 171,857 352,329 0 352.3 TDA 107,128 251 ,I 14 7,649 0 0 TRANSNETETP 0 0 0 0 0 TRANSNET/BIKE 0 498,066 0 293,451 743,000 1,036,4 TRANSNETIHIGHWAY 60,060 499,666 2,495,484 2,469,231 8,210,000 10,679,i TRANSNETILOCAL 23 786,134 2,032,218 2,096,581 2,817,000 4,913,: TRAFFIC IMPACT FEE 103,225 275,234 81 1,562 0 0 LETTERS OF CREDIT 0 0 0 0 0 PIL AREA 4 SE 0 0 0 BTD#2 POINS. LN-AVIARA PKWY 0 83,345 222,239 536,916 2,600,000 3,136,s FEDERAL GRANTS 166,312 421,302 105,166 0 0 SDG&E 0 0 0 192,140 0 192,l 1,272,890 4,521,581 5,794,4 SEWER REPLACEMENT 369,356 187,625 733,688 5,185,575 9,241,846 14,427,4 SEWER CONNECTION 1,069,181 1,334,650 1,908,963 397,211 2,665,000 3,062,i SEWER BENEFIT AREAS 0 0 I 04,789 1,027,407 0 1,027,4 PLANNED LOCAL DRAINAGE 29,466 484 92,068 WATER - RECYCLED WATER 386,632 151,251 170,627 389,882 160,000 549,E WATER CONNECTION 2,377,234 2,447,648 2,971,983 2,285,700 2,510,451 4,796,i WATER REPLACEMENT 969,498 2,170,009 2,078,892 2,856,650 6,441,869 9,298,: 46,406,369 73,978,297 120,384,C TOTAL CAPITAL FUNDS 18,199,715 21,737,710 42,631,141 853.1 92 70,000 923,l OTHER 797,240 602,662 3,173,643 844,684 1,573,200 2,417,t GAS TAX 1,054,472 462,810 573,667 301,878 1,550,000 1,851.1 REDEVELOPMENT BONDS 14,130 20,795 536,864 (1) 1997-98 ESTIMATED AMOUNT INCLUDES ACTUAL EXPENDITURES & ENCUMBRANCES. SF 32 kc GZ 59 g@ >3 L om - !k: ZE tie 5% E? 22 53 $0 G!% -I? ;i 0 0 0 0 P 9 0 0 :- P 0 0 m 9 7 0 0 0 m 0- 8 :: 0 0 0 9 0- z 00 00 aa z I- P zz *2 22 Eg ZP 3 k> $ Gg z ZVI 2 ?> 2 k5 -0 3n n mz ura -lw b 0 $2 I Zm a qv E? 8 zc r T T m P- m m m 0 0 m IC N 9 N. 00 00 g- g- TP- (O N 9 m 0 0 In I. 0. 7 0 0 m 0. t 0 0 m 0. 5 00 00 9 mm 0. "E 00 00 mm mr- Nr- 0. 0. 000 000 0. m-m 0. 0. 5. 2. 6 ww N ;;E8 fa0 V s 3 z5 $5 $3 gQ $2 52 em i$3 $32 c52 z z 9 ww n zw uun - - T m m 00 00 9 m 0. a. z54 - 00 00 00 mm 0- 0. z. r. 00 00 g. 8 Z'D 00 00 z. 8 Z'D 00 00 00 0. 0. Z'D 00 00 00 0. 0. Z? 0000 0000 9 m m. mooo 0- 0. 9 NOS2 m 0 0 0 0 x 8 'p m $! 0000 0000 z- z. ;- m P- x g- g. 'Doom 'ZU0 *zuo g2- m !! VI w U U 0 0 z 2s I-3 zz wz z9 9s ry XP ci gggz 22s wq gyss ;; 2- 6 2: aaz ww3m eI-zz 000+ $fro dmmJ 333w aanc m m 00 00 mm mr- 9 mm 9 0 0 0 N 0. 00 00 :. :. r-b mm LLU LLU an g7 Fb 0a Qz 35 WE5 E& *:$ Ezz V52 Z$$ 8, -00 4" www YLLLL gaa 00 00 00 ow 0- 0. $ g. 00 00 -0 ow 9 L". 0- wm '4 Gk 8 no zz rnnm zz 00 232 trr bk& 33s 2;: p; 100 00 00 0. N. 9 N G8 T- 00 00 P-. mo 0- Cxm -0 mo m. mm 0. -0 w T- m P-. T- I 288 2. g- 8 P-mm m. w N r- LLLLLL UULL ana 4 2 i5 w &$ g3g 521 21s iZ= YE55 2ZG G$& > 2&2 as2 i-2zz mm ". ". 5: P. mo m- '4 m ar. In mN mo 0. m '4 ". m* T 8: 85 7 g. 0. m. N kZ Qg 2 Po Y$ it?& $8 ZF 88 011: I-3 JZ Ern on aa ma JJ 22 aa 00 11 I-+ 33 GG 5; P-P mN mm - m N 0. 0 7 m 2- W m N. 2 ". ..- r. 2 0 8 + b 5 e2 2; Eg Q 0 01 wz 2a 30 iiz %F 1s -It N N U m m 0 0 x N *. - 0 0 0 m m 0. 0 0 9 z - 0 0 z 7 0 0 9 0 7 0 0 0. z 7 0 0 z - ow -rm ;;; :. Ir- ow (Or mw IC- 0.- c9 4 888 2- z. r- g. z. WZN +I-- a zzg E+ as% UVI 52 $2 Fyaz a59 2to zmz Jl+ zzg ddi ssz $24: $$E oou aao 000 mN mL0 mm *P mm 0 0 0 0. 0 0 0 0 0 0. 7 00 00 00 0. 9 "'D TO TO m (9 z-J 68 I.. N. PO N NO00 PO00 000 :- 2% 0. 0- 9 m.- 0c0v 8$S$ a + v) 3 a a 2 9 I- z 0 LL a 33 ::Pi 9 aaza ooo> gg2g '"wi~ QQe> ggn- iioz =DL3 &,$;e LZ3g B2S& z2!22 anwx OOaa spzz mm ?j[ 65 8: :r EZ a9 ne ;% 3s 2z 3z $0 35 2; cs $2 Pm -I? am L GZI 0 - 5g ON oh -lo 30 mN - z% fhs 5jz 9:: - mz t8 $$ N - -2 n8 4; t8 N - :E aN >E wd N - N8 =E $A >$ - -01 m noj a8 F- 02 8 a E8 a z a on $0 8% 5 $$ 8 p ; 42 3a u0 m a 2 3 0 z 0 0 S wfno $I-k GOii %Em 0) F;z zL& 00 ii mm nn D3 7 po 8 7 az m ZEZ 0. ". m. -NN r zrzs %E m. 0. 888 OmN mN 0. ". 9 7 &E$ qua 00 mm an 22 33 Iorn 00 ww $$3 LFEi SS? ooa nn zzt; &&& I, aaa 000 mmm ana &:T 222 333 mmm mm- mmm 0 0 z 0 N 0 0 0 0. E! 0 0 2 N 0 0 8 N 0 0 0 N 9 0 0 0 N 9 0 0 0 N 9 r-mr- k-m (9 P. ". ZZ" mkm ?to- '0' to. z. :. 000 000 s ? 2 NIC -v &&& aaa 000 mmm ana 222 333 2: ysg %q 825 z "Ex ad^ za& 09> 3ma 0x2 an zo zm+ &&& ,I, a<< 000 mmm ana TZZ mmm mmm J-IJ 333 mmu 0 00 00 mlo NW 0. 9 00 00 z. z. NW mm zz no 88 22 ww an 2 G 2 &5 05 E0 !2$ 2se GZ2 ggt; ZZO zq pg $z 3 + 3o cz +x ma fnwz +EF aww a25 25: m m ." m L" 0. N. r-.- Pto N 8 ZZ N f8 o. m IC m " d mo-0000 motooooo 2.s-qz-gg ICmlc) mom mm m IomIommmV) zzzzzzz nonnnnn 88$8888 J"122222 >>>>>>> wwwwwww nnnnnna nnnnnnn n wE wwa 22s 0> z o+o i:% zg $a+ ,452 ;$ zazc =w8$ $E 8sz2 "2+Z$$o qeo2 $!gZWW S$??LIF gwy* q $$ozFbn ogd$Omoo %++$ZJJ gYoz'4~ $5jpZffs Z$ZG$$$ an "zag mcaii ~Ydmaaa wn>+www n$%Zooo gzggzzz m mm 0 0 0 P 0. (9 Z 0 0 P IC 0- z m 0 0 % 0 s 7 0 0 s m ". r 0 0 2- 0 IC. 7 0 0 0 IT m 0. IT. 0 m r-. 5: % m IC z IC 9 m - ". m. IT N 0 c 0 E m- m- m m .- r $ % 0 0 0 2 0 J 2 P 3 (0 W z cr 5% + 04 2 !is E ow 2 Eiz Zz2g woa- LYFI-4 w warn" 0 65'6 z mzAZ 9>22y3 Fsz=%z $%-lzpo g8SSas Eb8$:i g$gzig SZZ$Z ;3 iw + m hI n ma r*oozy ~aouuz mB8ZZ mmm m 000 000 9 0. 9 '0om "'" 7 m N Z8 "z IC. 9 000 000 2. z. 2. .-lo: 200 qss 5 Ei m G$ pE e! ZIok 5$n SwEi ZZ$ p -gw e24 cow ZEk? F-lz si+ %an g$$ :$8 dZZ gse zss ZZZ 22% YW a?? yzn mm z gz s: +Z2G 5VWZ zSa8 "o2Z: 84,gt- EhZY9 I urn%$ nnno8 OQO%, 35525 g253; :g; wnu gspz 5255: www<z n-120 Iox n2wyn B$$ax 0000 mmmov) 3"" mmmm 0 0 0 0 0 W 0. 0 0 0 0 N 0. 0 0 x 0 N 0 0 2 0 N 0 0 z 0 N 00 00 0. 0- ::: to " " 00 00 9 om 9 mm N m IT 2 r- N OOIT oom g. A z. 8 loNm oJ 8: 5 ? Ei 0 W 2 Py 58 288 951 6%3 :sz gzs n%Io mnw f;s 20G una L5G2 mEa =ng s32 w + W zn :p ELL 3 BZ 0 $i 0s 2s :i= E2 39 LF zm 2% ?ig sz sz Ez F2g 3a 85 E2 $2 J? G=l 0 - 5s 56 ZE 08 w? 0 ON - am gg z$ - Qg >s N - -g aw 5; >E N - m- a8 >E $2 N - NO a8 $2 >g - m aai -ul p - E av a a va zo $2 5 n.2 5!$ a+ 4 n z 3 U Y E gt I- *v) %I- as E z Y L 7 20 nz ml-2 0- 0. ". Dr. 00- %- w 2 m 9 E. ?. % 5 m u) mr.w om00 omoo 0. ooom 0. 0. 9 i?fiRE a- '" E- mwv- $28; 8; 0 U 6 (3 g 0% 6.: 4 $; 56 E w0 2 YZxS KKJ LZ25 ;:ssg E$%f$ z%$k; ou x rr-l aQ%o% avao J =mom> - -0.- 2sk nzn N ~ - - 2 z L c 3 2 0 I- 3 z z 4 r; m P 0 0 m 9 N 000 00 r.m 9 9 $2 uv k$ A 0 W K 0 a2 Zh 00 Ea -w 52 ;2i zw2 4a$ OF5 8"O 225 np ZZE a n Bx ZQ 4lYI ZWrn =ow azm avo xa 324: (3UI 2 z - - - 5 9 + z W 0 z I- 0 3 m L s W F 5 2 :5 Y > 46 2 $!? $&A2 w$%$" zowa2 gg>>o &585E EHulm3 OI- 00 0I- a a GO >ul Jwnmw a-OOI xaau IOOOK 00IIX " f5Z 2 mm m W nz 00 53 322 %80 - a w t Sz m=gwlr wul~va ggvab a0Q.k; aoa02 wazta mwomo s; gg mm3a0 =:nzz ;;$2$ wwo2: ZFLWW s(I)wtt iijz[Lmm axxx qu,,, %8222 " ulr om zz " " 0 0 0 IC 0. 0 0 0 r. 9 0 0 0 B 25 2 d Y 4 I- (I) z I- 0 z X 0 0 2 2 7 IC 0 m m - - :: z w I- 3 O U I- VI s 3 5 4 I 000 000 WID0 9 N- N - '4 m- 9 9 mcuz 0 8. 8 *. 7 0 0 x 0 N - Dz [Lo or- B aGzZ fn m-a* fis2: Y K y$W' 2 a n =& g55g 0 ZFFiij 5j OI-ww 3 vztt zawm z zszz 2 4232 z 225: z $g;z 2 0 0 9 r" E N 0 0 s N m " " 00 00 Z% k- N 0. 0. c?? 28 dd an Zk p; 53 aa n+ gg :5 gz F2 22 Liz W $8 22 0% a9 T ULLUUUUV) u anaaaav, -.. u u u.u u 0 'S v) 0 GY T E L - z2 2-2$; g~IYL30 2 gg2ga " ww5-ec2 .a-2~$00 z;$$$g? xx2EEEc $$YYYY;: zc2222z ZZ$$$$$ $i;;;;; W w3 ul 2 a ;s 04 rnrna=,~a I ,~-aaak. KK% aaaaw OO2HIIS x833333 oO%%z%S ~900000 ulul ggWWaWR zz%ZZ%2 ... m 2 v m m - - v) Y K z I- 3 n U 3 9 % fn I- I !- =3 0000 000 om^ 0. " c9 ". 0. 0. ON.- ON- uuu uuu ann i. 0 2- KZD Qwua "FZ5 :$#: - 5;;g n I == ncaa jnnn 2GYY 2222 4PPP aaaa ssss aa<a ZIII lYalYa wwww ++I-+ KaaK $i g EF $2 E2 5s Ee sz 22 gi? $0 sa zm J? a- t% az 8: gg 0 - sg g2 2% 0s 65 22 y% do - - mn8 t8 22 N - P Y g 28 q ; g8 $22 >g% [Lo 6 9 z- Nm - N - NX 59 >? - -m m 2$ F- a+ oz 88 2 ow 52 28 3 %$E E:!$ s nu 52 U - - W v) 6 I wa 2, FZ +6 on 29 8i 0 6 0 Y 7 20 az 88 %. E 0. m 9 ID- ulN P 0 0 0. '9 '4 0 0 N s N ul 7 m, 0 0 0 2 x m 00 00 mo (VP P 0. ". 0. 00 00 z. g NO m X8 9 mo m. cur- ; ; N P. W 10 0 ". f 2 888E 9 ". '4 -. 0. 9 NulWID r4IDI.N Ym 2 0 r UW0 LO0 a a20 z ?I E$ v) + > v) 26 oz GO E3n $Ed Gzrrr 2q: 2252 a$;da 52gg Y2$2 Q Ep 6 IO az6w 50 wO[~a ma Q. "sa+ 0~1q.m 2 z 0 0 0 Lo 9 -. -. 0 0 0 m 9 0 (3 0 A W z I z 6 0 + : 3 0 z n 2 iw +e Em w:! se 2 -8Cr 00 05 g5 z 0- 0 ." N 0 0 0 9 m r. 0 r. N 9 0. 7 m m v? N 0) 000 000 000 0. 9 9 moN N- ." 22; !$ c3 _I a 0 [L ?Z 90 .I 94 wmz I22 5-Q Zz? $23 0 wwm %z $za In2 +n 884 Z3y 3-52 "$0 SYz 463 nwz :gtj 225 000 zzm m 0 0 ID P 0. z 0 0 x z 0 0 0 T 0. 0 0 x 0 000 000 OOID 0. 0. 9 z0-r N 2. - on v) 222 s : n I 8p Zk w 350 r2 $62 $2: ?&I (3nn 6[L 4S6 I52 e:!!$ LLim 222 ZZY gE2 ega $2: a*> ZW 3 %Z m 0 0 0 P ul 9 00 00 z- z- ON m 9 m 0 0 0 ID 0. 00 00 8 z. wm P 0 0 0 ID 0. 0 0 0 W 0. ;g m- N- mr. ID c d P grn3l-d gg;g2 ,g9EE0 izoo= +,omzz 2225F8 iwg5ow g$g& azsicz ~UdZ(3~ v) ZaSss2 1 0 -I I- z ut 0- zz wz-+ 6Z56 SGPP8 mmmm mow '4 N. N. IC?.- ID00 0-0 q 2. z- ul~m m. m u) Ln 00 00 ID 8 s ZZ 7 00 00 OID 0. P. ZZ 7 ID0 IO d ID P. rm -7 r zp z6 N. '9 -N - 25 zs P. L". -m T- ID N 2 P N IC P z IC m NOUl mNN 4 9 N. mmnu, m. I" '4 om zom ZZA zz; 88. w[Lw wrnw $$$ w $ W v) + W q nz zzQ go$ zps ;2= wz$ 229 $$g 222 - 0 P m T ZZZ--1"1dd11 ~~~aaana ooowuwww OOOw[LILw[L [LE[L[L[L[LK[L v)v)v)v)v)v)v)v) !j$$W!j$$ wwwwwwww z + 0 2 4 m 6 Q z I w [L t 92 WE "zh as c] :e zGw5Qu $pzgyow+ =+zzgg qQ0yCZX- k-z &v)kkA>G;s ak55;:Lz8 +<-t3w-'wn Qii$$gg$ io~~z~~~~ """S$$g g:ss.ww,+ OEpgamw6o W(333IOOwO ~)~~~OLLU-IZ 3wwbax=a z;;; "3" mN mm Z%sZ% 44 .?%.?% um 0 0 z 0 N 0 0 0 0 N 0. 0 0 0 0 N 0. 000 000 om0 ON- Nr 0. 9 9 000 000 om0 0. 9 0. zgm 1122 Bhz EILS $E$ !E5 z. ; 2 $2 $2 wv) [Lz zaz 05% ZWZ zg; ZSd ?$E 52: 424 WQ .>I- =am I%O &x< 56: LnulP mmm oc oc x: z- s vu oc oc x: 8: oc oc x: z: oc oc x: zs 0. c oc oc oc 05 oc oc oc 0. c os oc oc x: oc mc " " g: MS 2: G: 3: r.c 8: 0. p x: oc ma 2- no wu [LP [LP $$ mu ! t! t z' Q? +I 2@ 2; 2u - IY wg $i O! ~n 3i S! I- W O! 01 6- wu mu " -0 In" PC me zg az SL :i= EZ 52 52 Lg $6 8% 23 5G dq 3a I;; ck!i zm kg Qz m G3 0 - sg 2% zg w? ON nd do - am 2: - -0s sx >z ILO N - YE 3; "F: >8 N - :s $2 sg N - n8 $2 >? NO - m -m arb a% Y- -. aF g; 2 OIL zo $E 5 $5 ,E2 a 0 z 3 U. !? t + I- O 0 Y 2 7 go az 8 x 8 0 0 0 0- 5! 0 0 0 N 0. 0 0 2 N 0 0 0- 8 0 0 0 N 0. 00 00 g. z- NO (D N8Z -. mzm N. 0. NO0 mm am W- IC. WP N5! In00 IC00 0. moo 0. 9 zz2 zig gLKw ciarn E$$ mm m rr- 2: $2 OIL ZQ KO st IC" OIL5 oa- g=O WEE mw 35% E3$ $2; $2: o>o z~a ILZI m' oom GGZ ~mm mmo mmm 0 0 9 I 7 0 0 IC 0- m ". - 00 00 00 IC0 N 9 9 0. ". ". 0 0 b I. m 9 00 00 OLD ICP P 0. '4 0. %k 2 52 o s 2- " 99 ee $2 ww om an. airr aa ww vu aa ww I-+ zz 6% zz OP on ww XI oo %% 2F aa 00 33 mm 7 0 m In m 000 000 000 0. 0. 0. 6 g 3. ..- 0 0 0 0 m 0. 000 000 0. N- 0- 0- zoo Wzz aua www IZT 5:s 2 m -s 2- $22 g ktt $2 "_ "_ www mmo ~QQ ana 000 www 000 aarr www I-I-I- zzz aaa nnn GOO non zzz www ITI 23% 29s $88 111 I-!-+ 333 as w go+$ gmo- 2,. mI-$o Z6LQ W$OZ e9g99 f,k?p2; FI-WCI- zEl9f,:: OSf5ff $S& IL>I->> ILI~,I~ ~ZZKIL wo-00 a2528 gw,ww Eonno =aaaa a%%%% a9995 32JJJ OILWILK Ezsss $EE OCn2CnE o>>>> ZFi P N z m W N a. 8 m- '4 N P c 0 0 W N 'p. o? 7 0 0 N N N P. '9 OW om 9 mE 9 n! ". 8% om 0. (9 OLD OP OIC z- g. IC N 2 m m. $! - - - - E B IC (0 IC P '4 0. m- W In LD m 2 m IC. P m N ". ON om ou 0 (D 0. '4 m. m OO 2< P -m z z 2 12: W a w W s E 0 3 2 Y e c! 0 > I 0 3 9 IL 8 22 s8 $0 FF 0Y 9s 28 aF zQ 5s nE 52 22 mz Tm EO a2 $2 92 EZ L 2- o IL Q ag p 52 w2 T m LD P m 5 m Y s> ei: ::52 $$2% I-z> &&go$ 00024 $66ww :$:E8 oopgg 2E an ooJ> 0.0.00 >>>mm ommzz "_ 00 mm mm ~m m. 0- ZW IC- ooLDoooooLDoooooooooooo< oomooooo~ooooo~oo~o~~~ o~o.o.o.o~o.o.omoooooICooICooo~ 8 E g ? s s r; g- g z- 5- g- 2- g I$- g- E- $- g- 0- IC- < P z- m. P In IC om-mm mZZI N - zzzJzJzzzJJ~zJzzzzJzz' ZZZ~,Z~ZZZ~~QZQZZZZ~Z~~ kk~k'kkkkaaakkk~kkk~k! 000 O00~s~8s82k?2s~s8x8a~s: LL~w%w6~L22%hWLLLLBhE~ 3333s3333333333333333: f zz 00 0 n $525 it g 55 E5 El 2 : $$SiS $ I I- a 2 z2;eg en^^^^^^^^ aaaJaoOn30c ~X>AAJJJ +!?022;;;2JJJ" >>maaaaaw+~~~;~~~~gi I am~%a~ssssfa"'"~boa5~~ I zu ~~ags~eeggggdZcnJ i 0' ILaaw ~zon2~~~~~$;~~~~~ 92 5g WWP~O 2 ( $2 Y?: w 8 qw pcgnz s 2: g 3 2 a I 8 0 a I- s. go 5 $3 252 22a1~z~iz~gg ; a: rra b~aa~~:~~$~a~~~~~&az szH;2$sazI-.q;~$fiag: I s :~TToa~ax0a2z~+ z~nn~~m~~~~o~~n~~u~zzi ssa,: ~~~~~:aaaas2$:4Y+'16In~ haTTs!?!?rr!?$2~~~4~4s~"at ~9995888ss6ddddaii=sz~ s2 ; ~z~~~~~~~~>vvvu~~~~~~~ GZ mm r;z LDo mm mw LDW mm Mz : m ;g $$ EG 5s 5s kP zm -I? hl 2% JW 05 3% dp 3a 04 5: UJU ;: 0 Fj- 26 2% w$ ON - om .-a am $g - mm a8 $2 >8 @J - -2 a% $.L t8 l-4 - "6 >g 9% N - N8 E% $6 >? - 0) -0, aw $$ sss 4% a 0 avN 0- ;zg ?iEc $$g w c- :e2 a N. m oz zz 30 uv a: + W 2 (3 w W > 0 0 0 z a (3 z wi z FO z err L2 r3 g: "y 9 H 50% 22% N 0 0 0 v (D 9 0 0 g 0 m 0 0 x 0 W 2 9 L". P m 7 m L". m a0 00 x 000 000 9 -. (D L". 9 9 XB8 P- 1JA www waa www ~aa waa p?$ z 0 0 3 ep 02g Eg5i 855 s3 z;: zv ow F$ zm >-w a$; z3z 1my rr8E OWE 24, aow 252s 4Fj 2;g aa11 zzz s$ %z m 00 00 OIn 9 0- z- " " 00 00 om 0. 9 z- $5 :E $5 $5 m 2 :; 2g && F2 28 wu 0 32 w za: wa Pw ma is " -m mrc mP mm 22% mm mms WWaa zz-- mmmww oozza *+a AJOQg $$+os ooo+z aagb zzga,: %$Hz? 8 apss 000,J aa:ww &&wLW 22444 ssggg 22222 $$HZa vow ??:$e 11aow WWI z+ oozzz aass9 SZLLL (Dm m mm In (0- T 'DI g 8 0- 10 r- m 88 CIM E. z. 000 000 mrcm mIn 9 0. 9 t.2N ZZJ zzg 38a gE$ $52 > 3 4 B s n I ggg &?? gss dmro nkk E!?!? zoo a 0 woo IS m++ www I kt 335 LLL 55s mom zzz 222 7 N P v m 00 00 rc- m1c *. mu) N " " -- mrc 0. 00 00 ma N Z' 5% va PI- =E ss Biii 00 zz NN (36 SI mu7 00 mm ww II ++ 00 tt ww 53 LL 99 mm ZE 2: 0 0 0 In N 9 00 00 00 0. 9 E2 000 000 000 InlnIn NNr 9 9 0. ZZJ 00 zzg ova $85 555 d 1 0 0 z 0 a a z+o OOF 2EZ 1z8 026 ZZE 220 Lkg U(3E zz, zw 00, 535 33w (30B wwa a=> wwv waz 33w mm(3 2:; an+ 7 m 0 In m 0 NOD w (Do 0 ICN 0 N. k. P. I p g. " Y mw (D rcm o ;- I mN m :. - N. 9 " ~m N. 0. m 00 z. 2. z z InP 0 rm X% k- z?- I 5: " '9 N. W.- IC .-N ~mom L". - 0. 9 m 0. N 0. mmor. z%gG -(D "00 mvON IN0 =-x: 0. m N -(D m rc P m (D N 0. f 0- N N 7 m " N. x m 2 O.-PO~ 9 'p. 9 *. (9 om(D0m lnmN0: P P msr.0 7 - LD 'J *. Adz1 aaza 220: Eao :LE? 2s52 gg 2s mm ++ zz $5 goo 2005k ziig& pg%g 222;s 5ggzg .s55f$ moo cc zz 5 ,++ZF awo VLUWWE SEE52 w&&L3 aaaag 2222m 33332 ZWW>J iovma w w+ w w N N m -3 m UJ I- i 7 2 2 2 0 w A 0 t z i UJ + g PE E5 $5 ko $2 mJ zw e.35 {? u +u++uuu I&F1111UUU n naa@- z+ *I- *H a i $5 zz ws 25+ s**zgmg; od;~wzw~ 6 2 $ S446ks;; -Izzmsv3$ wgkpE5z2$: ggrnE%?2zgt 2z$22zzs;: 28%%%%%w"C ;~sSssdzz~ 9 C c vvz aoomzzzd - Lu wwo 0 g ySSm$n olZonIau siW?~zgr~ gx$$s$$;g: oona~na~>~ oossss9rs ~~>>>>>aa: ???????4'0' PQQPQPQQP(r sdssSsdss; ;$gzg-- 00- mmmmmmmmmu uuuuuuuuLLu +I-++++++++ mZu)aa68 U m mmmmm m mmmmln U $i gij E; EZ se ;$ 3, 22 E? $0 32 a5 z= EO Wd >z om Bm -I? a- $; 0 E P ; 4 n c w In + b + Z W 2 z 2 :3 5 $5 zn a z a +a w4 :; i d sg p 00: $2 t a32 $3 Qa ysc 53 r$u 23rn5'' ggb;? nozwo- l"m~wLY~ ~SnF~~ aL'0a-w g"g,z wsaazz 853325 z;22s v) azS zw, aaaaa-z gszzg mm m .. 3i ;$ . :c EZ a9 om Eg Im d9, a= kg p= .9 2 n a? I: do 92 ii5 53 Y+ ;; 0 4444 SSSS$ ***cn$ kkHa pw md m os$ zzzzfj oooo> %%%%% -3 0 0 IC r ". P - " " m m 9 IC N 0 N P 0 88 x54 r m. 0. - gs m a 0 LL W W E 3 e 1 n 0 IY W z e r * m 0 m Ez 4 $k5 SLi ss -3w I-z mm a 8 r c ww kk e4 88 66 ee 11 ww 00 ** 99 00 11 EE oo zz 66ct-c on*** oooon aaaaa azwwa " ss!2!2$ 00000 zzzzz 00000 zzzzz vvvvv 52232 zz- p&f YYY kFFS+p 3$: 3 ** c W LYE2 $90 z-4 ccs i 99s 002 6 e ELL+ $02 pp zzg v ig$;ggs $5; g i3z9 ggg yq $ggw::t 3;5gzzg + a*>>>>> oooon ;;44%%% !$5rrrr5 qq2z2zz zzssssg 9s33333 ss5ssss ~~mmmmm azoooon zz LLLLLLLL -Lo " RF; 6% ?is %% 3 0 0 0. E " " !2 m m IC m m - 88 9 9 28 $2 *a ou aa W 3 !i3 :6 2; s> *e z* E+ as gg 44 22 $$ 00 1-l 33 mm aa 00 *VI $$ - Lo N m m 0 0 8 ID N. r 3 0- 0 IC m -. m IC N c P E? 9 Q 0- mmm N N. 0 IC r uc FgE gs a * LL 03 zp 6: OZW '28 Sgs goo ut% u2z 255 '$2 $WW E$$ $22 000 6w 3 mz m 0 LLLYSU. 0ZFyFcF om & d Li 66 z fZ g $8 2 Y $3 ;>a< -3388 2 Y8gg241 Zt;;&&igw 0 $%Y >$: pe$$3s,. z~ooooo 2g;$$$$ no w ~FLLLL~~~ azzg>> s$gzp$$ ss:3ii: -5S2211A m~OOOOO y$zzzzz r.33333 622Y222 mm H vnwwwww 3% - $sg$ b 88 $$ N V. - 3 8 8 $ r " " 8s E48 N IC. - SY +k 2 8 9 $ 2 4 32 n :5l 55 <I $$ 00 E 00 22 WW =z 6Yaz aLi& z 4"Ps e!$$$ w35ag gz:P% 26a:zW YOU5 Li$gu-z ao=LLw sagiie 4~22~ &bGG3 +z'o*z ZZ660 ::z;? 5swww ii221 WZ999 pp::: 3300 aaa yyggg zz 2 2% z mm 00 If 22 ww &?e Zii SEE $22 043 :oop nf$s gsww a935g iBz2g ggss5 zr44s ::zyg 3=ww owa nyys o~goa zww2 w-ww2 >922: &%v **o " " sz ". P. 3: 8;; 5 g. IC -. - 8% 9 om P. 'z IOID r g2 ue 0 z In W 0 i.2 ki z Z' W -I E Lo gz z: wa 28 %I 5s 22 rnz 52 LL oz w4 w2 IO IOP mm ~~ ~ ~ ?j[ :: $. Kn n, $5 E9 =e zm 2% BE 5; 22 ;z ig 5a wo $2 -IT $ 5% 0 - 5E g2 2:: Zg d+ 58 9:: "0 - - 1.8 W:: $64 >8 N - (L8 $2 t8 PN N - %$ ms >8 N - N8 *8 25 - - -m m (Lo5 ;s ac oz (Lo O O eo 2 4 N P88 L$ a 0. ; a g- - gag8 (L m. a coo EFgs r nLzu ZWU 0 ?Fa a P 0 z m U 3 22 e ^I ZE wls 00 zz $5 W5d CQS c3a 529 Y22 Bzz "94 bb - zz ww 22 zogg azZZ -l-lVZ WWWOS FFFEZ ZZZXX %%$%; >;>;>;2$ XXXXZ 55539 dddda (L(L(L w nnnwm aaan, zzzzo 0000LL zzzzz onnod Ci(L(L(LK e+ecc (L(L(L(L(L 00000 aaaaa &E$&& "zqaaa sssss 66666 %E5 7 LY(L(L(Lrc Q66QQ: >HIHI m~o m Nmw * mmm 00 00 00 00 0. "! 0. 0. NS! 0 0 0. 8 2 0 0 0 0 0. N. .- 0 0 0 0 0- N. 7 8 8 0- N. 7 0 0 x 0 N. 7 00 00 g- e. z g- .- 000 000 000 0. N. In. 0. 0. zoo 2" 252 3g3 z c 6 I 0 W 6 m F 2 2HH so0 !?EE 333 d%Y g>1 $52 035 662 z 222 3cc nzz -66 I ct- ZH1 YWW E>> 2 z 0 0 0 0 N P. 0 0 m In N. bm IC- a- mm m f$ ?Z ;- 2. N- ". - 000 NO0 mom mom *. N 9 ". L9 9 " 882 k$z 66 zzo om zz el- + Fz 32g q8z z;g $h$ $2; &&g 00 t-cw tt$ 22% ZZ$ (LWU) ea, cec zzz www 555 222 $$$ 555 $$$ E62 zzz 66Q 111 www 322 om 0 0 m m. m 00 00 ". IC. 8% " " 00 00 ;- G. Nm 22 mm 00 6Q: $$ 22 S$ 2$ :x $5 011: om zw zc 9; E3 6LL 1-l ow cc zz ww I, 55 ss 00 HZ ec zz ww aa 55 $2 22 zz 00 00 00 NO 9 r.. N 9 7 00 00 00 Pu) 0- 9 0 0 0 0. :: 000 000 000 wwo N 9 0. N 9 0. 22: mm 00 aa ZY 00 F6 Ot 30 (Lz 2% $6" $HZ =:5 9oP zE3 05% L56E $E% ,,g qgs %%$ ssg 225 3;s ZBg 227 00n cc-9 >>- aao ana zzg m 0 0 0 IC 9 m- - " " N m P. m rn N rn 7 'z N om 00 0. om N. - m- br. r uc F9 n e m H 6 - 3 a i$ ig e5 ou zc ;a -lo c 0% wn a+ n; .I 3% m zm g2 E ;3 +9 53 0 - '0 P m ^ W 0 O (L o"== m FWWWW z Q:U)OOvI H2292 E4444 2?22E a(L(L(L(L uoooo OZZZZ nnnnn aaaaa 00000 (Lrr(L(L(L wwwww uuuuu $2222 4??PP zzzzz (ommoo a<<aa 00000 33333 .- N 8 8 I m m 0 0 0 0 P 0. 0. 0 0 0 0 0. 9 7 0 0 0 0 P 0. 00 00 x 2% E. m- 0 0 8 0 P 0 0 0 P 0. 000 000 0- mu) N. " 0-0 moo 0. 0. 22k E: 06 0 Gi $3 gzg 22; S$$ qk ihE zag 3;g 00 32 0. Io- $#= no$ Ern0 002 9ba 2 z 0 0 0 0 N 9 In. 0 0 0 9 8 0 0 0 0. 8 ". ". 6 m- u) A 2 m 00 00 00 0. 9 2 8. m FO IJ-0 i W z o z 2 m HI m w0 00 2 66 E% zz e+ 00 33 (LE zz 00 00 PP L$ t;L EE 22 ww om $2 PO om 6 w Lo m 0 0 0 0 W 9 om PZ Xrn ;. z- xsg aou) WIn *a m. In. In. PO0 000 *. .- In. In mom moo '4 0. .- uoa con ;+ W z m 3 e ZP3 555 YYY 000 =(LE aaa zzz PPO ++e 000 I333 a(La et-+ mmm zzz 000 000 LLL EFE 222 2;: www mmm 233 PPO mom mmm mmm I 0 0 x N P 0 0 In 0. 2 ". ". 00 0 In In In 9 e0 $2 ? 0L $5 z E n 3 c ;E: Y* aa OP ec 00 28 zz +e 00 33 (L(L ee mm zz 00 00 t-e ww ww FE 33 ss z mo ww mm PO z 0 0 9 - s 0 0 In m (\I 0. 0 0 IC P 0. 0 0 r. P 0. 00 0. 00 9 Ob OP rn 00 00 g. E. mP 00 00 g- E. 8- ou) 010 E. g- m m a. 0 s P OOP oou) InInP mPb a? 0. m IC. 9 7 68k e; 2 W z o z PO 55 YY 00 (LE aa zz I-+ PO, EEO ggE ZZ$ ccz :Yo $$g (Lnc 33r $40 $2:: ass 62Z $22 mmc 8ZZ mm C C C " " 0 0 0. 8 oc oc oc PU 0. c 2; mc 0, an E Q z2 e!- vc 3z (Ln 22 oc 0c wu (Lu ma En 0c 3z z2 64 OS $L nc 3: S? 5 OE wu mu $2 (La 0c wu A= >: ae 5: z2 oc wc mc 2i (32 ZE ;c $2 $9 om Eg zm 5% Kg 3; 22 Zi? $0 35 >3 49 8: C% 53 o 88i822:: 5 S# OOcrO$$a a acr w ?$ 0 I- 5 2% - zm z n%zw3 &ie p 55% 2:: 0 :;:be cnw$$Wz 5&wo28 Jg3z''' ~%~~n~~% ogzsy z-10~2 30- 3 ;&e;$z$?i zzzgn~~$ uv)nv%ZOa E$zz~ykn o+-'a!Icrcrz v)+ww I-osaz2aIn S$%E92$% zozI-z.-'~% ZZZJOZ 3030UO -I 0 0 0 0 0 0 x 7 Ln 0 0 8 0 0. r 0 0 0 0 0 0 Ln 7 N m 9 N. L4 " - - - - 0 00 00 00 0. ~nm N. r. ;- 00 00 00 In* 0. N. N- ". 8 I. ;. In m 7 7 0 0 0 W cn a 0 3 0 U d (3 v) 0 z 3 U cr I I- n z W z zo 2 Po (3% W !zk LI1 0 EU z9 e 5% F3 gz zu Ez gz << $5 Zg !g ZL 25 s2 3g z n a z k W V a W + P I- d 6 ag 5 ZP 0 $I ;gGs $552 agzm szgg v3S22 $ez:k egggg ;;:se ggg8" ssze5 z U 0 z z -IFOV$ $0+oW- $$2!1.4 I-!z~+E 000 000 loom 0. 9 9 zmm N. m- E. m 0 0 0 0 m CI 9 L" 0 0 0 0 0 2 c! In- " " 0 0 000 000 0. -E 88s N. 9 ;. '4 I" am 5% 3B 1 0 W LL I-L U U z gE %< 2: $2 $$$ &;g ZSG 5:: 0 Y$2 +-I$ wzz n0-I wan: >UP vzm wo3 ZNv) P N W m P. 0. 7 'D 8 m rq In 0 z r 0 lo N. m a- m m z P. t P m 7 m W P L4 m m- 7 s m m N. m m- 0 7 m r. m N. m a. I. m I. m m 2 9 W P In 7 a. e : m 8 'D *. m. m - Ln v) I- o !+ 2 n. 0 w z 0 3 U -I -I -t a 5 e 3 0 (3 I- 00 4 g- g 0 88 I a z- z- 2 !2! e 8 B 2% v) 9s 0 < I- a rr XI- CY) ; $$ 5 3E n P w v)3 0 wz 0 I8a gz ids % 3 z+ CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT PAR’ 1gg8-gg I FUND GENERAL CAPITAL CONST. PUBLIC ART GOLF COURSE PUBLIC FACILITIES FEE ZONE 5,13,16 PARK FEE PIL AREA 1 NW PIL AREA 2 NE PIL AREA 3 SW PIL AREA 4 SE LETTERS OF CREDIT TRAFFIC IMPACT FEE TRANSNETILOCAL TRANSNET/HIGHWAY TF!ANSNET/BlKE TRANSNET/STP TDA STATE GRANTS COUNTY GRANTS ASSESSMENT DISTRICTS CFD #I CFD #2 CANNON ROAD WEST BTD#3 POINSElTlA BTD #2 FEDERAL GRANTS SDG&E PLANNED LOCAL DRAINAGE SEWER BENEFIT AREAS SEWER CONNECTION SEWER REPLACEMENT WATER - RECYCLED WATER WATER CONNECTION WATER REPLACEMENT REDEVELOPMENT BONDS GAS TAX BEGINNING BAL 7/l/98 696,149 145,576 0 17,394,498 172,050 2,567,278 863,303 956,084 1,590,996 0 2,569,571 887,804 114,893 25,701 1,246,144 20,725 16,097 45,380 220,070 9,406,022 12,954,545 280,604 2,590,186 2,282 0 4,520,199 218,326 12,545,llO 6,858,309 888,387 4,053,603 4,298,078 1,566,373 4,878,501 REVENUE 1,925,ooo 0 15,000,000 5,036,875 387,200 334,152 141,120 386,610 186,690 0 1,613,029 7,490,ooo 743,000 0 0 0 0 221,618 0 8,969,923 1,736,750 600,509 416,183 0 0 224,090 3,025,OOO 10,956,060 1,200,000 250,000 4,444,089 4,125,OOO 0 1,500,000 EXPENDITURES 1,897,OOO 20,000 15,000,000 1,554,750 0 0 0 238,000 0 0 2,817,OOO 8,210,OOO 743,000 0 0 0 0 0 0 11,664,600 500,000 0 2,600,OOO 0 0 0 2,665,OOO 9,241,846 4,521,581 160,000 6,441,869 2,510,451 1,550,000 1,573,200 ENDING 724,149 125,576 0 20,876,623 559,250 2,901,430 1,004,423 1,104,694 1,777,686 0 1,365,601 167,804 114,893 25,701 1,246,144 20,725 16,097 266,998 220,070 6,711,345 14,191,295 881,113 406,369 2,282 0 4,744,290 578,326 14,259,324 3,536,728 978,387 2,055,823 5,912,627 16,373 4,805,301 OTHER 238,024 70,000 70,000 238,024 TOTAL 94.830.869 70.982.899 73.978.297 91.835.471 (1) BEGINNING BALANCE ON 7/l/98 IS NET OF CONTINUING APPROPRIATIONS. e 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT YEAR 2 1999 - 2000 i BEGINNING FUND BAL 711 I99 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 724,149 900,000 1,373,000 251,149 PUBLIC ART 125,576 0 20,000 105,576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE 20,876,623 4,462,812 5,616,000 19,723,435 ZONE 5,13,16 PARK FEE 559,250 188,360 250,000 497,610 PIL AREA 1 NW 2,901,430 304,668 0 3,206,098 PIL AREA 2 NE 1,004,423 161,700 0 1,166,123 PIL AREA 3 SW 1,104,694 382,200 0 1,486,894 PIL AREA 4 SE 1,777,686 88,200 0 1,865,886 LETTERS OF CREDIT 0 0 0 0 TRAFFIC IMPACT FEE 1,365,601 1,250,639 297,000 2,319,240 TRANSNETILOCAL 167,804 2,300,000 2,300,000 167,804 TRANSNETIHIGHWAY 114,893 0 0 114,893 TRANSNETIBIKE 25,701 0 0 25,701 TRANSNETISTP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 1,900,000 1,900,000 16,097 COUNTY GRANTS 266,998 232,699 0 499,697 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #I 6,711,345 7,296,647 698,000 13,309,992 CFD #2 14,191,295 105,239 0 14,296,534 CANNON ROAD WEST BTD#3 881,113 104,160 412,000 573,273 POINSETTIA BTD #2 406,369 242,000 0 648,369 FEDERAL GRANTS 2,282 5,821,600 5,821,600 2,282 SDG&E 0 0 0 0 PLANNED LOCAL DRAINAGE 4,744,290 661,721 40,000 5,366,OI 1 SEWER BENEFIT AREAS 578,326 1,925,000 2,287,000 216,326 SEWER CONNECTION 14,259,324 6,893,399 2,296,210 18,856,513 SEWER REPLACEMENT 3,536,728 1,200,000 2,591,648 2,145,080 WATER - RECYCLED WATER 978,387 250,000 660,000 568,387 WATER CONNECTION 2,055,823 4,001,631 3,453,983 2,603,471 WATER REPLACEMENT 5,912,627 2,025,000 2,587,592 5,350,035 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 4,805,301 1,550,000 504,200 5,851,101 OTHER 238,024 0 0 238,024 TOTAL 91,835,471 44,247,675 33,108,233 102,974,913 0 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT YEAR 3 2000 - 2001 I BEGINNING FUND BAL 7/1/2000 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 251,149 650,000 698,000 203,149 PUBLIC ART 105,576 0 20,000 85,576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE ' 19,723,435 4,257,048 5,045,000 18,935,483 ZONE 5,13,16 PARK FEE 497,610 1,968,396 2,450,000 16,006 PILAREA 1 NW 3,206,098 67,158 0 3,273,256 PIL AREA 2 NE 1,166,123 164,640 0 1,330,763 PIL AREA 3 SW 1,486,894 536,550 0 2,023,444 PIL AREA 4 SE 1,865,886 226,380 0 2,092,266 LETTERS OF CREDIT 0 0 0 0 TRAFFIC IMPACT FEE 2,319,240 1,163,935 672,000 2,811,175 TRANSNETILOCAL 167,804 1,700,000 1,700,000 1 67,804 TRANSNETlHlGHWAY 114,893 0 0 114,893 TRANSNET/BIKE 25,701 0 0 25,701 TRANSNETlSTP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 0 0 16,097 COUNTY GRANTS 499,697 244,334 0 744,031 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #I 13,309,992 6,456,015 11 0,000 19,656,007 CFD #2 14,296,534 1,068,737 5,702,400 9,662,871 CANNON ROAD WEST BTM3 573,273 2,000,000 400,000 2,173,273 POINSETTIA BTD #2 648,369 197,360 0 845,729 FEDERAL GRANTS 2,282 0 0 2,282 SDG&E 0 700,000 700,000 0 PLANNED LOCAL DRAINAGE 5,366,011 642,848 160,000 5,848,859 SEWER BENEFIT AREAS 216,326 2,400,000 2,581,000 35,326 SEWER CONNECTION 18,856.51 3 1,937,404 12,369,196 8,424,721 SEWER REPLACEMENT 2,145,080 1,200,000 2,936,400 408,680 WATER - RECYCLED WATER 568,387 500,000 1,060,000 8,387 WATER CONNECTION 2,603,471 3,758,816 1,031,226 5,331,061 WATER REPLACEMENT 5,350,035 2,025,000 1,546,424 5,828,611 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 5,851,101 1,600,000 0 7,451,101 OTHER 238,024 1,210,000 1,210,000 238,024 TOTAL 102,974,913 36,674,621 40,391,646 99,257,888 e 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT YEAR 4 2001 - 2002 I BEGINNING FUND BAL 711 12001 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 203,149 650,000 525,000 328,149 PUBLIC ART 85,576 0 20,000 65,576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE 18,935,483 3,715,499 4.31 9,000 18,331,982 ZONE 5,13,16 PARK FEE 16,006 49,600 0 65,606 PIL AREA 1 NW 3,273,256 229,320 0 3,502,576 PIL AREA 2 NE 1,330,763 216,090 0 1,546,853 PIL AREA 3 SW 2,023,444 431,900 0 2,455,344 PIL AREA 4 SE 2,092,266 154,350 0 2,246,616 LETTERS OF CREDIT 0 0 0 0 TRAFFIC IMPACT FEE 2,811,175 944,929 447,000 3,309,104 TRANSNET/LOCAL 167,804 1,700,000 1,700,000 167,804 TRANSNET/HlGHWAY 114,893 0 0 114,893 TRANSNETlBlKE 25,701 0 0 25,701 TRANSNETISTP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 0 0 16,097 COUNTY GRANTS 744,031 218,982 0 963,013 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #I 19,656,007 5,476,562 5,810,000 19,322,569 CFD #2 9,662,871 3,190,224 11,941,000 912,095 CANNON ROAD WEST BTDm 2,173,273 389,880 0 2,563,153 POINSElTIA BTD #2 845,729 716,400 0 1,562,129 FEDERAL GRANTS 2,282 0 0 2,282 SDG&E 0 0 0 0 PLANNED LOCAL DRAINAGE 5,848,859 470,403 0 6,319,262 SEWER BENEFIT AREAS 35,326 400,000 0 435,326 SEWER CONNECTION 8,424,721 1,770,415 1,686,000 8,509,136 SEWER REPLACEMENT 408,680 1,200,000 936,400 672,280 WATER - RECYCLED WATER 8,387 160,000 160,000 8,387 WATER CONNECTION 5,331,061 3,371,093 2,834,808 5,867,346 WATER REPLACEMENT 5,828,611 2,025,000 995,202 6,858,409 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 7,451,101 1,650,000 80,000 9,021,101 OTHER 238,024 0 0 238,024 TOTAL 99,257,888 29,130,647 31,454,410 96,934,125 0 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT YEAR 5 2002 - 2003 1 BEGINNING FUND BAL 7/1/2002 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 328,149 525,000 525,000 328,149 PUBLIC ART 65,576 0 20,000 45,576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE 18,331,982 3,153,428 950,000 20,535,410 ZONE 5,13,16 PARK FEE 65,606 165,622 0 231,228 PIL AREA 1 NW 3,502,576 230,958 0 3,733,534 PIL AREA 2 NE I ,546,853 216,090 0 1,762,943 PIL AREA 3 SW 2,455,344 271,950 2,550,000 177,294 PIL AREA 4 SE 2,246,616 20,580 0 2,267,196 LETTERS OF CREDIT 0 0 0 0 TRAFFIC IMPACT FEE 3,309,104 1,002,932 447,000 3,865,036 TRANSNEnLOCAL 167,804 1,700,000 1,700,000 1 67,804 TRANSNET/HlGHWAY I 14,893 0 0 114,893 TRANSNET/BIKE 25,701 0 0 25,701 TRANSNETSTP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 0 0 16,097 COUNTY GRANTS 963,013 0 0 963,013 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #I 19,322,569 4,840,467 110,000 24,053,036 CFD #2 912,095 64,974 0 977,069 CANNON ROAD WEST BTD#3 2,563,153 95,728 0 2,658,881 POINSETTIA BTD #2 1,562,129 783,600 0 2,345,729 FEDERAL GRANTS 2,282 0 0 2,282 SDG&E 0 0 0 0 PLANNED LOCAL DRAINAGE 6,319,262 704,306 0 7,023,568 SEWER BENEFIT AREAS 435,326 400,000 0 835,326 SEWER CONNECTION 8,509,136 1,741,859 1,190,000 9,060,995 SEWER REPLACEMENT 672,280 1,200,000 736,400 1,135,880 WATER - RECYCLED WATER 8,387 160,000 160,000 8,387 WATER CONNECTION 5,867,346 2,884,720 1,024,682 7,727,384 WATER REPLACEMENT 6,858,409 2,025,000 195,178 8,688,231 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 9,021,101 1,700,000 250,000 10,471,101 OTHER 238,024 0 0 238,024 TOTAL 96,934,125 23,887,214 9,858,260 110,963,080 0 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT YEAR 6-10 2003 - 2008 i BEGINNING FUND BAL 7/1/2003 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 328,149 3,100,000 2,225,000 1,203,149 P UBLlC ART 45,576 55,000 100,000 576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE 20,535,410 17,191,514 18,221,000 19,505,924 ZONE 5,13,16 PARK FEE 231,228 976,408 0 1,207,635 PIL AREA 1 NW 3,733,534 1,248,156 2,380,000 2,601,690 PIL AREA 2 NE 1,762,943 1,461,180 0 3,224,123 PIL AREA 3 SW 177,294 1,813,980 0 1,991,274 PIL AREA 4 SE 2,267,196 321,930 0 2,589,126 LETTERS OF CREDIT 0 0 0 0 TRAFFIC IMPACT FEE 3,865,036 5,205,823 4,435,000 4,635,859 TRANSNETlLOCAL 167,804 8,500,000 8,500,000 167,804 TRANSNET/HIGHWAY 114,893 0 0 114,893 TRANSNET/BIKE 25,701 0 0 25,701 TRANSNETETP 1,246,144 0 0 1,246,144 IDA 20,725 0 0 , 20,725 STATE GRANTS 16,097 0 0 16,097 COUNTY GRANTS 963,013 0 0 963,013 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #1 24,053,036 16,778,589 34,453,500 6,378,124 CFD #2 977,069 237,667 0 1,214,737 CANNON ROAD WEST BTD#3 2,658,881 1,535,105 4,000,000 193,986 POlNSElTlA BTD #2 2,345,729 2,788,320 3,226,800 1,907,249 FEDERAL GRANTS 2,282 0 0 2,282 SDG&E 0 900,000 900,000 0 PLANNED LOCAL DRAINAGE 7,023,568 4,571,748 0 11,595,316 SEWER BENEFIT AREAS 835,326 2,000,000 0 2,835,326 SEWER CONNECTION 9,060,995 10,536,318 16,635,896 2,961,417 SEWER REPLACEMENT 1,135,880 6,000,000 3,007,000 4,128,880 WATER - RECYCLED WATER 8,387 800,000 -800,000 8,387 WATER CONNECTION 7,727,384 2,854,376 8,928,428 1,653,332 WATER REPLACEMENT 8,688,231 10,125,000 2,538,272 16,274,959 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 10,471,101 8,500,000 255,000 18,716,101 OTHER 238,024 0 0 238,024 TOTAL 110,963,080 107,501,113 11 0,605,896 107,858,296 0 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT 2008 to Buildout I BEGINNING FUND BAL 7/1/2008 REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 1,203,149 4,000,000 4,225,000 978,149 PUBLIC ART 576 200,000 200,000 576 GOLF COURSE 0 0 0 0 PUBLIC FACILITIES FEE 19,505,924 18,789,121 38,082,500 212,545 ZONE 5,13, 16 PARK FEE 1,207,635 542,364 1,750,000 (0) PIL AREA 1 NW 2,601,690 1,844,388 4,445,000 1,078 PIL AREA 2 NE 3,224,123 2,837,100 6,060,000 1,223 PIL AREA 3 SW 1,991,274 721,770 2,710,000 3,044 PIL AREA 4 SE 2,589,126 776,160 3,365,000 286 LElTERS OF CREDIT 0 1,725,000 0 1,725,000 TRAFFIC IMPACT FEE 4,635,859 7,461,843 10,331,000 1,766,702 TRANSNETlLOCAL 167,804 2,000,000 2,000,000 167,804 TRANSNETIHIGHWAY 114,893 0 0 114,893 TRANSNET/BlKE 25,701 0 0 25,701 TRANSNET/STP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 0 0 16,097 COUNTY GRANTS 963,013 0 0 963,013 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #1 6,378,124 9,859,169 15,209,500 1,027,793 CFD #2 1,214,737 395,000 0 1,609,737 CANNON ROAD WEST BTD#3 193,986 1,518,504 1,664,000 48,490 POlNSElTlA BTD #2 1,907,249 1,233,460 2,774,000 366,709 FEDERAL GRANTS 2,282 0 0 2,282 SDG&E 0 0 0 0 PLANNED LOCAL DRAINAGE 11,595,316 8,732,558 19,225,000 1,102,874 SEWER BENEFIT AREAS 2,835,326 10,000,000 6,100,000 6,735,326 SEWER CONNECTION 2,961,417 16,035,874 18,674,624 322,667 SEWER REPLACEMENT 4,128,880 21,700,000 7,864,800 17,964,080 WATER - RECYCLED WATER 8,387 3,031,000 3,031,000 8,387 WATER CONNECTION 1,653,332 868,276 0 2,521,609 WATER REPLACEMENT 16,274,959 29,730,000 0 46,004,959 REDEVELOPMENT BONDS 16,373 0 0 16,373 GAS TAX 18,716,101 22,100,000 13,325,000 27,491,101 OTHER 238,024 0 0 238,024 TOTAL 107,858,296 166,101,588 161,036,424 I1 2,923,460 0 0 CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM ANALYSIS OF AVAILABLE BALANCES 1998 TO BUILDOUT GRAND TOTALS ALL YEARS I BEGINNING TOTAL TOTAL FUND BALANCE REVENUE EXPENDITURES ENDING GENERAL CAPITAL CONST. 696,149 11,750,000 11,468,000 978,149 PUBLIC ART 145,576 255,000 400,000 576 GOLF COURSE 0 15,000,000 I 5,aoa ,000 0 PUBLIC FACILITIES FEE 17,394,498 56,606,296 73,788,250 212,545 ZONE 5,13,16 PARK FEE 172,050 4,277,950 4,450,000 (0) PIL AREA 1 NW 2,567,278 4,258,800 6,825,000 1,078 PIL AREA 2 NE 863,303 5,197,920 6,060,000 1,223 PIL AREA 3 SW 956,084 4,544,960 5,498,000 3,044 PIL AREA 4 SE 1,590,996 1,774,290 3,365,000 286 LElTERS OF CREDIT 0 1,725,000 0 1,725,000 TRAFFIC IMPACT FEE 2,569,571 18,643,131 19,446,000 1,766,702 TRANSNETILOCAL 887,804 25,390,000 26,110,000 167,804 TRANSNETIHIGHWAY 114,893 743,000 743,000 114,893 TRANSNETIBIKE 25,701 0 0 25,701 TRANSNETISTP 1,246,144 0 0 1,246,144 TDA 20,725 0 0 20,725 STATE GRANTS 16,097 1,900,000 1,900,000 16,097 COUNTY GRANTS 45,380 91 7,633 0 963,013 ASSESSMENT DISTRICTS 220,070 0 0 220,070 CFD #I 9,406,022 59,677,372 68,055,600 1,027,793 CFD #2 12,954,545 6,798,592 18,143,400 1,609,737 CANNON ROAD WEST BTD#3 280,604 6,243,886 6,476,000 48,490 POINSElTIA BTD #2 2,590,186 6,377,323 8,600,800 366,709 FEDERAL GRANTS 2,282 5,821,600 5,821,600 2,282 SDG&E 0 1,600,000 1,600,000 0 PLANNED LOCAL DRAINAGE 4,520,199 16,007,675 19,425,000 1,102,874 SEWER BENEFIT AREAS 21 8,326 20,150,000 13,633,000 6,735,326 SEWER CONNECTION 12,545,110 49,871,329 62,093,772 322,667 SEWER REPLACEMENT 6,858,309 33,700,000 22,594,229 17,964,080 WATER - RECYCLED WATER 888,387 5,151,000 6,031,000 8,387 WATER CONNECTION 4,053,603 22,183,002 23,714,996 2,521,609 WATER REPLACEMENT 4,298,078 52,080,000 10,373,119 46,004,959 REDEVELOPMENT BONDS 1,566,373 0 1,550,000 16,373 GAS TAX 4,878,501 38,600,000 15,987,400 27,491 ,I 01 OTHER 238,024 1,280,000 1,280,000 238,024 TOTAL 94,830,869 478,525,758 460,433,166 1 12,923,460 0 CITY OF CARLSBAD 0 EXHIBIT C PERSONNEL ALLOCATIONS FOR 1997-98 AND 1998-99 OVER 97/98 98/99 (UNDER) NUMBER PRELIMINARY 1997-98 MAJOR SERVICE AREA ALLOCATED BUDGET ALLOCATED POLICY AND LEADERSHIP GROUP I CITY COUNCIL 1 GIN MANAGER 8 1 8 CITY TREASURER CITY CLERK CITY ATTORNEY 0.75 0.75 3.6 4 0.4 5 5 )ADMINISTRATIVE SERVICES I INFORMATION SYSTEMS 6.4 FINANCE 14 RISK MANAGEMENT 1 PURCHASING 5 HUMAN RESOURCES &WORKERS COMP a 9 2.6 14 2 1 5 a PUBLIC SAFETY I POLICE 122 128 6 FIRE 79 79 COMMUNITY DEVELOPMENT I BUILDING INSPECTION 13 COMM DEVELOPMENT ADMINISTRATION 4.75 ECONOMIC DEVELOPMENT 1 GEOGRAPHIC INFORMATION 1 PLANNING 24 24 HOUSING AND REDEVELOPMENT 10 10 13 4.75 1 2 1 COMMUNITY SERVICES I LIBRARY CULTURAL ARTS PARK PLANNING AND RECREATION MANAGEMENT RECREATION SENIOR PROGRAM PUBLIC WORKS I ADMINISTRATION ENGINEERING PARK MAINTENANCE MAINTENANCE & ASSMT DISTRICTS STREET MAINTENANCE FACILITIES MAINTENANCE SOLID WASTE VEHICLE MAINTENANCE WATER ENTERPRISE SANITATION ENTERPRISE 32.5 3 3 15.5 3 7 34 18.75 12 20 13 0.75 7 43 13 32.5 3 3 15.5 3 7.25 0.25 37 3 19.75 1 12 20 13 0.75 7 43 13 GRAND TOTAL LABOR FORCE 533 548.25 15.25 0 0 CITY OF CARLSBAD PERSONNEL ALLOCATIONS FOR 1997-98 AND 1998-99 SUMMARY OF REQUESTED LABOR FORCE BY CATEGORY: Full Time Personnel 527 543 16 314 Time Personnel in Full Time Equivalents 6 5.25 -0.75 Hourly Full Time Equivalent Personnel 93.58 111.41 17.83 TOTAL LABOR FORCE 626.58 659.66 33.08 LIMITED TERM EMPLOYEES FINANCIAL INFORMATION SYSTEM SENIOR MANAGEMENT ANALYST (term began 4/19/96) HUMAN RESOURCES MANAGEMENT ANALYST (term began 1/28/97) INFORMATION SYSTEMS SYSTEMS ANALYST (term began lU10/96) INTERNS GIS -HOUSING ELEMENT UPDATE PLANNING - FRONT COUNTER BUILDING - FRONT COUNTER 0.5 1.5 0.5 TOTAL 2.5 CONTINUING APPROPFI()TIONS 1997-98 TO 1998-99 0 Exhibit D City Manaqer Lobby office furniture City Attorney Legal services for habitat management plan Xerox copier lease City Clerk Citywide records managemenvimaging project New recording equipment Finance Long range planning for department AMOUNT $5,300 14,622 5,684 52,563 3,800 9,600 Purchasing NlGP Commodity Code System Human Resources Provisional management analyst Strategic planning/goal setting and team building Pulsetaker survey Systemics contract - Fire OPTICOM traffic control device Weed abatement charges Organization development consultant Complete Mac/PC computer conversion Printing of Harmony Grove fire citizen's report CEMAT emergency dialer Office furniture remodel project for 2 Fire prevention inspectors Color guard flags Geographic Information Systems Technical GIS consulting GIS computer workstation upgrade Engineering City's portion of the stormwater permit Sand replenishing and SANDAG programs Developer deposits for condemnation projects 5,000 15,350 14,700 15,000 33,100 4,000 5,000 9,896 15,389 3,300 28,000 16,000 1,100 12,174 22,866 36,362 22,000 29,862 CONTINUING APPROPf@lONS 0 Exhibit D 1997-98 TO 1998-99 AMOUNT Libraw - Historical preservation Heritage tree inventory 1,000 A- Arts camp salaries and suppties 950 Streets Thermo plastic crosswalk, legends, & arrow replacement 22,000 - Subtotal General Fund $ 404,618 Police Asset Forfeiture New police range Law Enforcement Block Grant Available year-end balance; MadPC conversion 25,000 29,000 Cultural Arts - Sister City Available year-end balance, delegation visits Recreation Available balance; for triathlon and luau festival Available balance; for recreation special events Street LiQhtinq Annual assessment fee for Cal-SIA services 1,571 4,555 958 2,000 Misc. Federal Grants Available year-end balance 124,536 CDBG Available year-end balance Available year-end balance 22,266 351,716 Water Operations Automatic meter reading (AMR) equipment NCWA calendars CII vouchers Sewer Maintenance Televising & evaluating sewer collection system Manhole adjustment after street overlay Sewer collection system rehab. program study 35,000 2,500 1,500 55,000 10,000 20,000 CONTINUING APPROPdkONS 1997-98 TO 1998-99 0 Exhibit D AMOUNT Fleet Replacement Replacement water truck Replacement paver Information Systems Permits Plus report writing and year 2000 compliance assessment Desktop faxing Redundant T-1 link between Las Palmas & Safety Center Citywide remote access CMWD voice and data network infrastructure upgrade 60,000 40,000 31,256 16,000 27,000 68,000 18,000 Subtotal Other Funds $ 945,858 - Grand Total $ 1,350,476