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HomeMy WebLinkAbout1999-01-26; City Council; Resolution 99-361 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 I 0 0 RESOLUTION NO. 99-36 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD, CALIFORNIA, INCREASING THE REVENUE ESTIMATES AND APPROPRIATIONS FOR 1998-99. WHEREAS, the financial results through December reflect revenue receipts which are $3.2 million ahead of the estimate and much of the increase is'related taxes; and WHEREAS, the City has also realized an increase in expenses for the first half of the year; and WHEREAS, total appropriations for each fund may only be increased or decreased by authorization of the City Council. NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Carlsbad, California, as follows: 1. That the above recitations are true and correct. 2. That estimated revenues will be increased by $4,611,193 as shown on Schedule A. 3. That budgeted appropriations for the General fund will be increased by $1 15,780 and Non-General funds by $309,404 as shown in Schedule 6. 4. That budgeted appropriations for Capital Improvement Projects will be increased by $320,000. Appropriations will be increased by $150,000 from the TransNeffLocal fund, $10,000 from the Ill Ill Ill I 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 e 0 Transportation Development Act fund balance, and $160,000 from the General Capital Construction fund balance to fund the projects, as shown in Schedule C. PASSED, APPROVED AND ADOPTED at a regular meeting of the City Council on the 26th day of January , 1999, by the following vote, to wit: AYES: Council Members Lewis, Hall, Finnila and KI NOES: None ABSENT: Council Member Nygaard ATTEST: ALETHA L. RAU (SEAL) 1 e 0 SCHE GENERAL FUND REVISED REVENUE ESTIMATES FOR 1998-99 CURRENT REVENUE ESTIMATE SALES TAX 15,243,407 TRANSIENT TAX 5,775,000 FRANCHISE TAX 1,645,000 BUSINESS LICENSE TAX 1,800,000 TRANSFER TAX 580,000 TOTAL TAXES 38,343,407 REVISED REVENU€ ESTIMATE $14,200,000 16,500,000 6,500,000 1,710,000 1,800,000 650,000 41,360,000 CHANGE, IN ESTIMATE I 4 $900,000 1,256,593 65,000 70,000 3,016,593 c 1 :HARGES FOR S€RVIC€S : :.Ii . .I PLANNING.FEES 1,200,000 900,000 (300,000 BUILDING DEPT. FEES 1,250,000 1,400,000 150,000 ENGINEERING FEES 1,756,000 1,756,000 0 AMBULANCE FEES 735,000 800,000 65,000 RECREATION FEES 1,046,000 1,075,600 29,600 OTHER CHARGES OR FEES 603,000 603,000 0 rOTAL CHARGES FOR SERVICES 6,590,000 6,534,600 (55,400 1 - 1 HER REVENUE SOURCES 1,050,000 1,300,000 250,000 REVISED APPROPRIATIONS FOR FISCAL YEAR 1998-99 II CURRENT REVISED APPROPRIATIONS APPROPRIATIONS INCREASE/ DEPT DESCRIPTION PI 1998-99 FY 1998-99 DECREASE GENERAL FUND: POLlCYlLEADERSHlP GROUP CITY COUNCIL $213,741 $213,741 0 CITY MANAGER 1,246,178 1,256,178 10,000 CITY CLERK 479,776 479,776 0 CITY ATTORNEY 629,920 629,920 0 CITY TREASURER 137,540 137,540 0 TOTAL POLICY/LEADERSHIP 2,707,155 2,717,155 10,000 I ADMINISTRATIVE SERVICES FINANCE 1,325,858 1,325,858 PURCHASING 519,678 519,678 HUMAN RESOURCES 1,519,690 1,519,690 TOTAL ADMINISTRATIVE SERVICES 3,365,226 3,365,226 PUBLIC SAFETY POLICE FIRE TOTAL PUBLIC SAFETY ! 0 0 0 0 11,890,772 11,896,372 5,600 8,344,857 8,344,857 0 20,235,629 20,241,229 5,600 ( 2OMMUNITY DEVELOPMENT COMMUNITY DEVELOPMENTADMIN 552,011 552,011 GEOGRAPHIC INFORMATION 263,138 263,138 ECONOMIC DEVELOPMENT 142,997 142,997 PLANNING 2,453,111 2,453,111 BUILDING 1,619,494 1,619,494 TOTAL COMMUNITY DEVELOPMENT 5,030,751 5,030,751 0 0 0 0 0 0 COMMUNITY SERVICES PARK PLANNING & RECREATION MGT 490,164 490,164 0 RECREATION 2,462,955 2,490,885 27,930 SENIOR PROGRAMS 353,913 353.91 3 0 LIBRARY 3,419,145 3,441,395 22,250 CULTURAL ARTS 383,555 383,555 0 TOTAL COMMUNITY SERVICES 7,109,732 7,159,912 50,180 PUBLIC WORKS PUBLIC WORKS ADMINISTRATION 700,021 700,021 0 ENGINEERING 4,102,066 4,137,066 35,000 PARKS 2,411,653 2,411,653 0 STREETS & TRAFFIC SIGNALS 2,765,366 2,765,366 0 FACILITIES 1,875,062 1,890,062 15,000 TOTAL PUBLIC WORKS 11,854,168 11,904,168 50,000 NON-DEPARTMENTAL & CONTINGENCY COMMUNITY PROMOTION (CCVB) 362,180 362,180 OTHER NON DEPARTMENTAL 536,631 536,631 OPERATING TRANSFERS OUT 2,613,000 2,613,000 CONTINGENCY 2,693,772 2,693,772 TOTAL NON-DEPT & CONTINGENCY 6,205,583 6,205,583 0 0 0 0 0 II TOTAL GENERAL FUND 56,508,244 56,624,024 115,780 /I NON-GENERAL FUND LIBRARY ADULT LEARNING INFORMATION SERVICES FLEET MAINTENANCE 2,363 2,767 404 1,893,398 2,042,398 149,000 1,415,308 1,575,308 160,000 TOTAL NON-GENERAL FUND 309,404 SCHI 0 0 SCHE CITY OF CARLSBAD CAPITAL IMPROVEMENT PROGRAM REVISED APPROPRIATIONS FOR FISCAL YEAR 1998-99 CURRENT REVISED APPROPRIATIONS APPROPRIATIONS INCRt PROJECT DESCRIPTION FUND FY 1998-99 FY 1998-99 DECR Street Proiects: Melrose Drive Extension-Preliminary Design GCC 43,981 53,981 Sidewalk Projects TDA 35,600 45,600 La Costa Avenue Sidewalk Construction GCC 0 150,000 1 , College Blvd and Cannon Road Reach 3 & 4 Trans Net/Hwy 78 0 150,000 1 TOTAL CAPITAL IMPROVEMENT PROGRAM CHANGES $3