HomeMy WebLinkAbout04-016 CC Resolution
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RESOLUTION NO. 04.16
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
TEMECULA, CALIFORNIA, AMENDING THE FISCAL YEAR
2003-04 ANNUAL OPERATING BUDGET
WHEREAS, each year a mid-year review is conducted of City operating budgets.
WHEREAS, the purpose of this review is to conduct an analysis of revenues and
expenditures to ensure that the City maintains a prudent and healthy fiscal position.
WHEREAS, the mid-year review has been completed and the recommended
adjustments are reflected in the attached schedules for the City's General Fund and Internal
Service Funds.
The City Council of the City of Temecula does hereby resolve as follows:
Section 1. That the Fiscal Year 2003-04 General Fund Annual Operating Budget is
hereby amended in accordance with the attached. hereto as Exhibit A, General Fund Mid-Year
Budget.
Section 2. That the Fiscal Year 2003-04 Gas Tax and State Transportation Funds
Annual Operating Budget are hereby amended in accordance with the attached, hereto as
Exhibit B, Gas Tax and State Transportation Funds Mid-Year Budget.
Section 3. That the Fiscal Year 2003-04 Internal Service Funds Budgets are hereby
amended in accordance with the attached, hereto as Exhibit C, Internal Service Funds Mid-Year
Budget.
Section 4. The City Clerk shall certify adoption of the resolution.
PASSED, APPROVED AND ADOPTED, by the City Council of the City of Temecula this
24th day of February, 2004.
ATTEST:
[SEAL]
R:/Resos 2004/Reso 04-16
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STATE OF CALIFORNIA
COUNTY OF RIVERSIDE
CITY OF TEMECULA
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I, Susan W. Jones, CMC, City Clerk for the City of Temecula, California, do hereby
certify that Resolution No. 04-16 was duly adopted by the City Council of the City of Temecula
at a regular meeting thereof held on the 24th day of February, 2004 by the following vote:
AYES:
NOES:
4
COUNCILMEMBERS: Comerchero, Roberts, Washington, Naggar
0
COUNCILMEMBERS: None
ABSENT:
ABSTAIN:
COUNCILMEMBERS: Stone
0
COUNCILMEMBERS: None
R:/Resos 20O4/Reso 04-16
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2003-04 GENERAL FUND
MID-YEAR BUDGET
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CITY OF TEMECULA
SUMMARY OF REVENUES, EXPENDITURES, AND CHANGE IN FUND BALANCE
GENERAL FUND
2003-04 MID-YEAR OPERATING BUDGET
I 2003-04 2003-04 2003-04 Proposed %
2002-03 YTD Current Revised Increase Increase
Actual @ 12/31/03 BudQet BudQet (Decrease) (Decrease)
Total Revenues 42,460,316 17,715,782 42,874,748 44,174,528 1,299,780 3.0%
Expenditures by Dept:
City Council 399,151 135,134 421,750 421,750
Community Support 409,153 275,128 474,500 474,500
City Manager 838,911 431,949 941,751 941,751
Economic Development 727,175 274,643 817,833 817,833
City Cierk 762,500 298,755 956,785 956,785
City Attorney 771,195 315,688 685,000 915,000 250,000 37.6%
Finance 1,410,987 651,314 1,678,060 1,678,060
Human Resources 444,267 199,857 441,480 441,480
Planning 2,914,063 1,232,479 3,048,885 3,048,885
Building & Safety 2,026,886 974,228 2,251,503 2,482,503 231,000 10.3%
Engineering 1,444,014 774,732 1,825,125 1,825,125
Public Works 5,609,746 2,035,741 5,438,558 5,438,558 25,000 0.5%
CIP Admin 238,076 838,630 2,101,882 2,101,882
Poiice 10,165,040 3,339,811 11,547,285 11,547,285
Fire 3,351,552 1,108,989 4,255,823 4,255,823
Animal Control 98,280 38,243 132,000 132,000
Non-Departmental 4,960,326 2,169,280 5,838,275 5,838,275
Total Expenditures 36,571,302 15,094,801 42,836,495 43,317,495 506,000 1.2%
Excess of Revenues OVer
Ider) Expenditures 5,889,014 2,621,181 38,253 857,033 793,780
eratlng Transfers Out:
apita! Projects 2,209,000 2,166,955 5,163,926 5,099,426 (64,500)
Total Operating Transfers Out 2,209,000 2,166,955 5,163,926 5,099,426 (64,500)
Excess of Revenues OVer
(Under) Expenditures and
Operating Transfers Out 3,680,014 454,226 (5,125,673) (4,242,393) 858,280
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CITY OF TEMECULA
SUMMARY OF REVENUES, EXPENDiTURES, AND CHANGE iN FUND BALANCE
GENERAL FUND
13-04 MID-YEAR OPERATING BUDGET
2003-04 2003-04 2003-04
2002-03 YTD Current Proposed
Actual @ 12/31103 BudQet BudQet
Fund Balance, Beg. of Year 23,030,905 26,710,919 28,710,919 26,710,919
Revenues 42,460,316 17,715,782 42,674,746 44,174,528
Expenditures and Transfers Out (38,780,302) (17,261,556) (48,000,421) (46,416.921)
Fund Balance, End of Year 26,710,919 27,165,145 21,585,246 22,468.526
Detail of Fund Balance:
Reserved for iand held for resaie
Reserved for iong-term advance to RDA
Reserved for iong-term advance to CIP (Overland)
Reserved for long-term advance to CIP (Chaparral Pool)
Reserved for long-term receivables
Reserved for comprehensive annual leave
Unreserved:
Designated for continuing appropriation
Designated for economic uncertainty
Designated for retiree benefits
lignated for open space
esignated for Dutch Villages
ignated for State Budget impacts
esignated for Community Theater (Approved February 10, 2004)
Designated for French Valley/l-15 overcrossinglinterchange
Undesignated
870,176
712,500
1,000,000
326,983
865,548
200,543
10,000,000
1,022,851
506,226
150,000
2.500,000
1,612,500
1,924,000
777,199
22,468,526
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GENERAL FUND
REVENUE DETAil
FY 2003-04 MIDYEAR 8UDGET
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ACCT FY02-03 FYO3-04 FY 03-04 FY03-04 CHANGE %
NO 001 GENERAL FUND ACTUALS YTD @ f2l31/03 REVISED EST ESTIMATES IN EST CHANGE
DEPT 161 PLANNING
-Various 468,882 204,164 397,650 397,650
DEPT 162 BUILDING & SAFETY
-Various 1,851,719 1,112,066 1,624,400 1,855,400 231,000 14.2%
DEPT 163 LAND DEVELOPMENT
-Various 1,984,921 1,975,566 1,203,727 2,203,727 1,000,000 83.1%
DEPT 164CIP
4076 -Reimbursements
DEPT 170 POLICE
4051 -Donations Eve'Y15 Minutes
4055 -Paridng Citations 59,809 20,986 70,000 45,000 (25,000) -35.7%
4060 -Miscellaneous 23,905 21,653 20,000 20,000
4067 -Vehicle Impound Fees 36,788 15,547 33,000 33,000
4076 -Reimbursements 108,012 42,500 85,000 85,000
4063 -Grants 71,270 92,177 92,177
4085 -AB3229 (COPS)
4088 -Donations 1,000
4095 -Claims Recove'Y 15,091
4116 -Conditional Use Permit
4125 - T empora'Y Outdoor Event 3,246 1,738 2,500 2,500
4225 -OTS Grants 59,224 592
DEPT 171 FIRE
4036 -Rre Plan Check 138,335 69,650 165,000 165,000
4037 -Rre Inspection 72,466 43,726 90,000 90,000
4039 -License Care Facility Fees
4051 -Donations 5,000
4060 -Miscellaneous Non Taxable
4083 -Grants 13,015 47,870 47,670
DEPT 199 NON-DEPARTMENTAL
4010 -Property Tax 2,408,934 916,327 2,393,580 2,393,580
4012 -Property Tax (Unsecured) 122,737 144,530 123,000 123,000
4013 -Supplemental Tax - AB 2345 100,282 9,976 33,600 33,600
4015 -ERAF Reimbursement
4016 -Property Transfer Tax 603,374 449,630 435,960 863,960 428,000 98.2%
4017 -BooIdng Fee Reimbursement 106,867 106,667 106,800 106,800 100.0%
4018 -Franchise Fees 1,896,915 650,354 2,052,000 2,052,000
4020 -Transient Occupancy Tax 1,551,113 850,191 1,672,540 1,672,540
4024 -Sales and Use Tax 21,572,199 8,935,495 23,400,000 23,900,000 500,000 2.1%
4025 -Grants 58,617 82,776 82,776
4028 -Homeowner Property Tax Relief 56,821 11,603 52,000 52,000
4032 -Candidate Rllng Fees 125
4042 -Motor Vehicle license Fees 85,599 11,052 60,000 60,000
4045 -Off Road Vehicle In Lieu 2,070 1,000 1,000
4046 -Motor Vehicle in Lieu 4,076,956 676,691 3,716,330 2,400,660 (1,317,670) -35.4%
4047 -Vehicle Code Anes 758,852 321,783 439,230 839,230 400,000 91.1%
4051 -Contributions
4053 -Bids & Proposals 6,508 3,555 5,000 5,000
4056 -Business Licenses 271,467 100,515 215,000 215,000
4058 -Miscellaneous 74 149
4060 -Miscellaneous Non Taxable 22,812 12,250 24,000 24,000
4061 -Returned Check Fee 695 290
4062 -Recove'Y of Prior Year Expense 74,775 3,392
4065 -Investment Interest 561,577 129,015 530,000 530,000
4070 -Cash Over & Shan (116) 1
4075 -Rental Income
4076 -Reimbursements 75,257 13,750 61,800 61,806
4077 -Community Services District 162,000 40,500 162,000 162,000
::2 -Redevelopment Agency 225,000 56,250 225,000 225,000
.iõ:~ -Capital Improvement Program 1,174,300 359,719 1,674,908 1,699,908 25,000 1,5%
-Opereting Trensfers-in 1,508,247 390,244 1,631,700 1,515,350 (116,350) -7.1%
4096 -Mitigation Fees
4100 :~~:~~~:~~:~menf 8
4400 44 700 22930 50000 118000 68000 136.0%
TOTAL GENERAL FUND 42460315 17715782 42 874 748 44174528 1299780 3,0%
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cmsJ2004
2003-04 GAS TAX AN D STATE
TRANSPORTATION FUNDS
MID-YEAR BUDGET
(-)
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GAS TAX FUND
REVENUE DETAil
FY 2003-04 MIDYEAR BUDGET
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ACCT FY02-03 FY03-04 FYO3-04 FYO3-04 CHANGE %
NO 100 GAS TAX FUND ACTUAlS YTD @ 12131/03 REVISED EST ESTIMATES IN EST CHANGE
4065 -Investment Interest 2,453 450 3,500 3,500
4700 -GesTax2106 340,788 131,668 331,560 312,639 (18,921) -5.7%
4701 -Gas Tax 2105 494,041 191,720 490,320 456,311 (34,009) -6.9%
4702 -Gas Tax 2107 656,091 258,543 652,320 588,900 (63,420) -9.7"10
4704 -Gas Tax 2107.5 15,000 7,500 7,500
TOTAL GAS TAX FUND 1 508373 562581 1485200 1368850 116350 -7.8%
STATE TRANSPORTATION FUND
REVENUE DETAil
FY 2003-04 MIDYEAR BUDGET
ACCT FY02-03 FY03-04 FY03-04 FY 03-04 CHANGE %
NO 101 ST. TRANSPORTATION FUND ACTUALS YTD @ 12131103 REVISED EST ESTIMATES IN EST CHANGE
4065 -Investment Interest 1,495 315
4160 -Traffic Congestion Relief 169,169
TOTAL ST. TRANSPORT. FUND 190664 315
COMMUNITY DEVELOPMENT BLOCK GRANT
REVENUE DETAil
FY 2003-04 MIDYEAR BUDGET
ACCT FY02-03 FY 03-04 FY03-04 FY03-04 CHANGE %
NO 140 CDBG FUND ACTUALS YTD @ 12131103 REVISED EST ESTIMATES IN EST CHANGE
4081 -Community Development Blook Grant 50,500 396,964 386,964
4090 -Operating Transfers In
TOTAL LAW ENFORCEMENT FUND 50500 386964 386964
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LAW ENFORCEMENT GRANTS
REVENUE DETAIL
FY2003-04 MIDYEAR BUDGET
ACCT FY02-03 FY03-04 FY 03-04 FY03-04 CHANGE %
NO 160 LAW ENFORCEMENT FUND ACTUAlS YTD @ 12131103 REVISED EST ESTIMATES IN EST CHANGE
4065 -Investment Interest 468 1,500 1,500
4085 -AB3229 (COPS) 140,258 145,000 145,000
TOTAL LAW ENFORCEMENT FUND 140726 146500 146 500
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02.<i6f2004
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CITY OF TEMECULA
SUMMARY OF REVENUES, EXPENDITURES, AND CHANGE IN FUND BALANCE
GAS TAX FUND
13-04 MID-YEAR OPERATING BUDGET
2002-03
Actual
2003-04
YTD
@ 12/31/03
2003-04
Current
BudQeI
Total Revenues
1,508,373 582,581 1 ,485,200
1 ,366,654 380,244 1,485,200
141,719 202,337
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Fund Balance, Beg. of Year
Revenues
1,508,373
1,485,200
Expenditures
(1.366.654)
(1,485,200)
Fund Balance, End of Year
141,719
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2003-04 Proposed %
Revised Increase increase
BudQet (Decrease) (Decrease)
1,368,850 (116,350) -7.8%
1 ,368,850 (116.350) -7.6%
1,368,850
(1,368,850)
CITY OF TEMECULA
SUMMARY OF REVENUES, EXPENDITURES, AND CHANGE IN FUND BALANCE
STATE TRANSPORTATION FUND
13-04 MID-YEAR OPERATING BUDGET
2002-03
Actual
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out':
CIP Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
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2003-04
YTD
@ 12/31/03
2003-04
Revised
BudQet
2003-04
Current
BudQet
190,664 315
20,435
190,664 315 (20.435)
120,3B7 20,435
20,435
(20,435)
70,277 (20,120) (20,435) (20,435)
22,620 92,897 92,897
92,897 72,462 72.462
Proposed
Increase
(Decrease)
%
increase
(Decrease)
2003-04
INTERNAL SERVICE FUNDS
MID-YEAR BUDGET
CITY OF TEMECULA
SUMMARY OF REVENUES, EXPENDITURES, AND CHANGE IN FUND EOUITV
INTERNAL SERVICE FUNDS
1-04 MiD-YEAR OPERATING BUDGET
2002-03
Actual
Totai Revenues
Total Expenditures by Fund:
Insurance
Vehicles
Information Systems
Support Services
Facilities
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In (Out):
General Fund (Vehicles)
General Fund (Information Systems)
CIP (insurance)
Excess of Revenues and Operating
Transfers Over (Under) Expenditures
Retained Earnings, Beg. of Year
lined Eamings, End of Year
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2003-04
YTD
@ 12/31/03
2003-04
Current
BudQet
3.263,887 B18,654 3,722,528
118,570 253,498 633,815
215,668 124,795 243,600
1,577,411 895,348 1,873,615
27B,094 131,792 292,655
523,519 247,917 583,086
2,713,262 1 ,653,35D 3,626,771
550,625 (834,496) 95,757
79,000
(-)
2003-04
Revised
BudQet
3,722,528
629,625 (834,496) 95,757 95,757
3,245.230 3,874,655 3,874,855
3,874,855 3.970,612 3,970.612
633,815
243,600
1,873,615
292,655
583,066
3,626,771
95,757
Proposed
Increase
(Decrease)
%
Increase
(Decrease)
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INTERNAL SERVICE FUNDS
REVENUE DETAil
FY 2003-04 MIDYEAR BUDGET
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ACCT FY02-03 FY03-04 FY 03-04 FY03-04 CHANGE %
NO 300 INSURANCE FUND ACTUAlS YTD @ 12131/03 REVISED EST ESTIMATES iN EST CHANGE
4082 -Recovel)l of Prior Year Expense 17,575 1,327
4065 -Investment Interest 31,765 5,643 35,000 35,000
4076 -Charges for Services 496,296 123,058 662,197 662,197
4068 -Special Event Insurance Fees 2,032 900
4095 -Claims Recovel)l 10,359
TOTAL INSURANCE FUND 558027 130928 697197 697197
ACCT FY02-03 FY 03-04 FY 03-04 FY03-04 CHANGE %
NO 310 VEHICLES FUND ACTUALS YTD @ 12131/03 REVISED EST ESTIMATES IN EST CHANGE
4065 -Inveslment Interest 6,126 1,132 7,300 7,300
4076 -Charges for Services 252,466 71,760 285,020 285,020
4090 -Operating Transfers In 79,000
4550 -Gain on Disposal of Assets 6,998 1,740
TOTAL VEHICLES FUND 344610 74632 292320 292320
ACCT FY02-03 FY03-04 FY03-04 FY03-04 CHANGE "!o
NO 320 INFO SYSTEMS FUND ACTUALS YTD @ 12131/03 REVISED EST ESTIMATES IN EST CHANGE
4050 -Pay Telephone Revenue 239 76
4082 -Recovel)l of Prior Year Expense 207
4085 -Investment Interest 14,032 2,552 15,000 15,000
4076 -Charges for Services 1,622,360 427,905 1,816,535 1,816,535
4090 -Operating Transfers In
4550 -Gain on Disposal of Assets (699)
TOTAL INFO SYSTEMS FUND 1635952 430740 1 831 535 1631 535
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ACCT FY02-03 FYO3-04 FYO3-04 FY 03-04 CHANGE %
NO 330 SUPPORT SERVICES FUND ACTUALS YTD @ 12131/03 REVISED EST ESTIMATES IN EST CHANGE
4062 -Recovery of Prior Year Expense 69
4065 -Investment hterest 4,476 771 5,000 5,000
4076 -Charges for Services 278,810 64,960 316,921 316,921
4550 -Gain on Disposal of Assets
TOTAL SUPPORT SERVICES FUND 263286 65800 321921 321921
ACCT FY02-03 FY 03-04 FY03-04 FYO3-04 CHANGE %
NO 340 FACILITIES FUND ACTUAlS YTD @ 12131/03 REVISED EST ESTIMATES IN EST CHANGE
4065 -Inveslment Interest 1,153 112 1,500 1,500
4076 -Charges for Services 525,050 116,642 578,055 579,055
4990 -Indoor Rentals
TOTAL FACilITiES FUND 526203 116754 579555 579555
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