HomeMy WebLinkAbout2024-01 TCSD ResolutionRESOLUTION NO. CSD 2024-01
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
TEMECULA COMMUNITY SERVICES DISTRICT OF THE
CITY OF TEMECULA AMENDING THE FISCAL YEAR
2023-24 ANNUAL OPERATING BUDGETS
THE BOARD OF DIRECTORS OF THE TEMECULA COMMUNITY SERVICES
DISTRICT OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS FOLLOWS:
Section 1. The purpose of this review is to conduct an analysis of revenues and
expenditures to ensure that the Temecula Community Services District (TCSD) maintains a
prudent and healthy fiscal position.
Section 2. That each year a Mid -Year review is conducted of all Temecula Community
Services (TCSD) operating budgets.
Section 3. That the Mid -Year review has been completed and the recommended
adjustments are reflected in the schedules attached hereto as Exhibit A.
Section 4. That the Fiscal Year 2023-24 TCSD operating budgets are amended in
accordance with the attached schedules.
PASSED, APPROVED, AND ADOPTED by the Board of Directors of the Temecula
Community Services District of the City of Temecula this 27t" day of February, 2024.
ATTE
Randi o , Secretary
[SEAL]
1
Zak Schwank, President
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Randi Johl, Secretary of the Temecula Community Services District of the City of
Temecula, do hereby certify that the foregoing Resolution No. CSD 2024-01 was duly and
regularly adopted by the Board of Directors of the Temecula Community Services District of the
City of Temecula at a meeting thereof held on the 27 h day of February, 2024, by the following
vote:
AYES: 4 BOARD MEMBERS:
NOES: 0 BOARD MEMBERS:
ABSTAIN: 0 BOARD MEMBERS
ABSENT: 0 BOARD MEMBERS:
1
Alexander, Kalfus, Schwank, Stewart
None
None
None
Randi Johl, Secretary
1
EXHIBIT A
1
Temecula Community
Services District
1
Aft
e c
City of Temecula
Fiscal Year 2023-24
Quarterly Budget Report
FUND: 190 - TEMECULA COMMUNITY SERVICES DISTRICT FUND
% Change
2023-24
Year to Date
2023-24 Q2
from
2022-23
Current
Actuals
Revised
Requested
Current
Description
Actuals
Budget
12-31-2023
Budget
Adjustments
Budget
Revenues by Source
Taxes and Franchises
Special Tax (Measure C)
1,928,969
1,916,505
18,249
1,916,505
0
0.0 %
Licenses, Permits and Service Charges
Contract Classes
961,966
1,200,000
638,803
1,200,000
0
0.0 %
Classes/Activities
64,186
52,890
36,593
67,640
14,750
27.9 %
Facility Rentals
480,329
345,571
210,398
373,650
28,079
8.1 %
Aquatics
201,975
212,216
123,707
222,966
10,750
5.1 %
Museum Admissions
96,876
94,485
53,345
94,335
(150)
-0.2 %
Theater Admissions
314,583
285,000
164,086
295,000
10,000
3.5 %
Sports Leagues & Tournaments
226,819
182,365
128,005
239,243
56,878
31.2 %
Day Camps
127,288
79,540
12,379
116,721
37,181
46.7 %
Use of Money and Property
Investment Interest
36,449
0
2,819
3,947
3,947
100.0 %
Other
0
0
3,117
0
0
0.0 %
Reimbursements
Other Reimbursements
123,042
85,845
18,077
93,077
7,232
8.4 %
Operating Transfers In
Operating Transfers In
500,000
0
0
0
0
0.0 %
Contribution From Measure S
10,295,571
14,304,232
0
13,254,402
(1,049,830)
-7.3 %
Miscellaneous
Miscellaneous
105,371
68,274
30,771
74,851
6,577
9.6 %
Total Revenues and Other Sources
15,463,424
18,826,923
1,440,349
17,952,337
(874,586)
-4.6 %
Expenditures by Category
Salaries & Benefits
9,574,969
11,074,092
5,037,448
11,074,092
0
0.0 %
Operations & Maintenance
4,272,065
5,200,613
3,465,960
5,239,973
39,360
0.8 %
Internal Service Fund Allocations
2,272,868
2,864,518
1,480,352
2,398,367
(466,151)
-16.3 %
Transfers
0
0
0
37,706
37,706
100.0 %
Capital Outlay
0
19,194
0
19,194
0
0.0 %
Total Expenditures and Other Financing
Uses
16,119,901
19,158,417
9,983,761
18,769,332
(389,085)
-2.0 %
Excess of Revenues Over (Under) Expenditures
(656,477)
(331,494)
(8,543,412)
(816,995)
(485,501)
146.5 %
Fund Balance, Beginning of Year
1,573,476
916,999
916,999
Fund Balance, End of Year
916,999
585,505
100,004
Fund Description
Citywide Operations reflects the collection of the Special Tax (Measure C) charged to households for recreation programs as well as
fees for classes and activities. Accounts for facility operations, maintenance, and community recreation programs. Measure C was
approved by residents in 1997 at a rate of $74.44 per parcel for the purpose of maintaining the City's parks, recreation facilities,
arterial street lighting and traffic signals. The Special Tax revenue is allocated equally between TCSD and the General Fund to fund
both recreation programs and parks maintenance.
1
1
Alk
r,,. . ,
City of Temecula
Fiscal Year 2023-24
Quarterly Budget Report
FUND: 191 - TCSD SERVICE LEVEL "B" STREETLIGHT REPLACEMENT FUND
% Change
2023-24 Year to Date 2023-24 Q2 from
2022-23 Current Actuals Revised Requested Current
Description Actuals Budget 12-31-2023 Budget Adjustments Budget
Revenues by Source
Use of Money and Property
Investment Interest
16,786
0
4,077
8,155
8,155 100.0 %
Operating Transfers In
Operating Transfers In
200,000
200,000
0
200,000
0 0.0 %
Total Revenues and Other Sources
216,786
200,000
4,077
208,155
8,155 4.1 %
Excess of Revenues Over (Under) Expenditures
216,786
200,000
4,077
208,155
8,155 4.1 %
Fund Balance, Beginning of Year
852,843
1,069,628
1,069,628
Fund Balance, End of Year
1,069,628
1,269,628
1,277,783
Fund Description
This fund was established to accumulate resources for the replacement of street light equipment, poles and lightbulbs, as the City
has acquired street lights from Southern California Edison, and to install new street lights as needed throughout the City. Each year,
$200,000 is transferred to this fund from the TCSD Service Level "B" Street Lights Fund (Fund 192).
City of Temecula
Fiscal Year 2023-24
Quarterly Budget Report
FUND: 192 - TCSD SERVICE LEVEL "B" STREET LIGHTS FUND
% Change
2023-24 Year to Date
2023-24 Q2
from
2022-23
Current Actuals
Revised
Requested
Current
Description
Actuals
Budget 12-31-2023
Budget
Adjustments
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments
639,690
654,763 4,688
654,763
0
0.0 %
Use of Money and Property
Investment Interest
6,657
0 1,509
3,018
3,018
100.0 %
Total Revenues and Other Sources
646,347
654,763 6,197
657,781
3,018
0.5 %
Expenditures by Category
Transfers
200,000
200,000 0
200,000
0
0.0 %
Operations & Maintenance
312,080
472,000 87,230
472,000
0
0.0 %
Total Expenditures and Other Financing
Uses
512,080
672,000 87,230
672,000
0
0.0 %
Excess of Revenues Over (Under) Expenditures
134,267
(17,237) (81,033)
(14,219)
3,018
-17.5 %
Fund Balance, Beginning of Year
257,367
391,634
391,634
Fund Balance, End of Year
391,634
374,397
377,415
Fund Description
Service Level B reflects the collection of benefit assessments charged to property owners. Service Level B includes only
those
parcels within residential subdivisions that receive residential street lighting services. This
service level includes
operational,
administrative, maintenance and utility costs of residential street lights. Each year, $200,000 is transferred from this fund
to the
TCSD Service Level "B" Streetlight Replacement Fund (Fund 191) to accommodate these costs.
1
Aft
City of Temecula
/ Fiscal Year 2023-24
( Quarterly Budget Report
FUND: 194 - TCSD SERVICE LEVEL "D" REFUSE/RECYCLING FUND
% Change
2023-24
Year to Date
2023-24 Q2
from
2022-23
Current
Actuals
Revised
Requested
Current
Description
Actuals
Budget
12-31-2023
Budget
Adjustments
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments
9,532,420
10,442,107
71,905
10,442,107
0
0.0 %
Recycling Program
28,008
5,000
0
5,000
0
0.0 %
Use of Money and Property
Investment Interest
22,609
3,000
2,103
7,207
4,207
140.2 %
Intergovernmental Revenues
Grants
159,957
0
0
0
0
0.0 %
Total Revenues and Other Sources
9,742,995
10,450,107
74,007
10,454,314
4,207
0.0 %
Expenditures by Category
Salaries & Benefits
78,663
79,985
36,785
79,985
0
0.0 %
Operations & Maintenance
9,363,712
10,559,761
62,861
10,559,761
0
0.0 %
Total Expenditures and Other Financing
Uses
9,442,375
10,639,746
99,645
10,639,746
0
0.0 %
Excess of Revenues Over (Under) Expenditures
300,620
(189,639)
(25,638)
(185,432)
4,207
-2.2 %
Fund Balance, Beginning of Year
279,743
580,363
580,363
Fund Balance, End of Year
580,363
390,724
394,931
Fund Description
Service Level D Fund is used to collect benefit assessments charged
to property owners for the purpose of providing refuse
collection, recycling, and street sweeping throughout
the City,
which is provided
by CR&R.
In addition, Service
Level D has received
grants to increase recycling efforts Citywide.
Aft
tj
City of Temecula
✓
Fiscal Year 2023-24
Quarterly Budget Report
o caur>
W lne County
FUND: 195 - TCSD SERVICE
LEVEL "R" STREET/ROAD MAINT FUND
% Change
2023-24 Year to Date
2023-24 Q2
from
2022-23 Current Actuals
Revised
Requested Current
Description
Actuals Budget 12-31-2023
Budget
Adjustments Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments
5,302 5,532 230
5,532
0 0.0 %
Use of Money and Property
Investment Interest
579 0 126
2S3
253 100.0 %
Total Revenues and Other Sources
5,881 5,532 356
5,785
253 4.6 %
Expenditures by Category
Operations & Maintenance
107 10,200 0
10,200
0 0.0 %
Total Expenditures and Other Financing
Uses
107 10,200 0
10,200
0 0.0 %
Excess of Revenues Over (Under) Expenditures
5,774 (4,668) 356
(4,415)
253 -5.4 %
Fund Balance, Beginning of Year
27,281 33,055
33,055
Fund Balance, End of Year
33,055 28,387
28,640
Fund Description
Service Level R Fund reflects the operational, administrative, construction and maintenance costs for certain unpaved roads that
become inaccessible after inclement weather. Zone
R-1 provides service in the Nicolas/Liefer Road area.
The maximum rate that
can be charged for Zone R-1 for an improved parcel is $115.26 and for an unimproved parcel is $57.62.
City of Temecula
Fiscal Year 2023-24
Quarterly Budget Report
FUND: 196 - TCSD SERVICE LEVEL "L" LAKE PARK MAINT. FUND
% Change
2023-24
Year to Date
2023-24 Q2
from
2022-23
Current
Actuals
Revised
Requested
Current
Description
Actuals
Budget
12-31-2023
Budget
Adjustments
Budget
Revenues by Source
Licenses, Permits and Service Charges
Assessments
251,292
254,208
0
254,208
0
0.0 %
Harveston Lake Boat Revenue
5,035
4,284
2,325
4,284
0
0.0 %
Use of Money and Property
Investment Interest
7,436
0
1,419
2,839
2,839
100.0 %
Other
0
0
176
176
176
100.0 %
Miscellaneous
Miscellaneous
27,930
30,000
2,318
4,635
(25,365)
-84.6 %
Total Revenues and Other Sources
291,693
288,492
6,237
266,142
(22,350)
-7.7 %
Expenditures by Category
Salaries & Benefits
12,863
13,805
6,229
13,805
0
0.0 %
Operations & Maintenance
295,365
275,200
190,203
275,200
0
0.0 %
Total Expenditures and Other Financing
Uses
308,228
289,005
196,432
289,005
0
0.0 %
Excess of Revenues Over (Under) Expenditures
(16,535)
(513)
(190,194)
(22,863)
(22,350)
4,356.9 %
Fund Balance, Beginning of Year
377,291
360,756
360,756
Fund Balance, End of Year
360,756
360,243
337,893
Fund Description
Service Level L Fund reflects the benefit assessments
charged to
property owners for the purpose of maintaining
the Harveston LakE
Park. Expenditures include operational, administrative
and maintenance
costs.
1
1
1
lAft
The Heart of Southern Cakfr,,-
Wine Country
City of Temecula
Fiscal Year 2023-24
Quarterly Budget Report
FUND: 197 - TEMECULA LIBRARY FUND
% Change
2023-24
Year to Date
2023-24 Q2
from
2022-23
Current
Actuals
Revised
Requested
Current
Description
Actuals
Budget
12-31-2023
Budget
Adjustments
Budget
Revenues by Source
Licenses, Permits and Service Charges
Printing & Copies
9,967
8,919
4,502
8,919
0
0.0 %
Fines and Forfeitures
Fines & Forfeitures
32,636
25,446
14,398
25,446
0
0.0 %
Use of Money and Property
Investment Interest
10,167
0
2,027
4,055
4,055
100.0 %
Lease/Rental Income
18,192
14,620
7,076
14,620
0
0.0 %
Reimbursements
Other Reimbursements
70
0
0
0
0
0.0 %
Operating Transfers In
Contribution From Measure S
975,563
891,364
0
818,085
(73,279)
-8.2 %
Total Revenues and Other Sources
1,046,594
940,349
28,003
871,125
(69,224)
-7.4 %
Expenditures by Category
Salaries & Benefits
209,877
225,739
101,549
225,739
0
0.0 %
Operations & Maintenance
498,265
618,866
225,438
621,366
2,500
0.4 %
Internal Service Fund Allocations
329,860
438,287
210,896
427,521
(10,766)
-2.5 %
Capital Outlay
30,829
0
0
0
0
0.0 %
Total Expenditures and Other Financing
Uses
1,068,832
1,282,892
537,883
1,274,626
(8,266)
-0.6 %
Excess of Revenues Over (Under) Expenditures
(22,238)
(342,543)
(509,880)
(403,501)
(60,958)
17.8 %
Fund Balance, Beginning of Year
525,740
503,501
503,501
Fund Balance, End of Year
503,501
160,958
100,000
Fund Description
The Library Fund is used to account for the maintenance and operations of the Ronald H. Roberts Temecula Public Library on Pauba
Road.
✓..
/ R
City of Temecula
Fiscal Year 2023-2024
Annual Operating Budget
Funds: 501-530 SERVICE LEVEL C - LANDSCAPE / SLOPE MAINTENANCE
2021-
2022-2023
2023-2024
2022
Current
Mid -Year
Increase/
Increase/
Description
Actuals
Budget
Budget
(Decrease)
Decrease
Revenues by Source
Licenses, Permits and Service Charges
ASSESSMENTS
1,590,183
1,588,829
1,590,481
1,652
0.1%
Use of Money and Property
INVESTMENT INTEREST
(15,323)
-
-
-
0.0%
Revenues/Other Sources
1,574,861
1,588,829
1,590,481
1,652
0.10/0
Expenditures by Category
SALARIES & BENEFITS
111,197
-
-
-
0.0%
OPERATIONS & MAINTENANCE
1,467,699
1,738,337
1,591,472
(146,864)
-8.4%
TRANSFERS
28,346
371,654
451,700
80,046
21.5%
Expenditures/Other Financing Uses
1,607,242
2,109,991
2,043,172
(66,818)
-3.2%
Net Revenues
(32,381)
(521,162)
(452,691)
68,471
-1.8%
Fund Balance, Beginning of Year
2,098,427
2,066,046
1,544,883
(521,162)
-25.2%
Fund Balance, End of Year
2,066,046
1,544,883
1,092,192
(452,691)
-29.3%
Fund Description
Service Level C Fund reflects the collection of benefit assessments charged to property owners for the purpose of providing perimeter
landscaping and slope maintenance throughout the City. Service Level C assesses only those parcels within residential subdivisions receiving
TCSD perimeter landscaping and slope maintenance and are separated into 32 zones. The rate levels for Zones 6 and 29, are subject to a
Consumer Price Index -Urban Consumers (CPI-U) annual inflator while all other rate levels will not increase. Zones 30-32 will not be assessed, as
the property owners have elected to have the landscaping maintained by the respective Homeowner's Associations (HOAs).
Analysis/Comments
1