HomeMy WebLinkAbout14-014 CC Resolution1
RESOLUTION NO. 14 -14
A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF TEMECULA AMENDING THE FISCAL YEAR 2013 -14
ANNUAL OPERATING BUDGET
THE CITY COUNCIL 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 City maintains a prudent and healthy fiscal position.
Section 2. That each year a mid -year review is conducted of City operating
budgets.
Section 3. That the mid -year review has been completed and the
recommended adjustments are reflected in the attached schedules for the City's
General Fund, Special Revenue, and Internal Services Funds.
Section 4. That the Fiscal Year 2013 -14 General Fund Annual Operating
Budget is hereby amended in accordance with the attached, hereto as Exhibit A,
General Fund Mid -Year Budget.
Section 5. That the Annual Operating Budget for Fiscal Year 2013 -14 Gas
Tax, Recovery Act Justice Assistance Grant, Energy Efficiency Conservation Block
Grant, Business Incubator Resource, Community Development Block Grant, Temecula
Energy Efficiency Asset Management Fund, AB 2766 Motor Vehicle Subvention Fund,
Supplemental Law Enforcement Services Fund, Larry Robinson Reward Fund,
Affordable Housing Fund, Measure A Fund, and the 2011 Financing Lease for 2001 and
2008 COPs are hereby amended in accordance with the attached, hereto as Exhibit B —
Special Revenue Funds.
Section 6. That the Fiscal Year 2013 -14 Internal Services Funds Budgets are
hereby amended in accordance with the attached, hereto as Exhibit C, Internal Services
Funds Mid -Year Budget.
Section 7. The Acting City Clerk shall certify adoption of the resolution.
Resos 14 -14
1
PASSED, APPROVED, AND ADOPTED by the City Council of the City of
Temecula this 25th day of February, 2014.
ATTEST:
Gwyn R. ores, WC
Acting City Clerk
[SEAL]
Resos 14 -14
Maryann Edwards, Mayor
1
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Gwyn R. Flores, CMC, Acting City Clerk of the City of Temecula, do hereby
certify that the foregoing Resolution No. 14 -14 was duly and regularly adopted by the City
Council of the City of Temecula at a meeting thereof held on the 25th day of February,
2014, by the following vote:
AYES: 5 COUNCIL MEMBERS: Comerchero, Naggar, Roberts,
Washington, Edwards
NOES:
0
COUNCIL MEMBERS:
None
ABSENT:
0
COUNCIL MEMBERS:
None
ABSTAIN:
0
COUNCIL MEMBERS:
None
Resos 14 -14 3
Gwyn R. Flores, CMC
Acting City Clerk
Alk
lleiilt
The Heart of Southern California
Wine Country
Exhibit A
City of Temecula
FY 2013 -14 Midyear Budget
General Fund
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Aft
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C 7" 4 Fiscal Year 2013 -2014 Midyear Budget Adjustments
Th. Heart of S-th- CaNfom:a
City of Temecula
Wine C-.try
Summary of Revenues, Expenditures and Changes in Fund Balances
General Fund
Prior Year Contractual Obligations
Current Year Revenues
Total Revenues
Proposed %
Increase Increase
(Decrease) (Decrease)
- 0.0%
452,808 0.8%
452,808 0.7%
Expenditures by Dept:
2013 -14
Year to Date
2013 -14
2012 -13
Current
Actuals
Revised
Actuals
Budget
12/31/2013
Budget
-
306,074
306,074
306,074
58,943,940
60,356,110
21,001,919
60,808,918
58,943,940
60,662,184
21,307,993
61,114,992
Proposed %
Increase Increase
(Decrease) (Decrease)
- 0.0%
452,808 0.8%
452,808 0.7%
Expenditures by Dept:
City Council
421,070
479,679
206,977
482,012
2,333
0.5%
Community Support
87,500
95,000
59,173
95,000
-
0.0%
City Manager
1,618,836
1,501,030
749,336
1,505,298
4,268
0.3%
Economic Development
922,787
1,041,648
504,293
1,044,638
2,990
0.3%
City Clerk
999,272
1,022,430
510,665
1,026,496
4,066
0.4%
City Attorney
820,040
741,300
258,633
741,300
-
0.0%
Strategic Budgeting and Operations
910,070
-
-
-
0.0%
Finance
1,289,533
2,313,191
1,042,375
2,313,191
0.0%
Support Services
328,248
-
-
-
-
0.0%
Human Resources
425,340
507,272
230,727
509,415
2,143
0.4%
Planning
1,620,040
2,012,190
949,100
2,066,456
54,266
2.7%
Building & Safety
1,924,562
1,817,321
807,858
1,856,303
38,982
2.1%
Land Development
1,118,716
1,207,948
552,228
1,258,176
50,228
4.2%
Public Works
5,077,659
5,186,498
1,895,404
5,199,371
12,873
0.2%
CIPAdmin
2,159,324
2,292,539
1,045,937
2,301,923
9,384
0.4%
Parks Maintenance
3,678,388
3,818,775
1,685,485
3,824,283
5,508
0.1%
Police
21,986,796
23,311,383
11,641,119
23,148,935
(162,449)
-0.7%
Fire
4,889,776
5,039,477
2,469,803
5,052,239
12,762
0.3%
Animal Control
462,585
472,581
319,108
477,781
5,200
1.1%
Non - Departmental
4,442,949
5,450,127
2,981,289
5,455,977
5,850
0.1%
2011 Financing Lease -2001 & 2008 COPS
2,135,982
2,138,272
1,068,167
2,138,272
-
0.0%
Total Expenditures
57,319,473
60,448,660
28,977,677
60,497,065
48,404
0.1%
Excess of Revenues Over
(Under) Expenditures
1,624,467
213,524
(7,669,684)
617,927
404,404
Operating Transfers Out:
Mercedes Benz Fee Reimbursement
-
(231,008)
-
(231,008)
-
Intem Fellowship Program
(5,000)
(12,000)
(12,000)
(12,000)
T.E.A.M. Savings Fund
-
(25,409)
(6,352)
(25,409)
Larry Robinson Reward Fund
(25,000)
Information Technology Fund
(500,000)
Business Incubator
(150,000)
Pavement Management Program
(883,745)
(1,919,842)
(1,919,842)
(1,919,842)
City and Parks Facility Rehabilitation
(750,000)
(750,000)
(750,000)
(750,000)
Theatre Remediation
(795,000)
(2,084,175)
(2,084,175)
(2,084,175)
-
TransfertoCapitallmprovementFund
(614,848)
(1,529,270)
(1,529,270)
(779,270)
750,000
Total Transfers Out
(3,723,593)
(6,551,704)
(6,301,639)
(5,801,704)
750,000
Excess of Revenues Over
(Under) Expenditures and
Operating Transfers Out
(2,099,126)
(6,338,180)
(13,971,323)
(5,183,777)
1,154,404
1
1
�!-. Fiscal Year 2013 -2014 Midyear Budget Adjustments
The H— of Southern C.Iifomia
City of Temecula
W— Country
Summary of Revenues, Expenditures and Changes in Fund Balances
General Fund
Operating Transfers Out:
Mercedes Benz Fee Reimbursement
-
2013 -14
Year to Date
2013 -14
Proposed
%
(5,000)
2012 -13
Current
Actuals
Revised
Increase
Increase
(25,409)
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Fund Balance, Beg. of Year
29,720,876
27,621,750
27,621,750
27,621,750
-
0.0%
Prior Year Contractual Obligations
-
306,074
306,074
306,074
-
12,099,413 9,681
Revenues
58,943,940
60,356,110
21,001,919
60,808,918
452,808
0.8%
Expenditures
(57,319,473)
(60,448,660)
(28,977,677)
(60,497,065)
(48,404)
0.1%
Operating Transfers Out:
Mercedes Benz Fee Reimbursement
-
(231,008)
-
(231,008)
0.0%
Intern Fellowship Program
(5,000)
(12,000)
(12,000)
(12,000)
0.0%
T.E.A.M. Savings Furl
-
(25,409)
(6,352)
(25,409)
0.0%
Larry Robinson Reward Fund
(25,000)
0.0%
Information Technology Fund
(500,000)
-
-
- -
0.0%
Business Incubator
(150,000)
12,089,732
12,089,732
12,099,413 9,681
0.0%
Pavement Management Program
(883,745)
(1,919,842)
(1,919,842)
(1,919,842)
0.0%
City and Parks Facility Rehabilitation
(750,000)
(750,000)
(750,000)
(750,000)
0.0%
Theatre Construction
(795,000)
(2,084,175)
(2,084,175)
(2,084,175) -
0.0%
Transfer to Capital Improvement Fund
(614,848)
(1,529,270)
(1,529,270)
(779,270) 750,000
-49.0%
Total Transfers Out
(3,723,593)
(6,551,704)
(6,301,639)
(5,801,704) 750,000
-11.4%
Fund Balance, End of Year
27,621,750
21,283,569
13,650,426
22,437,973 1,154,404
5.4%
Detail of Fund Balance:
Nonspendable:
Inventory
3,058
3,058
3,058
3,058
0.0%
Prepaid Costs
-
1,325
1,325
1,325
0.0%
Deposits
72,583
-
-
-
0.0%
Committed to:
Contractual Obligations
306,074
-
-
- -
0.0%
Economic Uncertainty
11,463,895
12,089,732
12,089,732
12,099,413 9,681
0.1%
Assigned to:
Capital Projects
1,529,270
306,350
306,350
306,350 -
0.0%
Pavement Management
1,919,842
3,780,394
3,780,394
3,780,394
0.0%
Theatre Reconstruction
2,084,175
-
-
-
0.0%
City and Park Facilities Improvements
750,000
700,000
700,000
700,000
0.0%
Comprehensive Annual Leave
1,363,160
1,528,078
1,528,078
1,528,078
0.0%
Unrealized Gains
75,840
250,000
250,000
250,000 -
0.0%
Unassigned:
8,053,853
2,624,632
(5,008,511) `
3,769,355 1,144,723
43.6%
27,621,750
21,283,569
13,650,426
22,437,973 1,154,404
5.4%
' Negative unassigned fund balance is due to the timing of Property Tax revenues, which are received in the latter part of the Fiscal Year
1
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Alk
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Th. Heart of S-them C.Nfo,"
w- Country
Fiscal Year 2013 -2014 Midyear Budget Adjustments
General Fund Revenue Detail
City of Temecula
2013 -14
Year To Date
2013 -14
2012 -13
Current
Actuals
Revised
Acct # 001 GENERAL FUND
Actuals
Budget
12/31/2013
Estimates
$ CHANGE
% CHANGE
1161 Planning
- Various
581,828
734,058
284,576
784,372
50,314
6.85%
- Grants
76,269
-
162 Building;& Safety"
- Various
1,757,679
1,693,344
971,433
2,037,001
343,657
20.29%
163 Land Development
- Various
1,242,000
538,889
479,337
608,636
69,747
12.94%
164 Public Works
4283 +4 NPDES Permit Fee
2,433
3,506
1,050
3,506
-
0.00%
4390 - Street Lighting Fees
884
-
-
0.00%
167 Parks & facilities Maintenance
4004 - Special Tax (Measure C)
1,813,770
1,853,799
981,750
1,863,180
9,381
0.51%
4077 -Lease Income
46,024
47,319
23,705
47,319
-
0.00%
4284 -Plan Check Permits
-
-
3,363
3,363
3,363
0.00%
4290 - Inspection Fees
-
2,000
-
2,000
-
0.00%
170 Police
4055 - Citations and Bookings
76,150
93,798
52,443
104,886
11,088
11.82%
4044 +4 - Miscellaneous
88,751
95,800
43,585
92,687
(3,113)
-3.25%
4067 - Vehicle Impound Fees
103,554
124,000
52,152
114,152
(9,848)
- 7.94%
4076 - Reimbursements
149,276
142,500
81,408
142,500
-
0.00%
4083 +4 - Grants
27,724
18,000
22,531
23,954
5,954
33.08°%
171 Fire
- Various
894,020
908,552
487,793
923,786
15,234
1.68°%
4083 - Grants
21,580
15,100
304
18,610
3,510
23.25°%
199 Non - Departmental
4003 - Residual RPTTF Distribution
40,133
-
110,363
110,363
110,363
0.00°%
4010 - Property Tax (Secured)
4,742,116
4,784,385
2,734,491
5,011,796
227,411
4.75%
4012 - Property Tax (Unsecured)
238,141
257,300
282,090
249,572
(7,728)
- 3.00°%
4013 - Supplemental Tax - AB 2345
122,269
42,140
53,999
53,999
11,859
28.14°%
4016 - Property Transfer Tax
614,188
631,593
236,241
571,897
(59,696)
- 9.45°%
4018 - Franchise Fees
3,500,735
3,639,308
1,046,761
3,639,308
-
0.00°%
4020 - Transient Occupancy Tax
2,504,630
2,544,996
1,250,650
2,706,540
161,544
6.35°%
4023 -Sales and Use Tax - Triple Flip
6,849,041
7,379,864
-
7,002,229
(377,635)
- 5.12°%
4024 -Sales and Use Tax - State of Calif
20,900,842
21,984,483
8,594,098
21,510,559
(473,924)
- 2.16%
4025 -FEMA Grants
16,301
-
-
-
-
0.00°%
4028 - Homeowner Property Tax Relief
77,339
79,965
37,828
81,051
1,086
1.36°%
4043 -Motor Vehicle in Lieu - Triple Flip
5,991,022
6,140,798
-
6,254,729
113,931
1.86°%
4046 -Motor Vehicle in Lieu - State of Calif
53,840
-
44,559
44,559
44,559
0.00°%
4047 - Vehicle Code Fines
675,287
636,235
283,125
731,959
95,724
15.05°%
4053 -Bids & Proposals
10,825
5,550
1,425
5,550
-
0.00%
4056 - Business Licenses
298,300
300,000
99,817
300,000
-
0.00%
4059 -Right of Way Advertising
44,310
30,960
12,870
33,450
2,490
8.04°%
Various - Miscellaneous
142,965
15,060
10,485
15,060
-
0.00°%
4065 - Investment Interest
114,489
65,000
(8,934)
65,000
0.00°%
4075 - Rental Income
70,728
77,508
38,857
77,508
0.00°%
4076 - Reimbursements - Miscellaneous
330,259
260,120
123,119
260,120
0.00°%
4082 - Reimbursements - Redevelopment Agency
-
-
-
-
0.00%
4083 - Reimbursements- Capital lmprvmntPrgrm
2,032,864
2,292,714
1,010,468
2,301,923
9,209
0.40%
4090 - Operating Transfer In -Gas Tax
2,694,237
2,777,466
1,388,733
2,777,466
-
0.00%
4090 - Operating Transfer In -Law Enforcement Fund
78,616
100,000
120,623
167,300
67,300
67.30°%
4100 -State Mandated Cost Reimbursement
29,863
-
27,028
27,028
27,028
0.00°%
4400 - Financing Reimbursement
129,000
40,000
20,750
40,000
-
0.00°%
4545 - Change in Fair Value of Investments
(240,342)
-
(2,957)
-
-
0.00%
TOTAL GENERAL FUND
58,943,940
60,356,110
21,001,919
60,808,918
452,808
0.75°%
A!►
Pl?,
The Heart of Southern California
Wine Country
Exhibit B
Special Revenue Funds
City of Temecula
FY 2013 -14 Midyear Budget
Gas Tax Fund
Recovery Act Justice Assistance Grant Fund
Energy Efficiency Conservation Block Grant Fund
Business Incubator Resource Fund
Community Development Block Grant Fund
Temecula Energy Efficiency Asset Management Fund
AB2766 Motor Vehicle Subvention Fund
Supplemental Law Enforcement Services Fund
Larry Robinson Reward Fund
Affordable Housing Fund
Measure A Fund
2011 Financing Lease for 2001 & 2008 COPs
1
1
Fiscal Year 2013 -2014 Midyear Budget Adjustments
Tho Hosrt of Southorn California
City of Temecula
`Ana Country
Summary of Revenues, Expenditures and Changes in Fund Balances
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out:
To Vehicle and Equipment Fund
To General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balance, Beg. of Year
Fund Balance, End of Year
Gas Tax Fund
(66,256)
(2,694,236) (2,777,466) (1,388,733) (2,777,466)
0.0%
0.0%
(403,990) 142,209 175,950 175,950 0.0%
403,990
- 142,209 175,950
Recovery Act Justice Assistance Grant Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Fund Balances, Beg. of Year
Fund Balances, End of Year
2013 -14
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
2,356,502
2,777,466
1,530,942
2,953,416
175,950
6.3%
-
-
-
-
-
0.0%
2,356,502
2,777,466
1,530,942
2,953,416
175,950
6.3%
(66,256)
(2,694,236) (2,777,466) (1,388,733) (2,777,466)
0.0%
0.0%
(403,990) 142,209 175,950 175,950 0.0%
403,990
- 142,209 175,950
Recovery Act Justice Assistance Grant Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Fund Balances, Beg. of Year
Fund Balances, End of Year
2013 -14
Year to Date 2013 -14
Proposed
%
2012.13 Current
Actuals Revised
Increase
Increase
Actuals Budget
12/31/2013 Budget
(Decrease)
(Decrease)
4,292
0.0%
4,292 0.0%
0.0%
Aft
C 7' 4 -_ Fiscal Year 2013 -2014 Midyear Budget Adjustments
The Heart of Southern California
City of Temecula
Wino Country
Summary of Revenues, Expenditures and Changes in Fund Balances
Energy Efficiency Conservation Block Grant Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out:
CIP Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
1
Excess of Revenues Over (Under)
2013 -14
Expenditures and Operating
Transfers Out
Proposed
Fund Balances, Beg. of Year
Current Actuals
Fund Balances, End of Year
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
1
0.0
Business Incubator Resource Fund
2013 -14 Year to Date
2013 -14
Proposed
Proposed
2012 -13
Current Actuals
Revised
Increase
Increase
Actuals
Budget 12/31/2013
Budget
(Decrease)
(Decrease)
153,131
(Decrease)
(Decrease)
10,047
0.0
-
33,652
0.0
0.0
111,056
48,780
111,056
153,131
0.0
0.0
(153,131)
0.0
0.0
Business Incubator Resource Fund
(26,432) (77,404) (36,834) (77,404) 0.0
150,000
123,568 (77,404) (36,834) (77,404) 0.0
- 123,568 123,568 123,568
123,568 46,164 86,734 46,164
2013 -14
Year to Date
2013 -14
Proposed
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
10,047
33,652
11,946
33,652
0.0
36,479
111,056
48,780
111,056
0.0
(26,432) (77,404) (36,834) (77,404) 0.0
150,000
123,568 (77,404) (36,834) (77,404) 0.0
- 123,568 123,568 123,568
123,568 46,164 86,734 46,164
1
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Fiscal Year 2013 -2014 Midyear Budget Adjustments
R City of Temecula
TM Haar, of South- Callfornla
Wino Country
Summary of Revenues, Expenditures and Changes in Fund Balances
Community Development Block Grant Fund
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
Temecula Energy Efficiency Asset Management Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers In
Fund Balances, Beg. of Year
Fund Balances, End of Year
0.0%
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
443,066
1,920,484
383,579
1,899,392
(21,092)
-1.1%
151,832
196,137
57,221
175,045
(21,092)
-10.8%
291,234
1,724,347
326,358
1,724,347
11,662
0.0%
(291,234)
(1,724,347)
(326,358)
(1,724,347)
0.0%
Temecula Energy Efficiency Asset Management Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers In
Fund Balances, Beg. of Year
Fund Balances, End of Year
0.0%
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
119,729
11,662
11,662
11,662
0.0%
-
-
-
0.0%
119,729
-
11,662
11,662
11,662
0.0%
-
25,409
6,352
25,409
0.0%
119,729
25,409
18,014
37,071
11,662
45.9%
-
119,729
119,729
119,729
119,729
145,138
137,743
156,800
Fiscal Year 2013 -2014 Midyear Budget Adjustments
?he Nan of Sautharn C »Gfnmtn
City of Temecula
nrn� eou�t�Y
Summary of Revenues, Expenditures and Changes in Fund Balances
AB2766 Motor Vehicle Subvention Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out:
To CIP Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
(159,235) - (159,235)
99,535
2013 -14
Year to Date
2013 -14
Proposed
366,479
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
126,322
125,707
32,676
125,707
0.0
26,787
36,361
16,544
36,361
0.0%
99,535
89,346
16,132
89,346
0.0
(159,235) - (159,235)
99,535
(69,889)'
16,132
(69,889)
266,944
366,479
366,479
366,479
366,479
296,590
382,611
296,590
Supplemental Law Enforcement Services Fund
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out:
To General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
0.0
0.0
2013 -14
Year to Date
2013 -14
Proposed
2012 -13 Current
Actuals
Revised
Increase
Increase
Actuals Budget
12/31/2013
Budget
(Decrease)
(Decrease)
78,616 100,000
120,623
167,300
67,300
67.3
0.0
78,616` 100,000 120,623 167,300 67,300 67.3
(78,616) (100,000) (120,623) (167,300) (67,300) 67.3
0.0%
7"' Fiscal Year 2013 -2014 Midyear Budget Adjustments
R' City of Temecula
TFo Heart of So�tharn C !ifomia
�Nne Country
Summary of Revenues, Expenditures and Changes in Fund Balances
Larry Robinson Reward Fund
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues
18
66
66
66
0.0%
Total Expenditures
-
-
-
-
0.0%
Excess of Revenues Over (Under)
Expenditures
18
66
66
66
0.0%
Operating Transfers In:
From General Fund
25,000
0.0%
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
25,018
-
66
66
66
0.0%
Fund Balances, Beg. of Year
-
25,018
25,018
25,018
Fund Balances, End of Year
25,018
25,018
25,084
25,084
Affordable Housing
Fund
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues
558,246
462,262
2,399
463,986
1,724
0.4%
Total Expenditures
537,000
573,722
198,017
562,224
(11,498)
-2.0%
Excess of Revenues Over (Under)
Expenditures
21,246
(111,460)
(195,618)
(98,238)
13,222
-11.9%
Fund Balances, Beg. of Year
10,082,031
10,103,277
10,103,277
10,103,277
Fund Balances, End of Year
10,103,277
9,991,817
9,907,659
10,005,039
13,222
Detail of Fund Balance:
Nonspendable:
Land Held for Resale
4,400,388
4,400,388
4,400,388
4,400,388
-
0.0%
Notes and Loans
352,166
352,166
352,166
352,166
0.0%
Advances to Successor Agency
5,250,954
5,250,954
5,250,954
5,250,954
-
0,0%
Restricted For:
Community Development Projects
99,769
(11,691)
(95,849)
1,531
13,222
-113.1%
10,103,277
9,991,817
9,907,659
10,005,039
13,222
0.1%
as
Fiscal Year 2013 -2014 Midyear Budget Adjustments
C7"
}teem 4 5—th— CAi —;.
City of Temecula
Win¢ Country
Summary of Revenues, Expenditures and Changes in Fund Balances
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers Out:
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
Measure A Fund
2011 Financing Lease for 2001 & 2008 COPs
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
From General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers In and Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
2013 -14
Year to Date
2013 -14
Proposed
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
2,511,294
2,476,353
1,033,258
2,546,031
69,678
2.8
471,781
2,055,410
771,506
2,055,410
0.0
2,039,513
420,943
261,752
490,621
69,678
16.6
(1,667,801)
(6,053,652)
(3,500,000)
(6,053,652)
-
0.0
(5)
371,712
(5,632,709)
(3,238,248)
(5,563,031)
69,678
-1.2
5,755,992
6,127,704
6,127,704
6,127,704
6,127,704
494,995
2,889,456
564,673
2011 Financing Lease for 2001 & 2008 COPs
Total Revenues
Total Expenditures
Excess of Revenues Over (Under)
Expenditures
Operating Transfers In:
From General Fund
Excess of Revenues Over (Under)
Expenditures and Operating
Transfers In and Out
Fund Balances, Beg. of Year
Fund Balances, End of Year
2013 -14
Year to Date
2013 -14
Proposed
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
-
-
-
-
0.0
2,135,987
2,138,272
1,068,167
2,138,272
0.0%
(2,135,987)
(2,138,272)
(1,068,167)
(2,138,272)
0.0%
2,135,982
2,138,272
1,068,167
2,138,272
0.0%
(5)
-
-
-
0.0
..
l( /The Ho of S-tham California
W.. C� vy
Fiscal Year 2013 -2014 Midyear Budget Adjustments
Special Revenue Funds - Revenue Detail
City of Temecula
2013 -14 2013 -14
2012 -13 Current Year To Date Revised
130 RECOVERY ACT JAG FUND Actuals Budget 12/31/2013 Estimates $ CHANGE % CHANGE
-JAG Grant 4,292 - 0.00%
TOTAL RECOVERY ACT JAG FUND 4,292 0.00%
2013 -14 2013 -14
131 ENERGY EFFICIENCY CONSERVATION 2012 -13 Current Year To Date Revised
BLOCK GRANT FUND Actuals Budget 12/31/2013 Estimates $ CHANGE % CHANGE
- Grants 153,131 - 0.00%
TOTAL EECBG FUND 153,131 0.00%
145 TEMECULA ENERGY EFFICIENCY ASSET
TEAM FUND
2013 -14
2013 -14
Current
Budget
2013 -14
2013 -14
Revised
Estimates
$ CHANGE
2012 -13
2012 -13
Current
Year To Date
Revised
135 BUSINESS INCUBATOR RESOURCE
Actuals
100 GAS TAX FUND
Actuals
Budget
12/31/2013
Estimates
$ CHANGE % CHANGE
- Investment Interest
3,660
1,400
997
1,400
-
0.00%
-Gas Tax 2106
318,624
327,074
167,614
372,211
45,137
13.80%
-Gas Tax 2105
454,432
484,298
231,759
516,445
32,147
6.64%
-Gas Tax 2107
744,650
747,681
378,380
842,193
94,512
12.64%
-Gas Tax 2107.5
10,000
10,000
-
10,000
-
0.00%
-Gas Tax 2103
825,136
1,207,013
752,192
1,211,167
4,154
0.34%
TOTAL GAS TAX FUND
2,356,502
2,777,466
1,530,942
2,953,416
175,950
6.33%
2013 -14 2013 -14
2012 -13 Current Year To Date Revised
130 RECOVERY ACT JAG FUND Actuals Budget 12/31/2013 Estimates $ CHANGE % CHANGE
-JAG Grant 4,292 - 0.00%
TOTAL RECOVERY ACT JAG FUND 4,292 0.00%
2013 -14 2013 -14
131 ENERGY EFFICIENCY CONSERVATION 2012 -13 Current Year To Date Revised
BLOCK GRANT FUND Actuals Budget 12/31/2013 Estimates $ CHANGE % CHANGE
- Grants 153,131 - 0.00%
TOTAL EECBG FUND 153,131 0.00%
2013 -14 2013 -14
140 COMMUNITY DEVELOPMENT BLOCK 2012 -13 Current Year To Date Revised
GRANT FUND Actuals Budget 12/31/2013 Estimates $ CHANGE %CHANGE
munity Development Block Grant 443,066 1,920,484 383,579 1,899,392 (21,092) - 1.10%
TOTAL CDBG FUND 443,066 1,920,484 383,579 1,899,392 (21,092) - 1.10%
145 TEMECULA ENERGY EFFICIENCY ASSET
TEAM FUND
2013 -14
2013 -14
Current
Budget
2013 -14
2013 -14
Revised
Estimates
$ CHANGE
2012 -13
Current
Year To Date
Revised
135 BUSINESS INCUBATOR RESOURCE
Actuals
Budget
12/31/2013
Estimates
$ CHANGE %CHANGE
- Investment Interest
731
400
301
400
0.00%
-Rental Income
9,316
33,252
11,645
33,252
0.00%
- Operating Transfer In
150,000
-
-
-
0.00%
TOTAL BUSINESS INCUBATOR FUND
160,047
33,652
11,946
33,652
0.00%
2013 -14 2013 -14
140 COMMUNITY DEVELOPMENT BLOCK 2012 -13 Current Year To Date Revised
GRANT FUND Actuals Budget 12/31/2013 Estimates $ CHANGE %CHANGE
munity Development Block Grant 443,066 1,920,484 383,579 1,899,392 (21,092) - 1.10%
TOTAL CDBG FUND 443,066 1,920,484 383,579 1,899,392 (21,092) - 1.10%
145 TEMECULA ENERGY EFFICIENCY ASSET
TEAM FUND
2012 -13
Actuals
2013 -14
Current
Budget
Year To Date
12/31/2013
2013 -14
Revised
Estimates
$ CHANGE
% CHANGE
- Investment Interest
327
327
327
0.00%
-Rental Income
-
-
-
-
0.00%
- Reimbursements
119,729
-
11,335
11,335
11,335
0.00%
- Operating Transfers In
-
25,409
6,352
25,409
-
0.00%
TOTAL TEMECULA ENERGY EFFICIENCY
ASSET TEAM FUND
119,729
25,409
18,014
37,071
11,662
45.90%
Ak
Fiscal Year 2013 -2014 Midyear Budget Adjustments
Tho Hwrt of Southam CoGfomia
City of Temecula
w,na C-11,
Special Revenue Funds - Revenue Detail
2013 -14
2013 -14
2013 -14
2013 -14
2012 -13
Current
Year To Date
Revised
Year To Date
150 AB 2766 FUND Actuals
Budget
12/31/2013
Estimates
$ CHANGE % CHANGE
- AB2766 Revenues 124,197
124,807
31,745
124,807
0.00%
- Investment Interest 2,125
900
931
900
0.00%
TOTAL AB2766 FUND 126,322
125,707
32,676
125,707
0.00%
2013 -14
2013 -14
2013 -14
2013 -14
2013 -14
Current
2012 -13
Current
Year To Date
Revised
Current
160 LAW ENFORCEMENT FUND
Actuals
Budget
12/31/2013
Estimates
$ CHANGE % CHANGE
- Investment Interest
5
-
17
-
- 0.00%
- AB3229 (COPS)
78,611
100,000
120,606
167,300
67,300 67.30%
TOTAL LAW ENFORCEMENT FUND
78,616
100,000
120,623
167,300
67,300 67.30%
2013 -14
2013 -14
2013 -14
2013 -14
2013 -14
Current
Year To Date
Revised
Revised
2012 -13
Current
Year To Date
Revised
$ CHANGE % CHANGE
- Investment Interest 38,256
19,000
161 LARRY ROBINSON REWARD FUND
Actuals
Budget
12/31/2013
Estimates
$ CHANGE
% CHANGE
69,678 2.84%
- Investment Interest
18
1,033,258
66
66
66
0.00%
- Operating Transfer In
25,000
-
-
0.00%
TOTAL LARRY ROBINSON REWARD FUND
25,018
-
66
66
0.00%
2013 -14
2013 -14
2012 -13
Current
Year To Date
Revised
165 AFFORDABLE HOUSING FUND
Actuals
Budget
12/31/2013
Estimates
$ CHANGE
% CHANGE
- Residual Receipt Distribution
34,455
-
34,555
100
0.29%
- Property Tax Distribution
-
250,000
-
250,000
-
0.00%
- Investment Interest
8,285
-
275
275
275
0.00%
- Miscellaneous Non Taxable
116
-
111
111
111
0.00%
-Loan Interest
21,645
775
1,859
1,859
1,084
139.87%
- Rental Income
161,000
167,000
-
167,000
-
0.00%
- Reimbursements
1,000
-
-
-
-
0.00%
- Forgiveable Loan Repayment
106,168
154
154
154
0.00%
- Contributions Agency Trust
250,000
-
-
-
-
0.00%
- Monitoring Fees
10,032
10,032
-
10,032
-
0.00%
TOTAL AFFORDABLE HOUSING FUND
558,246
462,262
2,399
463,986
1,724
0.37%
2013 -14
2013 -14
2013 -14
2013 -14
2012 -13
Current
Year To Date
Revised
Revised
170 MEASURE A FUND Actuals
Budget
12/31/2013
Estimates
$ CHANGE % CHANGE
- Investment Interest 38,256
19,000
10,526
19,000
- 0.00%
- Measure A 2,473,038
2,457,353
1,022,732
2,527,031
69,678 2.84%
TOTAL MEASURE A FUND 2,511,294
2,476,353
1,033,258
2,546,031
69,678 2.81%
2013 -14
2013 -14
2012 -13
Current
Year To Date
Revised
395 2011 FINANCING LEASE 2001 & 2008 COPS Actuals
Budget
12/31/2013
Estimates $ CHANGE % CHANGE
- Operating Transfer In 2,135,982
2,138,272
1,068,167
2,138,272 0.00%
TOTAL FINANCING LEASE FUND 2,135,982
2,138,272
1,068,167
2,138,272 0.00%
Alk
JI]
IA
The Heart of Southern California
Wine Country
Exhibit C
City of Temecula
FY 2013 -14 Midyear Budget
Internal Services Funds
1
1
n
fl
Ak
R
Tha F!eart of S-h- California
Wine Country
Fiscal Year 2013 -2014 Midyear Budget Adjustments
City of Temecula
Summary of Revenues, Expenses, and Change in Net Position
Insurance Fund
Vehicles and Equipment Fund
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
2012 -13
Current
Actuals
Revised
Increase
Increase
Budget
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues
791,468
867,670
460,149
867,670
-
0.0%
Total Expenses
892,706
1,050,710
460,051
1,051,707
997
0.1%
Excess of Revenues Over (Under)
Expenses
16,688
15,045
8,342
15,045
0.0%
Expenses
(101,238)
(183,040)
98
(184,037)
(997)
0.5%
Net Position, Beg. of Year
730,324
629,086
629,086
629,086
Excess of Revenues and Operating
Net Position, Erxf of Year
629,086
446,046
629,184
445,049
82,944
15,045
Vehicles and Equipment Fund
2013 -14
Year to Date
2013 -14
Proposed %
2012 -13
Current
Actuals
Revised
Increase Increase
Actuals
Budget
12/31/2013
Budget
(Decrease) (Decrease)
Total Revenues
180,036
165,522
78,110
165,522
0.0%
Total Expenses
163,348
150,477
69,768
150,477
0.0%
Excess of Revenues Over (Under)
Expenses
16,688
15,045
8,342
15,045
0.0%
Operating Transfers In (Out):
Gas Tax Fund
66,256
-
-
0.0%
Excess of Revenues and Operating
Transfers Over (Under) Expenditures
82,944
15,045
8,342
15,045
and Operating Transfers In
Net Position, Beg. of Year
1,794,032
1,876,976
1,876,976
1,876,976
Net Position, End of Year
1,876,976
1,892,021
1,885,318
1,892,021
1
1
Ak
C7"
R
Thn Heart of Southern Cnlifornia
Wine Country
Fiscal Year 2013 -2014 Midyear Budget Adjustments
City of Temecula
Summary of Revenues, Expenses, and Change in Net Position
Information Technology Fund
Excess of Revenues Over (Under)
Expenses
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues 2,173,226
2,422,191
1,047,800
2,422,191
-
0.0%
Total Expenses 2,171,354
2,409,958
1,042,089
2,416,409
6,451
0.3%
Excess of Revenues Over (Under)
Expenses
1,872
12,233
5,711
5,782 (6,451) -52.7%
Operating Transfers In (Out):
%
2012 -13
Current
General Fund
500,000
Increase
Increase
- 0.0%
Excess of Revenues and Operating
Budget
12/31/2013
Budget
(Decrease)
Transfers Over (Under) Expenditures
501,872
12,233
5,711
5,782 (6,451)
and Operating Transfers In
-
0.0%
Total Expenses
314,816
Net Position, Beg. of Year
736,872
1,238,744
1,238,744
1,238,744
Net Position, End of Year
1,238,744
1,250,977
1,244,455
1,244,526
Central Services Fund
2013 -14
Year to Date
2013 -14
Proposed
%
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues
355,790
519,362
289,712
519,362
-
0.0%
Total Expenses
314,816
494,630
267,038
508,077
13,447
2.7%
Excess of Revenues Over (Under)
Expenses
40,974
24,732
22,674
11,285
(13,447)
- 54.4%
Net Position, Beg. of Year
370,044
411,018
411,018
411,018
Net Position, End of Year
411,018
435,750
433,692
422,303
C 7"' 4 Fiscal Year 2013 -2014 Midyear Budget Adjustments
Thn Hoar of Southern C.W—io
City of Temecula
W— Country
Summary of Revenues, Expenses, and Change in Net Position
Facilities Fund
Excess of Revenues Over (Under)
Expenses
Net Position, Beg. of Year
Net Position, End of Year
1
1
53,796 57,328 25,780 54,134 (3,194)
277,265 331,061 331,061 331,061
331,061 388,389 356,841 385,195
-5.6
2013 -14
Year to Date
2013 -14
Proposed
2012 -13
Current
Actuals
Revised
Increase
Increase
Actuals
Budget
12/31/2013
Budget
(Decrease)
(Decrease)
Total Revenues 1,245,669
1,355,454
608,939
1,355,454
-
0.0
Total Expenses 1,191,873
1,298,126
583,159
1,301,320
3,194
0.2%
Excess of Revenues Over (Under)
Expenses
Net Position, Beg. of Year
Net Position, End of Year
1
1
53,796 57,328 25,780 54,134 (3,194)
277,265 331,061 331,061 331,061
331,061 388,389 356,841 385,195
-5.6