HomeMy WebLinkAbout15-012 CC ResolutionRESOLUTION NO. 15 -12
' A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF TEMECULA AMENDING THE FISCAL YEAR 2014 -15
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 2014 -15 General Fund Annual Operating
Budget is hereby amended in accordance with the attached Exhibit A, General Fund
Fiscal Year 2014 -15 Mid -Year Budget.
Section 5. That the Fiscal Year 2014 -15 Special Revenue Funds Annual
Operating Budgets are hereby amended in accordance with the attached Exhibit B,
Special Revenue Funds Fiscal Year 2014 -15 Mid -Year Budget.
Section 6. That the Fiscal Year 2014 -15 Internal Services Funds Annual
Operating Budgets are hereby amended in accordance with the attached Exhibit C,
Internal Services Funds Fiscal Year 2014 -15 Mid -Year Budget.
Section 7. 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 February of, 2015.
Jett Comerchero, Mayor
ATTEST: /
4 —
Randi Johl - Olson, City Clerk
' [SEAL]
Resos 15 -12 1
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Randi Johl - Olson, City Clerk of the City of Temecula, do hereby certify that the
foregoing Resolution No. 15 -12 was duly and regularly adopted by the City Council of the
City of Temecula at a meeting thereof held on the 24th day of February, 2015, by the
following vote:
AYES: 5 COUNCIL MEMBERS: Edwards, Naggar, Rahn, Washington,
Comerchero
NOES: 0 COUNCIL MEMBERS: None
ABSTAIN: 0 COUNCIL MEMBERS: None
ABSENT: 0 COUNCIL MEMBERS: None
Randi Johl- Olson, City Clerk
Resos 15 -12 2
I
41.1
Exhibit A
General Fund
FY2014 -15 Mid -Year Budget
1
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/ GzL/R 1�i- e
Fund: OO1 GENERAL FUND
City of Temecula
Fiscal Year 2014 -IS
Mid -Year Adjustments
2014 -15 Year to Date 2014 -15 Proposed
2013 -14 Current Actuals Revised Increase % Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Prior Year Contractual Obligations - - - 163,295 163,295 0.00%
Revenues by Category
Taxes and Franchises
43,720,821
43,971,048
16,482,751
46,707,131
2,736,083
6.22%
Licenses, Permits and Service Charges
4,768,425
4,794,625
1,780,320
4,920,155
125,530
2.62%
Fines and Forfeitures
849,030
967,702
298,214
761,641
(206,061)
- 21.29%
Use of Money and Property
78,288
144,717
(23,705)
67,899
(76,818)
- 53.08%
Intergovernmental Revenues
6,339,505
6,560,736
43,558
6,769,185
208,449
3.18%
Reimbursements
2,709,611
2,412,653
1,01017,238
2,455,231
42,578
1.76%
Operating Transfers In
3,042,842
2,973,923
1,428,457
3,185,353
211,430
7.11%
Miscellaneous Revenue
153,362
152,505
166,363
168,962
16,457
10.79%
Total Operating Revenues
61,661,884
61,977,909
21,183,196
65,198,852
3,220,943
5.20%
Expenditures by Department
City council
Community Support
City Manager
Economic Development
City Clerk
City Attorney
Finance
Human Resources
Planning
Building & Safety
Land Development
Public Works
CIP Admin
Parks Maintenance
Police
Fire
Animal Control
Non Departmental:
Property Tax Admin
Recreation Funding
Retiree Medical Contribution
PERS Replacement Benefit
2011 Financing Lease - 2001 & 2008 COPs
Pavement Management Program
Total Operating Expenditures
Excess of Revenues Over (Under) Expenditures
459,612
448,151
209,103
452,410
4,259
0.95%
92,123
101,000
57,435
101,000
-
0.00%
1,470,546
1,187,853
546,789
1,199,604
11,751
0.99%
1,031,267
1,028,248
535,612
1,073,452
45,104
4.40%
942,037
1,118,125
443,975
1,121,597
3,472
0.31%
476,695
741,300
370,651
741,300
-
0.00%
2,159,545
2,338,285
1,015,568
2,295,237
(43,048)
-1.84%
491,084
706,375
330,808
748,743
42,368
6.00%
2,004,646
2,002,839
920,545
2,018,552
15,713
0.78%
1,750,027
2,340,467
1,060,532
2,416,946
76,479
3.27%
1,157,167
1,295,963
624,429
1,400,261
104,298
8.05%
4,455,184
5,273,774
1,992,042
5,214,815
(58,959)
-1.12%
2,143,611
2,150,153
983,404
2,116,445
(33,708)
-1.57%
3,700,236
3,747,648
1,772,984
3,742,322
(5,326)
-0.14%
22,604,887
23,881,338
11,906,013
23,887,777
6,439
0.03%
5,042,325
5,169,589
2,527,011
5,460,132
290,543
5.62%
476,022
464,491
319,205
464,491
-
0.00%
65,408
72,422
4,638
76,722
4,300
5.94%
5,024,843
5,094,696
2,530,101
5,256,456
161,760
3.18%
494,032
488,207
196,936
488,207
-
0.D0%
-
60,000
60,841
60,850
850
1.42%
2,137,867
2,137,672
1,068,421
2,137,672
-
0.00%
-
-
1,500,000
1,500,000
0.00%
58,179,164
61, 848,596
29.477,043
63,974,991
2,126,395
3.29%
3,482,720
129,313
(8,293,847)
1,223,861
1,257,843
846.43%
Fund DePolptim
The General Fund is the main operating fund for the City of Temecula. It is used to account for all financial resources for the City that are not restricted
to a special purpose and otherwise required to be accounted for in another fund. The General fund provides the resources necessary to sustain the day.
to -day activitles and pays for all administrative and operating expenditures.
R \A,-E Man ;n \1015...n, \02 -24 -15 \Mid -Year BuJrtt \nyinal Jo,54mla[emml Summane5 Gr du
'
1 Q
�fk- EfitL/6f
Fund: 001 GENERAL FUND
Description
2013 -14
Accosts
2014 -IS
Current
Budget
year to Date
Actuals
12131(2014
2014 -IS
Revised
Budget
City Temecula
Fiscal Year 2014 -15
Mid-Year Adjustments
Proposed
Increase % Increase
(Decrease) (Decrease)
Fund Balance, Beginning of Year
27,621,750
25,301,101
25,301,101
25,301,101
-
0.00%
Excess of Revenues Over )Under) Expenditures
3,482,720
129,313
(8,293,847)
1,223,861
1,094,548
846.43%
Operating Transfers Out / One Time Payments
Mercedes Benz Fee Reimbursement
(231,008)
-
-
-
-
0.00%
T.E.E.M. Fund
(25,409)
-
-
-
0.00%
Pavement Management Program
(1,919,842)
-
-
-
-
0.00%
OF Fire Facilities
-
(817,400)
-
(817,400)
-
0.00%
City and Parks Facility Rehabilitation
(750,000)
(220,000)
(220,000)
(220,000)
-
0.00%
Theater Remediation
(2,084,175)
(203,621)
(203,621)
(203,621)
-
0.00%
Capital Improvement Fund
(779,270)
(646,281)
(646,281)
(846,281)
(200,000)
30.95%
Intern Fellowship Program Fund
(13,665)
(12,000)
(6,000)
(12,0001
-
0.00%
Affordable Mousing Fund
-
(23,307)
(16,704)
(23,307)
-
0.00%
Business Incubator Fund
(39,693)
(19,847)
(45,876)
(6,183)
15.58%
Total Transfers Out One Time Payments
(5,803,369)
(1,962,302)
(1,112,453)
(2,168,485)
(206,183)
10.51%
Fund Balance, End of Year
25.301.101
23,468,112
15,894,801
24,356,477
888,365
3.79%
Dirtall of Fund Balance
'
Nonspendable:
Inventory
3,058
3,058
3,058
3,058
0.00%
Prepaid Costs
1,325
1,325
1,325
-
0.00%
Deposits
72,583
-
-
-
-
0.00%
Committed To:
-
0.00%
Contractual Obligations
306,074
-
-
-
-
0.00%
Economic Uncertainty Reserve (20%)
11,635,833
12,369,719
5,895,409
12,794,998
425,279
3.44%
Secondary Reserve (5 %)
2,908,958
3,092,430
1,473,852
3,198,750
106,320
3.44%
Assigned To:
-
0.00%
Capital Projects
1,529,270
306,350
306,350
526,648
220,298
71.91%
Pavement Management
1,919,842
3,780,394
3,780,394
2,009,685
(1,770,709)
- 46.84%
Theater Reconstruction
2,084,175
-
-
-
-
0.00%
City and Park Facilities Improvements
750,000
700,000
700,000
470,000
(230,000)
- 32.86%
Unrealized Gains
75,840
75,840
14,440
14,440
(61,400)
- 80.96%
Unassigned:
4,015,468
3,138,996
3,719,973
5,337,574
2,198,577
70.04%
25,301,101
23,468,112
15,894,801
24,356,477
888,365
3.79%
e'. \MMd, Menace, \3015 ~,,1 \0] -2<. 15 \Mid 1.r euEgR \weeny EOa \replxement_SUmmam G k.
1 �
Exhibit B
Special Revenue Funds
FY2014 -15 Mid -Year Budget
l of Temecula
3 -Year Year 2024-IS
meats
Mid -Year Adjustments
Fund: 100 GAS TAX FUND
2014.1s Year to Date 2014 -15 prolected
2013 -14 Current Actuats Revised Imm" %Increase
Description Actuals Budget 12/32/2014 Budget (Decrease) Decrease
Revenues by Source
Tax" and Franchim
Gas Tax
Use of Money and property
Investment Interest
Total Revenues and Other Sources
Expenditures by Category
Operabng Transfers Out - General Fund
Total Expenditures and Other Financing Um
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
3,267,123 2,629,973 1,481,107 3,018,354 388,381 14.77%
1,533 1,000 1,154 1,000 0.00%
3,26g,656 2,630,973 1,482,261 3,019,354 388,381 14.76%
2,777,466 2,806,923 1,403,462 3,018,353 211,430 7.53%
2,777,466 2,806,923 1,403,462 3,018,353 211,430 7.53%
491,190 (175,950( 78,799 1,001 176,951 - 100.57%
491,190 491,190 491,190 000%
491,190 315,240 569,989 492,191 176,951 56.13%
Fred Deact"on
This fund was established to account for the tax per gallon on the purchase of motor vehicle fuel imposed by the State of California. A portion is allocated
to the City of Temecula as specified in the Caldomia Streets and Highways Code (SRC) (Sections 2013, 2105, 2107 and 2107.5). Gas Tax monies are
restricted to the repair, maintenance and upkeep of City streets and roads, and the purchase of equipment used to maintain roads.
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1
Fund: 135 BUSINESS INCUBATOR RESOURCE FUND
Description
Revenues by Source
Use of Money and Property
Investment Interest
Rental Income
Operating Tmnsfm In
General Fund
Total Revenues and other Sources
Expenditures by Category
Operations and Maintenance
Total Expenditures and other Financing Uses
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
Fund Description
This fund was established to account for all activity at the City of Temecula Entrepreneur's Exchange Business Incubator (TVE2). The Business Incubator
offers affordable, flexible and scalable space for startup businesses to network, collaborate and grow their business .
aV d. M,n,ne.\ 1015MR i. nnf\ e2- 2x -I5W.d vex, 6UdW \— g...1 tlo[s\I SRI 1--l.
2014 -15
Year to Date
2014 -15
Projected
2013 -14
Current
Actuals
Revised
Increase
% Increase
Actuais
Budget
12/31/2014
Budget
(Decrease)
(Decrease)
461
300
82
300
-
0.00%
23,794
29,325
13,583
29,325
-
0.00%
39,693
19,847
45,876
6,183
15.58%
24,25S
69,318
33,512
7s,so1
6,123
8.92%
106,793
116,532
50,149
116,532
0.00%
106,793
126,S32
50,149
116,532
0.00%
(82,538)
(47,214)
(16,637)
(41,031)
6,183
- 13.10%
123,569
41,031
41,031
41,031
0.00%
41,031
(6.183)
24,394
-
6,183
- 100.00%
Fund Description
This fund was established to account for all activity at the City of Temecula Entrepreneur's Exchange Business Incubator (TVE2). The Business Incubator
offers affordable, flexible and scalable space for startup businesses to network, collaborate and grow their business .
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! -1
City Temecula
Fiscal Year 201415
Mid -Year Adjustments
Fund: 140 COMMUNITY DEVELOPMENT BLOCK GRANT [CDBG) FUND
2014 -15 Year to Date 2014-15 Projected
2013 -14 Current Actuals Revised Increase %Increase
ActW14 Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Intergovernmental Revenues
Community Development Block Grant 1,357,540 866,134 58,357 866,134 0.009E
Total Ravarlslas and Other Sources 1,357,540 866,134 58,357 866,134 0.00%
Expenditures by Category
Personnel
92,696
107,437
52,645
109,149 1,712
1.59%
Operations and Maintenance
71,140
123,665
5,712
123,665 -
0.00%
Operating Transfers Out - CIP
1,193,704
635,032
633,320 (1,712)
-0.27%
Total Expenditures and Other Financing Uses
1,357,540
866,134
58,357
866,134
0.00%
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
0.00%
0.00%
0.00%
Fund Description
This fund was established to account for grants received from the U.S. Department of Housing and Urban Development (HUD). The grants are used for the
redevelopment of a viable community by providing decent housing, a suitable living environment, and for expanding opportunities, principally for persons
of low and moderate Income.
R.Wenda M• MerV015 MW,nas \03 -24.15 \Mal Yxar Wdrn \Or,i Opts\$ SRF Summans iu
Temecula
Fiscal cal Year 201415
Mid -Year Adjustments
Fund: 14S TEMECULA ENERGY EFFICIENCY ASSET MANAGEMENT (TEEM) FUND
201415 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Use of Money and Property
Investment Interest 705 400 351 400 - 0.00%
Reimbursements
Energy Efficiency Rebates 19,322 29,600 7,531 29,600 - DD0%
Operating Transfers In
General Fund 25,409 0.00%
Total Revenues and Other Sources 45,436 30,000 7,882 30,000 0.00%
Expenditures by Category
Operations and Maintenance 0.00%
Total Expenditures and Othw Financing Uses 0.00%
Excess of Revenues Over (Under) Expenditures 45,436 30,000 7,882 30,000 - 0.00%
Fund Balance, Beginning of Year 119,729 165,165 165,165 165,165 0.00%
Fund Balance, End of Year 165,165 195,165 173,047 195,165 0.00%
' Fund wa dps
This funund d was established to capture energy efficiency rebates and reimbursements as well as expenditure savings resulting from energy efficiency projects
completed at various City facilities. Revenue collected in this fund will be utilized on future energy efficiency projects.
N.yamda M.n,rw \2015 M..Ings \02 - 34.15\M+ Yea, 6udgw \wewa1 d s \2 sxF 5wnmannA,
' F Temecula
F Fiscal tal Year 201415
Mid -Year Adjustments
Fund: 150 All 2766 MOTOR VEHICLE SUBVENTION FUND
2014.15 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Imergovemmentsl Revenues
AB2766 Motor Vehicle Subvention Revenues 128,125 129.449 33,199 129,449 - 0.00%
Use of Money and Property
Investment Interest 1,747 1,000 951 1,000 0900%
Total Revenues and Other Sources 129,872 130,449 34,150 230,449 1100%
Expenditures by Category
Operations and Maintenance 33,519 37,049 19,304 37,049 - 0.00%
Operating Transfers Out - CIP 556,231 556,231 0400%
Total Expenditurn and Other Financing Uses 33,519 593,280 19,304 593,280 0.00%
Excess of Revenues Over (Under) Expenditures 96,353 (462,831) 14,846 (462,831) - 0.00%
Fund Balance, Beginning of Year 366,478 462,831 462,831 462,831 0.00%
Fund Balance, End of Year 462,831 477,677 0.00%
Fund Clnctiption
' This fund was established to account for State funds that are used to implement programs and projects that reduce air pollution from motor vehicles. This
fund is used for Capital projects and to account for operational costs such as the natural gas operated Harveston Trolley, which provides free transportation
within the Temecula business district
R. Wendt MenwerV01S~sno \ @3HS \MMYar Budpnonevul 4 WSRF Summon —lu
1 � City of Temecula
Fiscal Year 2014 -1S
R Mid -Year Adjustments
Fund: 160 SUPPLEMENTAL LAW ENFORCEMENT SERVICES (SLESF) FUND
2014 -15 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase % Increase
Description Actual, Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Intergovernmental Revenues
SLESF Grant Revenue
Use of Money and Property
Investment Interest
Total Revenues and Other Sources
265,337 167,000 25,000 167,000
39 11
265,376 167,000 25,011 167,000
s gr6.
0.00%
0.00%
Expenditures by Category
Operating Transfers Out - General Fund 165,116 167,000 24,995 167,000 0.00%
Total Expenditures and Other Financing Uses 265,376 167,008 21,995 167,000 0.00%
Excess of Revenues Oyer (Under) Expenditures - - 16 - - 0.00%
Fund Balance, Beginning of Year 0.00%
Fund Balance, End of year 16 0.00%
Fund D*Krtption
This fund was established to account for the Supplemental Law Enforcement Services grant monies from the State of California which are provided to assist
' Cities in delivering front line law enforcement services. These monies supplement existing services and may not be used to supplant any existing funding
for law enforcement services provided by the City.
r—�
x VMa�.da Manage, \2 %5 I5uaa�I— Bud,,.bn Pnal Jar \2 1R Summ nu
Revenues by Source
Operating Transfers In
General Fund
Use of Money and Property
Investment Interest
Total Revenues and Outer Sources
Expenditures by Category
Operations and Maintenance
Total Expenditures and Other Financing Uses
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
0.00%
127 g0 54 e0 0.00%
127 80 54 80 0.00%
127 80 54 80
0.00%
0.00%
0.00%
25,018 25,145 25,145 25,145 DOD%
25,145 25,225 25,199 25,225 0.00%
Fund Description
'This fund was established to account for a reward for information that leads to the capture and conviction of the person(s) responsible for the murder of
Larry Robinson. The General Fund contributed $25,000 and the public can also contribute to this fund. Once the reward is due to be paid, an appropriation
will be made for the original $25,000 as well as any contributions made up to that time. This fund is to remain open until such time as the reward is paid
out or until March 22, 2018. If no person has been apprehended or charged with causing the death of Larry Robinson by March 22, 2018, all monies in the
Fund will be returned with interest allocated to each contribution based on earning of City pooled investments, to the respective donors. Any undisbursed
balance will be deposited in the City's General Fund for law enforcement or public safety purposes designated by the City Council. If one or more persons
have been apprehended and charged but not yet convicted by March 22, 2018, the Fund will be retained until dial of the persons) charged has been
completed. If a conviction is not obtained, disbursements will be made as outlined above.
P'.IArenda ManMe.tzms MWuna%\02.2a15\Mle vex.9 daet \wexul kirss2 seF Wirm—lu
City e Temecula
Fiscal Year Temecula
1
. A
Mid -Year Adjustments
Fund: 161 LARRY ROBINSON REWARD FUND
2014 -15 Year to Date
2014 -15
Projected
2013 -14
Current Actuals
Revised
Increase % Increase
Description Actuals
Budget 12/31/2014
Budget
(Decrease) (Decrease)
Revenues by Source
Operating Transfers In
General Fund
Use of Money and Property
Investment Interest
Total Revenues and Outer Sources
Expenditures by Category
Operations and Maintenance
Total Expenditures and Other Financing Uses
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
0.00%
127 g0 54 e0 0.00%
127 80 54 80 0.00%
127 80 54 80
0.00%
0.00%
0.00%
25,018 25,145 25,145 25,145 DOD%
25,145 25,225 25,199 25,225 0.00%
Fund Description
'This fund was established to account for a reward for information that leads to the capture and conviction of the person(s) responsible for the murder of
Larry Robinson. The General Fund contributed $25,000 and the public can also contribute to this fund. Once the reward is due to be paid, an appropriation
will be made for the original $25,000 as well as any contributions made up to that time. This fund is to remain open until such time as the reward is paid
out or until March 22, 2018. If no person has been apprehended or charged with causing the death of Larry Robinson by March 22, 2018, all monies in the
Fund will be returned with interest allocated to each contribution based on earning of City pooled investments, to the respective donors. Any undisbursed
balance will be deposited in the City's General Fund for law enforcement or public safety purposes designated by the City Council. If one or more persons
have been apprehended and charged but not yet convicted by March 22, 2018, the Fund will be retained until dial of the persons) charged has been
completed. If a conviction is not obtained, disbursements will be made as outlined above.
P'.IArenda ManMe.tzms MWuna%\02.2a15\Mle vex.9 daet \wexul kirss2 seF Wirm—lu
1iy City of Temecula
' - Real Year 2014.15
/. -_. Mid -Year Adjustments
Fund: 16S AFFORDABLE HOUSING FUND
2014 -15 Year to Date 2014 -15 Projected
2013 -14 Currem Actuate Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
i
Revenues by Source
Llnnses, Permits and Service Charges
Monitoring Fees
Use of Money and Property
Residual Receipt Distributor,
Investment Interest
Loan Interest
Rental Income
Forgivable Loan Repayment
Irdergovemmemal Revenues
Agency Trust Contributions
Reimbursements
Miscellaneous Non Taxable
Operating Transfers In
General Fund
Toni Revenues and Other sources
Expenditures by Category
Personnel
Operations and Maintenance
Total Expenditures and Other Financing Uses
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
D4tall of Fund Balance
Nonspendable:
10,032
10,032
-
10,032
-
O.DD%
53,481
17,579
-
17,579
-
O.DD%
571
60
247
60
-
0.00%
2,559
5,434
1,161
5,434
-
0.00%
141,351
173,000
-
173,000
-
0.00%
40,455
-
650
-
-
0.00%
250,000
250,000
-
250,000
-
0.00%
111
-
182
-
-
0.00%
23,307
16,704
23,307
0.00%
498,560
479,412
18,944
479,412
0.00%
316,510
280,056
130,521
284,687
4,631
1.65%
126,471
255,670
52,574
256,677
1,007
0.39%
442,981
535,726
183,095
541,364
5,638
1.05%
55,579
(56,314)
(164,151)
(61,952)
(5,638)
10.01%
10,103,277
10,158,856
10,158,856
10,158,856
0.00%
10,158,856
10,102,542
9,994,705
10,096,904
(5,638)
-0.06%
Land Held for Resale
4,400,388
4,400,388
4,400,388
4,400,388
- 0.00%
Notes and Loans
345 ,818
345,818
345,818
345,818
- 0.00%
Advances to Successor Agency
5,250,954
5,250,954
5,250,954
5,250,954
- 0.00%
Restricted For:
Community Development Projects
161,696
105,382
(2,455)
99,7x4
(5,638) -535%
10,158,856
10,102,542
9,994,705
10,096,904
(5,638) -0.06%
Fund Description
The Affordable Housing fund contains the assets as well as loan and rental income which have been transferred to the City of Temecula from the former
Redevelopment Agency.
R'.Ur ds ManaerV015M-ngs \o$- 24- I5\MM- VNI BuOrynu,ruul d %V SRF Summu, Ju
City of Temecula
- I Flsol Year 201415
/C/o, t, it Mid -Year Adjustments
Fund: 170 MEASURE A FUND
Fund Balance, Beginning of year 6,127,704 4,492,914 4,492,914 4,492,914 0.00%
Fund Balance, End of Year 4,492,914 632,827 4,149,305 718,165 85,338 13.49%
Fund Description
This fund was established to account for the City's allocation of the County of Riversides additional one -half percent sales tax for transportation. These
monies are restricted for use on local streets. In 2002, Measure A was extended by Riverside County voters. Measure A will continue to fund transportation
improvements through 2039.
aW{ da MwMw \201S Mtmp \02 24ISNM,d -Ym Wdp \onnml don \2 SRI Sunmv im
201415
Year to Date
201415
Projected
2013 -14
Current
Actuab
Revised
Increase
%Increase
Description
Actuals
Budget
12/31/2014
Budget
(Decrease)
Moonrise)
Revenues by Source
Use of Money and Property
Investment Interest
17,232
8,000
8,826
8,000
-
0.00%
Intergovernmental Revenues
Measure A Revenue
2,565,083
2,651,435
922,988
2,736,773
85,338
3.22%
Total Revenues and Other Sources
2,582,315
2,659,435
931,814
2,744,773
85,338
3.21%
Expenditures by Category
Operations and Maintenance
1,015,343
2,502,000
1,275,423
2,502,000
-
0.00%
Operating Transfers Out - CIP
3,201,762
4,017,522
4,017,522
0.00%
Total Expenditures and Other Financing Uses
4,217,105
6,519,522
1,275,423
6,519,522
0.00%
Excess of Revenues Over (Under) Expenditures
(1,634,790)
(3,860,087)
(343,609)
(3,774,749)
85,338
-2.21%
Fund Balance, Beginning of year 6,127,704 4,492,914 4,492,914 4,492,914 0.00%
Fund Balance, End of Year 4,492,914 632,827 4,149,305 718,165 85,338 13.49%
Fund Description
This fund was established to account for the City's allocation of the County of Riversides additional one -half percent sales tax for transportation. These
monies are restricted for use on local streets. In 2002, Measure A was extended by Riverside County voters. Measure A will continue to fund transportation
improvements through 2039.
aW{ da MwMw \201S Mtmp \02 24ISNM,d -Ym Wdp \onnml don \2 SRI Sunmv im
'
1
1,068,421
Fund: 395 2011 FINANCING LEASE 2001 & 2008 COPS
0.00%
2013 -14
2,137,672
Descdntion Actuals
Revenues by Source
Operadng Tra We In
General Fund
Taal Revenues and Other Sourm
Expenditures by Category
Debt Service Interest
Debt Service Principal
Total Expendilum and Ottw Financing Um
E.cess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
201415 Year to Date 2014 -IS Projected
Current Actuals Revised Increase %Increase
Budget 12/31/2014 Budget (Decrease) (Decrease)
2,137,866
2,137,672
1,068,421
2,137,672
0.00%
2,137,866
2,137,672
1,068,421
2,137,672
0.00%
938,866
893,672
452,421
693,67
- 0.00%
1,199,000
1,244,000
616,000
1,244,000
0.00%
2, 137 ,866
2,137,672
1,068,421
2,137,672
- 0.00%
0.00%
0.00%
D.00%
Fund Description
This fund was established to account for the payment of Interest and principal of the refunding of the 2001 and 2008 Certificates of Participation (COPs).
The 2001 COPS were originally issued to finance the construction of the Community Recreation Center and the 2008 COPS were originally issued to finance
the construction of the Civic Center.
I . Vane. Manare.VOls MeH \e]]. -lluaY Yea, e ,V snr summw�es av
Exhibit C
Internal Service Funds
FY2014 -15 Mid -Year Budget
R
Fund: 300 INSURANCE FUND
Revenues by Source
Licenses, Permits and Service Charges
Charges For Services
Use of Matey and Property
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
2014 -15 Year to Date 2014 -IS Projected
2013 -14 Current Actuals Revised Increase %Increase
Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
883,428 961,513 577,272 963,361 1,848 019%
Investment Interest 2,337 1,800 (60) 1,800 0.00%
Total Revenues and Other Sources 885 ,765 963,313 577,212 965,161 1,848 0.19%
Expenses by Category
Personnel
217,628
112,554
57,946 114,403
1,849 1.64%
Operations and Maintenance
1,090,486
860,922
465,237 1,030,365
169,443 19.68%
Total Expenses and Other Financing Uses
1,308,114
973,476
523,183 1,141,768
171,292 17.60%
Excess of Revenues Over (Under) Expenses
Net Position, Beginning of Year
Net Position, End of Year
(422,349) (10,163) 54,029 (179,607) (169,444) 1667.26%
629,085 206,736 206,736 206,736 0.00%
206,736 196,573 260,765 27,129 169,444) - 86.20%
' Fund Insurance Fu
The Insurance Fund was established to account for the City's liability and property insurance costs. Fund Balance is a combination of both
spendable and non spendable assets. These costs are allocated to each department based on the total number of Full Time Equivalent positions
assigned to those departments. The City has a Self4nsured Retention (SIR) of $150,000 per incident, and strives to maintain a fund balance equal to
two times the SIR.
R\FrenEa 10 4e, \2015 MminR\ 022415 \M,d Yea, eudrel \-gina dxs \3 Summwm_ISFS tls,
' t City of Temecula
Fiscal Adjustments
Mid -Year Adjustments
Fund: 305 WORKERS' COMPENSATION FUND
2014 -15 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Licenses, Permits and Service Charges
Charges for Services
Use of Money and Property
Investment Interest
Total Revenues and Other Sources
Expenses by Category
Operations and Maintenance
Total Expenses and Other Financing Uses
Excess of Revenues Over (Under) Expenses
274,402 522,554 274,402
0.00%
558 558 558 0.00%
274,402 $23,112 274,960 558 0.20%
7,500 503 17,500 10,000 133.33%
7,500 S03 171500 10,000 133.33%
266,902 522,609 257,460 (9,442) 0.00%
Net Position, Beginning of Year 0.00%
Net Position, End of Year - 266,902 522,609 257,460 l 0.00%
Fund Description
The Workers' Compensation Fund was established in Fiscal Year 2014 -15 as the City transitions to a self- insured status for Workers' Compensation
liabilities. Departments are charged based on each position allocated on a Full Time Equivalent basis, with a cost assigned to each position based
on job duties and potential for risk.
fymda Munarer \2015 Ma inp \0234.15 \Mid -Year audWNn final day \3 Summn —Bra flu
City of Temecula
' d , Fiscal Year 2014 -15
Mid -Year Adjustments
Fund: 310 VEHICLES AND EQUIPMENT FUND
2014 -15 Year to Date 2014 45 Projected
2013 -14 Current Actwls Revised Increase %Increase
Description Actwls Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Licenses, Permits and Service Charges
Charges for Services 140,701 177,187 75,608 177,187 - 0.00%
Use of Money and Property
Investment Interest 9,744 4,000 2,978 4,000 0.00%
Total Revenues and Other Sources 150,MS 181,187 78,586 181,187 0.00%
Expenses by Category
Operations and Maintenance
133,811
164,715
35,869
164,715
0.00%
Total Expenses and Other Financing Usas
133,811
164,715
35,869
164,715
0.00%
Excess of Revenues Over (Under) Expenses
16,634
16,472
42,717
16,472
- 0.00%
Net Position, Beginning of Year
1,876,976
1,893,610
1,893,610
1,893,610
0.00%
Net Position, End of Year
1,893,610
1,910,082
1,936,327
1,910,082
0.00%
Detail of Fund Balance
Nonspendabie:
Vehicles and Equipment
Spendable:
Vehicle and Equipment Purchases
Fund Description
518,002 384,370 410,615 384,370
1,375,608 1,525,712 1,525,712 1,525,712 0.00%
1,893,610 1,910,082 1,936,327 1,910,082 0.00%
The Vehicles and Equipment Fund was established to account for the depreciation of vehicles and capital equipment over their estimated useful
lives, and to accumulate resources for the purchase of future replacement vehicles and equipment. Fund Balance is a combination of both
spendable and non spendable assets. Departments are charged based on their percentage of assigned vehicles that carry a depreciable value.
R.\/4mda.r,.r \Hn5 C i \3 SummYi6 ISrS du
t
1
Fund: 320 INFORMATION TECHNOLOGY FUND
Revenues by Source
LicerSses, Permits and Service Charges
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
2014 -15 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase % Increase
Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Charges for Services
2,463,521
2,366,602 1,811,487 2,398,339 31,737
1.34%
Use of Money and Property
31,737
2.16%
Operations and Maintenance
Investment Interest
2,202
1,500 982 1,500 -
0.00%
Operating Transfers In
0.00%
Operating Transfer Out - Technology Replacement
General Fund
677,962
1,226,510
0.00%
Total Revenues and Other Sources
2,465,723
2,368,102 1,812,469 2,399,839 31,737
1.34%
Expenses by Category
Personnel
1,275,935
1,471,808
669,602
1,503,545
31,737
2.16%
Operations and Maintenance
1,175,674
922,643
455,405
922,643
-
0.00%
Operating Transfer Out - Technology Replacement
1,250,020
677,962
1,226,510
(23,510)
-1.88%
Total Expenses and Other Financing Uses
2,451,609
3,644,471
1,802,969
3,652,698
8,227
0.13%
Excess of Revenues Over (Under) Expenses
Net Position, Beginning of Year
Net Position, End of Year
14,114 (1,276,369) 9,500 (1,252,859) 23,510 -1.84%
1,238,745 1,252,859 1,252,859 1,252,859 0.00%
1,252,859 (23,510) 1,262,359 - 23,510 - 100.00%
Fund wunption
The Information Technology Fund was established to fund and account for computer and telephone system operating and maintenance expenses.
It is also used to depreciate all related computer and telephone equipment over their useful lives. Fund Balance is a combination of both spendable
and non spendable assets. Departments are charged based on the number of workstations assigned. The Temecula Public Library facility is charged
directly for all IT expenditures and personnel costs related to the facility.
R'.\q—& M-,. \2015 MMlnn \01 2415 \M d-liur ckxA3 Summnn Isridv
Fund: 325 TECHNOLOGY REPLACEMENT FUND
Revenues by Source
Ucemes, Permits and service Charges
Charges for Services
Operating Transfer In
Information Technology Fund
Use of Money and Property
Investment Interest
Total Revenues and Other Sources
Expenses by Category
Operations and Maintenance
Total Expenses and Other Financing Uses
Excess of Revenues Over (Under) Expenses
Qty of Temecula
Fiscal Year 201415
Mid -Year Adjustments
2014 -15 Year to Date 2014 -15 Projected
2013 -14 Current Actuals Revised Increase %Increase
Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
138,100 156,550 138,100 - 0.00%
1,250,020 61 1,226,510 (23,510) 0.00%
101 101 101 0.00%
- 1,388,120 834,613 1,364,711 (23,409) OA10%
138,905 68,982 138,905 0.00%
138,905 68,982 138,905 0.00%
1,249,215 765,631 1,225,806 (23,409) 0.00%
Net Position, Beginning of Year 0.00%
Net Position, End of Year 1,249,215 765,631 1,225,806
.13.40.9L 0.00%
Fund Description
The Technology Replacement Fund was established in Fiscal Year 2014 -15 in order to accumulate resources for computer and telephone equipment
and software to fund future equipment replacement. Fund Balance is a combination of both spendable and non spendable assets. Contributions to
this fund are made by departments utilizing the assets in an amount equivalent to the estimated cost to replace the item at the end of its useful
life.
R.Va da Manarer \2015 Mae1mrs \02- H- 15 \Mi6Yea, 0udgega,ryml E c% \35ummmm ISFS xiu
1-1
Fund: 330 SUPPORT SERVICES FUND
Revenues by Source
Licemes, Permits and Service Charges
Charges for Services
Use of Money and Property
City of Temecula
Fiscal Year 2014 -15
Mid -Yeer Adjustments
2014 -15 Year to Dale 2014 -15 Projected
201114 Current Actuals Revised Increase % Increase
Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
570,572 530,230 239,183 555,905 25,675 4.84%
Investment Interest 1,872 1,100 984 1,100 0.00%
Total Revenues and Other Sources 572,444 531,330 240,167 SS7,ODS 25,675 4.83%
Expenses by Category
Personnel 365,366
322,392
153,167
348,067 25,675 7.96%
Operations and Maintenance 179,838
183,636
61,914
183,636 0.00%
Total Expemaf and Other Financing Uses 545,204
506,028
215,081
531,703 25,675 5.07%
Excess of Revenues Over (Under) Expenses
Net Position, Beginning of Year
Net Position, End of Year
fund Description
27,240 25,302 25,086 25,302
0.00%
411,018 438,258 438,258 438,258 0.00%
438,258 463,560 463,344 463,560 0.00%
The Support Services Fund was established as a cost center for the City's central receptionist, duplicating, printing, and mailing activities. It is also
used to depreciate all related copying and mailing equipment over their useful lives, and to accumulate resources for the purchase of future
equipment. Fund Balance is a combination of both spendable and non spendable assets. Departments are charged based on a count of copies
made in the previous fiscal year.
NV-cu.a,,, \2015 Me ,, \0214.15W Ole., flocs \3wmm >iH Isfs.xkv
r/T. /%
Fund: 340 FACILITIES FUND
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
20144S Year to Date 2014 -15 Projected
2013-14 Current Actwls Revised Increase %Increase
Actwls Budget 12/31/2014 Budget (Decrease) Decrease
Revenues by Source
Ucerues, Permits and service Charges
Personnel
470,665
498,156
240,704
Charges for Services
1,245,567
1,396,452
666,887
1,407,815 11,363 0.81%
Use of Money and Property
891,708
50,000 5.94%
Total Expenses and Other Financing Uses
1,193,916
Investment Interest
1,099
700
677
700 0.00%
Total Revenues and Other Sources
1,146,666
1,397,152
667,564
1,408,515 11,363 0.81%
Expenses by Category
Personnel
470,665
498,156
240,704
509,519
11,363 2.28%
Operations and Maintenance
723,251
841,708
397,270
891,708
50,000 5.94%
Total Expenses and Other Financing Uses
1,193,916
1,339,864
637,974
1,401,227
61,363 4.58%
Excess of Revenues Over (U nder ) Expenses 52,750 57,288 29,590 7,288 (50,000) - 87.28%
Net Position, Beginning of year 331,061 383,811 383,811 383,811 - 0.00%
Net Position, End of Year 383,811 441,099 413,401 391,099 (50,000) - 11.34%
Fund Desser tbn
The Facilities Fund was established to account for the cast of the Civic Center, Former City Hall Facility, City Maintenance Facility, Field Operations
Center, and Civic Center Parking Structure operations and maintenance. Fund Balance is a combination of both spendable and non spendable
assets. Depart ments are charged based on square footage allotted as well as full time staff equivalents assigned.
R'.\MnN Mai,. 0I5 MwrMgS \02.2 415 \1i& YO, Wdeiku, l N35um —ISFCtl
Exhibit D
Schedule of Authorized Positions
1
i
SCHEDULE OF AUTHORIZED POSITIONS
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
1 of
FY7
CITY COUNCIL
Councilmember
5.0
860
E
City Council Subtotal:
5.0
CITY MANAGER
City Manager
1.0
17,917
E
Assistant City Manager
1.0
12,131 17,083
E
Executive Assistant
1.0
5,000 7,040
E
Senior Management Analyst
1.0
6.684 9,412
E
City Manager Subtotal:
4.0
ECONOMIC DEVELOPMENT
Economic Development Analyst I
3 U
5,690 8,012
E
Administrative Assistant Confidential
1.0
3,784 5,327
NE
Economic Development Subtotal:
4.0
CITY CLERK
Administrative Assistant
1 u
3,784 4,843
NE
City Clerk
1.0
8.968 12,627
E
Office Specialist
3.0
2,855 3,653
NE
Records Manager
1.0
4,943 7,004
E
City Clerk Subtotal
6.0
HUMAN RESOURCES
Office Specialist (Confidential)
2,855 4,032
NE
Senior Human Resources Analyst
6,051 8.521
E
Fiscal Services Manager
7,466 10.514
E
Human Resources Subtotal:
4.0
FINANCE
Finance Director
1.0
10,709 15,079
E
Administrative Assistant
1.0
3,784 4,843
NE
Revenue Manager
1.0
6,684 9,412
E
Senior Management Analyst
1.0
6,684 9,412
E
Accountant (Confidential)
1.0
4,870 6,882
NE
Accounting Assistant
1.0
3,150 4,030
NE
Accounting Manager
1.0
6,684 9,412
E
Accounting Specialist
2.0
3,643 4,661
NE
Accounting Specialist - Payroll (Confidential)
1.0
3,643 5,126
NE
Business License Spec/Cashier
1.0
3,256 4,168
NE
Purchasing Coordinator ll
1.0
4,001 5,154
NE
Senior Debt Analyst
1.0
6.684 9.412
E
Finance Subtotal:
1
INFORMATION TECHNOLOGY
Administrative Assistant
1.0
3,784 4,843
NE
Deputy Director Information Technology
1.0
7,218 10,164
E
Information Technology Administrator
2.0
6,180 8,700
E
IT Specialist
1.0
5,062 6,480
NE
Senior IT Specialist
4.0
5,552 7,104
NE
Support Services
Deputy Director Support Services
1.0
6,895 9,711
E
Office Specialist - AM
0.5
2,855 3,653
NE
Office Specialist - PM
0.5
2,855 3,653
NE
Central Services Coordinator
1.0
3,247 4,154
NE
Central Services Supervisor
1.0
3,804 4,899
NE
Information Technolo Subtotal:
13.0
1 of
City of Temecula
' 1 Fiscal Year 2014 -15
Mid -Year Adjustments
SCHEDULE OF AUTHORIZED POSITIONS
i
Non-
Administrative Assistant
1.0
3,784 4,843
NE
Community Development Director
1.0
10,709 15,079
E
Senior Management Analyst
1.0
6,684 9,412
E
SARDA7CDBG
1.0
11,142 15,687
E
Associate Planner
1.0
5,553 7,106
NE
Senior Planner
1.0
7,013 9,874
E
Planning
1.0
4,254 5,445
NE
Assistant Planner
1.0
4,896 6,268
NE
Associate Planner
3.0
5,553 7,106
NE
Community Development Tech
3.0
3,943 5,050
NE
Community Development Tech - add
1.0
3,943 5,050
NE
Development Proc. Coordinator
1.0
5,031 6,440
NE
Senior Planner
1.0
7,013 9,874
E
Building and Safety/Code Enforcement
5.0
3,368 4,312
NE
Building Inspector II
4.0
4,770 6,107
NE
Building Official
1.0
8,541 12,101
E
Code Enforcement Officer
2.0
4,571 5,851
NE
Code Enforcement Officer II
1.0
5,029 6.437
NE
Office Specialist
1.0
2,855 3 653
NE
Communitv Develoomenf Subtotal:
25.o
.IC WORKS
iistrative Assistant
1.0
3,784 4,843
NE
enance Manager
1.0
7,638 10,466
E
Works Director
1.0
11,142 15,687
E
Development
;late Engineer
3.0
6,436 8,237
E
r Engineer
1.0
4,254 5,445
NE
,r Engineer
1.0
7,588 10,684
E
,r Public Works Inspector
1.0
5,530 7,079
NE
al Projects Engineer
1.0
6,436 8,237
E
4 Maintenance
Maintenance Worker
4.0
3,966 5,074
NE
enance Superintendent - PW
1.0
6,820 9,603
E
enance Worker
5.0
3,368 4,312
NE
'c Engineering
Cant Engineer
1.0
5,472 7,008
NE
sate Engineer
1.0
6,436 8,237
E
r Signal Technician
1.0
5,552 7,104
NE
I Technician
1.0
4,705 6,024
NE
Maintenance
Specialist
2.0
2,855 3,653
NE
>cape Inspector
1.0
4,019 5,141
NE
Maintenance Worker
2.0
3,966 49,021
NE
enance Worker
2.0
3,368 4,312
NE
Landscape Maintenance Supervisor
1.0
5,552 7,816
E
r Landscape Inspector
1.0
4,618 5,912
NE
ty Maintenance
,dian
3.0
2,833 3,626
NE
y Services Manager
1.0
4,820 6,173
NE
Maintenance Worker
2.0
3,966 5,074
NE
enance Superintendent - PW
1.0
6,820 9,603
E
enance Worker
2.0
3,368 4,312
NE
2 of
SCHEDULE OF AUTHORIZED POSITIONS
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
One Office Specialist and one Recreation Supervisor position are currently unfunded. The positions are associated with the former
YMCA facility and will remain unfunded until the facility has been remediated and is ready for operation.
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la
Exempt/
Non.
Minimum
Exam
C/P Administration
Assistant Engineer
1.0
5,472 7,008
NE
Associate Engineer
3.0
6,436 8,237
E
Construction Manager
1.0
6,549 8,668
E
Senior Management Analyst
1.0
6,684 9,412
E
Office Specialist
1.0
2,855 3,653
NE
Principal Engineer
1.0
8,643 12,170
E
Public Works Inspector
1.0
4,810 6,156
NE
68n OF GIP Spea al a! - eliminate
44
4&18 6,832
PIE
Senior Engineer
2.0
7,588 10,684
E
Senior Office Specialist
1.0
3,256 4,168
NE
Senior Public Works Inspector
2.0
5,530 7,079
NE
Public Works Subtotal:
56.0
FIRE
Administrative Assistant
1 u
3,784 4,843
NE
Building Inspector II
1 0
4,770 6,107
NE
Community Developmerd T, - a
3.943 5.050
NE
98A BF 09 86 tit eliminate
18
3266 468
PIE
Fire Subtotal:
3.0
COMMUNITY SERVICES
Administrative Assistant
1.0
3,784 4,843
NE
Aquatics Supervisor
1.0
4,690 6,002
NE
Community Services Director
1.0
10,709 15,079
E
Museum Services Manager
1.0
4,820 6,173
NE
Office Specialist
3.0
2,855 3,653
NE
Park Ranger
2.0
4,063 5,202
NE
Patron Services Coordinator
1.0
4,019 5,141
NE
Recreation Coordinator
1.0
4,019 5,141
NE
Recreation Superintendent
1.0
7,197 10,137
E
Recreation Supervisor'
7.0
4,690 6,002
NE
Senior Management Analyst
1.0
8,684 9,412
E
Senior Recreation Coordinator
2.0
4,212 5,391
NE
Theater Manager
1.0
5,814 8,186
E
Theater Technical Coordinator
1.0
4,019 5,141
NE
Theater Technical Supervisor
1.0
4,212 5,391
NE
Communit Services Subtotal:
25.0
Totals
City Council
5.0
City Manager
4.0
Economic Development
4.0
City Clerk
6.0
Human Resources
4.0
Finance
13.0
Information Technology
13.0
Community Development
25.0
Public Works
56.0
Fire
3.0
Community Services
25.0
Total of Authorized Positions:
158.0
One Office Specialist and one Recreation Supervisor position are currently unfunded. The positions are associated with the former
YMCA facility and will remain unfunded until the facility has been remediated and is ready for operation.
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