HomeMy WebLinkAbout15-01 TCSD ResolutionRESOLUTION NO. CSD 15 -01
A RESOLUTION OF THE BOARD OF DIRECTORS OF
THE TEMECULA COMMUNITY SERVICES DISTRICT OF
THE CITY OF TEMECULA AMENDING THE FISCAL YEAR
2014 -15 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 midyear 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 2014 -15 TCSD operating budgets are
amended in accordance with the attached schedules.
PASSED, APPROVED, AND ADOPTED by the Board of Di
Community Services District of the City of Temecula this -24th day
ATTEST:
Randi Johl - Olson, City Clerk/Secretary
[SEAL]
CSD Resos 15 -01
of the Temecula
jarv. 2015.
, Chair
STATE OF CALIFORNIA )
' COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Randi Johl - Olson, City Clerk/Secretary of the Temecula Community Services
District of the City of Temecula, do hereby certify that the foregoing Resolution No. CSD
15 -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 24th
day of February, 2015, by the following vote:
AYES:
5
BOARD MEMBERS:
Comerchero, Edwards, Naggar, Rahn,
Washington
NOES:
0
BOARD MEMBERS:
None
ABSTAIN:
0
BOARD MEMBERS:
None
ABSENT:
0
BOARD MEMBERS:
None
CSD Resos 15 -01 2
Randi Johl - Olson, City Clerk/Secretary
' aY of Temecula
�
Fiscal Year 2014 -I5
l /e, -Z c ' `1 "r Mid -Year Adjustments
TEMECULA COMMUNITY SERVICES DISTRICT - ALL FUNDS COMBINED
2014 -15 Year to Date 2014 -15 Proposed
2013 -14 Current Actuals Revised Increase % Increase
Actuals Budget 12/31/2014 Budget (Decrease( (Decrease(
Revenues by Fund
Prior Year Contractual Obligations
-
29,512
29,512
0.00%
Fund 190 Citywide Operations
8,142,305
8,264,501
4,591,646
8,319,166
54,665
0.66%
Fund 192 Service Level B
977,765
1,011,932
703,938
1,011,932
-
O.OD%
Funds 501 -530 Service Level C
1,596,905
1,586,952
10,743
1,586,952
-
0.00%
Fund 194 Service Level D
6,578,737
6,812,096
3,496,873
6,812,096
-
0.00%
Fund 195 Service Level R
5,685
5,572
3,321
5,572
-
0.00%
Fund 196 Service Level L
237,488
236,632
1,108
236,632
-
0.00%
Fund 197 Library
790,736
788,SS7
235,977
814,413
25,856
3.28%
Fund 375 Intern Fellowship
13,665
12,000
6,000
12,000
0.00%
Total Revenues and Other Sources
18,343,286
18,728,28
91049,606
18,828,275
11OA33
0.59%
Expenditures by Fund
Fund 190 Citywide Operations
8,318,443
8,371,761
3,934,586
8,426,155
54,394
0.65%
Fund 192 Service Level 8
1,005,779
1,011,932
446,217
1,012,087
155
0.02%
Funds 501 -530 Service Level C
1,678,389
2,074,545
707,434
2,076,426
1,881
0.09%
Fund 194 Service Level D
6,724,782
6,802,406
55,631
6,803,915
1,509
0.02%
Fund 195 Service Level R
1,772
9,650
-
9,650
-
0 -00%
Fund 196 Service Level L
227,110
239,322
93,523
240,654
1,332
0 -56%
Fund 197 Library
731,363
872,195
380,982
898,051
25,856
2 -96%
Fund 37S intern Fellowship
14,343
12,000
3,530
12,000
-
0.00%
Total Expenditures and Other Financing Uses
18,701,981
19,393,811
S,g21,903
19,478,938
851127
0.44%
Excess of Revenues Over (Under) Expenditures
(358,695)
(675,569)
3,427,703
(650,663(
24,906
-3.69%
Fund Balance, Beginning of Year
2,432,030
2,073,335
2,073,335
2,073,335
0.00%
Fund Balance, End of Year
2,073,335
1,397,766
5,501,038
1,422,672
24,906
1.78%
Fungi Oaaalp M
The Temecula Community Services District is a separate governmental entity created to provide Parks and Recreation services as well as the
maintenance of parks and facilities, residential street lights, slopes, refuse and recycling, maintenance of rural roads, lake park maintenance, library
services and intern fellowship opportunities.
A Sudpix OperaWg Sumrwin TCSO.rYx
�ecue
Fund: 190 CITYWIDE OPERATIONS
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
Citywide Operations reflects the collection of the Special Tax (Measure CI 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, arerial 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.
R �Budtw- Oxxxtrs,- Mdreaf2e14 -Ml1 Summves%TCSDI Sunmres TCSD.,kr
2014 -15
Year to Date
2014 -15
Proposed
2013 -14
Current
Actuals
Revised
Increase
% Increase
Description
Actuals
Budget
12/31/2014
Budget
(Decrease)
IDecreaae)
Revenues by Department
Prior Year Contractual Obligations
-
25,873
25,873
0.00%
General Operations
4,510,655
4,474,026
2,568,545
4,607,582
133,556
2.99%
Senior Center
111,801
88,594
43,369
83,970
(4,624)
-5.22%
Community Recreation Center
238,645
184,206
99,684
181,200
(3,006)
-1.63%
Recreation
1,154,831
305,609
117,281
306,370
761
0.25%
Temecula Community Center
78,110
55,096
38,147
63,113
8,017
14.55%
Temecula History Museum
88,171
82,447
41,063
82,643
196
0.24%
Aquatics
407,826
366,210
170,188
367,726
1,516
0.41%
Sports
341,880
431,825
202,507
448,437
16,612
3.85%
Temecula Children's Museum
234,190
174,709
98,789
174,850
141
0.09%
Community Theater
695,968
578,034
401,320
608,561
30,527
5.28%
Cultural Arts
130,762
83,818
42,475
82,566
(1,252)
-1.49%
Harveston Center
69,021
100,842
52,456
100,965
123
0.12%
Civic Center Conference Center
34,668
40, 962
26,412
41,009
47
0.11%
Human Services
45,777
46,899
26,521
46,703
(196)
-0.42%
Jefferson Recreation Center
-
14,567
7,697
14,613
46
0.32%
Contract Classes
-
1,236,6S7
655,192
111081858
(127,799)
- 10.33%
Total Revenues and Other Sources
8142,305
8,264,501
4,591,66
B,3gS,0ig
60.536
0.97%
Expenditures by Department
General Operations
2,098,493
1,797,920
763,368
1,697,199
(100,721)
-5.60%
'
Senior Center
325,894
332,62
153,941
335,496
2,854
0.86%
Community Recreation Center
583,162
613,756
279,758
635,952
22,196
3.62%
Recreation
1,449,362
658,166
413,829
6 96,730
38,56
5.86%
Temecula Community Center
98,233
202,504
92,518
213,215
10,711
5.29%
Temecula History Museum
253,534
277,8%
133,075
295,621
17,725
6.38%
Aquatics
707,708
736,014
318,710
754,297
18,283
2.48%
Sports
401,227
610,269
269,305
629,448
19,179
3.14%
Temecula Children's Museum
175,171
200,419
95,690
208,991
8,572
4.28%
Community Theater
1,246,946
1,176,407
610,300
1,182,842
61435
0.55%
Cultural Arts
428,351
354,3S3
178,377
372,606
18,253
5.15%
Harveston Center
244,072
174,122
93,703
179,470
5,348
3.07%
Civic Center Conference Center
50,795
67,072
34,907
77,905
10,833
1615%
Human Services
16,902
175,835
87,76
185,077
9,242
5.26%
YMCA Facility
9,599
10,000
4,933
13,500
3,500
35.00%
Jefferson Recreation Center
80,995
55,299
28,117
80,662
25,363
45.87%
Contract Classes
929,097
376,382
867,143
(61,944)
-6.67%
Total Expenditures and Other Financing Us4s
0,318,444
8,371,761
3,934,587
8,426,155
54,394
0.65%
Excess of Revenues Over (Under) Expenditures
(176,139)
(107,260)
657,059
(81,116)
26,144
- 24.37%
Fund Balance, Beginning of Year
346,255
170,116
170,116
170,116
-
0.00%
Fund Balance, End of Year
170,116
62,856
827,175
89.000
26,144
41.59%
Citywide Operations reflects the collection of the Special Tax (Measure CI 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, arerial 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.
R �Budtw- Oxxxtrs,- Mdreaf2e14 -Ml1 Summves%TCSDI Sunmres TCSD.,kr
' t City of Temecula
/j Fiscal Year 2014 -15
��il%4,E G gt rR Mid -Year Adjustments
r
Fund: 192 SERVICE LEVEL B - STREET LIGHTING
2014 -15 Year to Date 2014 -15 Proposed
2013 -14 Current Actuals Revised Increase % Increase
Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Licenses, Permits and Service Charges
Assessments
641,647
641,384
333,36S
641,384
- 0.00%
Funding From General Fund
330,000
370,548
370,548
370,548
- 0.00%
Residential Street Lighting Fees
5,832
-
-
-
- 0.00%
Use of Money and Property
ISS
O.D2%
Investment Interest
286
25
(28,014)
0.DO%
Total Revenues and Other Sources
977,765
1,011,932
703,938
1,011,932
0.00%
Expenditures by Category
Personnel
11,040
10,832
5,355
10,987
ISS
1.43%
Operations and Maintenance
994,739
1,001,100
440,861
1,001,100
0600%
Total Expenditures and Other Financing Uses
1,00S,779
1,011,932
446,216
1,012,087
ISS
O.D2%
Excess of Revenues Over (Under) Expenditures
(28,014)
-
257,722
(15S)
(155)
0.00%
Fund Balance, Beginning of Year
60,499
32,485
32,485
32,485
0.10%
Fund Balance, End of Year
32,485
32,485
290,207
32,330
(155)
-0.48%
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.
R BuUgel Operating Mbyear 20142015 3 Summ fr TCSD'1 Summar a TCSD .1s,
' t City of Temecula
//�� 1 Fiscal Year 2014 -IS
,may Mid -Year Adjustments
Funds: 501 -530 SERVICE LEVEL C - LANDSCAPE / SLOPE MAINTENANCE
2014 -15 Year to Date 2014 -15 Proposed
2013 -14 Current Actuals Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Licenses, Permits and Service Charges
Assessments
Use of Money and Property
1,591,792 1,584,493 8,734 1,584,493
0.00%
Investment Interest 5,113 2,459 2,009 2,459 - 000%
Total Revenues and Other Sources 1,5%,905 1,586,952 10,743 1,586,952 0.00%
Expenditures by Category
Personnel 120,379 119,518 60,211 121,399 1,881 1.57%
Operations and Maintenance 1,558,010 1,955,027 647,223 1,955,027 - 0.00%
Total Expenditures and Other Financing Uses 1,61 ;074,S45 707,434 2,076,426 1xi 0.09%
Excess of Revenues Over (Under) Expenditures
Fund Balance, Beginning of Year
Fund Balance, End of Year
Fund DaWlptbn
(81,484) (487,593) (696,691) (489,474) (1,881) 0.39%
1,289,376 1,207,892 1,207,892 1,207,892 - 0.00%
1,207,892 720,299 511,201 718,418 (1,881) -0.26%
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).
P BudW Open) IaKJyWzo14Wl" Sunwirs\TCSD.15urrmxies TCSD Asx
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
Description
yti.G�tr.�
2014 -15
Current
Budget
Yearto Date
Actuals
12/31/2014
2014 -15
Revised
Budget
Fund: 194 SERVICE LEVEL D - REFUSE AND RECYCLING
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
Description
2013 -14
Actuals
2014 -15
Current
Budget
Yearto Date
Actuals
12/31/2014
2014 -15
Revised
Budget
Proposed
Increase
(Decrease)
% Increase
(Decrease)
Revenues by SourL,
94,087
94,800
45,696
96,309
1,509
1.59%
Licenses, Permits and Service Charges
6,630,695
6,707,606
9,935
6,707,606
0.00%
Assessments
6,541,713
6,779,150
3,468,518
6,779,150
1,509
0.00%
Recycling Program
5,000
5,000
-
5,000
-
0.00%
use of Money and Property
3,441,242
8,181
(1,509)
- 15.57%
Fund Balance, Beginning of Year
252,798
Investment Interest
4,220
700
752
700
-
0.00%
Intergovernmental Revenues
116,443
3,547,995
114,934
(1,509)
-1.30%
Grants
27,804
27,246
27,603
27,246
-
0.00%
Total Revenues and Other Sources
6,578,737
6,812,096
3,496,973
6,812,096
-
0.00%
Expenditures by Category
Personnel
94,087
94,800
45,696
96,309
1,509
1.59%
Operations and Maintenance
6,630,695
6,707,606
9,935
6,707,606
0.00%
Total Expenditures and Other Financing Uses
6,724,782
6,802,406
55,631
6,803,915
1,509
0.02%
Excess of Revenues Over (Under) Expenditures
(146,045)
9,690
3,441,242
8,181
(1,509)
- 15.57%
Fund Balance, Beginning of Year
252,798
106,753
106,753
106,753
-
0.00%
' Fund Balance, End of Year
106,753
116,443
3,547,995
114,934
(1,509)
-1.30%
Fund Deacrlptlon
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. In addition, Service Level D has received grants to increase recycling efforts Citywide.
R:.Bodo Operating MEyearlat NtSa SuMrrxxe JCSDi Summaries TCSD.b.
Revenues by Source
Licenses, Permits and Service Charges
Assessments 5,619 5,532 3,285 5,531 - 0.00%
Use of Money and Property
Investment Interest 66 40 36 40 0.00%
Total Revenues and Other Sources 51685 5,572 3,321 5,572 O.OD%
Expenditures by Category
1
1 /J
City of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
9,650
Fund: 195 S- ERVICE LEVEL R - STREET / ROAD MAINTENANCE
Total Expenditures and Other Financing Uses 1,772
2014 -15 Yearto Date
2014 -15 Proposed
0.00%
2013.14 Current Actuals
Revised Increase %Increase
Description Actuals Budget 12/31/2014
Budget (Decrease) (Decrease)
Revenues by Source
Licenses, Permits and Service Charges
Assessments 5,619 5,532 3,285 5,531 - 0.00%
Use of Money and Property
Investment Interest 66 40 36 40 0.00%
Total Revenues and Other Sources 51685 5,572 3,321 5,572 O.OD%
Expenditures by Category
R BuOget Oneratng MMyear2014 2015 3 5ummare TCSD I Summaries TCSD,S,
Operations and Maintenance 1,772
9,650
9,650
O.OD%
Total Expenditures and Other Financing Uses 1,772
916so
9,650
0.00%
Exresa of Revenues Over(Unde,) Expenditures 3,913
(4,078) 3,321
(4,078) -
0.00%
Fund Balance. Beginning of Year 12,849
16,762 16,762
16,762
0.00%
Fund Balance, End of Year 16,762
12,684 20,083
12,684 -
0.00%
Fund Daeniplipn
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 /Defer
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.
R BuOget Oneratng MMyear2014 2015 3 5ummare TCSD I Summaries TCSD,S,
' r cal Temecula
� 1 � Fiscal Year 2014 -15
( /zf,Eecula Mid -Year Adjustments
Fund: 196 SERVICE LEVEL L - HARVESTON LAKE PARK MAINTENANCE
2014 -15 Yearto Date 2014 -15 Proposed
2013 14 Current Actuals Revised Increase % Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decreasel
Revenues by Source
Licersi Permits and Service Charges
Assessments
232,348
232,432
583
232,432
-
0.00%
Harveston Lake Boat Revenue
3,971
3,600
-
3,600
-
0.00%
Use of Money and Property
Investment Interest
1,169
600
525
600
-
0.00%
Total Revenues and Other Sources
237,488
236,632
1,106
236,632
0.00%
Expenditures by Category
Personnel
22,847
21,422
11,151
22,754
1,332
6.22%
Operations and Maintenance
200,263
217,900
82,372
217,900
0.00%
Total Expenditures and Other Financing Uses
227,110
239,322
93,521
240,654
1,132
0.56%
Excess of Revenues Over (Under) Expenditures
10,378
(2,690)
(92,415)
(4,022)
(1,332)
49.52%
Fund Balance, Beginning of Year 270,802 281,180 281,180 281,180 - 0.00%
Fund Balance, End of Year 281,180 278490 188,765 277,158 f1, 332) -0.48%
Fund
ice 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.
%� &i�nei Ovecaera Mitivervr 201E 21153 S,mm,es TC50 I S,mIanes TCSD ds+
' I cal of Temecula
Fiscal Year 2014 -15
Mid -Year Adjustments
Fund: 197 UBRARY FUND
2014 -15 Year to Date 2014 -15 Proposed
2013 -14 Current Accruals Revised Increase %Increase
Description Actuals Budget 12/31/2014 Budget (Decrease) (Decrease)
Revenues by Source
Prior Year Contractual Obligations
-
55,560
23,275
3,640
3,640
O.DD%
Licenses, Permits and Service Charges
678,247
816,635
357,706
840,738
24,103
2.95%
Library Funding From General Fund
644,253
649,932
162,483
681,388
31,456
4.84%
Printing and Copies
31,516
26,000
16,777
26,000
-
0.00%
Facilities Rentals
21,680
18,375
11,080
18,375
-
0.00%
Fines and Forfeltures
258,143
258,143
-
0.00%
Fund Balance, End of Year
258,143
Fines and Fees
89,365
90,000
43,801
85,000
(5,000(
-5.56%
Lost and Damaged Materials
2,936
3,650
1,206
3,050
(600)
-16 -4%
Use of Money and Property
Investment Interest
978
600
630
600
-
0.00%
Miscellaneous Revenue
Library Donations
8
-
0.00%
Total Revenues and Other Sources
790,736
788,557
235,977
$18,053
29,496
3.74%
Expenditures by Category
Personnel
53,116
55,560
23,275
57,313
1,753
3.16%
Operations and Maintenance
678,247
816,635
357,706
840,738
24,103
2.95%
Total Expenditures and Other Financing Uses
731,363
872,195
380,981
898,051
25,856
2.96%
Excess of Revenues Over (Under) Expenditures
59,373
(83,638)
(145,004(
(79,998)
3,640
-435%
Fund Balance, Beginning of Year
198,770
258,143
258,143
258,143
-
0.00%
Fund Balance, End of Year
258,143
174,505
113,139
178,145
3,640
2.09%
Fund Daes"M
Library Fund is used to account for the maintenance and operations of the Temecula Public Library on Pauba Road.
Rr Budget Ope,ating Mxlyeae2014201 535ummanasTC$D 1$ummmies TCSDx1%x
�J /J
atof 7214-15
Ftscal cai 0 Year zols -ss
111,11:11-Year MrFriOents
Fund: 37S INTERN FELLOWSHIP FUND
034-15
Year to Date
2014-15 Proposed
2013-14
current
ARUals
Revised 5rrxeae %Increase
Description Actuate
Budget
W32/2014
Budget (Decrease) (Decrease)
Revenues by Source
Operating Transhrs In
General Fund 13,665
12,000
6,000
12,000 - 0.00%
Total Revenues and Other Sources 13,665
121000
6,000
121000 0.00%
Expenditures by Category
Personnel 14,343 12,000 3,530 12,000 - 0.00%
Total Expenditures and Other Financing Uses 14,343 12,008 3,530 12,880 0.00%
Excess of Revenues Over (Under) Expenditures (679) - 2,470 - - 0.00%
Fund Balance, Beginning of Year 679 1 1 1 - 0.00%
Fund Balance, End of Year 1 1 2,471 1 0.00%
Fund Description
Accounts for personnel expenditures for intern and fellowship employment opportunities. The City of Temecula Internship Program offers part -time
internships to high school and undergraduate college students. The internships are designed to expose students to the workings of local city
' government. Internship positions are open year round in three sessions of 10 weeks (summer, fall, and spring). The City of Temecula Fellowship
Program is designed for undergraduate, graduate and post - graduate level students and allows individuals to work in their areas of specialty/interest.
Fellows gain valuable work experience, as well as the skills and knowledge that will enhance their job prospects by working in a fast - paced,
challenging environment.
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