CC SR 20170606 01 - Draft Preliminary BudgetCITY OFi�RANCHO PALOS VERDES
PUBLIC HEARING
Date: June 6, 2017
Subject: Consideration and Possible action regarding the Fiscal Year 17-18 Draft
Budget and Capital Improvement Program including discussion and
possible direction regarding all City revenues and expenditures
Subject Property: N/A
1. Report of Notice Given: City Clerk
2. Request for Staff Report: Mayor Campbell
3. Staff Report & Recommendation: Senior Administrative Analyst Ramezani
4. Council Questions of Staff (factual only, no opinions):
5. Declare the Hearing Open: Mayor Campbell
6. Public Testimony: Mayor Campbell invites brief comments from the public.
Appellant: N/A
Applicant: N/A
7. Council Questions of speakers — (factual only):
8. Rebuttal: N/A
9. Declare Hearing Closed: Mayor Campbell
10. Council Deliberation: Questions of staff in response to testimony and deliberation.
11. Council Action:
1
RANCHO PALOS VERDES CITY COUNCIL
MEETING DATE: 06/06/2017
AGENDA REPORT AGENDA HEADING: Public Hearing
AGENDA DESCRIPTION:
Consideration and possible action regarding the Fiscal Year 17-18 Draft Budget and
Capital Improvement Program including discussion and possible direction regarding all
City revenues and expenditures.
RECOMMENDED COUNCIL ACTION:
(1) Receive Staff presentation of FY17-18 Preliminary Budget and Capital
Improvement Program;
(2) Determine that the utility users' tax (UUT) rate of 3% continues to be necessary
revenue source for the City's operating and capital improvements, and that the
current rate of 3% should be maintained; and
(3) Continue public hearing to June 20, 2017.
FISCAL IMPACT: Preliminary Budget total revenues of $37,729,300 and total
expenditures of $42,664,800. Total General Fund revenues of $30,437,300 and
expenditures of $30,376,300.
Capital Project Funds (only)
Revenues
Expenditures
Capital Improvement Projects
$4,984,600
$5,664,400
Federal Grants
$1,131,300
$1,131,300
State Grants
$247,500
$247,500
Measure R
$508,600
$650,000
TDA Article 3
$82,500
$82,500
Proposition C
$667,000
$600,000
Beautification
$2,900
$475,000
1911 Act
$617,800
$1,487,000
Community Dev Block Grant (CDBG)
$139,300
$139,300
Quimby
$65,400
$650,000
ORIGINATED BY: Allan Kaufman, Senior Administrative Analyst
REVIEWED BY: Deborah Cullen, Director of Financeu
APPROVED BY: Doug Willmore, City Manager
ATTACHED SUPPORTING DOCUMENTS:
A. FY17-18 Preliminary Budget Summary (page A-1)
B. FY17-18 Preliminary CIP Budget (page B-1)
2
BACKGROUND AND DISCUSSION:
FYI 7-18 Budget
The City started the budget process with the first Budget Workshop held on April 10,
2017. During this session, Staff presented year-end estimates for FY16-17 along with
assumptions and estimates that would be used to develop the FY17-18 Operating
Budget. Additional items for funding consideration were also presented and discussed.
Council directed Staff to retain the current service levels for the Sheriff Contract and
also asked Staff to include an additional Code Enforcement position in the Preliminary
Budget.
On May 16, 2017, Department Heads highlighted accomplishments for the year and
Staff presented an updated FY16-17 year-end estimate and changes to the FY17-18
Preliminary Budget based on City Council directions on April 10th. Public Works also
presented the Five -Year Capital Improvement Program and requested additional
Staffing for the Maintenance Division. Council directed Staff to increase the proposed
FY 2017-18 Preliminary Budget to incorporate the changes requested by Public Works.
Additionally, at this meeting there was a discussion amongst Council regarding the
analysis that Staff presented showing the comparison of recurring revenues to recurring
expenditures that is required based on Council Policy No. 45. In this analysis, based on
the transfer of 100% of the TOT received from Terranea, the General Fund recurring
revenues to recurring expenditures would show a deficit of approximately $750,000.
While this is not a true structural deficit, it did highlight the impact of automatically
transferring a significant portion of General Fund Tax revenue to the Capital Fund.
Based on the significant increase in the FY 2017-18 Sheriff Contract of approximately
$900,000, the Council directed Staff to reduce the amount of the FY17-18 TOT transfer
by the amount of the increase. That change is incorporated into the budget presented
tonight.
Staff has provided an updated Preliminary Budget for FY17-18 City-wide revenues of
$42,688,800 and expenditures of $47,477,300. General Fund revenues are estimated
to be $30,437,300 (Table 1) and estimated expenditures of $30,376,300 (Table 2).
The full FY 2017-18 draft budget can be found on the City's website at
http://www.rpvca.gov/DocumentCenterNiew/10221
FYI 7-18 General Fund Budget Assumptions
General Fund Revenues
For FY17-18, Staff is projecting an overall increase of $786,900 or 2.7% in General
Fund operating revenues (net of transfers) over FY16-17 year-end estimates.
3
Revenues are projected to end FY16-17 higher than the Adopted Budget of $28.6M by
$806,400 or 2.8%, and Staff is expecting this growth to continue into FY17-18.
Listed below is a summary of the major revenue assumptions as presented May 16th
and comparison to FY16-17 year-end estimates:
General Taxes — are expected net increase of approximately $703,400 or 3.0%:
a. Property Tax projected to increase $441,900 based on FY16-17 actuals and
estimates from the City's Property Tax consultant.
b. Sales Tax - expected to increase by $276,900 based on FY16-17 actuals and
revenue estimate provided by MuniServices.
c. Business License Tax — expected to decrease slightly by ($15,400) based on
long-term historical trends.
2. Other Taxes — are expected to remain relatively flat with a net decrease of
approximately ($5,500) or 0.1 % based on historical estimates and consumption
levels:
a. Franchise Taxes are projected to decrease slightly by ($45,400).
b. Utility User Taxes are projected to increase by $52,500.
c. Golf Taxes are projected to decrease by ($12,600)
3. Other Revenues — are expected net decrease of approximately $355,800 or
2.5% primarily in these categories:
a. Licenses and Permits, Charges for Services, and Fines are projected to
increase slightly by $38,500 based on projection of activities from various City
departments for FY17-18.
b. Use of Money and Property revenue is projected to increase by $17,300
based on FY16-17 actuals and an increase in facility rental.
c. Miscellaneous Revenues — is expected to increase by $300,000 based on
one-time revenues received from the County in FY16-17.
Below is the summary of the FY17-18 General Fund Preliminary Revenues compared to
the FY16-17 Adopted Budget and FY16-17 year-end estimates.
El
Table 1
FY 2017-18 PRELIMINARY REVENUES BUDGET
Property Tax
Property transfer tax
Sales Tax
TOT
Franchise taxes
UUT
Business license tax
Golf tax
Licenses and Permits
Fines and forfeitures
Interest earnings
Other use of money and property (rents & leases)
Charges for services
Intergovernmental (grants & vehicle license fees)
Other revenue
TOTAL PRELIMINARY OPERATING
REVENUES
TRANSFER IN
TOTAL DRAFT REVENUES
General Fund ExDenditures
101 - GENERAL FUND
FY 2017 FY 2017 FY 2018
ADOPTED YEAR-END PRELIMINARY
BUDGET EST BUDGET
11,708,600
11,899,934
12,288,700
406,900
404,255
457,400
2,122,800
2,303,305
2,580,200
5,495,000
5,896,276
5,740,000
2,127,100
2,158,179
2,112,800
1,981,900
1,818,591
1,871,100
794,500
829,796
814,400
350,500
383,000
370,400
2,215,800
2,293,955
2,321,100
121,500
110,500
113,000
53,800
84,082
83,300
462,200
408,595
426,700
222,400
245,800
254,700
-
19,282
-
551,000
564,846
773,500
28,614,000 29,420,396 30,207,300
190,000 190,000 230,000
28,804,000 29,610,396 30,437,300
Staff is projecting an increase of $243,800 or 1.0% in FY17-18 General Fund operating
expenditures, net of transfers out. Listed below is a summary of the expenditure
assumptions as presented on May 16th compared to FY16-17 year-end estimates:
5
4. Salaries — increase of $1,334,100 or 20.8% due to:
a. COLA increase of 2.5% (July 2017) of $197,500
b. Merit increase (July 2017) of $141,000
c. Additional 1.5 FTE in the Code Enforcement division $100,100
d. Additional 1.5 FTE in the Maintenance division $127,400
e. Current vacancies projected to be filled in FY17-18 $768,100
5. Benefits — increase of $692,800 or 36.3% due to:
a. Ca1PERS pension rate increase totaling $83,300
b. Health benefits increase $254,900
c. FICA/Medicare increase $112,300
d. Other benefit increases of $242,300 as FY16-17 current Staff vacancies that
are expected to be filled in FY17-18.
6. Public Safety — decrease of ($394,500) or -5.4% due to:
a. Operating Supplies decrease of ($1,349,930) from one-time purchase of
ALPR cameras in FY16-17
b. Annual Sheriff contract including General Liability increase $766,000
c. Preserve Enforcement increase $126,800
d. Increase in personnel costs of $29,100 (Administrative Analyst 1/II position
budgeted for 12 months in FY17-18)
e. Professional / Technical and Telephone Services increase of $33,500. A
majority of this increase is related to a one-time service level audit scheduled
to be performed by the Sheriff's department.
7. City Attorney — decrease of ($25,400) or -2.7% is expected based on savings
from professional / technical services.
8. Non -Department — decrease of ($1,560,630) or -27.3% due to:
a. Decrease in Miscellaneous Expenses ($1,771,250). Most of this decrease is
the result of the one-time Proposition A exchange agreement for General
Fund money with various cities in FY 2016-17 and the one-time expense of
the Vista Verde settlement, also in FY 2016-17.
b. Increase in meetings and conferences $3,500
c. Increase in Citywide insurance premiums of $110,200
d. Professional / Technical Services are expected to increase by $37,000 due to
annual contract increases.
e. Other increases for various non -personnel account totaling $59,920
9. Other non -personnel expenditures — increase of $315,200 or 3.1 %
a. Increase in equipment replacement charges of $160,300
b. One-time purchase of Roadside Message Boards $40,000
c. Maintenance and other expense increases of $114,900
Below is the summary of the FY17-18 General Fund Preliminary Expenditures
compared to the FY16-17 Adopted Budget and FY16-17 year-end estimates.
Al
•
Table 2
FY 2017-18 PRELIMINARY EXPENDITURES BUDGET
101 - GENERAL FUND
TOTAL PRELIMINARY OPERATING BUDGET 28,433,900 29,800,029 30,376,300
7
FY 2017
ADOPTED
FY 2017
FY 2018 PRELIM
BUDGET
YEAR-END EST
BUDGET
SALARY & WAGES - FULLTIME
6,060,100
5,543,819
6,648,500
SALARY & WAGES - OVERTIME
24,000
24,000
44,200
SALARY & WAGES - PARTTIME
941,300
844,511
1,053,700
EMP BENEFITS ALLOCATION
2,079,100
1,911,118
2,603,900
TOTAL PERSONNEL EXPENSES
9,104,500
8,323,448
10,350,300
MEETINGS & CONFERENCES
125,800
115,800
128,800
MILEAGE REIMBURSEMENT
8,500
8,300
9,400
TRAINING
68,600
51,600
62,900
TOTAL TRAVEL & CONFERENCES
202,900
175,700
201,100
TOTAL OP SUPPLIES/MINOR EQUIP
576,500
480,500
555,000
TOTAL PROF/TECH SERVICES
2,549,500
2,581,000
2,519,400
ADVERTISING
94,500
115,000
115,500
MAINTENANCE SERVICES
1,593,500
1,803,048
1,497,700
MEMBERSHIP&DUES
82,100
80,800
80,700
MISC EXPENSES
455,600
565,702
594,600
POSTAGE
8,500
8,500
8,500
PRINTING & BINDING
88,600
75,600
95,900
PUBLICATIONS
12,300
16,900
13,200
RENTALS
27,300
38,899
32,700
UTILITY SERVICES
309,600
313,100
327,900
INTERFUND CHARGES
109,400
109,400
269,700
OTHER EXPENSES
2,781,400
3,126,949
3,036,400
PUBLIC SAFETY/LAW ENFORCEMENT
6,046,000
7,355,230
6,960,700
CITY ATTORNEY
940,000
950,422
925,000
NON -DEPARTMENT
787,100
2,617,030
1,056,400
TOTAL PRELIMINARY OPERATING BUDGET
22,987,900
25,610,279
25,604,300
TOT TRANSFER OUT
5,200,000
3,943,750
4,526,000
OTHER TRANSFER OUT
246,000
246,000
246,000
TOTAL PRELIMINARY OPERATING BUDGET 28,433,900 29,800,029 30,376,300
7
As presented on May 16th, the General Fund estimated ending fund balance for FY17-
18 is $14.1 million. After applying Council's reserve policy, the General Fund has an
estimated unrestricted surplus of $1.3 million. (Table 3)
Table 3
Estimated Beginning Fund Balance
Add: Revenues
Add: Transfers In
Less: Projected Expenditures
Less: Transfers Out
$14.9
30.2
0.2
Subtotal 45.3
-25.5
-5.7
Estimated General Fund Balance 6/30/2018 14.1
Less: 50% Policy Reserve -12.8
The updated General Fund estimated ending fund balance for FY17-18 is $14.9 million
with $2.1 million of estimated unrestricted surplus after applying Council's reserve
policy. (Table 4)
Table 4
Estimated Beginning Fund Balance
Add: Revenues
Add: Transfers In
Less: Projected Expenditures
$14.9
30.2
0.2
Subtotal 45.3
Less: Transfers Out
Estimated General Fund Balance 6/30/2018
Less: 50% Policy Reserve
Table 5
SUMMARY OF EXPENDITURES BY CATEGORY
SALARIES 7,746,400.00
BENEFITS 2,603,900.00
NON -PERSONNEL 15,254,000.00
TRANSFERS OUT 4,772,000.00
TOTAL PRELIMINARY BUDGET 30,376,300.00
-4.8
14.9
-12.8
01
Chart 1
Table 6
FY 2017-18 General Fund Draft Expenditures by Category
$30.4 million
TRANSFERS OUTj
16% or $4.8M SALARIES
25% or $7.7M
NON -PERSONNEL
50% or $15.31M
SUMMARY OF EXPENDITURES BY DEPARTMENT
CITY ATTORNEY
CITY COUNCIL
PUBLIC SAFETY
CITY ADMINISTRATION
FINANCE
COMMUNITY DEVELOPMENT
PUBLIC WORKS
RECREATION AND PARKS
NON -DEPARTMENT
TOT TRANSFERS OUT
OTHER TRANSFERS OUT
TOTAL PRELIMINARY BUDGET
925,000.00
128,600.00
6,960,700.00
3,647,900.00
1,410,600.00
3,543,000.00
5,184,100.00
2,698,000.00
1,106,400.00
4,526,000.00
246,000.00
30,376,300.00
BEN
va or
10
Chart 2
NON -DEPARTMENT
3% or $1.1M
FY 2017-18 General Fund Draft Expenditures by Department
$30.4 million
CITY
OTHER TRANSFERS OUT ,CITY ATTORNEY COUNCIL
146 or $0.2M 3% or $0.9M O% or $0.1M
PUBLIC SAFETY
23% or $7.QM
9% or $2.71VI
PUBLIC WORKS� CITY ADMINISTRATION
M
17% or $5.2 12% or $3.6M
COMMUNITY
DEVELOPMENT FINANCE
12% or $3.5M 5% or $1.4M
11
FY 17-18 Preliminary Budget Summary for All Funds (Table 7)
Table 7
CITY OF RANCHO PALOS VERDES FY 17-18 FUND SUMMARY
FY17-18 Estimated
Estimated Fund
FY17-18 Estimated Resources
Revenues Transfers In
Fund
Balance 613012017
General Fund Balance
14,878,468
Restricted Amount(Policy Reserve
12,805,139
4,772,000
GENERAL FUND Unrestricted Sur Ius
2,073,329
30,207,300 230,000
Restricted by Council Action
(5,664,400)
BEAUTIFICATION FUND
479,000
2,900 -
CIP
25,453,200
458,600 4,526,000
EQUIPMENT REPLACEMENT
2,691,500
300,900 -
BUILDING REPLACEMENT
-
-
EMPLOYEE BENEFITS
-
-
Subtotal Restricted by Council Action
28,623,700
762,400 4,526,000
Restricted by Law or External Agencies
(1,487,000)
GAS TAX
378,500
1,261,200 -
1972 ACT
-
-
EL PRADO LIGHTING
26,900
2,500
CDBG
-
139,300
1911 ACT
1,995,400
617,800
WASTE REDUCTION
378,700
209,900
AIR QUALITY MANAGEMENT
107,500
50,600
PROPOSITION C
247,600
667,000
PROPOSITION A
2,194,900
803,600
PUBLIC SAFETY GRANTS
42,300
100,300
MEASURE R
1,827,800
508,600
MEASURE M
-
540,800
FEDERAL GRANTS
(250,500)
1,131,300
STATE GRANTS
247,500
HABITAT RESTORATION
1,182,400
5,000
SUBREGION 1 MAINTENANCE
748,500
4,800
MEASURE A
300
90,100 -
ABALONE COVE SEWER DISTRICT
94,700
55,600 208,000
GINSBURG CULTURAL ARTS BUILDING
86,300
500 -
DONOR RESTRICTED CONTRIBUTIONS
859,600
7,500
QUIMBY
1,432,300
65,400
LOW -MOD INCOME HOUSING
115,000
45,300
AFFORDABLE HOUSING IN LIEU
593,000
3,500
ENVIRONMENTAL EXCISE TAX
319,100
114,500
BIKEWAYS
-
82,500
WATER QUALITY/FLOOD PROTECTION
-
- -
Subtotal Restricted b Law or External Agencies
12,630,800
6,755,100 208,000
TOTAL GOVERNMENTAL FUNDS
56,132,968
37,724,800 4,964,000
Improvement Authorities
IMPROV AUTH - PORTUGUESE BEND
162,900
1,100 -
IMPROV AUTH - ABALONE COVE
1,035,433
3,400 38,000
Subtotal for Improvement Authorities
1,198,333
4,500 38,000
GRAND TOTAL OF ALL FUNDS
1 57,331,301
37,729,300 5,002,000
FY17-18 Estimated
Appropriations
Estimated Fund
Balance 6/30/2018
Expenditures Transfers Out
14,939,468
12,802,150
25,604,300
4,772,000
2,137,318
(475,000)
6,900
(5,664,400)
24,773,400
(1,844,300)
1,148,100
983,700
25,928,400
(1,599,100)
40,600
0
(800)
28,600
(139,300)
0
(1,487,000)
1,126,200
(290,700)
297,900
(50,000)
108,100
(600,000)
314,600
(648,300)
2,350,200
(140,000)
2,600
(650,000)
1,686,400
(536,200)
4,600
(1,131,300)
0
(247,500)
0
(174,300)
1,013,100
(44,800)
708,500
(90,000)
400
(250,500)
107,800
86,800
(305,000)
562,100
(650,000)
847,700
160,300
596,500
433,600
(82,500)
0
0
8,887,300
230,000
10,476,600
42,475,300
5,002,000
51,344,468
(114,900)
49,100
(74,600)
1,002,233
189,500
1,051,333
42,664,800
5,002,000
52,395,801
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Capital Improvement Project Fund
During the May 16, 2017, Preliminary Budget presentation, the City Council was
provided a detailed review of the draft Capital Improvement Projects prepared by Public
Works.
Capital Improvement Project (CIP) Fund continues to operate with a balanced budget.
The estimated ending fund balance for FY16-17 is $25.4 million. Public Works is
expecting to add 19 capital projects in FY17-18 for an estimated total of $8.7 million.
The CIP Fund is estimating to receive $1.3 million in grants, in addition to an estimated
transfer -in from General Fund of $4.5 million from Transient Occupancy Taxes.
Eauipment Replacement Fund
Equipment Replacement Fund continues to operate with a balanced budget. This fund
is used to accumulate funding to replace equipment, furniture and vehicles at the end of
the life cycle. With the plan to replace the current financial system and other annual
equipment replacement, the estimated expenditures for FY17-18 are $1,844,300. Based
on the current Equipment Replacement Schedule, the estimated inter -fund charges are
$300,900 for FY17-18. .
1972 Act Fund
On May 16th, the City Council decided to suspend the annual supplemental property tax
levy and assessments for FY 2017-18 of the Citywide Landscaping and Lighting
Maintenance District (LLMD). Total estimated expenditures for the operation,
maintenance, and servicing of median landscaping, street trees, street lighting, and
traffic signals for FY17-18 are $696,762. The impact of the suspension of this
assessment for FY17-18 total approximately $259,200. To cover the shortfall Staff is
recommending these costs be funded out of the new Measure M Fund.
Water Quality/Flood Protection Fund
The Water Quality/Flood Protection Fund is expected to have no beginning fund
balance in FY17-18 if Council approves the Storm Drain Deficiency Improvement
Project by June 30th. All current Storm Drain projects are scheduled to be completed in
FY17-18 and the fund balance is expected to be exhausted by the end of FY17-18.
Beginning in FY18-19, all Storm Drain improvement projects will need to compete with
other projects for CIP funds.
13
Compliance with Utility Users Tax Legislative Review Requirements
Municipal Code Section 3.30.190 requires that the City Manager submit to the City
Council an analysis of the revenues derived from the Utility User Tax (UUT) annually.
Based on the needs of the City, the City Council shall determine if any modification to the
tax rate is appropriate or if the UUT is unnecessary. The tax rate cannot be increased
without a majority vote of the residents of the City during a Municipal Election.
The current estimate of FY17-18 UUT revenue is approximately $1.9 million (or
approximately 6.2% of total General Fund revenue). Based upon the operating and
capital needs of the City, Staff recommended that the current UUT rate of 3% continues
to be a necessary General Fund revenue source to provide current program service levels
and CIP funding. At the May 16th meeting, Council approved Staff recommendation to
continue the current UUT.
Balanced Operating Budget
The tables below summarizes how one-time and recurring revenues will offset one-time
and recurring expenditures as directed per City Council Policy No. 45. The total
General Fund revenues and expenditures in the tables below reflect all the updates to
the FY17-18 preliminary budget based on Council action on May 16th. (see Tables 1 &
2)
14
Table 8
101 - GENERAL FUND
FY 2017-18 RECURRING VS. ONE-TIME REVENUES AND EXPENDITURES
Revenue Type
Recurring
One-time
Total
Property Tax
12,746,000
100
12,746,100
RDA Property tax trust
Public Safety/Law Enforcement
100
6,960,700
Sales Tax
2,580,200
3,647,900
2,580,200
TOT
5,740,000
Community Development
5,740,000
Franchise taxes
2,112,800
5,144,100 40,000
2,112,800
U UT
1,871,100
1,871,100
Business License & Golf Tax
1,184,800
Non -department
1,184,800
Charges for services
2,688,800
2,688,800
Other revenue
1,248,700
34,800
1,283,500
Donations
19,000
CA SP fees
500
Miscellaneous revenues
-
15,300
-
TOTAL REVENUES 30,172,400 34,900 30,207,300
TOTAL EXPENDITURES 25,564,300 40,000 25,604,300
STRUCTURAL SURPLUS/(DEFICITS) 4,608,100 (5,100) 4,603,000
Transfers in 230,000 - 230,000
Transfers out (4,772,000) - (4,772,000)
SURPLUS/(DEFICITS) 66,100 (5,100) 61,000
15
Recurring One-time
Total
City Council
128,600 -
128,600
City Attorney
925,000 -
925,000
Public Safety/Law Enforcement
6,960,700 -
6,960,700
City Administration
3,647,900 -
3,647,900
Finance
1,410,600
1,410,600
Community Development
3,543,000 -
3,543,000
Public Works
5,144,100 40,000
5,184,100
Roadside message boards
40,000
Recreation & Parks
2,698,000 -
2,698,000
Non -department
1,106,400 -
1,106,400
TOTAL EXPENDITURES 25,564,300 40,000 25,604,300
STRUCTURAL SURPLUS/(DEFICITS) 4,608,100 (5,100) 4,603,000
Transfers in 230,000 - 230,000
Transfers out (4,772,000) - (4,772,000)
SURPLUS/(DEFICITS) 66,100 (5,100) 61,000
15
CONCLUSION
Based on adjustments made to the Preliminary Budget approved by Council at the May
16th budget meeting, Staff is projecting a slight overall increase in revenues of
$1,002,900 and an overall increase in expenditures of $1,749,200 to the FY17-18
Preliminary Budget. Revenue increase is due to additional Federal and State Grants
and over $1 million of the increase in expenditures is due to continuing appropriations in
the Capital Improvement Program.
The General Fund continues to meet the required 50% policy reserve while still showing
an excess fund balance. Based on Council direction the General Fund transfer to TOT
will be reduced by the same amount of increase in Public Safety Contract beginning in
FY17-18. The City Council also directed Staff to bring back a cost allocation plan in the
fall to properly allocated Staff time and resources to various projects and funds once the
new HR/Payroll programs are fully implemented.
Staff will incorporate any additional direction from Council at this meeting in the budget
report for adoption at the June 20, 2017, City Council meeting.
16
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
GENERAL FUND
PROPERTY TAXES
3102-3103 Property Tax
3107 Property Tax in Lieu of Sales
3107 Property Tax in Lieu of VLF
3108 Redevelopment Property Tax Trust
3110 Property Transfer Tax
TOTAL PROPERTY TAXES
OTHER TAXES
3210
Business License Tax
3113
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
Franchise Taxes
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
GENERAL FUND
PROPERTY TAXES
3102-3103 Property Tax
3107 Property Tax in Lieu of Sales
3107 Property Tax in Lieu of VLF
3108 Redevelopment Property Tax Trust
3110 Property Transfer Tax
TOTAL PROPERTY TAXES
OTHER TAXES
3210
Business License Tax
3113
Sales and Use Tax
3113
Sales Tax - PW (PSAF)
3120-3121
Transient Occupancy Tax
3114-3117
Utility Users Tax
3111
Franchise Taxes
3101
Golf Tax
TOTAL OTHER TAXES
OTHER LICENSE & PERMIT
3205
Film Permits
3206
Animal Control Fees
3219
Right of Way Permits
3220
Dumpster Permits
3213
Parking Permits
3214
Parking Decals
3215
Plan & Zone Permits
3216
Plan - Investigation
3218
Plan - Misc. Fees
3218
Plan - Data Processing Fees
3218
Plan - Historical Data Fees
3203
Building & Safety Plan Check
3202
Building & Safety Permits
3204
Building & Safety Investigations
3209
Geology Fees
3207
Building & Safety Fees
3208
Building & Safety State Building Starndard
3999
Massage Permits
3217
View Restoration Fees
3209
Building & Safety Geology Fees
12,390,944
TOTAL OTHER LICENSE & PERMIT
FINES & FORFEITURES
3503 Misc. Court Fines
3502 False Alarm Fines
3503 Tow Fines
TOTAL FINES & FORFEITURES
RENTALS
3602 Rent - City Hall
3602 Rent - Rec & Parks
5130-3602 Rent - Hesse Park
5140-3602 Rent - Ryan Park
5150-3602 Rent - Ladera Linda
5180-3602 Rent- PVIC
0000-3602 Rent - Citywide
0000-3602 Other Rental Income
INTERESTS
6,726,496
6,962,419
7,258,992
536,579
540,611
454,776
3,890,110
4,061,473
4,252,415
24,541
44,710
13,689
385,600
344,357
486,659
11,563,326
11,953,570
12,466,531
764,494
808,668
811,417
1,569,230
1,682,131
2,027,600
73,151
75,758
76,727
4,250,086
4,812,130
5,196,987
2,509,524
1,972,671
1,865,682
1,998,213
2,044,398
2,044,650
439,166
411,362
367,881
11,603,864
11,807,118
12,390,944
58,865
76,658
78,361
41,647
42,898
38,456
75,787
97,747
109,743
1,470
1,078
2,450
280
500
310
188
183
1,286
360,412
423,304
397,592
6,219
18,563
13,658
1,345
953
492
7,741
8,783
9,236
7,470
6,372
6,800
354,154
344,380
370,775
869,713
1,304,850
1,194,155
-
132
-
-
(3,294)
(1,534;
1,381
2,170
1,755
78
435
(440;
-
115
-
8,882
6,824
-
155,105
181,921
159,647
1,950,737
2,514,572
2,382,742
118,185
4,700
5,862
128,747
12,948
95,260
223,502
197,127
932
TOTAL RENTALS 529,769
38,168
121,626 165,416
4,200
5,400
9,230
8,842
135,056
179,658
23,063
15,867
88,353
39,973
-
43,034
6,261
-
7,417
236,359
237,471
74,823
197,236
160
2,227
422,758
549,486
43,053 56,306
7,443,903
4,432,364
23,667
404,255
12,304,189
829,796
2,228,305
75,000
5,896,276
1,818,591
2,158,179
383,000
13,389,147
50,055
38,500
73,000
1,200
500
500
420,000
10,000
1,000
8,500
7,800
320,000
1,200,000
2,200
700
10,000
150,000
2,293,955
100,000
2,500
8,000
110,500
25,000
2,157
40,000
10,000
20,000
200,000
109,794
1,644
408,595
84,082
7,664,800
4,623,800
100
457,400
12,746,100
814,400
2,500,500
79,700
5,740,000
1,871,100
2,112,800
370,400
13,488,900
A-1
50,000
40,000
100,000
1,500
500
800
415,000
10,000
800
8,000
7,800
320,000
1,200,000
2,000
700
14,000
150,000
2,321,100
100,000
5,000
8,000
113,000
25,000
2,000
40,000
7,000
20,000
180,000
152,700
426,700
83,300
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
CHARGES FOR SERVICES
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
3906 Sale of Signs/Services
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
CHARGES FOR SERVICES
3401 Engineering Fees
29,412
36,477
26,214
2,500
10,000
3906 Sale of Signs/Services
3,535
1,645
1,800
300
700
5120-3411 Hike Fees
-
25
-
-
-
5160-3411 Shoreline Parking Lot Fees
117,734
121,713
279,411
230,000
230,000
5170-3412 Program Fees
6,886
11,799
10,143
8,000
8,000
5190-3412 REACH - Program Fees
10,764
10,839
9,062
5,000
6,000
TOTAL CHARGES FOR SERVICES
168,331
182,498
326,630
245,800
254,700
INTERGOVERNMENTAL REVENUE
TOTAL INTERGOVERNMENTAL REVENUE
1,352,927
1,090,212
919,750
884,140
3301 Federal Grant Income
-
17,025
-
-
3302 Grant Income
1,987
1,350
5,178
3,000
250
3302 NCCP Grant Income
11,630
-
OTHER REVENUE
-
3302 Motor Vehicle in Lieu
18,466
17,837
17,174
19,282
Misc. Revenues
TOTAL INTERGOVERNMENTAL
32,083
36,212
22,352
19,282
-
OTHER REVENUE
3999 Misc. Revenues
1,451,705
410,124
20,674
125,215
315,300
3801 Special Fund Administration
152,700
155,800
155,800
155,800
89,700
3902 CASP Fees
1,046
1,498
1,487
500
500
5170-3901 Donations - 4th of July
5,275
2,450
10,125
2,950
3,000
5120-3901 Donations - Britton Memorial
-
-
-
132
5170-3901 Donations - Special Events
1,600
1,600
-
7,000
1,000
5170-3901 Donations - PVIC
12,096
15,972
13,117
12,000
12,000
5180-3999 PVIC Gift Shop
111,986
119,314
121,890
120,000
120,000
5190-3901 Donations - REACH
12,295
2,767
2,448
3,000
3,000
3901 Donations - General
116
5
1,018
-
-
3999 State Mandate Cost Reimbursement
5,196
190,844
56,678
-
-
3904 RDA Loan Payment
-
58,332
126,900
88,249
179,000
3908 Successor Agency Adminstratior
60,750
31,311
18,495
50,000
50,000
TOTAL OTHER REVENUE
1,814,765
990,017
528,632
564,846
773,500
TOTAL OPERATING REVENUE
27,829,790
28,084,854
28,903,281
29,420,396
30,207,300
INTER -FUND TRANSFERS
Transfer In Public Safety Grant
100,000
100,000
100,000
100,000
140,000
Transfer In Building Replacement
-
-
334
-
-
Transfer In Waste Reduction - Park Maintenance
3,000
-
Transfer in Measure A Maintenance
67,441
261,049
45,923
90,000
90,000
TOTAL TRANSFERS IN
167,441
364,049
146,257
190,000
230,000
TOTAL GENERAL FUND
27,997,231
28,448,903
29,049,538
29,610,396
30,437,300
ALL OTHER FUNDS
STATE GAS TAX FUND
INTERGOVERNMENTAL REVENUE
3309
State Gas Tax - 2031
243,200
3304
State Gas Tax - 2103
600,900
402,920
218,649
184,785
190,100
3305
State Gas Tax - 2105
293,345
235,758
238,976
245,793
256,000
3306
State Gas Tax - 2106
138,880
143,807
144,946
150,488
159,500
3307
State Gas Tax -2107
313,802
301,727
311,179
297,074
331,000
3308
State Gas Tax - 2107.5
6,000
6,000
6,000
6,000
6,000
TOTAL INTERGOVERNMENTAL REVENUE
1,352,927
1,090,212
919,750
884,140
1,185,800
CHARGES
FOR SERVICE
3404
Sidewalk Repair
3,000
250
1,495
-
-
OTHER REVENUE
3999
Misc. Revenues
25,945
25,649
27,460
18,105
67,300
INTEREST
3601
Interest on Investments
1,389
2,472
5,783
8,120
8,100
A-2
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
TRANSFERSIN
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
200,000
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
TRANSFERSIN
9211
Transfer in from 1911 Act Fund
99,000
99,000
117,000
9203
Transfer in from 1972 Act Fund
190,000
200,000
200,000
9215
Transfer in from Proposition C
522,000
518,749
526,000
9212
Transfer in from Beautification Fund
211,404
224,000
97,791
9213
Transfer in from Waste Reduction Fund
41,292
37,000
95,000
22,100
TOTAL TRANSFERS IN
1,063,696
1,078,749
1,035,791 -
22,100
TOTAL STATE GAS TAX FUND
2,446,957
2,197,332
1,990,279 910,365 1,261,200
1972 ACT FUND
OTHER TAXES
3102 Assessments 260,452 259,520 259,565 262,500
INTEREST
3601 Interest on Investments 330 357 399 300
TOTAL 1972 ACT FUND 260,782 259,877 259,964 262,800
EL PRADO FUND
OTHER TAXES
3102 Assessments 2,168 2,269 2,357 2,309 2,300
INTEREST
3601 Interest on Investments 43 49 89 152 200
TOTAL EL PRADO FUND 2,211 2,318 2,446 2,461 2,500
1911 ACT FUND
OTHER TAXES
3102 Assessments 550,800 580,630 605,899 606,800 606,800
INTEREST
3601 Interest on Investments 3,795 4,248 6,894 11,004 11,000
TOTAL 1911 ACT FUND 554,595 584,878 612,793 617,804 617,800
BEAUTIFICATION FUND
CHARGES FOR SERVICE
3405 Hauler Recycle Fee - - - - -
INTEREST
3601 Interest on Investments 2,193 1,935 2,052 2,862 2,900
TOTAL EL PRADO FUND 2,193 1,935 2,052 2,862 2,900
WASTE REDUCTION FUND
INTERGOVERNMENTAL REVENUE
3705 Reimbursement LA County TRAP
3302 State Grant
-
-
-
-
-
3302 Used Oil Payment
23,347
11,879
23,238
22,100
22,100
TOTAL INTERGOVERNMENTAL
23,347
11,879
23,238
22,100
22,100
CHARGES FOR SERVICE
3406 AB 939 Fees
230,313
236,486
192,169
185,000
185,000
INTEREST
3601 Interest on Investments
869
1,077
1,834
2,742
2,800
TOTAL ASSET FORFEITURE
254,529
249,442
217,241
209,842
209,900
AIR QUALITY MANAGEMENT FUND
INTERGOVERNMENTAL REVENUE
3303 AB 2766 Revenue 38,612 66,122 54,096 50,000 50,000
INTEREST
3601 Interest on Investments 277 203 326 536 600
TOTAL AQMD FUND 38,889 66,325 54,422 50,536 50,600
A-3
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
PROPOSITION "C" TRANSPORTATION FUND
INTERGOVERNMENTAL REVENUE
3303 Proposition "C" Sales Tax 593,536 618,572 634,714 646,900 664,000
INTEREST
3601 Interest on Investments 4,078 4,092 1,968 3,016 3,000
TOTAL PROPOSITION "C" FUND 597,614 622,664 636,682 649,916 667,000
PROPOSITION "A" TRANSPORTATION FUND
3303 Proposition "A" Sales Tax 714,750 744,798 764,573 775,000 800,500
OTHER REVENUE
3999 Misc Revenues - - - 1,675,000 -
INTEREST
3601 Interest on Investments 737 1,203 1,353 3,068 3,100
TOTAL PROPOSITION "A" FUND 715,487 746,001 765,926 2,453,068 803,600
PUBLIC SAFETY FUND
INTERGOVERNMENTAL REVENUE
3302 CA Brulte (COPS) 100,000 106,230 114,618 100,000 100,000
INTEREST
3601 Interest on Investments 170 212 278 426 300
TOTAL PUBLIC SAFETY FUND 100,170 106,442 114,896 100,426 100,300
MEASURE "R" TRANSIT SALES TAX FUND
INTERGOVERNMENTAL REVENUE
3303 Measure "R" Sales Tax 442,452 463,448 475,932 482,600 498,000
INTEREST
3601 Interest on Investments 2,156 3,518 5,418 10,600 10,600
TOTAL MEASURER" FUND 444,608 466,966 481,350 493,200 508,600
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INTERGOVERNMENTAL REVENUE
3303 Measure "M" Sales Tax 536,200
INTEREST
3601 Interest on Investments 4,600
TOTAL MEASURER" FUND 540,800
HABITAT RESTORATION FUND
Ij,kig ieZeI9=1:1ZItj1�1',,k1_\0:7:J9=I.IR=
3302 State Grant Income
10
- - - -
INTEREST
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
3999 Misc Revenues
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
PROPOSITION "C" TRANSPORTATION FUND
INTERGOVERNMENTAL REVENUE
3303 Proposition "C" Sales Tax 593,536 618,572 634,714 646,900 664,000
INTEREST
3601 Interest on Investments 4,078 4,092 1,968 3,016 3,000
TOTAL PROPOSITION "C" FUND 597,614 622,664 636,682 649,916 667,000
PROPOSITION "A" TRANSPORTATION FUND
3303 Proposition "A" Sales Tax 714,750 744,798 764,573 775,000 800,500
OTHER REVENUE
3999 Misc Revenues - - - 1,675,000 -
INTEREST
3601 Interest on Investments 737 1,203 1,353 3,068 3,100
TOTAL PROPOSITION "A" FUND 715,487 746,001 765,926 2,453,068 803,600
PUBLIC SAFETY FUND
INTERGOVERNMENTAL REVENUE
3302 CA Brulte (COPS) 100,000 106,230 114,618 100,000 100,000
INTEREST
3601 Interest on Investments 170 212 278 426 300
TOTAL PUBLIC SAFETY FUND 100,170 106,442 114,896 100,426 100,300
MEASURE "R" TRANSIT SALES TAX FUND
INTERGOVERNMENTAL REVENUE
3303 Measure "R" Sales Tax 442,452 463,448 475,932 482,600 498,000
INTEREST
3601 Interest on Investments 2,156 3,518 5,418 10,600 10,600
TOTAL MEASURER" FUND 444,608 466,966 481,350 493,200 508,600
liil�Fi�L'7�iliiiYf>r 7G`L•�fi��►���,r►_%�►l�`l��
INTERGOVERNMENTAL REVENUE
3303 Measure "M" Sales Tax 536,200
INTEREST
3601 Interest on Investments 4,600
TOTAL MEASURER" FUND 540,800
HABITAT RESTORATION FUND
Ij,kig ieZeI9=1:1ZItj1�1',,k1_\0:7:J9=I.IR=
3302 State Grant Income
10
- - - -
INTEREST
3601 Interest on Investments
820
3,634 5,843 7,890 5,000
OTHER REVENUES
3999 Misc Revenues
1,211,610
1,666 - 4,800 -
TRANSFERSIN
9101 Transfer in from General Fund
150,000
157,000 - - -
TOTAL HABITAT RESTORATION FUND
1,362,440
162,300 5,843 12,690 5,000
SUBREGION 1 FUND
INTEREST
3601 Interest on Investments 1,695 1,946 3,080 4,718 4,800
TRANSFERSIN
9101 Transfer in from General Fund 61,000 46,000 - -
TOTAL SUBREGION 1 FUND 62,695 47,946 3,080 4,718 4,800
MA
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
MEASURE A FUND
INTERGOVERNMENTAL REVENUE
3303 Measure A
INTEREST
67,441 261,049 90,225 90,000 90,000
3601 Interest on Investments 5 331 171 98 100
TOTAL MEASURE A FUND 67,446 261,380 90,396 90,098 90,100
ABALONE COVE SEWER MAINTENANCE FUND
�Si:f43f-IXOR
3102 Assessments
54,450
56,373
55,670
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
344-60 Sewer User Fees
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
MEASURE A FUND
INTERGOVERNMENTAL REVENUE
3303 Measure A
INTEREST
67,441 261,049 90,225 90,000 90,000
3601 Interest on Investments 5 331 171 98 100
TOTAL MEASURE A FUND 67,446 261,380 90,396 90,098 90,100
ABALONE COVE SEWER MAINTENANCE FUND
�Si:f43f-IXOR
3102 Assessments
54,450
56,373
55,670
55,100
55,100
CHARGES FOR SERVICE
95,257
-
- - -
9220
Transfer in from Measure R
344-60 Sewer User Fees
1,257
1,270
-
-
-
INTEREST
-
9334
Transfer in from Quimby
-
3601 Interest on Investments
92
119
336
496
500
TRANSFERSIN
Transfer in from Prop A
-
310,886
-
9215
9101 Transfer in from General Fund
50,700
50,700
80,700
208,000
208,000
TOTAL ABALONE COVE SEWER MAINT. FUND
106,499
108,462
136,706
263,596
263,600
GINSBURG CULTURAL ARTS BUILDING
INTEREST
3601 Interest on Investments 271 258 338 512 500
TOTAL GINSBURG CULTURAL ARTS FUND 271 258 338 512 500
DONOR RESTRICTED DONATIONS FUND
INTEREST
3601 Interest on Investments 1,775 2,079 3,106 5,148 -
OTHER REVENUE
3901 Donations - Restricted 25,500 25,500 15,168 9,000 7,500
TOTAL DONOR RESTRICTED DONATIONS FUND 27,275 27,579 18,274 14,148 7,500
COMMUNITY DEVELOPMENT BLOCK GRANT FUND
INTERGOVERNMENTAL REVENUE
3301 Grant Income 9,661 82,855 297,593 289,100 139,300
TRANSFERSIN
9101 Transfer In General Fund - - 12,680 - -
TOTAL CDBG FUND 9,661 82,855 310,273 289,100 139,300
CAPITAL IMPROVEMENT FUND
INTERGOVERNMENTAL REVENUE
3301 Federal Grant
3302 State Grant
3303 Local Grant
TOTAL INTERGOVERNMENTAL REVENUE
INTEREST
3601 Interest on Investments
OTHER REVENUE
3999 Misc Revenues
TRANSFERSIN
Transfer In General Fund
1,191,697 312,272 45,866 150,000
500,000 - - -
- - - 286,200 286,200
1,691,697 312,272 45,866 436,200 286,200
25,415 36,014 87,808 172,378 172,400
9101
Transfer in from General Fund
8,396,111
11,420,155
10,221,894 3,943,750 4,526,000
9340
Transfer in from TDA Article 3
95,257
-
- - -
9220
Transfer in from Measure R
-
564,000
9339
Transfer in from Measure A (Capital)
-
-
9334
Transfer in from Quimby
-
50,000
9338
Transfer in from EET
97,199
200,000
9216
Transfer in from Prop A
-
310,886
-
9215
Transfer in from Prop C
350,184
1,228,719
9501
Transfer in from Water Quality/Flood Protection
-
362,360
- -
TOTAL TRANSFERS IN
8,841,552
13,983,319
10,471,894 3,943,750 4,526,000
TOTAL CAPITAL IMPROVEMENT FUND 10,558,664 14,331,605 10,605,568 4,552,328 4,984,600
A-5
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
FEDERAL GRANTS FUND
INTERGOVERNMENTAL REVENUE
3301 Federal Grant Income
INTEREST
3601 Interest on Investments
TOTAL FEDERAL GRANTS FUND
STATE GRANTS FUND
INTERGOVERNMENTAL REVENUE
3302 State Grant Income
INTEREST
3601 Interest on Investments
TOTAL FEDERAL GRANTS FUND
QUIMBY FUND
CHARGES FOR SERVICE
3907 Quimby Developer Fee
9330 Transfer in Capital Improvement Fund
INTEREST
57,276 1,278,322 1,074,511
1,131,300
247,500
- 247,500
50,929 51,000
3601 Interest on Investments
81
1,326
7,686
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
FEDERAL GRANTS FUND
INTERGOVERNMENTAL REVENUE
3301 Federal Grant Income
INTEREST
3601 Interest on Investments
TOTAL FEDERAL GRANTS FUND
STATE GRANTS FUND
INTERGOVERNMENTAL REVENUE
3302 State Grant Income
INTEREST
3601 Interest on Investments
TOTAL FEDERAL GRANTS FUND
QUIMBY FUND
CHARGES FOR SERVICE
3907 Quimby Developer Fee
9330 Transfer in Capital Improvement Fund
INTEREST
57,276 1,278,322 1,074,511
1,131,300
247,500
- 247,500
50,929 51,000
3601 Interest on Investments
81
1,326
7,686
14,324
14,400
TOTAL QUIMBY FUND
57,357
1,279,648
1,082,197
65,253
65,400
CITY LOW -MOD INCOME HOUSING FUND
INTEREST
3601 Interest on Investments
14
71
196
570
600
OTHER REVENUES
3999 Misc Revenues
11,095
22,350
33,261
-
-
PROPERTY TAX
3108 Redevelopment Property Tax Trust
-
-
12,999
22,062
44,700
TOTAL CITY LOW -MOD INCOME HOUSING FUND
11,109
22,421
46,456
22,632
45,300
AFFORDABLE HOUSING PROJECTS FUND
INTEREST
3601 Interest on Investments
1,064
1,339
2,167
3,516
3,500
OTHER REVENUES
3999 Misc Revenues
2,774
83,355
2,778
-
-
TOTAL AFFORDABLE HOUSING PROJECTS FUND
3,838
84,694
4,945
3,516
3,500
ENVIRONMENTAL EXCISE TAX (EET)
CHARGES FOR SERVICE
3907 EET Developer Fee
14,404
20,012
66,450
113,000
113,000
9330 Transfer in Capital Improvement Fund
INTEREST
3601 Interest on Investments
929
1,001
1,161
1,516
1,500
TOTAL QUIMBY FUND
15,333
21,013
67,611
114,516
114,500
TDA ARTICLE 3 - SB 821 BIKEWAY FUND
INTEREST
3601 Interest on Investments
141
25
-
-
OTHER REVENUE
3999 Misc Revenue
-
-
-
INTERGOVERNMENTAL REVENUE
3303 TDA Article 3 - SB 821
34,133
82,500
82,500
TOTAL TDA ARTICLE 3 FUND
34,274
25
82,500
82,500
M
CITY OF RANCHO PALOS VERDES
STATEMENT OF REVENUES - ALL FUNDS
FISCAL YEAR 2017-2018
WATER QUALITY/FLOOD PROTECTION FUND
Sales of Surplus Property
14,655
INTEREST
PROJECTED
DRAFT
CLASSIFICATION
ACTUALS
ACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
BUDGET
3402 Storm Drain User Fees
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
WATER QUALITY/FLOOD PROTECTION FUND
Sales of Surplus Property
14,655
INTEREST
-
-
3601 Interest on Investments
10,982
10,260 20,662 32,850
CHARGES FOR SERVICES
332,700
117,700 300,900
3402 Storm Drain User Fees
1,360,907
1,368,568 1,384,897 7,447
INTERGOVERNMENTAL REVENUE
332,700
117,700 300,900
3302 State Grant Income
6,114,956
1,212,995 -
TOTAL WATER QUALITY FUND
7,486,845
2,591,823 1,405,559 40,297
EQUIPMENT REPLACEMENT FUND
392-10
Sales of Surplus Property
14,655
-
-
-
3803
Interfund Charges
731,300
906,300
332,700
117,700 300,900
TOTAL EMPLOYEE BENEFITS FUND
TOTAL CHARGES FOR SERVICE
745,955
906,300
332,700
117,700 300,900
TRANSFERSIN
TOTAL OTHER FUNDS REVENUES
28,021,744
27,271,076
21,428,885 11,444,484 12,251,500
TOTAL CITY REVENUES
9214
Transfer in from AQMD
54,910
-
-
- -
INTEREST
-
3601
Interest on Investments
5,712
7,037
11,634
17,600 -
TOTAL EQUIPMENT REPLACEMENT FUND
806,577
913,337
344,334
135,300 300,900
EMPLOYEE BENEFITS FUND
CHARGES FOR SERVICE
3802 Employee Benefit Charges
1,993,425
2,030,970
2,166,924
INTEREST
3601 Interest on Investments
-
580
2,330
TOTAL EMPLOYEE BENEFITS FUND
1,993,425
2,031,550
2,169,254 - -
TOTAL OTHER FUNDS REVENUES
28,021,744
27,271,076
21,428,885 11,444,484 12,251,500
TOTAL CITY REVENUES
56,018,975
55,719,979
50,478,423 41,054,880 42,688,800
A-7
CITY OF RANCHO PALOS VERDES
STATEMENT OF EXPENDITURES - ALL FUNDS
FISCAL YEAR 2017-2018
TRANSFERS OUT
8,747,811
8,574,614
10,352,274
PROJECTED
4,772,000
CLASSIFICATION
ACTUALS7FYCTUALS
120,557
ACTUALS
YEAR-END (3rd Qtr.)
DRAFT BUDGET
CITY ATTORNEY
FY 2013-14
2014-15
FY 2015-16
FY 2016-17
FY 2017-18
TRANSFERS OUT
8,747,811
8,574,614
10,352,274
4,189,750
4,772,000
CITY COUNCIL
137,169
120,557
119,331
119,814
128,600
CITY ATTORNEY
1,186,947
856,190
1,049,278
950,422
925,000
PUBLIC SAFETY
212,053
278,332
299,740
587,100
586,100
Sheriff
4,177,601
4,345,828
4,792,928
5,369,200
6,135,200
Special Programs
61,839
98,528
110,754
1,986,030
825,500
TOTAL PUBLIC SAFETY
4,239,440
4,444,356
4,903,682
7,355,230
6,960,700
CITY ADMINISTRATION
3,613,029
4,063,755
3,984,821
4,766,247
5,184,100
City Manager
973,379
731,613
885,212
778,596
840,100
City Clerk
643,145
486,496
637,521
438,022
679,600
Community Outreach
80,017
121,021
75,344
75,300
87,500
Emergency Preparedness
171,526
235,705
195,636
209,026
189,300
RPVty
153,443
175,200
221,837
228,400
229,000
Personnel
314,837
399,980
388,905
387,834
392,700
Risk Management
467,248
399,980
589,889
-
-
Information Technology- Data
356,593
551,772
876,156
1,047,416
1,134,700
Information Technology- Voice
72,238
87,672
96,117
110,000
95,000
TOTAL CITY ADMINISTRATION
3,232,426
3,189,439
3,966,617
3,274,594
3,647,900
FINANCE
-
39,472
57,441
70,457
26,000
Finance
1,407,325
1,208,680
1,243,420
1,228,366
1,410,600
Non -departmental
35,000
190,467
237,778
2,667,030
1,106,400
TOTAL CITY ADMINISTRATION
1,442,325
1,399,147
1,481,198
3,895,396
2,517,000
COMMUNITY DEVELOPMENT
1,573,114
1,818,846
2,042,418
2,275,897
2,698,000
Administration
-
604,500
Planning
1,311,995
1,375,122
1,269,390
1,394,368
1,005,400
Building & Safety
626,386
744,830
762,358
803,589
969,100
Code Enforcement
212,381
207,064
160,856
130,618
321,000
View Restoration
335,870
394,210
289,446
314,102
357,000
NCCP
15,260
-
-
75,000
-
Geology
131,672
149,201
137,100
150,000
150,000
Animal Control
81,346
81,180
115,235
105,000
136,000
TOTAL COMMUNITY DEVELOPMENT
2,714,910
2,951,607
2,734,385
2,972,677
3,543,000
PUBLIC WORKS
Public Works Administration
1,966,202
2,097,473
2,234,405
2,129,899
2,473,300
Traffic Management
76,611
91,847
113,729
347,648
406,000
Storm Water Quality
212,053
278,332
299,740
587,100
586,100
Building Maintenance
402,120
576,139
501,709
653,100
651,800
Parks, Trails & Open Space Maintenance
904,917
988,184
818,498
979,500
997,900
Sewer Maintenance
51,126
31,780
16,740
69,000
69,000
TOTAL PUBLIC WORKS
3,613,029
4,063,755
3,984,821
4,766,247
5,184,100
RECREATION AND PARKS
Recreation Administration
653,202
780,059
906,415
949,505
1,193,000
Other Recreational Facilities
463,195
437,375
523,080
146,167
77,200
Fred Hesse Jr. Park
-
-
-
167,155
202,100
Robert E. Ryan Park
98,005
120,000
Ladera Linda Community Center
77,083
99,100
Abalone Cove Shoreline Park
-
-
-
90,378
98,300
Special Events and Programs
91,629
89,722
127,484
198,542
218,000
Point Vicente Interpretive Center
330,967
434,064
386,052
434,895
425,300
REACH
34,121
38,154
41,946
43,710
66,700
Support Services
-
39,472
57,441
70,457
26,000
City Run Sports
-
-
-
18,700
Eastview
5,000
Open Space Management
-
-
-
-
148,600
TOTAL RECREATION & PARKS
1,573,114
1,818,846
2,042,418
2,275,897
2,698,000
TOTAL GENERAL FUND 26,887,171 27,418,511 30,634,004 29,800,027 30,376,300
F1,1111re
U090-1
CITY OF RANCHO PALOS VERDES
STATEMENT OF EXPENDITURES - ALL FUNDS
FISCAL YEAR 2017-2018
ALL OTHER FUNDS
STATE GAS TAX
Street Pavement Maintenance
Street Landscape Maintenance
Traffic Signal Maintenance
Portuguese Bend Rd. Maintenance
Street Landscape Maintenance (CIP)
TOTAL STATE GAS TAX
1972 ACT
Street Lights Maintenance
Transfers Out
TOTAL 1972 ACT
EL PRADO
1911 ACT
Street Lights Maintenance
Capital Improvements
Transfers Out
TOTAL 1911 ACT
BEAUTIFICATION
Operating Expenses
Street Maintenance
Capital Improvements
Transfers Out
TOTAL BEAUTIFICATION
WASTE REDUCTION
Operating Expenses
Transfers Out
TOTAL WASTE REDUCTION
AIR QUALITY
Operating Expenses
Transfers Out
TOTAL WASTE REDUCTION
PROP "C" TRANSPORTATION
Dial -A -Ride
Street Maintenance
Street Maintenance (CIP)
Transfers Out
TOTAL PROPOSITION "C"
PROP "A" TRANSPORTATION
Dial -a -Ride
Transfers out
TOTAL PROPOSITION "A"
PUBLIC SAFETY
Transfers out
TOTAL PUBLIC SAFETY
245,000
1,277,808
1,328,677
1,347,990
1,681,400
PROJECTED
58,915
CLASSIFICATION
ACTUALS
FACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
DRAFT BUDGET
525,426
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
ALL OTHER FUNDS
STATE GAS TAX
Street Pavement Maintenance
Street Landscape Maintenance
Traffic Signal Maintenance
Portuguese Bend Rd. Maintenance
Street Landscape Maintenance (CIP)
TOTAL STATE GAS TAX
1972 ACT
Street Lights Maintenance
Transfers Out
TOTAL 1972 ACT
EL PRADO
1911 ACT
Street Lights Maintenance
Capital Improvements
Transfers Out
TOTAL 1911 ACT
BEAUTIFICATION
Operating Expenses
Street Maintenance
Capital Improvements
Transfers Out
TOTAL BEAUTIFICATION
WASTE REDUCTION
Operating Expenses
Transfers Out
TOTAL WASTE REDUCTION
AIR QUALITY
Operating Expenses
Transfers Out
TOTAL WASTE REDUCTION
PROP "C" TRANSPORTATION
Dial -A -Ride
Street Maintenance
Street Maintenance (CIP)
Transfers Out
TOTAL PROPOSITION "C"
PROP "A" TRANSPORTATION
Dial -a -Ride
Transfers out
TOTAL PROPOSITION "A"
PUBLIC SAFETY
Transfers out
TOTAL PUBLIC SAFETY
245,000
1,277,808
1,328,677
1,347,990
1,681,400
1,284,100
58,915
97,396
80,857
100,000
10,000
524,977
518,749
525,426
48,500
60,000
186,478
192,390
-
350,718
-
2,048,178
2,137,212
1,954,273
2,180,618
1,599,100
78,182
75,337
75,335 273,800
190,000
200,000
200,000 -
268,182
275,337
275,335 273,800 -
30
689
31 800 800
467,456 545,084 426,065 487,000 487,000
1,000,000
99,000 99,000 117,000 - -
566,456 644,084 543,065 487,000 1,487,000
211,404 224,000 97,791
211,404 224,000 97,791
475,000
475,000
181,598 114,321 148,483 294,791 290,700
41,292 40,000 98,000 - -
222,890 154,321 246,483 294,791 290,700
50,000 50,000 50,000 50,000 50,000
54,910 - - - -
104,910 50,000 50,000 50,000 50,000
- - - 706,000 600,000
872,184 1,747,468 526,000 - -
872,184 1,747,468 526,000 706,000 600,000
584,953 640,567 611,907 638,300 648,300
- 310,886 - - -
584,953 951,453 611,907 638,300 648,300
100,000 100,000 100,000 100,000 140,000
100,000 100,000 100,000 100,000 140,000
CITY OF RANCHO PALOS VERDES
STATEMENT OF EXPENDITURES - ALL FUNDS
FISCAL YEAR 2017-2018
MEASURE R
PROJECTED
CLASSIFICATION
ACTUALS
FACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
DRAFT BUDGET
Transfers out
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
MEASURE R
Capital Improvements
650,000
Transfers out
-
TOTAL MEASURE R
650,000
MEASURE M
Operating Expenses
536,200
Capital Improvements
-
Transfers out
-
TOTAL MEASURE R
-
-
-
-
536,200
HABITAT RESTORATION
133,620
136,059
139,343
166,500
174,300
SUBREGION 1
32,428
51,319
35,046
42,800
44,800
MEASURE A
Transfers out
67,441
261,049
42,923
90,000
90,000
TOTAL MEASURE A
67,441
261,049
42,923
90,000
90,000
ABALONE COVE SEWER MAINTENANCE
84,171
112,145
110,713
249,383
250,500
GINSBURG CULTURAL ARTS BUILDING
20,000
18,000
16,000
-
-
DONOR RESTRICTED DONATIONS
Operating Expenses
5,042
22,519
11,742
25,225
5,000
Capital Improvements
-
-
-
-
300,000
Transfers out
-
-
-
-
TOTAL DONOR RESTRICTED DONATIONS
5,042
22,519
11,742
25,225
305,000
COMMUNITY DEVELOPMENT BLOCK GRANT
77,971
26,170
298,649
289,100
139,300
CAPITAL IMPROVEMENT PROGRAM FUND
Administration
77,307
25,277
75,554
288,300
155,000
Street Improvements
2,127,240
6,419,874
823,046
6,016,987
4,096,000
Parks, Trails & Open Space Improvements
1,875,455
1,952,382
270,977
481,900
350,000
Sewer Improvements
7,332
25,738
-
200,000
175,000
Building Improvements
25,692
273,338
112,342
305,000
497,300
Storm Water Quality Improvements
-
-
-
460,000
251,100
Landslide Improvements
-
62,436
1,256,800
140,000
Transfers Out
-
820,000
-
-
-
TOTAL CAPITAL IMPROVEMENT
4,113,026
9,516,609
1,344,355
9,008,987
5,664,400
FEDERAL GRANTS
Capital Improvements
1,131,300
Transfers out
-
-
-
-
TOTAL FEDERAL GRANTS
1,131,300
STATE GRANTS
Capital Improvements
247,500
Transfers out
-
TOTAL STATE GRANT
-
247,500
QUIMBY
Capital Improvements
29,000
-
1,002,600
650,000
Transfers Out
50,000
TOTAL QUIMBY
29,000
50,000
1,002,600
650,000
CITY LOW -MOD INCOME HOUSING
-
-
-
-
AFFORDABLE HOUSING PROJECTS
A-10
CITY OF RANCHO PALOS VERDES
STATEMENT OF EXPENDITURES - ALL FUNDS
FISCAL YEAR 2017-2018
ENVIRONMENTAL EXCISE TAX (EET)
PROJECTED
Capital Improvements
CLASSIFICATION
ACTUALS
FACTUALS
ACTUALS
YEAR-END (3rd Qtr.)
DRAFT BUDGET
97,199
FY 2013-14
FY 2014-15
FY 2015-16
FY 2016-17
FY 2017-18
ENVIRONMENTAL EXCISE TAX (EET)
Capital Improvements
51,000
-
-
Transfers Out
-
97,199
200,000
TOTAL ENVIRONMENTAL EXCISE TAX (EET)
51,000
97,199
200,000
-
TDA ARTICLE 3 - SB 821 BIKEWAY FUND
Capital Improvements
-
-
97
82,500 82,500
Transfers Out
95,257
-
- -
TOTAL TDA ARTICLE 3 - SB 821 BIKEWAY
95,257
97
82,500 82,500
WATER QUALITY/FLOOD PROTECTION
Operating Expenses
-
-
-
435,300
Capital Improvements
406,310
782,017
646,433
4,186,200 -
Transfers Out
-
362,360
-
-
TOTAL WATER QUALITY/FLOOD PROTECTION
406,310
1,144,377
646,433
4,621,500 -
EQUIPMENT REPLACEMENT
374,043
539,011
582,433
1,244,000 1,844,300
EMPLOYEE BENEFITS
1,955,447
2,049,468
2,247,354
- -
OUTSIDE SERVICES TRUST
TOTAL ALL OTHER FUNDS 12,423,943 20,258,489 10,129,973 21,553,904 17,101,000
TOTAL ALL FUNDS 39,311,114 47,677,000 40,763,977 51,353,931 47,477,300
A-11
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W:\Finance Mgmt\Budget\Budget 2018\2017-06-06 Budget hearing\SR and Docs\2017-06-06 FY 17-18 Five -Year CIP Plan.xlsx
1 Printed: 5/30/2017 7:07 PM
FY 17-18 Capital Budget Revenue Sources
PROPOSED 5 -YR CAPITAL IMPROVEMENT PROGRAM
Continuing Appro.
Community Dev Restricted 1911 Act Street NEW Federal
Project (Funds to be FY17-18 Project
CIP Reserves Beautification Proposition C Measure R TDA (Fund Block Grant Donations Lighting Grant (Fund Quimby (Fund
FY 17-18 FY 18-19 FY 19-20 FY 20-21 FY 21-22
Carried -over into Amount
(Fund 330) (Fund 212) (Fund 215) (Fund 220) 340) (CDBG) (Fund 228) (Fund 211) 331) 334)
FY 17-18)
(Fund 310)
Infrastructure Improvements Admin �.
Engineering Review/Labor Compliance 60,000
60,000
60,000 60,000 60,000 60,000 60,000
Grant Administration 70,000
70,000
70,000 70,000 70,000 70,000 70,000
25,000 50,000
Infrastructure Management Plan 25,000
25,000
Total Infrastructure Improvements Administration 155,000
155,000
155,000 180,000 130,000 130,000 130,000
Abalone Cove Landslide Abatement District (ACLAD)
Sewer System
ACLAD Sewer System Rehabilitation Program
250,000 450,000 450,000 450,000
175,000
ACLAD Sewer System Rate Study and Telemetry 175,000
175,000
Total ACLAD 175,000
175,000
-
175,000 250,000 450,000 450,000 450,000
Palos Verdes Drive South (PVDS) Landslide
IL
PVDS Realignment- East End 100,000
100,000
100,000 1,000,000
Landslide Dewatering Well Program
-
Portuguese Bend Landslide Area Strategic Plan 40,000
40,000
40,000
Portuguese Bend Landslide Area Resurfacing Program 600,000
600,000
600,000
600,000 600,000 650,000
650,000
Total PVDS Landslide 740,000
M=="=�
140,000
600,000
Park Sites
Lower Hesse Park Improvements -
Recognition Wall
40,000
Eastview Park Dog Park -
Abalone Cove Beach Access Rd and Parking 50,000 100,000
150,000
150,000
Rehabilitation
Coastal Bluff Fence Replacement Program 200,000
200,000
200,000
200,000 200,000 200,000
200,000
Ladera Linda Community Center Parking Lot
Eastview Park Site and Recreation Improvements -
-
PVIC Parking Lot Lighting Project 1 1 200,000
1
1
1
1 1
1
1
1 200,000 1
200,000
'Total Park Sites
150,000
550,000
240,000 200,000 200,000
200,000
Public Buildings
Public Facility Connectivity (Hesse/ Park/Ryan Park Fiber
Optic Cabling)
RPV TV Building Improvements
-
Ladera Linda Community Center Master Plan 350,000
350,000
350,000
PVIC Exhibit Replacement/Renovation 300,000
300,000
300,000
Citywide ADA Transition Plan Implementation Program 150,000
150,000
150,000
150,000
150,000 150,000
150,000
Civic Center Master Plan 237,300
237,300
237,300
PVIC Sunset Room Acoustical Improvements 110,000
110,000
1
110,000
otal Public Buildings 537,300 610,000
W
497,300
350,000
1,147,300
150,000
150,000
light of Way and Traffic Control Devices
*0=
Hawthorne Blvd Traffic Signal Synchronization
Citywide Traffic Signal Battery Back -Up
Miraleste Arterial Street Rehabilitation
-
PVDE Guardrail Replacement
PVDW Median Improvements at Palos Verdes Estates
475,000
475,000
475,000
Hawthorne Blvd Pedestrian Linkage Improvements
-
PVDS Bike Lane Improvements 754,975
75,497
679,478
754,975
PVDE at Bronco Intersection Improvements 502,095
50,210
451,886
502,095
Residential Street Rehabilitation Program Area 7
-
Residential Street Rehabilitation Program Area 7
3,382,500
3,300,000
82,500
3,382,500
Arterial Rehabilitation - Crenshaw Blvd
200,000
200,000
200,000
2,000,000
Western Av Traffic Congestion Improvements
200,000
200,000
200,000
3,000,000
Arterial Rehabilitation - Indian Peak Rd
-
200,000 1,600,000
Sidewalk Repair and Replacement Program
250,000
250,000
250,000
250,000
250,000 250,000
250,000
Pavement Management Program Biennial Update
-
120,000
120,000
ADA Improvements at City Hall Bus Stop 167,830
167,830
167,830
ADA Improvements - removal of sidewalk curb barriiers
139,300
139,300
139,300
W:\Finance Mgmt\Budget\Budget 2018\2017-06-06 Budget hearing\SR and Docs\2017-06-06 FY 17-18 Five -Year CIP Plan.xlsx
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Drr%r%r%cnr4 CV ')1117_1 4 r r%i+.nl I211o4[Tn+ nnA C_ se%, Irnp%;+ni Drf1eT&-n& 1
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W:\Finance Mgmt\Budget\Budget 2018\2017-06-06 Budget hearing\SR and Docs\2017-06-06 FY 17-18 Five -Year CIP Plan.xlsx B-2Printed: 5/30/2017 7:07 PM
FY 17-18 Capital Budget Revenue Sources
PROPOSED 5 -YR CAPITAL IMPROVEMENT PROGRAM
Continuing Appro.
Community Dev Restricted
1911 Act Street
NEW Federal
Project
(Funds to be
FY17-18 Project
CIP Reserves
Beautification
Proposition C
Measure R
TDA (Fund Block Grant Donations
Lighting
Grant (Fund
Quimby (Fund
FY 17-18
FY 18-19
FY 19-20
FY 20-21
FY 21-22
Carried -over into
Amount
(Fund 330)
(Fund 212)
(Fund 215)
(Fund 220)
340) (CDBG) (Fund 228)
(Fund 211)
331)
334)
FY 17-18)
(Fund 310)
Arterial Walls and Fences Replacement Program
100,000
100,000
560,000
90,000
190,000
800,000
100,000
100,000
100,000
100,000
Citywide Street Light Acquisition
800,000
560,000
90,000
800,000
Western Avenue ALPR Project
560,000
Crest Road Embankment Repair
Total R/W and TCD
1,424,900
6,196,800
4,343,537
475,000
82,500 139,300
800,000
-
7,621,700
torm Water System - Stormwater Quality
f
Connector Pipe Screens (NEW)
251,100
251,100
7
251,100
Torrance Airport SWR Project
Total Storm Water Quality
251,100
251,100
251,100
-
Trails
Conestoga Trail Connection
50,000
100,000
150,000
150,000
Total Trails
50,000
100,000
-
-
-
150,000
150,000
Total
2,062,200
8,727,900
5,761,937
475,000
600,000
650,000
82,500 300,000
1,000,000
1,131,364
650,000
10,790,100
6,890,000
3,080,000
3,530,000
1,950,000
Storm Water System - Repairs & Rehabilition of
Existing System
Storm Drain Lining Program
-
Storm Drain Point Repair Program
Altamira Canyon Drainage Project Study Report
SDDIP Drainage and Roadway Improvements at Sacred
Cove
SDDIP Marguerite/Lower Barkentine/Seacove Drainage
Improvements
Altamira Canyon Cyn Culvert Modifications at PVDS
SDDIP Storm Drain Deficiency Improvement Program
Various Locations
TOTAL STORMWATER ENTERPRISE FUNDS
2,062,200
8,727,900
5,761,937
475,000
600,000
650,000
82,500 139,300 300,000
1,000,000
1,131,364
650,000
10,790,100
6,890,000
3,080,000
3,530,000
1,950,000
W:\Finance Mgmt\Budget\Budget 2018\2017-06-06 Budget hearing\SR and Docs\2017-06-06 FY 17-18 Five -Year CIP Plan.xlsx B-2Printed: 5/30/2017 7:07 PM