Loading...
Agenda Packet 2003-05-29 SP CITY COUNCIL Cttt of AGENDA ArrOlo GrancIe Tony M. Ferrara Mayor Jim Dickens Mayor Pro Tem Steven Adams City Manager Thomas A. Runels Council Member Timothy J. Carmel City Attorney Sandy Lubin Council Member Kelly Wetmore Director, Administrative Services Joe Costello Council Member NOTICE OF SPECIAL MEETING CITY COUNCIUREDEVELOPMENT AGENCY AGENDA SUMMARY THURSDA V, MA V 29, 2003 6:30 P.M. Arroyo Grande City Council Chambers 215 East Branch Street, Arroyo Grande 1. CALL TO ORDER: 6:30 P.M. 2. ROLL CALL: COUNCIURDA 3. FLAG SALUTE 4. CITIZENS' INPUT, COMMENTS, AND SUGGESTIONS on Special Meeting Agenda Items. Members of the public wishing to address the Council/RDA on any item described in this Notice may do so when recognized by the Presiding Officer. 5. CONSIDERATION OF BI-ANNUAL PRELIMINARY BUDGET FY 2003- 04 & FY 2004-05 (ADAMS/SNODGRASS) The City Council/Redevelopment Agency will review the Bi-Annual Preliminary Budget for FY 2003-04 & FY 2004-05. The City Council/RDA will consider adoption of the Bi-Annual FY 2003-04 & FY 2004-05 Budget at its Regular Meeting of June 10, 2003. 6. ADJOURNMENT to Regular City Council/Redevelopment Agency Meeting of Tuesday, June 10,2003 at 7:00 p.m. in the Council Chambers, 215 East Branch Street. \ - ~..._-".~_.~-- ~--------_._.- --~--._------- ~. -_._--~ - MEMORANDUM TO: CITY COUNCIUREDEVELOPMENT AGENCY FROM: STEVEN ADAMS, CITY MANAGER ~ SUBJECT: CONSIDERATION OF FY 2003-04/ FY 2004-05 PRELIMINARY BI- ANNUAL BUDGET DATE: MAY 29,2003 RECOMMENDATION: The FY 2003-04/FY 2004-05 Preliminary Bi-Annual Budget is provided for review, discussion, public input and direction. No action is recommended at this time. The proposed budget will be placed on the June 10, 2003 City Council agenda for formal consideration. FUNDING: The proposed General Fund budget is $10,728,525 for FY 2003-04 and $11,219,770 for FY 2004-05. The FY 2003-04 amount represents a .5% decrease from the FY 2002-03 amended budget. The total recommended City budget for FY 2003-04 is $17,643,950 and $17,047,900 for FY 2004-05. All funds are balanced. DISCUSSION: Please find attached the recommended Preliminary Bi-Annual Budget for FY 2003-04 and FY 2004-05. Staff is presenting a two-year budget for the first time, which is consistent with the recommendations approved by the City Council in January 2000 regarding the City's financial practices. The document represents the collective recommendation of the department directors for the work plan for the upcoming year. All funds are balanced under the proposal. We believe the draft budget addresses existing needs, but does so prudently by managing ongoing costs, balancing priorities and planning long term. The recommended budget will address each of the budget priorities established by the City Council at the initiation of the budget process, which include: . Maintain existing service levels; . Address increased costs of retirement plan rates caused by the economic downturn; . Provide contingency plans to address potential State budget impacts; . Addition of a third full-time paid Fire Engineer position; . Increase street maintenance funding; CITY COUNCIL FY 2003-04/ FY 2004-05 PRELIMINARY BI-ANNUAL BUDGET MAY 29, 2003 PAGE 2 . Increase in park maintenance costs for the new Rancho Grande Park; . Plan for fiscal impact of labor negotiations; and . Continue plan to address the shortfall in the Redevelopment Agency budget. The Fund Balance for the General Fund is projected to be approximately $2,683,900 (25% of appropriations) at the end of FY 2003-04 and $2,963,900 (26.4%) for FY 2004- 05. These amounts will be reduced by costs associated with any commitments resulting from ongoing labor negotiations. Staff is recommending the reserve policy be increased from 15% to 20% at this time, which we believe is a more standard and prudent fiscal policy. It is also recommended that new policies be established that specify minimums for reserves in the Sewer and Water Funds. The City's Capital Improvement Program (CIP) will continue to make a significant investment in the community's future through the maintenance of the infrastructure system. Major projects programmed in the 5-year CIP include resurfacing of Branch Mill Road, Brisco Road, EI Camino Real, Farroll Road, Wilton Place and increased funding for the annual pavement management program. Other significant projects include Sewer Lift Station No. 1 replacement, Reservoir No. 1 replacement, and the Newsom Springs drainage project. The budget includes additional recommendations this year to reduce costs to the Redevelopment Agency in order to address the current shortfall. Based on these recommendations, annual tax increment revenues are projected to exceed expenses by FY 2004-05, at which time the Agency will begin to repay existing debt to the Sewer and Water Facility Funds. The budget proposals also include contingency planning for potential impacts of the State budget crisis on local funding sources. Plans include a $50,000 contingency fund in each year of the two-year budget. Booking fee reimbursement has not been included as budgeted revenue. If additional reductions in revenues are experienced, it is proposed to address them initially through reserves until recommendations for further budget adjustments can be proposed. The department directors should be commended for the cost effective manner in which they have prepared and managed their budgets. In particular, the City's Director of Financial Services, Lynda Snodgrass, has done another exceptional job in preparing the budget document. It is also important to recognize that the continued improvement to I the City's financial condition is largely attributable to the ongoing prudent fiscal policies , and direction of the City Council. ! The budget recommendations, as well as departmental goals and accomplishments, will be presented in more detail at the special City Council Study Session. Please feel free to contact staff with any questions or requests for additional information in the meantime. ----- CITY COUNCIL FY 2003-041 FY 2004-05 PRELIMINARY BI-ANNUAL BUDGET MAY 29, 2003 PAGE 3 Al TERNA TIVES: The following alternatives are provided for the Council's consideration: - Receive and discuss recommendations; - Direct staff to provide additional information and/or make changes. ------ _..~-~--- -..---------------