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Minutes 1995-09-07 , .' 2 5 MINUTES BUDGET STUDY SESSION OF THE CITY COUNCIL THURSDAY, SEPTEMBER 7, 1995 CITY COUNCIL CHAMBERS, 215 EAST BRANCH STREET ARROYO GRANDE, CALIFORNIA The city Council of the city of Arroyo Grande met at 7:00 p.m. for a 1995 - 1996 Preliminary Annual Budget study session, with Mayor A. K. "Pete" Dougall presiding. 1. FLAG SALUTE Mayor Dougall led the Pledge of Allegiance to our Flag. 2. ROLL CALL Present with Mayor Dougall were Council Members Drew Brandy, Michael Fuller, Michael Lady and James Souza. Staff members present were City Manager Robert L. Hunt, City Clerk Nancy Davis, Police Chief Rick TerBorch, Director of Building and Fire Kurt Latipow, Planning Director Doreen Liberto-Blanck, Public Works Director ,John Wallace, Finance Director David Bacon, and Parks and Recreation Director John Keisler. 3. ORAL COMMUNICATIONS None. 4. FISCAL YEAR 1995 - 1996 PRELIMINARY ANNUAL BUDGET The city Manager said documents in the Council's agenda packets included the september 7, 1995 staff report, a september 5, 1995 memorandum from Council Member Brandy, and a September 7, 1995 report responding to Council's requests for more information on (A) the cost effectiveness of the city's print shop, (B) a comparison of, costs of contract city attorney rates for basic services, (C) FY 1995-96 South County Data Processing Cooperative budget, and (D) cost for contracted services: economic development/planner. a. Building and Fire Director of Building and Fire Latipow used the overhead projector and referred to his department's mission statement, accomplishments, and goals and objectives. He gave an overview of his department's three policy items, which were (1) Add a full-time division chief/training officer, (2) Volunteer retention/incentive program, and (3) Implement the proposed three-year program of improvements. He said the department had spent more than 7,000 hours responding to emergencies and of the 1,032 total responses, 49 percent were medical. He said if Council approved his requested budget, it would amount to $36 per resident, while the average statewide is $60. Council Members discussed the following: 1 ~6 . . CITY COUNCIL BUDGET STUDY SESSION SEPTEMBER 7, 1995 1. Additional training that is needed when a new piece of equipment is purchased by the department. 2 . The percentage of out-of-town calls responded to by the r department. 3. The addition of breathing apparatus to accommodate new equipment. 4 . The maintenance and purchase of new protective/safety clothing for the fire fighters, including gloves and fire shelters. 5. The cost of a new heavy-duty chain saw in the, Small Tools account. 6 . Centralizing in one location agreements for Maintenance of Office Equipment and Maintenance of Machinery and Equipment. 7 . The tracking of telephone costs throughout the city. 8. The new Mandated Services account, which included medical physicals. 9. The need for and use of the hook and ladder truck. The Building and Safety area of the budget was reviewed by Mr. Latipow, who listed the Mission Statement, Accomplishments, Goals and Objectives, and Policy Item of reclassifying the Building Department's senior clerk typist to Administrative Assistant Confidential. He told the Council about the positive feedback he has gotten on the cross-training of the Fire/Life Safety Inspector. He also discussed improved field communications, and a plan to assign a lead person, who is responsible for a specific project that comes to the department. Council Members discussed the following: 1. The contracting out of some of the more technical plan checks. 2. The centralizing of supplies, including uniforms. 3. The increase in Travel and Training due to the need for cross- training and the Council's desire to overcome the lack of training for employees. [, The Government Buildings (Maintenance) division of the budget was .'~' explained by Mr. Latipow, who gave the Mission Statement and Goals and objectives. He said the increase in this budget is the result of an attempt to bring the condition of the buildings back 2 . , 27 CITY COUNCIL BUDGET STUDY SESSION SEPTEMBER 7, 1995 to a level of acceptable maintenance and repair. Council Members asked questions and discussed the following: 1. The audit of City assets, which has not been done for four years, for insurance purposes as well as asset control. 2. The rehabilitation of various City buildings so they will last for several years and be safe to work in. 3 . The prioritizing of the list of Structures and Improvements in Account No. 301 on Pages I-7 and I-8. 4. Handling the painting of buildings in-house. 5. Reviewing the estimates for proposed work on I-7 and I-8. 6. Supplying a detailed breakout showing the difference between expenditures on building interiors and grounds. 7. Utilizing community expertise on specific projects on a volunteer basis. FRED FLANNELL, 550 Via Vaquero; BOB TEETERS, 692 Via Vaquero, and PAT DEMPSEY, 436 Collada Corte, spoke to the Council regarding the use of Quimby funds, the appearance of duplication in the entire budget, and changing the budget so that the actual costs of operating departments will be shown. The City Manager said the budget format requested by the Council is evolving and the 1995-96 budget is just the first step. Mayor Dougall said this budget is not perfect but it is better than before. COUNCIL RECESSED FOR TEN MINUTES AT 9:05 P.M. b. Public Works and Related Funds/Activities Director of Public Works Wallace said the Public Works Department's lS different budgets total approximately $5.7 million, almost half of the city's budget. He said new capital improvement projects make up about half of the department budget. He listed the department's accomplishments and goals and objectives. He said the department has seven employees in the water and sewer division, seven in the roads division and one ~. mechanic. He gave some workload statistics as follows:' 1. There are 57 miles of roads in the city. 2. Four hundred tons of asphalt were used on the roads last year. 3 28 . CITY COUNCIL BUDGET STUDY SESSION SEPTEMBER 7, 1995 3. All storm drains were cleaned. 4. Ten thousand pounds of crack filler was put on the roads. r 5. More than 200 signs were replaced. 6. Two thousand gallons of paint were used on the roads. 7. Fifty miles of sewer lines were cleaned out at least once. 8. six lift stations wer& cleaned four times each. 9. Manholes were raised. 10. Dye tests were made and lines were repaired and kept clear of blockages. 11. The Department did contract cleaning for other agencies to bring in money to the City. 12. There were 200 miles of water lines flushed. 13. There are five large tanks and reservoirs that store more than five million gallons of water. 14. There were 1500 valves turned at least once. 15. There were 5000 water meters, half of which were read every month. 16. There were 18 sample stations and 7 wells to maintain. 17. Customer services included 40 to 50 water turn-ons and turn- offs every month. Mr. Wallace listed the various capital projects proposed through the sewer, drainage, streets, and water funds. He discussed equipment and vehicles and said lease-purchase options were being examined. with regard to the Public Works Budget, Council Members discussed the following: 1. The cost-effectiveness of contracting out versus doing l projects in-house and the potential of saving the City on smaller jobs. .- , 2. The need for the larger pieces of equipment. 4 . 29 CITY COUNCIL BUDGET STUDY SESSION SEPTEMBER 7, 1995 3. Lease-purchasing or renting new equipment to reduce capital outlay and staff providing figures before the Council makes a final decision on the budget. 4. The reserve fund (allocated from several budget funds) being created to replace fuel tanks. 5 ~ The cost-effectiveness of the city buying and storing its own fuel as opposed to contracting out for it. 6. Making separate line items in the Street Cleaning and Lighting Account No. 4312. 7. Adding the proposed purchase of a FAX machine to the list of computer equipment to be ordered in bulk. 8. Examining the possibility of undergrounding the utilities (at least at the unsightly intersections) on Grand Avenue at the time the street improvements are made. 9. The transfer of the senior clerk typist to the Planning Department. 10. The cost-effectiveness of transporting asphalt from Sisquoc to do city jobs. 11. The cost-effectiveness of chip-sealing roads that need to be reconstructed. Members of the public made comments and asked questions concerning State water loans, the use of the paving machine and the backhoe, sharing equipment between departments, the cost effectiveness of having asphalt delivered, and the cost effectiveness of building and maintaining fuel tanks. Speaking were BERNARD LANDSMAN, 579 Newman Avenue; JOHN KEEN, 298 N. Elm Street; MR. DEMPSEY, and MR. FLANNELL. 5. ORAL COMMUNICATIONS None. to adjourn the meeting at 10:36 p.m. ATTEST: 5