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GENERAL FUND CAPITAL PROJECTS <br />PURPOSE: <br />The Capital Outlay Fund accounts for the City's capital spending. In recent years, revenue from this fund has <br />primarily been derived through transfers from the General Fund. Prior to passage of Proposition 13 in 1978, <br />the City set a property tax sufficient to support its capital needs and payments on City Hall. With the passage <br />of Proposition 13, the City's flexibility in setting the property tax rate was in effect eliminated. <br />ACTUAL <br />ACTUAL <br />PROJECTED <br />PROPOSED <br />RV 15-16 <br />FV 16-17 <br />FV 17-18 <br />FV 18-19 <br />REVENUES <br />5102002 MISCELLANEOUS <br />REVENUES <br />50001 <br />Balance From Prior Year <br />0 <br />0 <br />440,367 <br />394,925 <br />57960 <br />Rental of Property <br />423,500 <br />423,500 <br />0 <br />0 <br />58004 <br />Interest Earned on Bond Proceed <br />33,662 <br />31,578 <br />33,691 <br />0 <br />58005 <br />Investment Income - Trustee <br />8 <br />171 <br />329 <br />0 <br />59000 <br />101 Transfer from Fund 101 <br />0 <br />901 <br />0 <br />0 <br />59000 <br />11 Transfer from Fund 011 <br />0 <br />1,161,459 <br />292,000 <br />292,000 <br />59000 <br />27 Transfer from Fund 027 <br />0 <br />450 <br />0 <br />0 <br />59000 <br />60 Transfer from Food 060 <br />0 <br />20,726 <br />0 <br />0 <br />59000 <br />68 Transfer from Fund 068 <br />0 <br />5,407 <br />0 <br />0 <br />59000 <br />75 Transfer from Fund 075 <br />0 <br />3,605 <br />0 <br />0 <br />59000 <br />86 Transfer from Fund 086 <br />0 <br />3,154 <br />0 <br />0 <br />59301 <br />Financing Proceeds <br />0 <br />1,462,000 <br />0 <br />0 <br />SUBTOTAL MISCELLANEOUS REVENUES <br />457,170 <br />3,112,952 <br />766,387 <br />686,925 <br />05113002 CAPITAL <br />OUTLAY FUND <br />50001 <br />Balance From Prior Year <br />0 <br />0 <br />0 <br />531,340 <br />53332 <br />Baseball Surcharge <br />8,184 <br />6,212 <br />4,983 <br />5,000 <br />57000 <br />Expense Reimbursement <br />0 <br />0 <br />4,319 <br />0 <br />57363 <br />Cell Tower Lease Agreements" <br />572,364 <br />547,629 <br />583,192 <br />613,620 <br />SUBTOTAL PARKS CAPITAL OUTLAY FOND <br />580,548 <br />553,841 <br />592,494 <br />1,149,960 <br />TOTAL REVENUES <br />1,037,718 <br />3,666,793 <br />1,358.881 <br />1,836,885 <br />EXPENDITURES <br />5105015 <br />Non -Departmental <br />62304 <br />Patrrership Costs <br />0 <br />643,567 <br />0 <br />0 <br />66200 <br />Building Improvement <br />276,353 <br />0 <br />269,367 <br />223,925 <br />66220 <br />Improvements Other Than Buildings <br />0 <br />7,745 <br />0 <br />0 <br />67100 <br />Principal -Debt Service <br />0 <br />0 <br />463,000 <br />463,000 <br />67200 <br />Principal -Capital Lease <br />0 <br />556,052 <br />0 <br />0 <br />67210 <br />Interest-Cnpind Lease <br />0 <br />55,651 <br />0 <br />0 <br />67401 <br />Issuance Cost <br />0 <br />5,000 <br />0 <br />0 <br />SUBTOTAL NON -DEPARTMENTAL <br />276,353 <br />1,268,015 <br />732,367 <br />686,925 <br />EXPENDITURES <br />05113263 <br />Pai*lmprovements <br />62300 <br />Contract Services -Professional <br />0 <br />0 <br />19,383 <br />0 <br />62320 <br />Msintomme &Repair Buildings & Gronnd <br />22,088 <br />21,628 <br />62,672 <br />150,000 <br />63200 <br />Operating Materials& Supplies Buildings/Grounds <br />97,841 <br />10,788 <br />28,741 <br />150,000 <br />65205 <br />Internal Departments Pei sorrel Charges <br />67,379 <br />17,636 <br />2,060 <br />0 <br />66220 <br />improvements Other Than Buildings <br />350,813 <br />393,940 <br />696 <br />531,340 <br />66400 <br />Machinery & Equipment <br />0 <br />33,818 <br />0 <br />0 <br />69011 <br />Reserve Appropriation <br />0 <br />0 <br />0 <br />318,620 <br />SUBTOTAL PARK IMPROVEMENTS <br />538,121 <br />477,810 <br />113,552 <br />1,149,960 <br />TOTAL CAPITAL OUTLAY EXPENDITURES <br />PROJECTS <br />Pads Improvements (Cell Tower)' <br />State Building Improvements <br />Santiago Gas House Area <br />Zoo Master Plan <br />City Hall/Council Chambers Improvements <br />Miscellaneous <br />TOTALPROJECTS <br />*Restricted funds to be used in parks with cell towers. <br />OTHER EXPENDITURES <br />Debt Service -Fire Station 1 <br />Debt Service - Appellate Court <br />Reserves <br />SUBTOTAL OTHER EXPENDITURES <br />TOTAL PROJECTS AND OTHER EXPENDITURES <br />2-151 <br />814,474 1,745,825 845,919 <br />300,000 <br />70,835 <br />395,820 <br />44,555 <br />223,925 <br />292,000 <br />171,000 <br />