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Agenda Packet_2022-01-18
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Agenda Packet_2022-01-18
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Agenda Packet
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1/18/2022
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EXHIBIT 4 <br /> Receive and file the FY 2021-2022 General Fund - First Quarter Budget Update <br /> December 21, 2021 <br /> Page 2 <br /> In October, with the closing of the FY20-21 books, it became apparent the General Fund <br /> experienced significant positive variances, yet the audit was not yet complete. Therefore, <br /> staff postponed the first quarter budget report until more data was available to provide <br /> complete information to the City Council. <br /> The June 30, 2021 General Fund balance was $109.4 million, which is $42.3 million in <br /> excess of the 18% Reserve policy. The $42.3 million is a one-time resource derived from <br /> $19.5 million additional sales tax revenue during FY20-21 (discussed further below) and <br /> controlled spending across all departments through the pandemic. <br /> This one-time resource is a unique opportunity to address issues underfunded in previous <br /> years. As reported previously, there are significant budget challenges related to the train <br /> station enterprise, the health of internal service funds, and deferred maintenance of City <br /> facilities. The following recommended spending plan would address many of those <br /> challenges and leave $16.4 million of one-time funding for other priorities identified by <br /> City Council. <br /> 1 . Maintain the 18% General Fund Reserve with $1.3 million of the additional <br /> estimated sales tax revenue. <br /> 2. Appropriate the following amounts totaling $24.7 million. <br /> Contribution to the train station enterprise to cure the June 30, 2021 $1 ,900,000 <br /> negative fund balance of $1,807,208 plus further depletion of the <br /> fund with the FY21-22 budget. <br /> Contribution to the risk management funds to provide for the FY21- $1 ,500,000 <br /> 22 insurance rates reported to City Council on June 15, 2021 . <br /> Contribution to the internal service fund accounting for employee $3,400,000 <br /> benefits to cure the June 30, 2021 negative fund balance of <br /> $1 ,227,916 plus the further depletion of the fund with the FY21-22 <br /> budget. <br /> Contribution to the internal service fund accounting for building $2,500,000 <br /> maintenance due to aging facilities and increased demand for <br /> upkeep. <br /> Contribution to the internal service fund accounting for fleet $1 ,500,000 <br /> maintenance to avoid the estimated negative fund balance at June <br /> 30, 2022, as shown on page B-21 of the budget document. <br /> Rehab and repurpose the Cypress Fire Station. Based on further $1 ,000,000 <br /> City Council direction, staff can propose a specific project later this <br /> fiscal year. <br /> Ross Annex improvements to replace an industrial sized air $1 ,450,000 <br /> conditioning unit, second-floor aged carpets and workstations, and <br /> reorganize workspace locations to improve efficiency and <br /> collaboration. The proposed appropriation will optimize efficiency <br /> City Council 30 — 22 1/18/2022 <br />
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