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Proposed Fiscal Year 25-26 Mid-Year Budget Update, Appropriation Requests, <br /> Workforce Changes, and Capital Improvement Program Amendment <br /> March 3, 2026 <br /> Page 7 <br /> and are being addressed through this adjustment. The request is funded by investment <br /> earnings generated by the Trust, which total approximately $756,000 as of December. <br /> The requested appropriation recognizes $130,000 in investment income and <br /> appropriates the same amount to the General Fund Non-Departmental budget. Because <br /> the costs are fully offset by investment earnings, there is no impact on the General <br /> Fund. <br /> Housekeeping Adjustments for Labor Agreements <br /> The FY 25-26 General Fund budget includes $2 million set aside in the Non- <br /> Departmental budget to cover anticipated labor agreement costs. Following City Council <br /> approval of labor agreements, staff reviewed the resulting cost impacts for the current <br /> fiscal year. Under the approved agreements, departments will absorb a portion of the <br /> labor costs using available vacancy savings. This adjustment transfers funding from the <br /> Non-Departmental budget to department budgets to ensure departments remain <br /> budgetary compliant for the current fiscal year. Allocation amounts were adjusted based <br /> on year-to-date spending and whether departments had available vacancy savings. This <br /> housekeeping adjustment has no net fiscal impact on the General Fund. <br /> Adjustments to Other Funds <br /> Cannabis Public Benefit Fund <br /> The Newhope Library Renovation project is underway. As noted in the October 7, 2025, <br /> Staff Report to City Council, contractors continue to encounter unforeseen conditions <br /> associated with the building's advanced age and original construction quality. Most <br /> recently, extensive termite damage was discovered in wooden structural beams and <br /> exterior framing. Staff expects to execute a $100,000 change order to cover the <br /> additional repairs. Staff requests an appropriation of$50,000 from the Cannabis Public <br /> Benefit Fund and will reallocate existing resources to fund the remaining $50,000. The <br /> Cannabis Public Benefit Fund balance of$6,149,131 is sufficient to support this <br /> request. <br /> Gas Tax Fund <br /> Gas tax revenues are restricted to transportation-related uses, including traffic <br /> management. Staff proposes relocating the Traffic Management Control Center from <br /> the third floor of City Hall to the Ross Annex to support more efficient coordination with <br /> traffic engineering staff. The City maintains two Gas Tax funds, one primarily for <br /> ongoing operations and the other for capital projects. As a capital project, staff requests <br /> to transfer the $342,266 project budget from the Gas Tax Operating Fund to the Gas <br /> Tax Capital Fund, also known as the Select Street Construction Fund. <br /> Air Quality Improvement Fund <br /> Human Resources (HR) is requesting a one-time use of fund balance to address an FY <br /> 25-26 budget item that was missed during the budget process. The request is to <br /> City Council 20 — 7 3/3/2026 <br />