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HomeMy WebLinkAboutItem 12 - Engineering Division Funding Public Works Agency www.santa-ana.org/public-works Item # 12 City of Santa Ana 20 Civic Center Plaza, Santa Ana, CA 92701 Staff Report December 19, 2023 TOPIC: Engineering Division Funding AGENDA TITLE Approve General Fund Appropriation Adjustment to Cure Negative Fund Balance in the Public Works Engineering Fund (General Fund) RECOMMENDED ACTION Approve a General Fund appropriation adjustment to transfer $2.9 million to the Public Works Engineering Fund 086 to cure the negative fund balance and prepare for fund closure during FY 2023-24. (Requires five affirmative votes) GOVERNMENT CODE §84308 APPLIES: No DISCUSSION The Engineering Services Division of the Public Works Agency provides a variety of services to support City capital projects, traffic operations, and development within the City. The Engineering Services Division is responsible for delivering a capital improvement program consisting of street, traffic, storm drain, parks, building facilities, and water and sewer improvements, a large part of which are grant funded. The Engineers are able to charge most, but not all, of their time to restricted money or developer deposits. Staff time is charged with a fully-burdened rate; this includes salary, benefits, and overhead such as supervision, equipment, and administrative support. Restricted money sources such as Measure M2, grants, etc., often limit the amount of overhead the City can charge for staff time. Realistically, an employee may have roughly 1,800 hours per year of productive work time due to administrative tasks, time off, training, and other demands. Therefore, between the overhead limitations and the reality of productive work time, the Engineering Division is not able to charge 100% of its cost to restricted money or developer deposits. The Engineering Services Division is accounted for in a separate internal service fund (Fund 086). Due to the inability to charge 100% of cost, the fund has been struggling with a negative fund balance for several years. Staff has been trying to find other solutions (e.g. updated fee studies) to increase the charge rate; but recently Orange County Transportation Authority (OCTA) made a determination to deny charge rates Engineering Division Funding December 19, 2023 Page 2 3 9 1 7 with higher amounts of overhead. While looking for other solutions, Staff reported the situation to City Council and the public in the following reports and presentations: •May 24, 2021 Budget Workshop presentation indicated that a majority of Internal Services Funds, including the Engineering Fund, are underfunded. •March 1, 2022 Mid-Year Budget Report indicated that Public Works was currently updating its Cost Recovery Plan, which may improve the current fund deficit; and that future General Fund support may be needed. •May 17, 2022 Budget Workshop presentation identified the Engineering Fund as an issue. Staff oral comments indicated the Engineering Fund continues to experience delays in project billing and reconciliation; and that staff would like to fold the operation into the General Fund after staff has current information and develops a plan. •November 15, 2022 First Quarter Budget Report recommended moving construction inspection costs from the Engineering Fund to the General Fund, with a net fiscal impact of approximately $237,000. The staff report indicated that the next phase is to transition engineering costs to the General Fund after process improvements are completed. City Council approved the staff recommendation. •May 11, 2023 Budget Workshop presentation indicated the fund had a $1.5 million deficit balance and that the work of improving the business model is ongoing. Staff oral comments included that engineers cannot charge their time for administration, management, and non-productive time such as vacation; staff has been working on improving the business model; and as funding allows, staff may return with a request for a General Fund infusion. To date, Public Works Agency staff has taken the following measures to increase revenue and decrease expenditures in the Engineering Fund: •Worked with Caltrans and OCTA to substantiate and increase billable rates via approved Indirect Cost Rate Plans •Filled vacancies in billable engineering positions •Maintained vacancies in administrative positions •Implemented new timekeeping solutions to demonstrate billable hours •Prepared Indirect Cost Allocation Plans for administration cross charges assessed to the Engineering Fund (a requirement to increase billable rates). Staff will continue to work to increase the ability to recoup overhead costs by preparing additional Indirect Cost Allocation Plans and further reduce the net cost of the Engineering Services Division. At this point, staff recommends adding the Engineering Services Division budget to the General Fund with an approximate $900,000 per year net cost for overhead and time that cannot be charged to projects or developer deposits. The internal service fund would be closed. Engineering Division Funding December 19, 2023 Page 3 3 9 1 7 To cure the Fund 086 negative balance and prepare for fund closure during FY 2023- 24, staff recommends a one-time General Fund contribution of $2.9 million. During preparation of the FY 2024-25 budget, the Engineering Services Division budget and the corresponding charge revenue will be included as a separate program within the proposed General Fund budget. FISCAL IMPACT As reported by Finance on this same Agenda, the estimated General Fund Balance of $17.8 million available for one-time spending is sufficient for the necessary contribution of $2.9 million. Submitted By: Nabil Saba, P. E., Executive Director - Public Works Agency Approved By: Tom Hatch, Interim City Manager