HomeMy WebLinkAboutItem 19 - Ordinance to Adopt the Fiscal Year 2026-27 Budget Finance and Management Services
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Item # 19
City of Santa Ana
20 Civic Center Plaza, Santa Ana, CA 92701
Staff Report
June 16, 2026
TOPIC: Ordinance to Adopt the Fiscal Year 2026-27 Budget
AGENDA TITLE
Second Reading and Adoption of City Council Ordinance NS-3096 Appropriating Monies
to the Several Offices, Agencies, and Departments of the City of Santa Ana for the Fiscal
Year Budget Period Commencing July 1, 2026
First reading at the June 2, 2026, City Council Meeting and approved by a vote of 7-0.
Published in the OC Reporter on June 8, 2026.
RECOMMENDED ACTION
Approve the second reading and adopt Ordinance NS-3096 to appropriate monies to the
several offices, agencies, and departments of the City for Fiscal Year 2026-27 (FY26-27),
which begins on July 1, 2026, and ends on June 30, 2027. (Requires five affirmative
votes)
UNCODIFIED ORDINANCE NO. NS-3096 entitled AN ORDINANCE OF THE CITY
COUNCIL OF THE CITY OF SANTA ANA APPROPRIATING MONIES TO SEVERAL
OFFICES, AGENCIES, AND DEPARTMENTS OF THE CITY FOR FISCAL YEAR
BUDGET PERIOD COMMENCING JULY 1, 2026
GOVERNMENT CODE §84308 APPLIES: No
DISCUSSION
Pursuant to Sections 604 and 605 of Santa Ana's City Charter, the City Manager worked
with staff to prepare and present a proposed budget to the City Council for the fiscal year
beginning July 1, 2026.
Consistent with Section 606 of the City's Charter, the City Council conducted a public
hearing on the proposed budget on June 2, 2026 and unanimously approved the
ordinance and proposed budget as presented by staff with no changes. According to the
Santa Ana Charter Section 607, the City Council is required to adopt the annual budget
by July 31.
Ordinance to Adopt the FY2026-27 Budget
June 16, 2026
Page 2
ENVIRONMENTAL IMPACT
There is no environmental impact associated with this action.
FISCAL IMPACT
The Estimated Spendable Fund Balance Summary in the Budget Document includes the
estimated fiscal impact for each Fund.
All exhibits have been posted on the City's website at https://www.santa-ana.org/fy-2026-
27-proposed-budget-documents/.
EXHIBIT(S)
1. Detailed proposed budget document available at: https://www.santa-ana.org/fv-
2026-27-proposed-budget-documents/
2. Ordinance NS-3096 to adopt the FY2026-27 Budget
Submitted By: Alexander Trinidad, Executive Director, Finance and Management
Services Agency
Approved By: Alvaro Nunez, City Manager
EXHIBIT 2
ORDINANCE NO. NS-XXXX
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
SANTA ANA APPROPRIATING MONIES TO THE SEVERAL
OFFICES, AGENCIES, AND DEPARTMENTS OF THE CITY
FOR FISCAL YEAR BUDGET PERIOD COMMENCING JULY
1, 2026
THE CITY COUNCIL OF THE CITY OF SANTA ANA DOES ORDAIN AS
FOLLOWS:
Section 1. The City Council of the City of Santa Ana hereby finds, determines,
and declares as follows:
A. The City Manager has prepared and submitted to the City Council, pursuant
to Section 605 of the City Charter, a proposed budget for expenditures for
the fiscal year commencing July 1, 2026.
B. In accordance with Section 606 of the City Charter, a public hearing has
been held upon the proposed budget of expenditures after notice of such
public hearing had been published in the manner prescribed in Section 606
of the City Charter.
C. The proposed budget of expenditures duly submitted and considered as
herein stated, together with any supplemental revisions and amendments
thereto, was approved, adopted, and fixed by the City Council as the budget
of the City for fiscal year 2026-2027, commencing July 1, 2026, in the
amounts and for the funds, purposes, functions, department activities, and
programs as therein set forth, including the Seven-Year Capital
Improvement Program update per Orange County Transportation Authority
Measure M2 eligibility requirement. The adopted budget, including any
supplemental revisions and amendments, together with a copy of the
appropriation ordinance, shall be placed in the official files of the City Clerk.
Section 2. There are hereby appropriated to the several offices, agencies, and
departments of the City, being the respective object and purposes specified in that certain
document entitled "Fiscal Year 2026-27 City Budget", a copy of which is on file in the
Office of the City Clerk, out of the various funds of the City for fiscal year 2026-2027, the
several amounts stated as proposed expenditures from such funds, respectively, in those
columns of the Budget that are headed "FY 26-27". Each aggregate of expenditures so
specified in the Budget for the fiscal year for each program shall be deemed to be an
appropriation for a single object and purpose within the meaning of Section 609 of the
City Charter, except that as to any office, department, or agency of the City for which
more than one program is designated in Fiscal Year 2026-2027 City Budget, the
aggregate expenditure authorized for all programs in Fiscal Year 2026-2027 City Budget
Ordinance No. NS-XXXX
Page 1 of 3
of each such office, department, or agency shall be deemed to be an appropriation for a
single object and purpose within the meaning of Section 609 of the City Charter.
Section 3. The appropriations hereby made shall constitute the maximum
expenditures authorized for the several offices, agencies, and departments opposite
which the amounts of such appropriations are shown in the Budget, and as set forth in
Exhibit 1 attached hereto and incorporated herein by reference.
Section 4. No warrant shall be issued or indebtedness incurred for any purpose
that exceeds the unexpended balance of the appropriations established by this ordinance,
unless such appropriation shall have been amended or supplemented by the City Council
in the manner set forth in Section 609 of the City Charter. The City Manager is hereby
authorized to make revisions between the items included within any such appropriation
if, in his/her opinion, such revisions are necessary and proper.
Section 5. In accordance with Governmental Accounting Standards Board
Statement 54, the City Manager or his/her designee is hereby authorized, as of the date
of this ordinance, to allocate assigned governmental funds' balances to specific programs
and activities as deemed necessary and proper.
Section 6. The Executive Director of Finance and Management Services is
hereby authorized to transfer monies in accordance with the Inter-fund Transfers listed in
the Budget, in such amounts and at such times during the fiscal year as he/she may
determine necessary to the competent operation and control of City business, except that
no such transfer shall be made in contravention of State law or City ordinance or exceed
in total the amount stated herein or as amended by the City Council.
Section 7. One certified copy of this appropriation ordinance, together with a
certified copy of each amendment thereto, shall be transmitted by the City Clerk to the
Executive Director of Finance and Management Services.
Section 8. The City Council of the City of Santa Ana hereby adopts the updated
Seven-Year Capital Improvement Program, as set forth in the 2026-2027 City Budget.
Section 9. Upon and from the effective date of this ordinance, expenditures of
monies appropriated hereby are authorized beginning July 1, 2026.
Section 10. The City Clerk shall cause the title of this ordinance to be published
as required by law.
Section 11. All presently applicable documentation pertaining to the number,
titles, qualifications, powers, duties, or compensation of officers or employees of the City,
which has been previously approved by resolution or order of the City Council and which
is currently on file with the Executive Director of Human Resources, is incorporated herein
and is hereby approved. The City Manager is authorized to create, alter, or abolish any
position of employment, or the number, title, qualifications, powers, duties, or
Ordinance No. NS-XXXX
Page 2 of 3
compensation thereof, when such action is appropriate to promote the efficiency of the
City administrative organization; provided, however, that no such action shall be effective
unless and until approved by resolution or order of the City Council.
ADOPTED this day of June, 2026.
Valerie Amezcua
Mayor
APPROVED AS TO FORM:
Sonia R. Carvalho, City Attorney
��ona�than
�T. �rtinez�
Assistant City Attorney
AYES: Councilmembers
NOES: Councilmembers
ABSTAIN: Councilmembers
NOT PRESENT: Councilmembers
CERTIFICATE OF ATTESTATION AND ORIGINALITY
I, Jennifer Hall, City Clerk do hereby attest to and certify the attached Ordinance No. NS-
to be the original ordinance adopted by the City Council of the City of Santa Ana
on , 2026 and that said ordinance was published in accordance
with the Charter of the City of Santa Ana.
Date
City Clerk
City of Santa Ana
Ordinance No. NS-XXXX
Page 3 of 3
GENERAL FUND
EXPENDITURE BY FUND PROPOSED
FY 26-27
CITY ATTORNEY 5,565,650
CITY CLERK 1,648,020
CITY COUNCIL LEGISLATIVE 1,058,730
CITY MANAGER 4,620,270
COMMUNITY DEVELOPMENT 3,692,030
FINANCE&MANAGEMENT SERVICES 13,903,610
FIRE& EMERGENCY MEDICAL SERVICES 62,589,400
GENERAL NON-DEPARTMENTAL 3,350,700
HUMAN RESOURCES 4,533,690
LIBRARY 7,894,510
MUSEUM CAPITAL AND MAINTENANCE FUND 1,827,000
PARKS, RECREATION &COMMUNITY SERVICES 13,947,230
PLANNING&BUILDING 17,735,910
POLICE 165,882,960
PUBLIC WORKS 58,474,530
PROJECT TRANSFERS 19,318,740
PENSION LIABILITY PAYDOWN 48,993,520
GENERAL FUND EXPENDITURE GRAND TOTAL 435,036,500
CAPITAL PROJECT FUNDS
FUND FUND DESCRIPTION DEPARTMENT PROPOSED
FY 26-27
032 MEASURE M-STREET CONSTRUCTION Public Works 6,198,920
148 TRAFFIC SYSTEM MGMT GRANT Public Works 50,000
058 RESIDENTIAL STREET IMPROVEMENT Public Works 644,100
059 SELECT STREET CONSTRUCTION Public Works 12,553,420
147 STREET SAFETY PROGRAMS Public Works 651,200
312 RESIDENTIAL DEVELOP DISTRICT 2 Public Works 800,000
417 CDA INCLUSIONARY HOUSING FEE Community Development 2,261,100
418 CDA CAPITAL PROJECTS Community Development 8,900
607 HOUSING ASSET LMIHF Community Development 1,492,050
CAPITAL PROJECT FUNDS GRAND TOTALI 24,659,690
DEBT SERVICE FUNDS
FUND FUND DESCRIPTION DEPARTMENT PROPOSED
FY 26-27
404 COSA 2014 LEASE FINANCING Debt Service 735,030
406 2021 PENSION OBLIGATION FUNDS Debt Service 18,129,830
DEBT SERVICE FUNDS GRAND TOTAL 18,864,860
ENTERPRISE FUNDS
FUND FUND DESCRIPTION Department PROPOSED
FY 26-27
027 PARKING FUND Police 4,836,270
054 SANITARY SEWER CAPITAL Public Works 600,000
056 SANITARY SEWER SERVICE Public Works 10,199,130
057 FED CLEAN WATER PROTECTION ENT Public Works 3,847,810
060 WATER Public Works 74,559,160
067 REGIONAL TRANSP CENTER Public Works 1,781,230
068 SANITATION FUND Public Works 7,897,070
069 REFUSE COLLECTION SERVICE Public Works 26,751,910
112 GOLF COURSE Parks, Rec&Comm Svcs 3,913,500
ENTERPRISE FUNDS GRAND TOTALI 134,386,080
OTHER RESTRICTED FUNDS
FUND FUND DESCRIPTION DEPARTMENT PROPOSED
FY 26-27
012 CANNABIS PUBLIC BENEFIT FUND
City Attorney Enforcement Services City Attorney 298,700
Enforcement Services(FMSA) Finance&Mgmt Svcs 129,190
Library Youth Services Library 1,032,920
Youth Services(PRCSA) Parks, Rec&Comm Svcs 3,603,290
Enforcement Services(PBA) Planning &Building 1,448,040
Police Enforcement Services Police 2,220,160
016 CASP CERTIFICATION &TRAINING Planning &Building 85,000
020 OTS-TRAFFIC OFFENDER PROGRAM Police 18,300
021 CATV FUND City Manager 220,000
022 PRCSA FEES&DONATION Parks, Rec&Comm Svcs 40,450
024 POLICE ACTIVITIES&PROGRAMS Police 690,690
025 IDB&EZ VOUCHER MONITORING Community Development 3,750
051 CAPITAL OUTLAY FUND Parks, Rec&Comm Svcs 655,000
053 CITY SERVICES
Agency Services Planning &Building 3,089,200
Police Services Police 10,000
110 STRONG MOTION INSTRUMENTATION Planning &Building 16,000
120 FIRE FACILITIES FUND Public Works 150,000
121 SPECIAL REPAIR/DEMOLITION Planning &Building 100,000
655 2018 SERIES TAX ALLOC BONDS Community Development 13,133,850
670 COSA RDA Community Development 72,340
671 COSA RDA OBLIGATION RETIREMENT Community Development 13,437,770
OTHER RESTRICTED FUNDS GRAND TOTALI 40,454,650
SPECIAL REVENUE FUNDS
FUND EXPENDITURE BY FUND DEPARTMENT PROPOSED
FY 26-27
023 INMATE WELFARE FUND Police 1,302,000
026 CRIMINAL ACTIVITIES FUND Police 10,000
029 SPECIAL GAS TAX Public Works 17,825,750
031 AIR QUALITY IMPR.(AB 2766)
HR-Air Quality Improvement Human Resources 141,280
PBA-Air Quality Improvement Planning &Building 242,340
Fleet Services-Air Quality Improvement Public Works 33,400
074 CIVIC CENTER MAINTENANCE Public Works 3,590,000
111 OPIOID REMEDIATION City Manager 937,400
122 EMERGENCY AND HEALTH GRANTS Community Development 6,861,490
123 WORKFORCE INNOV AND OPP ACT Community Development 2,739,550
124 ORANGE COUNTY GRANTS Community Development 2,380
125 OES UASI Police 662,110
128 LAW ENFORCEMENT GRANTS Police 1,074,470
130 HOME PROGRAM FEDERAL GRANT Community Development 3,134,180
131 MISC GRANTS Community Development 134,590
133 HOUSING AUTHORITY-ISSUER FEE Community Development 841,500
135 COMMUNITY DEV BLOCK GRANT/ESG Community Development 5,170,300
136 HOUSING AUTHORITY-VOUCHER HAP Community Development 65,001,000
137 HOUSING AUTHORITY-NED Community Development 2,800,000
138 HOUSING AUTHORITY-MS 5 Community Development 5,000,000
139 HOUSING AUTHORITY-NEW CONSTR Community Development 344,080
140 HOUSING AUTHORITY-VOUCHER ADM Community Development 6,418,980
143 CALHOME PROGRAM Community Development 181,240
144 PRISON TO EMPLOYMENT PROGRAM Community Development 60,660
145 RENTAL REHABILITATION GRANT Community Development 10,990
152 PUBLIC LIBRARY GRANT FUND Library 170
158 HOUSING&COMMUNITY DEV GRANTS Community Development 1,865,810
165 OFFICE OF SAFETY GRANT Police 234,000
166 US DOJ ASSET FORFEITURE FUND Police 585,000
167 US TREASURY ASSET FORFEITURE Police 100,000
169 RECREATION GRANTS FUND Parks, Rec&Comm Svcs 488,760
177 EMERGENCY RENTAL ASSISTANCE PG Community Development 6,280
179 ARPA EHV HAP Community Development 1,000,000
180 ARPA EHV ADMIN FEES Community Development 70,490
181 AMERICAN RESCUE PLAN ACT(ARPA) Finance&Mgmt Services 101,840
182 HOME-ARP PROGRAM FEDERAL GRANT Community Development 19,230
183 ARPA-CA FOR ALL YOUTH W DP Community Development 307,410
185 RENT STABILIZATION Community Development 3,356,120
186 HCV FSS Forfeitures Community Development 120,000
SPECIAL REVENUE FUNDS GRAND TOTAL 132,774,800
General Fund 435,036,500
Non-General Funds (Less Internal Service Funds) 351,140,080
Total Citywide FY26-27 Budget 786,176,580