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HomeMy WebLinkAbout75C - PH - BUDGET 17-18REQUEST FOR COUNCIL ACTION CITY COUNCIL MEETING DATE: JUNE 20, 2017 TITLE: PUBLIC HEARING — APPROVE FISCAL YEAR 2017-18 CITY BUDGET (STRATEGIC PLAN NO. 4,2A) tl�? is CIT MANAGER RECOMMENDED ACTION CLERK OF COUNCIL USE ONLY: •:• •, ❑ As Recommended ❑ As Amended ❑ Ordinance on 1" Reading ❑ Ordinance on 2ntl Reading ❑ Implementing Resolution ❑ Set Public Hearing For CONTINUED TO FILE NUMBER Approve the fiscal year 2017-18 City Budget, which includes the following recommended actions: 1. Authorize the use of fund balance from the general fund in the amount of $9.3 million for fiscal year 2017-18. 2. Direct staff to transition from a Type II Jail Facility to a Holding Facility during fiscal year 2017-18. 3. Adopt an ordinance appropriating funds for the fiscal year commencing July 1, 2017 (EXHIBIT 1). Alternative Option 1. Direct staff to identify programs and services to reduce or eliminate and return to City Council with a revised budget for consideration and adoption for fiscal year 2017-2018which does not utilize one-time fund balance. DISCUSSION On June 6,n, the City Council approved four of the seven recommended actions related to the City Budget which included the following: • Adoption of a Seven -Year Capital Improvement Program (CIP). • Amending a resolution to reestablish the City's basic classification and compensation plan. • Directing the City Manager to present a quarterly general fund fiscal review and accounting of unspent funds as it relates to vacant positions. • Directing the City Manager to explore operational efficiencies and revenue enhancements to minimize the usage of one-time monies during the fiscal year. 75C-1 Public Hearing — Fiscal Year 2017-18 City Budget June 20, 2017 Page 2 In addition, the City Council was presented with a report by Kelly Associates Management Group which performed a review of the City's financial operating reserve balances. In response to the auditor's recommendation, staff will begin implementing the following: • Provide an update for the general fund on a quarterly basis. • Prepare a five-year financial forecast for the general fund. • Develop a personnel vacancy rate across all departments and a funded/unfunded vacancy report. • Augment the funding of the Economic Uncertainty account with available general fund balance(s). • Maintain the current operating reserve levels. Fiscal Year 2017-2018 City Budget The total annual Fiscal Year 2017-18 City Budget (EXHIBIT 2) is $510,678,778. Incorporated are all funded appropriations related to the General Fund, Internal Service, Enterprise, Special Revenue, Community Development and Housing fund(s), along with Capital Improvement Projects. In addition, proposed workforce changes are also included reflecting a net total of five full-time positions, as well as reallocation of ten positions city-wide. The proposed fiscal year 2017-18 General Fund budget is estimated at $234,200,795 and equates to approximately 45.9% of the total annual proposed budget. The General Fund supports those functions most commonly associated with city government such as police, fire, recreation, library, planning and building, street maintenance and general city administration. STRATEGIC PLAN ALIGNMENT Approval of this item allows the City to meet Goal #4 - City Financial Stability, Objective #2, (Provide a reliable five-year financial forecast that ensures financial stability in accordance with the strategic plan), Strategy A (Adopt a budget that is in alignment with the financial forecast and strategic plan). FISCAL IMPACT With approval of the proposed fiscal year 2017-18 budget, $510,678,778 will be appropriated to the City's various funds, departments, programs and enterprise activities. Of those amounts, $234,200,795 will be appropriated to the various general fund operating departments. APPROVED AS TO FUNDS AND ACCOUNTS: Francisco Gutierrez Executive Director Finance and Management Services Agency Exhibits: 1. Ordinance (Budget and CIP) 2. Fiscal Year 2017-18 City Budget 75C-2 EXHIBIT 1 LS 6/6117 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, 2017 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, 2017. 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 2017-2018, commencing July 1, 2017, in the amounts and for the funds, purposes, functions, department activities, and programs as therein set forth, including the Seven -Year Capital Improvement Program Plan 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 Clerk of the Council. 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 2017-2018 City Budget", a copy of which is on file in the Office of the Clerk of the Council, out of the various funds of the City for fiscal year 2017-2018, the several amounts stated as proposed expenditures from such funds, respectively, in those columns of the Budget that are headed "FY 17-18". 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, Ordinance No. NS - Page 1 of 4 75C-3 or agency of the City for which more than one program is designated in Section 2 (General Fund Operating Budget) of the Budget, the aggregate expenditure authorized for all programs in Section 2 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. 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 Interfund 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 Clerk of the Council 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 2017-2018 City Budget. Section 9. Upon and from the effective date of this ordinance, expenditures of monies appropriated hereby are authorized beginning July 1, 2017. Section 10. The Clerk of the Council 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 Ordinance No. NS - Page 2 of 4 75C-4 which is currently on file with the Executive Director of Personnel Services, 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 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, 2017. APPROVED AS TO FORM: Sonia R. Carvalho, City Attorney By: `j, Lisa Storck Assistant City Attorney AYES: NOES: ABSTAIN: NOT PRESENT: Ordinance No. NS - Page 3 of 4 Councilmembers Councilmembers Councilmembers Councilmembers 75C-5 Miguel A. Pulido Mayor CERTIFICATE OF ATTESTATION AND ORIGINALITY I, MARIA D. HUIZAR, Clerk of the Council 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 June _, 2017, and that said ordinance was published in accordance with the Charter of the City of Santa Ana. Date Ordinance No. NS - Page 4 of 4 Clerk of the Council City of Santa Ana 75C-6 ljg� CITY OF SANTA ANA FISCAL YEAR 2017-2018 CITY BUDGET 3 ri V* FISCAL YEAR 2017-18 PROPOSED CITY BUDGET TOTAL CITY BUDGET REVENUE SOURCES & APPROPRIATIONS FY 2017-2018 Community Safety Youth, Education, Recreation Economic Development City Financial Stability Community Health, Livability, Engagement & Sustainability Community Facilities & Infrastructure Team Santa Ana 75C-8 I LL N o d � V O a0 C _ M LL M R CO CO c � a� C7 =e MM co LL C 7 CD0 co pp N 0 69 V V (n 00 LL ch V CD C L CL) R fH p Q QJ N Q_ O ' W _ ; 750-10 Q7 0 N �,7 O_ v w O C 00 W N wLO C LL m A m y O O � M N EA co rftW W w � o O 0 O O ■ L d O I ^ � o d � L�m �o L Q^ Li L6 m rn M �\/ CL N� C Opo N m is> cp C .--, Q C7 d N U LL o 1 u ) mCD 7 v' C V d d p C o fC 0 Omi n 06 L LL n N 7 1CL U N O N p N m E T Q 07 9 C00 O r Lim Vl N M w O O D = (A w 750-10 Q7 0 N �,7 O_ v w O C 00 W N wLO w FISCAL YEAR 2017-18 PROPOSED CITY BUDGET INTERNAL SERVICE FUND REVENUE SOURCES & APPROPRIATIONS FY 2017-2018 Community Safety Youth, Education, Recreation Economic Development City Financial Stability Community Health, Livability, Engagement & Sustainability Community facilities & Infrastructure Team Santa Ana 75C-11 LL M O M N co 40 1-01 LL w d c � °7 0 m na o 7 y O C4 L Q u-) O y E N cn >" U LQ a w co E Y W L 't o An J 75C-12 6 LL 0 CL 0 LM �, Li•J um co w O M M N w 60 Z 0 a �c a 0 w a CL Q V1 d U_ U CD C o C U) m d C M a ._ y < C O ,6 o U � C -d � = Cd CL c LU c 0 :.o R o �/1 O C V E � UC:� N � d U Y O O (/> d d U - c o m rn E o m m C CL N d C/) �) w W C d <fi E d a LU 75C-1fi3 FISCAL YEAR 2017-18 PROPOSED CITY BUDGET GENERAL FUND REVENUE SOURCES & APPROPRIATIONS FY 2017-2018 Community Safety Youth, Education, Recreation Economic Development City Financial Stability Community Health. Livability, Engagement & Sustainability Community Facilities & Infrastructure Team Santa Ana 75C-14 w Z 0 0 2 X N to o Gf O a O N ccs O LO 69 A F N L6 Y! v c J O c °,0 N � m b4 75C-15 9 i d R (h ca O N v v P- C, � ami cN+� r CN Ul V it If) Vi 00 p p` LL N M c r N M U.� eo Cn r— iu LL C-) �r ~ v r 0 i QJ O «. CC O s, C w Cj 0. co V U o L O m O rCl) Q) `o f,% CL w Z 0 0 2 X N to o Gf O a O N ccs O LO 69 A F N L6 Y! v c J O c °,0 N � m b4 75C-15 9 i d R (h ca O N v v P- C, � ami cN+� r CN Ul U o 0 d r t: o M LO n m 0) r cM n ry L � M "LO N ?_ � o co 0 d O N COC Cl A to O 0 m N NM N adCD O C 7 O) C7 CR C C O ER h03. O C NrO_ to O ^to CD 0 o O `"": Cl) _@ W 0� qczr 0 o Lo CD CD to t-.GMA Q -j N N j E u O 0 m 75 a m ECU- o C .3o r E p U i O CJ �! a CD y N E o Ess o W m CO (a > m y E o c CL aC C Ncc N o E m o E m Q `° to C E CA` a) 30 �` O �' C' Z U J °�IL m U c U U U 1A i 75Gy -l6 R o o r C N U� d r t: O M LO Q m 0) r J m aiEV n ry L � M "LO N �s 1A i 75Gy -l6 R o M J m aiEV y (O co co e r,��, 4 Z� � o co d O N COC Cl A to O 7 V' NM adCD O C ER h03. O C CD QYaaW R OU')a 0� ayCyC� IwE>— j c co o c> O m Q L6 06L .1Z w d N U y C C C U FISCAL YEAR 2017-18 PROPOSED CITY BUDGET WORKFORCE CHANGES GENERAL FUND & NON -GENERAL FUNI Community Safety Youth, Education, Recreation Economic I City Financial Stability Community Health, Livability, Engagement & Sust Community Facilities & Infrastructure Team Santa Ana 75C-17 Proposed Full -Time Workforce Changes - FY 17-18 Additions/Deletions Organizational Changes Non - Fiscal General General Department Qty. Position Impact Fund Fund Community Development Agency 1 Arts & Culture Specialist 92,680 0 92,680 1 Administrator 92,680 0 92,680 Finance & Management Services 1 Accountant 1 20,374 20,374 0 1 Senior Accounting Assistant 103,091 103,091 (226,160) (1) Accounting Assistant (103,091) 2 (103,091) 0 1 Librarian 20,374 20,374 0 Police Department (8) Network Specialist/WAN Systems (1,052,674) (1,052,674) 0 Information Technology 1 Administrator 140,850 0 140,850 1 Web Systems Technician 85,310 0 85,310 (1) Project Management Officer (226,160) 0 (226,160) 1 Senior Management Analyst 0 0 0 Parks, Recreation & Community Services 1 Librarian 92,920 0 92,920 2 Recreation Leader 110,970 ' 110,970 0 3 203,890 110,970 92,920 Police Department (8) Correctional Officer (1,052,674) (1,052,674) 0 (2) Correctional Supervisor (333,260) (333,260) 0 (1) Sr. Correctional Records Specialist (96,551) (96,551) 0 1 Personnel Technician 81,621 2'3 81,621 0 1 Senior Management Analyst 147,122 3 147,122 0 (9) Water Services Quality Inspector (1,253,742) (1,253,742) 0 Public Works Agency 1 Management Aide 131,056 0 131,056 1 Assistant Engineer I (Parking Pgm) 171,805 171,805 0 1 Senior Office Assistant 31,641 2 0 31,641 2 Construction Inspector l 245,974 0 245,974 1 Water Services Supervisor 148,633 0 148,633 3 Water Services Quality Inspector 384,381 0 384,381 (1) Equipment Operator (114,084) 0 (114,084) 8 999,406 171,805 827,601 General Fund Positions (5) Non -General Fund Positions 10 Total 5 62,608 (950,593) 1,013,201 2 Strategic Plan Funding 2 Includes reduction in part time staffing 3 Funding through operational savings 12 75C-18 Proposed Full -Time Workforce Changes - FY 17-18 Reallocations Non - Fiscal General General City Attorney's Office Qty. Position Impact Fund Fund (1) Senior Legal Secretary (110,177) (110,177) 0 1 Litigations Assistant 110,177 110,177 0 0 0 0 Non - Fiscal General General Community Development Agency Qty. Position Impact Fund Fund (1) Senior Receptionist (99,314) 0 (99,314) 1 Senior Office Assistant 95,826 0 95,826 (3,488) (3,488) Police Department Qty. Position Impact Fund Fund (1) Police Services Officer (103,197) (103,197) 0 1 Communications Services Officer 103,197 103,197 0 Public Works Agency Qty. Position Non - Fiscal General General mpact Fund Fund (1) Engineering Aide (185,339) 0 (185,339) Non - Assistant Engineer II 185,339 0 Fiscal General General Finance & Management Services Qty. Position Impact Fund Fund 131,226 (1) Management Aide (87,065) 0 (87,065) 0 1 Management Analyst 93,939 0 93,939 6,874 0 6,874 Non - Fiscal General General Personnel Services Agency Qty. Position Impact Fund Fund (1) Personnel Services Specialist (104,470) 0 (104,470) 1 Risk Management Assistant 104,470 0 104,470 (1) Risk Management Coordinator (133,599) 0 (133,599) 1 Risk Management Supervisor 144,015 0 144,015 10,416 0 10,416 Non - Fiscal General General Planning & Building Agency Qty. Position Impact Fund Fund (1) Associate Planner (170,287) (170,287) 0 1 Senior Planner 178,201 178,201 0 (1) Code Enforcement Supervisor (168,492) (168,492) 0 1 Code Enforcement Principal (AM) 195,770 195,770 0 35,192 35,192 0 Non - Fiscal General General Police Department Qty. Position Impact Fund Fund (1) Police Services Officer (103,197) (103,197) 0 1 Communications Services Officer 103,197 103,197 0 Public Works Agency Qty. Position Non - Fiscal General General mpact Fund Fund (1) Engineering Aide (185,339) 0 (185,339) 1 Assistant Engineer II 185,339 0 185,339 (1) Senior Water Systems Operator (130,624) 0 (130,624) 1 Water Services Production Supervisor 131,226 0 131,226 602 0 602 Total 49,596 35,192 14,404 75C-19 r_ '15C-20 =E? EOOdp E U W O D L V1 W W O 5� FI W W F 00 W 1H 1 p') wF x U z 0 HI F d N z x 0 r_ '15C-20 =E? EOOdp E U W O D L Community Safety Youth, Education, Recreation Economic Development City Financial Stability Community Health, Livability, Engagement & Sustainability Community Facilities & Infrastructure Team Santa Ana 75C-21 75C-22