HomeMy WebLinkAboutPCDC Resolution 2008-06 6 /16/2008RES®LUTI®6V N®. 200-06
PETALUMA COMMUNITY DEVELOPMENT COMMISSION
ADOPTING THE FISCAL YEAR 2008-2009 PCDC BUDGET
WHEREAS, on June 2, 2008, the Petaluma Community Development Commission
("Commission") held a public hearing and considered the FY 2008-09 Proposed Budget for the
period from July 1, 2008 to June 30, 2009 ("Budget"); and,
WHEREAS, the Commission's directives regarding final budget allocations have been
reflected in the Proposed Budget as revised ("Final Budget") which has been provided to the
Commission and are attached as Exhibit A; and,
WHEREAS, the Commission finds that the transactions hereby authorized are consistent
with and shall effectuate the purposes of California Community Redevelopment Law (Health
and Safety Code Section 33000 et seq.),
NOW, THEREFORE, BE IT RESOLVED that the Petaluma Community Development
Commission hereby:
1. Adopts and approves the FY 2008-09 PCDC Budget, as provided to the Commission
as Exhibit A,
ADOPTED this 16h day of June, 2008, by the following vote:
Commissioner. Aye No Absent. Abstain
Barrett X
Freitas X
Harris X
Nau X
O'Brien X
Vice Chair Rabbitt X
Chair Torliatt
X~
- _~
Q~,2r/' c' ;l'df ~
,~
Pa ela Torliatt; Grair _ _ _ - -- ` ~ _-"
PCDC Resolution 2008-Ob Page 1
ATTEST: APPRO~.~~ASTO FORM:
L.._.~
Claire Cooper, CMC, Recording Secretary Eric Danly, Ge eral Counsel
PCDC Resolution 2008-06 Page 2
Exhibit A
ATTEST: CITY OF PETALI~RRQ,b(ED AS TO FORM:
APPROPRIATIONS BY DEPARTMENT NON GENERAL FUND
July 1, 2008 -June 30, 2009
C~~~~,TCMC, Recording Secretary Eric Danly, General Counsel TOTAL
Executive
TOT 439,500
Risk Management 1,771,850
Administrative Services
Trusts 4,000
Donations 75,000
General Services 307,700
Employee Benefits 715,650
Worker's Compensation 1,719,000
Information Technology 1,627,750
Vehicle/Equipment Replacement 634,450
Police
Police Facility Fees 2,050
Police Grants 319,000
Police CIP 18,450
Fire
Fire Suppression Fees 3.,400
Haz Mat Fines 10,000
Fire. In-Lieu Fees 20,000.
Fire CIP 3,899,200
Ambulance 2,398,450
Community Development
Community Development Enterprise Fund 2,165,200
Housing
CDBG 345,050
Commercial Linkage Fees 104,800
Home/Begin 18,900
Housing in-Lieu Fees 1,619,950
PCDC Resolution 2008-06 Page 2
Exhibit A
CITY OF PETALUMA, CA
APPROPRIATIONS BY DEPARTMENT NON GENERAL FUND
July 1, 2008 -June 30, 2009
DEPARTMENT cont'd TOTAL
Public Works
Comm Facility Fees 8,550
Public Facility Fees 5,300
Traffic Mitigation Fees 55,500
Gas Tax 159,000
Street Maintenance 2,306,250
Transit 2,230,300
Airport Operations 1,844,750
FEMA CIP 897,000
Public Works CIP 5,606,550
TDA CIP 256,000
General Government CIP 44,050
Community Development CIP 141,000
Parks and Recreation
Parkland Acquisition Fees 49,650
Park and Rec Grants 151,900
Aquatic Fac Impact Fee 1,150
Library Fac Impact Fee 1,600
LAD 279,750
Marina 478,300
Parks CIP 392,150
Petaluma Community Development Commission
Merged Project Area Admin 7,597,750
Merged Project Area CIP 5,769,250
Merged Project Area Debt 4,692,100
Low and Mod Income Housing 3,061,500
Water Resources and Conservation
Waste Water 35,563,050
Water 14,127,550
Storm Drainage Fees 5,550
Transfers Out All Funds 22,822,10.0
TOTAL DEPARTMENTS 126,766,950
PCDC Resolution 2008-06 Page 3
Exhibit A
CITY OF PETALUMA, CA
APPROPRIATIONS BY FUND
July 1, 2008 -June 30, 2009
FUND TOTAL
Special Revenue Funds:
CDBG 345,050
Home/Begin 268,900
Low/Mod Income Housing 3,061,500
Comm Fac Impact Fee 8,550
Library Fac Impact Fee 1,600
Public Fac Impact Fee 5,300
Fire Suppress Impact Fee 3,400
Storm Drainage Impact Fee 381,550
Housing in-Lieu Impact Fee 1,619,950
Commercial Linkage Impact Fee 104,800
Parkland Acquisition Impact Fee 49,650
Aquatic Fac Impact Fee 1,150
Police Fac Impact Fee 2,050
Traffic Mitigation Impact Fee 55,500
PCDC Grants 2,446,000
Police Grants 319,000
Park & Rec Grants 151,900
Public Works Grants 2,770,000
Gas Tax 1,679,000
Supplemental Law Enforcement. 170,000
LAD 279,750
Street Maintenance 2,306,250
Street Reconstruction 124,000
TOT 1,802,500
Haz Mat Fines 10,000
Fire In-Lieu Fees 50,000
Donations 133,000
Prince Park Trust 30,000
PCDC Donations 500,000
Capital Projects 17,023,650
Debt Funds 4,692,100
Redevelopment Funds 20,282,850
Enterprise Funds:
Airport 1,844,750
Ambulance 2,398,450
Development Services 2,165,200
Marina 478,300
Transit 2,230,300
Waste Water 35,563,050
Water 14,127,550
Internal Service Funds:
Employee Benefits 715,650
General Services 307,700
Information Technology 1,627,750
Risk 2,271,850
Vehicle/Equip Replace 634,450
Worker's Comp 1,719,000
Private Purpose Trust Funds 4,000
TOTAL FUNDS 126,766,950
PCDC Resolution 2008-Ob Page 4