HomeMy WebLinkAboutResolution 2015-059 N.C.S. 05/18/2015Resolution No. 2015-059 N.C.S.-
of
.C.S:of the City of Petaluma, California
ADOPTING THE FISCAL YEAR 2015-2016
GENERAL FUND BUDGET
WHEREAS, the City Manager has prepared and submitted to the City Council a
preliminary budget for the period from July 1, 2015 through June 30, 2016, as required by
Section 59 of the City Charter; and
WHEREAS, the preliminary budget for fiscal year 2015-2016 does not exceed the
estimated revenues, other sources and available fund balances; and
WHEREAS, the City Council has reviewed the budget during its scheduled public
budget workshop,
that:
NOW, THEREFORE BE IT RESOLVED, by the City Council of the City of Petaluma
1. The FY 2015-2016 Preliminary Budget is hereby adopted as the FY 2015-2016
General Fund Adopted Budget.
2, The FY 2015-2016 Appropriations, referred to as Exhibit A, which lists
Appropriations by Department and by Fund is to be filed with the City Clerk,
Under the power and authority conferred upon this Council by the Charter of said City.
REFERENCE: I hereby certify the foregoing Resolution was introduced and adopted by the Appr�ved as to
Council of the City of Petaluma at a Regular meeting on the 18`x' day of May, 2015, form:
by the following vote:
f`
'Ar -
qty ttorney
AYES: Albertson, Barrett, Mayor Glass, King, Vice Mayor Miller
NOES: None
ABSENT: Healy, Kearney
ABSTAIN: None
ATTEST:
City Clerk Mayor
Resolution No. 2015-059 N.C.S. Page 1
Exhibit A
CITY OF PETALUMA, CA
PRELIMINARY FY 2015-16 BUDGET
APPROPRIATIONS BY DEPARTMENT AND FUND
SPECIAL REVENUE FUNDS
Community Development Block Grant
Budgeted
Budgeted
Total
Housing Successor Agency
Appropriations
Transfers Out
Budget
GENERALFUND
3,000
-
3,000
General Fund Cost Center
1,088
1,367,053
1,368,141
City Council
120,305
-
120,305
City Attorney
879,885
-
879,885
City Clerk
264,256
-
264,256
City Manager
800,462
-
800,462
Economic Development
299,678
-
299,678
Finance
1,936,669
-
1,936,669
Human Resources
488,692
-
488,692
Non Departmental
1,161,449
-
1,161,449
Community Development
554,149
-
554,149
Fire
12,240,359
-
12,240,359
Recreation
1,644,283
-
1,644,283
Police
16,023,530
-
16,023,530
Public Works
3,678,109
-
3,678,109
TOTAL GENERAL FUND
40,092,914
1,367,053
41,459,967
SPECIAL REVENUE FUNDS
Community Development Block Grant
324,458
28,130
352,588
Housing Successor Agency
316,967
-
316,967
Mobile Home Rent Program
3,000
-
3,000
Aquatic Facility Impact Fees
7
-
7
Commercial Linkage Fees
340,000
50,000
390,000
Community Facilities Impact Fees
29
-
29
Community Facilities Impact Fees - 08
12
-
12
Fire Suppression Impact Fees
8
120,000
120,008
Housing In -Lieu Fees
142,511
50,000
192,511
Library Facility Impact Fees
20
-
20
Parkland Acquistion Impact Fees -08
753
-
753
Parkland Development Impact Fees -08
5,286
574,452
579,738
Open Space Acquisition Impact Fees - 08
390
-
390
Quimby Act Dedication and In -Lieu -08
954
-
954
Law Enforcement Facility Impact Fees
30
-
30
Public Facilities Impact Fees
12
-
12
Public Facilities Impact Fees -08
11
-
11
City Facilities Development Impact Fee
5,505
-
5,505
Storm Drainage Impact Fees
1,121
744,000
745,121
Storm Drainage Impact Fees - 08
416
-
416
Traffic Mitigation Impact Fees
96
1,105,567
1,105,663
Traffic Mitigation Impact Fees -08
55,943
1,793,433
1,849,376
Public Art Fees
143,537
-
143,537
Resolution No. 2015-059 N.C.S. Page 2
CITY OF PETALUMA, CA
PRELIMINARY FY 2015-16 BUDGET
APPROPRIATIONS BY DEPARTMENT AND FUND
Budgeted Budgeted
Appropriations Transfers Out
3% Admin Impact Fees
Police Grants
Parks and Rec Grants
Public Works Grants
Gas Tax
Landscape Assessment Districts
Abandoned Vehicle Abatement
Asset Seizures
Street Maintenance Gas Tax
Transient Occupancy Tax
Haz Mat Fines
SLESF
Donations
Prince Park Trust
TOTAL SPECIAL REVENUE FUNDS
ENTERPRISE FUNDS
Airport Operations
Community Development
Marina
Public Transportation
Waste Water Utility
Waste Water Rate Stabilization
Water Utility
Storm Utility
TOTAL ENTERPRISE FUNDS
INTERNAL SERVICE FUNDS
Employee Benefits
General Services
Information Technology
Risk Management (Liability)
Vehicle and Equipment Replacement
Workers' Compensation
TOTAL INTERNAL SERVICE FUNDS
22,876
567,000
34,569
316,459
81,422
101,857
3,029,556
402,117
10,070
57,384
5,964,376
1,835,382
1,354,515
313,589
6,698,197
20,412,543
14,218,533
548,181
45,380,940
1,076,625
224,023
1,802,161
1,677,178
1,464,394
6,244,381
336,000
3,627,000
1,873,262
30,000
567,000
1,455,512
100,000
188,000
56,500
12,698,856
250,000
8,639,000
6,776,000
15,665,000
Total
Budget
22,876
567,000
336,000
3,627,000
1,907,831
316,459
81,422
131,857
3,596,556
1,857,629
10,070
100,000
245,384
56,500
18,663,232
1,835,382
1,354,515
313,589
6,948,197
29,051,543
20,994,533
548,181
61,045,940
1,076,625
224,023
1,802,161
1,677,178
1,464,394
- 6,244,381
Resolution No. 2015-059 N.C.S. Page 3
CITY OF PETALUMA, CA
PRELIMINARY FY 2015-16 BUDGET
APPROPRIATIONS BY DEPARTMENT AND FUND
Budgeted Budgeted Total
Appropriations Transfers Out Budget
CAPITAL PROJECT FUNDS
General Gov CIP
100,000
- 100,000
Fire CIP
120,000
- 120,000
Parks and Recreation CIP
968,000
- 968,000
Public Works/Surface Water CIP
11,237,000
- 11,237,000
Transit CIP
317,000
- 317,000
Waste Water/Recycled Water CIP
8,702,000
- 8,702,000
Water CIP
7,216,000
- 7,216,000
TOTAL CAPITAL PROJECT FUNDS
28,660,000
- 28,660,000
Successor Agency Debt
4,940,891
- 4,940,891
Successor Agency CIP
-
- -
Successor Agency Admin
590,277
- 590,277
TOTAL SUCCESSOR AGENCY FUNDS
5,531,168
- 5,531,168
GRAND TOTAL
$ 131.873.779 $ 29,730,909 $ 161.604.688
Resolution No, 2015-059 N.C.S. Page 4