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HomeMy WebLinkAboutResolution 2019-068 N.C.S. 05/20/2019Resolution No. 2019-068 N.C.S. of the City of Petaluma, California ADOPTING THE FISCAL YEAR 2019-2020 CAPITAL PROJECTS AND DEBT FUND BUDGET WHEREAS, the City Manager has prepared and submitted to the City Council a preliminary budget for the period from July 1, 2019 through June 30, 2020, as required by Section 59 of the City Charter; and WHEREAS, the preliminary budget for fiscal year 2019-2020 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 2019-2020 Preliminary Budget is hereby adopted as the FY 2019-2020 Adopted Budget for the following funds: Capital Projects Debt Fund 2. The FY 2019-2020 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 Approved as to Council of the City of Petaluma at a Regular meeting on the 201h day of May /om: v 2019, by the following vote: t City Attorney AYES: Mayor Barrett; Fischer; Healy; Kearney; King; Vice Mayor McDonnell; Miller NOES: None ABSENT: None ABSTAIN: None ATTEST: Deputy City Clerk Mayor Resolution No. 2019-068 N.C.S. Page 1 Exhibit A CITY OF PETALUMA, CA PRELIMINARY FY 2019-20 BUDGET APPROPRIATIONS BY DEPARTMENT AND FUND SPECIAL REVENUE & TRUST FUNDS Community Development Block Grant Budgeted Appropriations Budgeted Transfers Out Total Budget GENERALFUND 906,000 906,000 General Fund Cost Center 1,409 747,507 748,916 City Council 102,876 - 102,876 City Attorney 993,737 - 993,737 City Clerk 384,499 - 384,499 City Manager 892,382 - 892,382 Economic Development 415,520 - 415,520 Finance 2,127,454 - 2,127,454 Human Resources 586,621 - 586,621 Non Departmental 1,630,200 - 1,630,200 Planning 682,577 - 682,577 Fire 15,682,135 - 15,682,135 Recreation 1,778,910 - 1,778,910 Police 20,490,446 - 20,490,446 Public Works 3,800,496 - 3,800,496 TOTAL GENERAL FUND 49,569,262 747,507 50,316,769 SPECIAL REVENUE & TRUST FUNDS Community Development Block Grant 312,857 25,600 338,457 Home/ Begin Grants 906,000 906,000 Housing Successor Agency 238,043 - 238,043 Mobile Home Rent Program 3,000, 16,000 19,000 Commercial Linkage Fees 657,774 48,000 705,774 Housing In -Lieu Fees 1,279,174 90,000 1,369,174 Parkland Acquistion Impact Fees -08 4,614 - 4,614 Parkland Development Impact Fees -08 85,260 1,807,000 1,892,260 Open Space Acquisition Impact Fees - 08 2,503 - 2,503 Quimby Act Dedication and In -Lieu -08 6,086 - 6,086 City Facilities Development Impact Fee 35,626 1,085,500 1,121,126 Storm Drainage Impact Fees 488 20,000 20,488 Traffic Mitigation Impact Fees - 3,334,000 3,334,000 Traffic Mitigation Impact Fees -08 99,835 - 99,835 Public Art Fees 446,081 - 446,081 Resolution No. 2019-068 N.C.S. Page 2 Exhibit A CITY OF PETALUMA, CA PRELIMINARY FY 2019-20 BUDGET APPROPRIATIONS BY DEPARTMENT AND FUND Airport Operations Budgeted Appropriations Budgeted Transfers Out Total Budget 3% Admin Impact Fees 937 - 937 Police Grants 271,041 - 271,041 Public Works Grants - 1,053,000 1,053,000 Gas Tax 40,631 2,603,195 2,643,826 Landscape Assessment Districts 622,953 - 622,953 Abandoned Vehicle Abatement 108,577 - 108,577 Asset Seizures 112,581 82,175 194,756 Street Maintenance Gas Tax 3,321,733 3,786,370 7,108,103 Transient Occupancy Tax 418,809 3,473,000 3,891,809 Petaluma Tourism Improvement District 167,200 - 167,200 Haz Mat Fines 10,258 - 10,258 SLESF 59,500 100,000 159,500 Donations 35,991 550,000 585,991 Prince Park Trust - 56,500 56,500 Tamae M Baugh Trust 42,350 42,350 Measure M Parks Sales Tax 314,000 205,000 519,000 TOTAL SPECIAL REVENUE & TRUST FUNDS 9,603,902 18,335,340 27,939,242 Airport Operations 1,880,885 792,000 2,672,885 Building Services 1,692,355 - 1,692,355 Marina 343,213 - 343,213 Public Transportation 3,251,420 - 3,251,420 TOTAL ENTERPRISE FUNDS 7,167,873 792,000 7,959,873 UTILITIES Waste Water Utility 22,140,952 16,270,000 38,410,952 Water Utility 15,926,631 5,020,000 20,946,631 Storm Utility 633,503 50,000 683,503 TOTAL UTILITY FUNDS 38,701,086 21,340,000 60,041,086 INTERNAL SERVICE FUNDS Employee Benefits 936,645 - 936,645 General Services 227,218 - 227,218 Information Technology 1,920,700 - 1,920,700 Risk Management (Liability) 1,344,836 1,344,836 Vehicle and Equipment Replacement 1,648,276 - 1,648,276 Workers' Compensation 1,919,921 - 1,919,921 TOTAL INTERNAL SERVICE FUNDS 7,997,596 - 7,997,596 Resolution No. 2019-068 N.C.S. Page 3 CITY OF PETALUMA, CA PRELIMINARY FY 2019-20 BUDGET APPROPRIATIONS BY DEPARTMENT AND FUND CAPITAL PROJECT FUNDS Facilities CIP Parks and Recreation CIP Public Works/Surface Water CIP Airport CIP Marina CIP Transit CIP Waste Water/Recycled Water CIP Water C IP TOTAL CAPITAL PROJECT FUNDS Successor Agency Debt Successor Agency Admin TOTAL SUCCESSOR AGENCY FUNDS GRAND TOTAL Exhibit A Budgeted Budgeted Total Appropriations Transfers Out Budget 457,000 3,065,759 12,522,773 791,659 230,260 17,411,802 4,421,702 38,900,955 5,158,074 236,952 5,395,026 457,000 3,065,759 12,522,773 791,659 230,260 17,411,802 4,421,702 38,900,955 5,158,074 236,952 5,395,026 $ 157,335,700 $ 41,214,847 $ 198,550,547 Resolution No. 2019-068 N.C.S. Page 4