2008-02-19 Joint CC ARRA CIC MinutesMINUTES OF THE SPECIAL JOINT CITY COUNCIL,
ALAMEDA REUSE AND REDEVELOPMENT AUTHORITY (ARRA), AND
COMMUNITY IMPROVEMENT COMMISSION (CIC) MEETING
TUESDAY- - FEBRUARY 19, 2008- -7:25 P.M.
Mayor /Chair Johnson convened the Special Meeting at 8:00 p.m.
ROLL CALL - Present: Councilmembers /Board Members /Commissioners
deHaan, Gilmore, Matarrese, Tam, and
Mayor /Chair Johnson - 5.
Absent: None.
SPECIAL ORDERS OF THE DAY
(08 -10 CIC) Update on the Alameda Theater, Cineplex, and Parking
Structure Project.
The Redevelopment Manager gave a brief presentation.
Chair Johnson stated the marquee panels look very good and almost
like new.
The Redevelopment Manager stated differentiating between the new
and restored panels is difficult.
Commissioner Matarrese inquired whether options would be provided
for softening the look of the parking structure's northern
elevation.
The Redevelopment Manager responded staff recommends maintaining
the contingency until the Theater project is closed out; stated
staff is working with an architect on options and pricing.
Commissioner Matarrese requested an update on the Central Avenue
bike lane and parallel parking.
The Redevelopment Manager stated diagonal parking has been
converted to parallel parking in front of the Central Avenue School
District offices in order to facilitate a bike route, which is part
of the General Plan.
Commissioner Matarrese congratulated staff for completing the
parallel parking.
Commissioner deHaan inquired whether monthly parking passes have
been successful.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
The Redevelopment Manager responded flyers were sent to local
businesses in the area; stated plans are to advertise in the Park
Street Business Association and Chamber of Commerce newsletters;
all spaces have not been reserved; more marketing will be done.
Commissioner deHaan inquired where are the monthly parking spaces.
The Redevelopment Manager responded approximately 40 spaces are
restricted to the roof for local business monthly parking; stated
expanding the monthly parking spaces to other levels might make
sense.
Commissioner deHaan stated the public needs to understand that
parking is free after 5:00 p.m.
Chair Johnson stated parking is also free on Sunday.
The Redevelopment Manager stated the increased on- street parking
rates would also help.
Chair Johnson stated enforcement should help; people are not used
to going down Oak Street.
The Redevelopment Manager stated better marketing would inform
people that the parking garage is open even though half of Oak
Street is closed.
Commissioner Tam stated that she appreciates that the leak was
discovered early; the remaining Theater contingency is $2,777; the
remaining garage contingency is $31,000; the original amount of the
[parking garage] contingency was $415,000; $604,000 in value
engineering was taken out; additional expenditures were covered by
interest from loans; inquired whether overages would be covered by
interest or contingency.
The Redevelopment Manager responded $55,000 is budgeted for the
leakage within the current contingency; pending change orders might
come back at a higher price; the $31,000 garage contingency should
be enough to cover the eastern elevation leakage; the interest from
the Housing and Urban Development (HUD) loan has not been committed
to anything else; $62,000 was committed from the Cineplex interest
income in December; an additional $12,000 available.
Commissioner Tam inquired whether there would be an assessment of
available funding for such things as the northern elevation and
planting at the end of the fiscal year.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
The Redevelopment Manager responded she would like to wait until
the Theater project is closed out and all liabilities have been
addressed; stated the money might be needed for outstanding
litigation.
Commissioner Tam inquired whether redevelopment funds specifically
earmarked for projects cannot be used for the General Fund, to
which the Redevelopment Manager responded in the affirmative.
Commissioner deHaan inquired whether the Theater roofing is in
fairly good condition.
The Redevelopment Manager responded in the affirmative; stated the
leaking is from cracks in the sidewall; water tests have been done
on the roof; flashing was added.
Chair Johnson inquired whether the western elevation has any leaks.
The Redevelopment Manager responded the western elevation has no
visible leaks; stated conditions may arise in the future; reserves
are being set aside to address issues that may arise in the next
three to five years.
Chair Johnson stated the matter could be reviewed if contingency is
left over.
Commissioner Matarrese inquired whether Theater funds and any
remaining funds are not General Fund or revenue sources but are
restricted by law to use on redevelopment projects.
The Development Services Director responded the majority of the
Historic Theater funding was all bond money and must go to the
project along with interest; Section 108 money was used for most of
the garage construction; the land was bought with redevelopment
money; Section 108 interest income cannot be used for a non -HUD
eligible economic development project.
IONIOIIYY1N
(08 -11 CIC) Minutes of the Special Community Improvement Commission
Meeting of January 15, 2008. Approved.
Commissioner deHaan moved approval of the minutes.
Commissioner Tam seconded the motion, which carried by unanimous
voice vote - 5.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
AGENDA ITEMS
(08 -067 CC /08 -12 CIC) Recommendation to accept the Quarterly
Financial Report for the period ending December 31, 2007.
The Finance Director gave a Power Point presentation.
Mayor /Chair Johnson inquired whether retiree medical costs are 20
[of the budget]; stated the City is not fully funding the benefit
now.
The Finance Director responded the 20 represents the current
payment for retirees.
Mayor /Chair Johnson stated the amount could be much larger once
true obligations are addressed.
Councilmember /Board Member /Commissioner deHaan inquired whether the
overall operational budget is $236 million, to which the Finance
Director responded in the affirmative.
Councilmember /Board Member /Commissioner Gilmore stated the $4
million [in lost revenue] is for the current fiscal year ending in
June; the economic forecast through 2009 continues on the same
path; the $4 million gap needs to be closed by the end of June;
there will be some type of gap in the next two -year budget cycle.
The Finance Director stated the first year is predicted to have
some type of gap.
Vice Mayor /Board Member /Commissioner Tam commended staff for being
ahead of the curve and reviewing ways to reduce expenditures by $3
million in anticipation of the $4 million deficit; $1.4 million was
spent on the Beltline litigation; the money was moved from the
General Fund to the Risk Management fund; inquired whether the Risk
Management fund comes out of the reserves.
The Finance Director responded Risk Management is funded by
allocations from various funds, including the General Fund, which
is the biggest contributor.
Vice Mayor /Board Member /Commissioner Tam stated the City cannot
anticipate litigation costs; the Beltline litigation ended up
costing more than the parcel cost; reserve funding is needed for
prospective issues; the City directly controls the Utility Users
Tax; inquired whether other revenue sources are controlled by the
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
City.
The Finance Director responded the Property Transfer Tax; stated a
vote would be required to increase the tax.
Vice Mayor /Board Member /Commissioner Tam inquired whether focusing
on the Property Tax would result in the biggest bang for the buck.
The Finance Director responded an increase in the Property Transfer
Tax would require a two- thirds vote; stated currently the City
charges $5.40 per $1,000 and is next to the last of the Charter
cities.
Mayor /Chair Johnson requested clarification on the value of the
Beltline property versus cost of litigation.
The City Attorney /Legal Counsel stated the result of the litigation
is that the City will pay a little under $1 million for the
property; the Beltline estimates the property value between $30 and
$40 million.
Councilmember /Board Member /Commissioner deHaan inquired whether the
litigation costs were coming out of the General Fund initially.
The Finance Director responded said costs were paid out of the Risk
Management fund; the Risk Management fund needed to be backfilled
from the General Fund.
Councilmember /Board Member /Commission deHaan inquired whether the
$1.4 million cost occurred over the last several years, to which
the Finance Director responded in the affirmative.
Vice Mayor /Board Member /Commissioner Tam stated the third
recommendation is to undertake a thoughtful, structural realignment
for Fiscal Year 2008 -2009; inquired whether the second half of the
fiscal year would require dipping into reserves to cover the
deficit, to which the Finance Director responded in the
affirmative.
Councilmember /Board Member /Commissioner Matarrese inquired what
would be the risk in deferring the Lincoln Park project.
The Public Works Director responded the Recreation and Park
Department thought that the risk would be minimal; stated the
project would be deferred to July 1,2008.
Mayor /Chair Johnson inquired whether deferring the project to next
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
year would create a domino affect.
The Public Works Director responded possibly; stated efforts will
be made to continue to look for grants.
Councilmember /Board Member /Commissioner Matarrese stated that he is
always hesitant to defer Capital Improvement Projects because costs
increase down the road; he would like to have the Lincoln Park
project reviewed very carefully.
Councilmember /Board Member /Commissioner deHaan inquired what is the
project cost [Lincoln Park], to which the Public Works Director
responded $300,000.
Councilmember /Board Member /Commissioner Matarrese inquired whether
the fund balance is commonly called the reserves, to which the
Finance Director responded the fund balance is the City's reserves.
Councilmember /Board Member /Commissioner Matarrese requested
information on the Emergency Medical Response (EMS) Tax; inquired
whether said tax would be a way to gain revenue.
The Finance Director responded possibly; stated that she does not
have all the facts; information would be provided; she does not
know when the advisory vote was taken; Alameda is the only City in
the County that does not assess the tax.
Mayor /Chair Johnson inquired how long the Lincoln Park project
would take, to which the City Engineer responded design would take
approximately six to nine months.
Mayor /Chair Johnson responded the length of time is a problem
because Alameda High School uses the area as its home baseball
field; the field needs to be done by December.
The Public Works Director stated one option could be to fund the
design now; construction costs could be moved to next year.
Mayor /Chair Johnson requested that staff check with the High School
regarding the baseball schedule.
Councilmember /Board Member /Commissioner Matarrese stated deferment
of any capital improvement project should be reviewed very
carefully from a policy standpoint because continued deterioration
causes costs to increase.
Mayor /Chair Johnson stated there is not a real reserve because of
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
the millions of dollars in public safety retirement health benefit
obligations, and deferred street, sidewalk, park, and building
maintenance; the money could be spent on very critical City needs
in a second and is not fun money.
Councilmember /Board Member /Commissioner deHaan requested background
on the reserves accumulation and the erosion over the last two to
three years.
The Finance Director stated the reserve levels were adopted and
codified in a 1997 document addressing financial policies; in 1989,
a motion adopted that reserves be 250 of operating expenditures for
economic uncertainties; the fund balance was approximately 27% in
2004 -2005; portions have been used to fund: 1) deferred street,
sidewalk, and tree maintenance; 2) playing fields; and 3) the
Beltline litigation; a small portion of expenditure savings were
contributed at the end of last year.
Councilmember /Board Member /Commissioner deHaan inquired what is the
current reserve level.
The Finance Director responded the forecast indicates the reserve
will be at 17% at the end of the fiscal year.
Councilmember /Board Member /Commissioner deHaan stated the concern
is how much of the reserve is liquid.
The Finance Director responded $5.9 million of the $15 million is
loaned out to the Alameda Public Improvement Corporation, Community
Improvement Commission, and Alameda Power and Telecom, and $400,000
has been designated for fire station replacement.
Councilmember /Board Member /Commissioner deHaan inquired what is the
amount of deferred street maintenance; stated the estimate was
approximately $31 million at one time.
The Public Works Director responded $12 million is identified for
street resurfacing; $100 million is identified for all of the
various infrastructures.
Councilmember /Board Member /Commissioner deHaan stated costs go up;
using reserves for deferred maintenance is important; pension and
severance pay is another issue.
The Finance Director stated that employees are entitled to accrued
vacation payout upon retirement; the amount can be substantial;
vacation payout amounted to $200,000 this fiscal year.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
In response to Councilmember /Board Member /Commissioner deHaan's
inquiry regarding operational savings, the Finance Director stated
there is a savings of approximately $1.5 in Capital Improvement
Projects and $1.5 in operating expenditures.
Councilmember /Board Member /Commissioner deHaan stated that he does
not see any upswing or leveling at the end of 2009; the City of
Vallejo is considering bankruptcy and is the first city in
California to consider such a thing; stated today's phenomenon is
different from 2003.
The Finance Director stated the 2003 phenomenon was industry
driven, today's is home sale driven; plans need to be made for a
very thoughtful and strategic 2009 budget.
Councilmember /Board Member /Commissioner Gilmore thanked staff for
the presentation; stated best efforts have been made in forecasting
the unknown; the State's budget has not passed and may not pass
until fall; what is known now may change dramatically because the
City is dependent on what the State does to balance its budget.
The Finance Director stated
information will be available
revise; the City could feel a
emergency is not declared.
one more chance to input new
when the Governor presents the May
little more home free if a fiscal
The City Manager /Executive Director stated the City constantly
receives feedback from the League of California Cities; information
will be received before the May revise.
Councilmember /Board Member /Commissioner Matarrese inquired what
projects are not being done because funds are being shifted to
close the $5 million gap, to which the Finance Director responded
different banks are being used; Proposition 1B money would be used
for the Pavement Management Plan rather than General Fund money.
Councilmember /Board Member /Commissioner Matarrese inquired whether
Proposition 1B money was to be used for something else before shift
happened, to which the Finance Director responded street paving.
Councilmember /Board Member /Commissioner Matarrese stated things are
still being deferred; inquired whether Proposition 1B money is
being shifted into a project that would reduce the street
maintenance deficit.
The Public Works Director responded in the affirmative; stated
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
staff is looking for other funding sources; more street
improvements could be completed if General Fund money were used in
addition to Proposition 1B money.
Councilmember /Board Member /Commissioner Matarrese stated that he
wants to make sure that the public does not get the impression that
everything is all right; no one is talking about the federal
deficit; the School District is suffering more than the City.
Mayor /Chair Johnson stated a specific list needs to be provided
outlining things that are not being done.
Councilmember /Board Member /Commissioner deHaan stated the real
concern is where the City is going from here; playing with a good
estimate of what the cuts will be is important; he does not want to
wait until June to receive feedback; he wants to feel comfortable
in knowing what initiatives Council needs to take.
The Finance Director stated the City Manager /Executive Director
will lead a team of Department Heads in reviewing and gathering
revenue enhancement ideas to bring to Council in a workshop
setting; the expenditure side of the ledger will be reviewed also
to determine what level of expenditure can be tolerated; she will
have a better idea of property tax revenues on March 19.
Mayor /Chair Johnson stated departments have been requested to
review cuts through the end of the fiscal year; inquired how much
departments are asked to trim.
The Finance Director responded 1.50; stated some departments are
able to do more; reductions totaled $1.5 million.
Mayor /Chair Johnson inquired how the cuts were made.
The Finance Director responded through a strategic hiring freeze
and supply and service reductions.
Councilmember /Board Member /Commissioner deHaan inquired what is the
timeline on the budget.
The City Manager /Executive Director responded potential revenue
sources will be reviewed and presented at a workshop discussion in
March or April; stated each department's budget is being reviewed;
information needs to be gathered on property tax issues; there
could be additional impacts.
Councilmember /Board Member /Commissioner deHaan stated the City is
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
not at the point of considering a moratorium on spending yet.
Vice Mayor /Board Member /Commissioner Tam stated the issue becomes a
push pull situation regarding not filling positions; public safety
overtime costs are expected to be $350,000; the work still needs to
be done and the public needs to be provided with safety comfort;
recognizing the obligation to protect the health and safety of
residents is important.
Councilmember /Board Member /Commissioner deHaan stated that he hopes
that the City does not get to that point [moratorium on spending] .
Mayor /Chair Johnson stated the public needs to understand the
situation; the City cannot run on a deficit budget; the situation
is going to be longer term; choices are to increase revenues or
determine what services are affordable; she wishes that there were
more people here tonight; the budget needs to be balanced by $4
million in the next four months; the community will have serious
choices to make.
Councilmember /Board Member /Commissioner Matarrese moved approval of
the staff recommendation.
Councilmember /Board Member /Commissioner Matarrese inquired whether
a single -year budget could be done, to which the Finance Director
responded a budget and a plan are done; the second year would not
be adopted until next June.
Councilmember /Board Member /Commissioner deHaan stated the real
focus has been the General Fund; two- thirds of the budget is not
being discussed tonight; redevelopment and transportation funds
could be impacted.
The Finance Director stated redevelopment funds could be impacted
if assessed values decline due to the County Appeals Board grants
appeals, which lead to less tax increment for redevelopment.
Vice Mayor /Board Member /Commissioner Tam seconded the motion.
Under discussion, Councilmember /Board Member /Commissioner deHaan
stated that balancing is being done at the expense of the General
Fund reserve.
The Finance Director stated revenues were reduced by $4 million;
expenditure reductions totaled $3 million; the difference will be
funded by the General Fund reserve; money that is not spent at the
end of the year would go into the General Fund reserve.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
On the call for the question, the motion carried by unanimous voice
vote - 5.
(08 -068 CC) Recommendation to accept the Quarterly Sales Tax Report
for the period ending September 30, 2007.
The Finance Director gave a brief presentation.
Mayor Johnson requested that sales tax figures be posted to the
website; stated services are hurt by the fact that residents spend
money outside of Alameda.
The Finance Director stated the per- capita comparison can be posted
to the website.
Mayor Johnson questioned how much more money would be generated if
Alameda had a per- capita similar to the City of Fremont.
The Finance Director stated sales tax revenue would double and
provide $4 million.
Councilmember Gilmore stated $4 million is the amount of the gap.
Mayor Johnson stated Development Services has enabled the City to
stay even; the City will lose most of the auto sales tax.
The Finance Director stated hopefully new businesses will replace
the loss.
Councilmember deHaan stated the third quarter had $1.3 million in
sales tax revenue; the City is on the verge of bringing in more
retail; the Alameda Towne Centre is approximately 60% filled; there
will not be a lot of change; retail is taking the biggest
[economic] hit; looking toward the future is important.
The Finance Director stated the fourth quarter may be something
entirely different.
Councilmember Matarrese moved approval of the staff recommendation.
Councilmember Gilmore seconded the motion, which carried by
unanimous voice vote - 5.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008
ADJOURNMENT
There being no further business, Mayor /Chair Johnson adjourned the
Special Joint Meeting at 9:37 p.m.
Respectfully submitted,
Lara Weisiger, City Clerk
Secretary, Community Improvement
Commission
The agenda for this meeting was posted in accordance with the Brown
Act.
Special Joint Meeting
Alameda City Council, Alameda Reuse
and Redevelopment Authority, and
Community Improvement Commission
February 19, 2008