Loading...
Resolution 12420LL ) CITY OF ALAMEDA RESOLUTION NO. 12420 APPROVING AND ADOPTING THE OPERATING BUDGET AND CAPITAL IMPROVEMENTS FOR FISCAL YEAR 1993-94, AND APPROPRIATING CERTAIN MONEYS FOR THE EXPENDITURES PROVIDED IN SAID FISCAL YEAR WHEREAS, there has been submitted to and filed with this Council at this meeting, a budget representing a financial plan for conducting the affairs of the City of Alameda for the fiscal year beginning July 1, 1993 and ending June 30, 1994 attached hereto as Exhibit A, and a Capital Improvement Budget for said fiscal year; and WHEREAS, the City Council has considered the two year spending plan. NOW, THEREFORE, BE IT RESOLVED BY THE COUNCIL OF THE CITY OF ALAMEDA that said budget as submitted to this Council at this meeting, and each and every part thereof, be, and the same is hereby approved and adopted as the Operating Budget and Capital Improvement Budget for the City of Alameda for the fiscal year 1993-94, and that the expenditure of the various sums of money therein provided to be spent for salaries and wages, maintenance and operation, capital outlay and capital improvements by each department therein listed in detail are hereby approved and authorized in total by the above object classification, as the appropriations for the fiscal year ending June 30, 1994. Revised 6/30/93 PROPOSED BUDGET — 1993-94 FISCAL YEAR GENERAL FUND ENTERPRISE FUNDS: Corica Golf Enterprise Fund Sewer Enterprise Fund CAPITAL PROJECTS FUNDS: Capital Improvement Fund Community Facilities District N1 Construction Improvement Fund Library Construction Fund Transportation Improvement Fund $3,248,555 5,263,255 $34,929,175 75,000 30,000 162,000 913,700 SPECIAL REVENUE FUNDS: Affordable Housing Fund $100,000 Asset Siezure Funds 200,000 Athletic Trust Fund 465,650 Community Development Block Grant 2,246,652 Community Improvement Commission 3,523,890 Dwelling Unit Tax Fund 258,105 Equipment Acquistion Fund 504,665 Equipment Replacement Fund 469,050 Fire Equipment Fund 150,000 Garbage Surcharge 103,750 Gas Tax Fund 1,760,483 Library Operating Fund 1,560,381 Low and Moderate Income Housing 669,146 Measure B 1,716,727 Parking Meter Fund 360,000 Public Safety Impact Fees 50,000 Rehabilitation Repayment Fund 347,714 Senior Citizens Transportation Assistance 131,990 Tidelands Trust 135,250 Traffic Safety Fund 95,000 UDAG 162,000 Urban Runoff 561,000 Waste Management/Recycling 304,405 INTERNAL SERVICE FUNDS: General Liability $983,797 Unemployment 30,000 Workers Compensation Trust 860,885 EXHIBIT A Percent of Total $37,024,613 35.34,5 8,511,810 8.12% 36,109,875 34.47% 15,875,858 15.15% 1,874,682 1.79% DEBT SERVICE FUNDS 2,049,279 1.96% FIDUCIARY FUNDS: Pension Plan 1079 $3,105,000 Pension Plan 1082 150,000 West Lagoon Homeowners Assn 62,000 3,317,000 3.17% GRAND TOTAL $104,763,117 100.00% BUDGST2 6/30/93 BUDGET 1993 -94 EXHIBIT A OPERATING ADJUSTED TOTAL ADJUSTMENTS APPROPRIATIONS GENERAL FUND: CITY COUNCIL $145,475 (528,141) 5119,334 CITY CLERK 219,145 (4,000) 215,145 ELECTIONS 1,040 0 1,040 CITY CLERK 220,185 (4,000) 216,185 CITY MANAGER CITY MANAGER 4.42,420 (22,121) 420,299 CONTINGENCY 60,000 0 60,000 CABLE 27,265 (1,370) 25,895 CITY MANAGER 519,685 (23,491) 496,194 CITY ATTORNEY 409,590 (15,480) 394,110 FINANCE ACCOUNTING1TREASURY 1,060,945 (70,770) 990,175 PURCHASING 173,355 0 173,355 DATA PROCESSING 174,370 0 174,370 FINANCE 1,408,670 (70,770) 1,337,900 PERSONNEL PERSONNEL 493,388 (6,804) 487,584 VOLUNTEER PROGRAM 14,685 0 14,685 PERSONNEL 608,073 (5,804) 502,269 POLICE BUREAU SERVICES 3,477,661 0 3,477,661 BUREAU OF OPERATIONS 7,593,007 (259,459) 7,333,548 ANIMAL SHELTER 198,747 0 198,747 CIVIL DEFENSE 10,505 0 10,505 BUREAU OF STANDARDS 123,030 0 123,030 CROSSING GUARDS 113,125 0 113,125 POLICE 11,516,075 (259,459) 11,256,616 FIRE EMERGENCY SERVICES 7,603,670 (300,000) 7,303,670 TRAINING 550,700 0 550,700 FIRE PREVENTION 244,410 0 244,410 FIRE 8,398,780 (300,000) 8,098,780 PLANNING PLANNING 557,110 (29,014) HISTORICAL ADV BOARD 39,120 0 528,096 39,120 PLANNING 596,230 (29,014) 567,216 PUBLIC WORKS ADMIN 325,482 (4,285) 321,197 ENGINEERING 1,440,140 (80,586) 1,359,554 BUILDING 428,788 (3,365) 425,423 MAINTENANCE 2,974,615 (291,117) 2,683,498 CENTRAL PERMITS 381,550 (39,758) 341,792 STREET LIGHTING 332,480 0 332,480 PUBLIC WORKS 5,883,055 (419,111) 5,463,944 BUDGET 1993 -94 EXHIBIT A OPERATING ADJUSTED TOTAL ADJUSTMENTS APPROPRIATIONS PARKS AND RECREATION RECREATION 927,958 (3,215) 924,743 PARKS 1,109,078 (20,100) 1,088,978 SWIM CENTER 209,865 0 209,865 MASTICK 286,751 (5,998) 280,753 PARKS AND RECREATION 2,533,652 (29,313) 2,504,339 SUBTOTAL- GENERAL FUND $32,139,470 (81,182,583) 830,956,887 Closure of City facilities (4 days) 0 0 0 Closed of City facilities (1 day /week) 0 0 0 Chamber of Commerce 20,000 (300) 19,700 Property Tax Collection 180,000 0 180,000 TRANSFERS OUT CAPITAL IMPROVEMENTS 415,460 0 415,460 CAPITAL PROJECTS 534,600 0 534,600 CAPITAL OUTLAY 226,830 (48,400) 178,430 GENERAL LIABILITY 1,000,000 (44,000) 956,000 PENSION 2,900,000 0 2,900,000 LIBRARY 921,781 (38,245) 883,536 GENERAL FUND TOTAL 6,198,671 (130,945) 6,067,726 $38,338,141 ($1,313,528) $37,024,613 SPECIAL FUNDS 1993 -94 ATHLETIC TRUST 465,650 0 465,650 AFFORDABLE HOUSING FUND 100,000 0 100,000 ASSET SEIZURE FUNDS 200,000 0 200,000 CAPITAL IMPROVEMENT FUND 34,929,175 0 34,929,175 COMMUNITY FACILITIES DISTRICT 01 75.000 0 75,000 COMMUNITY DEVELOPMENT 2,246,652 0 2,246,652 CONSTRUCTION IMPROVEMENT FUND 30,000 0 30,000 DEBT SERVICES FUNDS 2,049,279 0 2,049,279 DWELLING UNIT TAX FUND 258,105 0 258,105 EQUIPMENT ACQUISITION 504,665 0 504,665 EQUIPMENT REPLACEMENT FUND 469,050 0 489,050 FIRE EQUIPMENT FUND 150,000 0 150,000 GARBAGE SURCHARGE 103,750 0 103,750 GAS TAX 1,760,483 0 1,760,483 GENERAL LIABILITY 1,027,797 (44,000) 983,797 GOLF - Operating - Capital Projects 2,000,055 0 2,000,055 1,248,500 0 1,248,500 3,248,555 0 3,248,555 BUDGET 1993 -94 EXHIBIT A OPERATING ADJUSTED TOTAL ADJUSTMENTS APPROPRIATIONS LIBRARY CONSTRUCTION FUND 182,000 0 162,000 LIBRARY 1,594,626 (38,245) 1,556,381 LIB /BALRN 4,000 0 4,000 1,598,626 (38,245) 1,560,381 LOW AND MODERATE INCOME HOUSING WEST END CIC 635,642 0 635,642 BUSINESS & WATERFRONT 33,504 0 33,504 669,146 0 869,146 MEASURE B 1,717,727 0 1,717,727 PARKING METER FUND 380,000 0 360,000 PENSION 1079 3,105,00D 0 3,105,000 PENSION 1082 150,000 0 150,000 POLICE IMPACT FEES 50,000 0 50,000 0 REDEVELOPMENT WEST END COMMUNITY IMPRV 2,909,670 0 2,909,570 BUSINESS & WATERFRONT IMPROVEMENT PROJECT 614,320 0 614,320 3,523,890 0 3,523,890 REHABILITATION REPAYMENT FUND 347,714 0 347,714 SENIOR CITIZENS TRANSPORTATION 131,990 0 131,990 SEWER - Operating 2,593,255 0 2,593,255 - capital projects 2,670,000 0 2,670,000 5,283,255 0 5,263,255 TIDELANDS TRUST 135,250 0 135,250 TRAFFIC SAFETY FUND 95,000 0 95,000 TRANSPORTATION IMPROVEMENT FUND 913,700 0 913,700 UDAQ 162,000 0 182,000 UNEMPLOYMENT 30,000 0 30,000 URBAN RUNOFF 321,000 240,000 561,000 WASTE MANAGEMENT /RECYCLING 302,238 2,167 304,405 WEST LAGOON HOMEOWNERS ASSOCIATION 82,000 0 62,000 WORKERS COMPENSATION 860,885 0 860,885 TOTAL SPECIAL FUNDS 587,579,582 5159,922 587,739,504 GRAND TOTAL- ALL FUNDS 8105,917,723 (51,153,606) 8104,764,117 BUDG94STAD 6/30/93 I, the undersigned, hereby certify that the foregoing Resolution was duly and regularly adopted and passed by the Council of the City of Alameda in special meeting assembled on the 29th day of June , 1993, by the following vote to wit: AYES: Councilmembers Appezzato, Arnerich, Lucas, Roth and President Withrow - 5. NOES: None. ABSENT: None. ABSTENTIONS: None. IN WITNESS, WHEREOF, I have hereunto set my hand and affixed the official seal of said City this 30th day of June , 1993. Diane B. Felsch, City of Alameda