PURPOSE:
The purpose of this report is
to request approval to carry over continuing appropriations from the 2002-03
fiscal year to the 2003-04 fiscal year budget for the City, Redevelopment
Agency, Parking Authority, and Youth Endowment Services (YES) Fund.
BACKGROUND:
At the end of each fiscal
year, departments review their budgeted appropriations and submit requests for
manual carryovers (unencumbered funds) to Financial Services- Budget in
mid-June. In parallel to the manual carryover process, departments also submit
requests to the Purchasing Section of Financial Services to keep requested
purchase orders (encumbered funds) open with the funds carried forward to the
next fiscal year. This report addresses those appropriations which have not been
encumbered by the departments for goods or services and are considered
necessary.
A summary document was put
together based on the Request for Carryover Forms submitted by each department.
Staff compiled a list of requests and began the process of determining funds
availability, as well as the legitimacy of the request. A final list was
developed, and distributed to the departments for final review and follow-up.
Due to the budgetary problems that the City is projected to be facing for the
next five years, it was decided that the Executives would review the final list
and make the determination as to what carryover requests would be submitted to
the Council/Agency/Authority/YES Fund Board for consideration. Keeping in mind
the budgetary constraints, the Executives are satisfied that the requested
carryover dollars are necessary.
Carryover appropriations are
requested on an annual basis by the departments for a variety of reasons, but
are most commonly in the following general areas: ongoing capital projects,
delayed program implementation, continuing operations, including projects and
studies, outstanding invoices, and restricted dollars for a specific purpose.
This year, some of the major carryover requests are for ongoing capital
projects and include: the Chandler Bikeway Project; Avon Street Connect
� Empire Beautification Project; street improvements for Bid Schedules that have
been awarded and the work may or may not have yet commenced; building
improvements such as the work associated with the Development and Community
Services Building; and, park projects such as the South San Fernando Park and
Field of Fame at George Izay Park.
Delayed
program implementation
may relate to deferrals of training, postponement of program implementation, a
delay in completing a
Request for Proposal (RFP) that necessitates a request for carryover funds, or a
delay in purchasing software.
Some department requests focus
on Continuing Operations. These type of requests encompass the
following items: completing studies or design services; continued projects
associated with the Sister City Committee, Tournament of Roses Association,
Burbank Athletic Federation, etc; outstanding invoices including buses for the
first week of day camp, and pharmaceuticals for weapons of mass destruction;
and, projected additional costs for items such as additional maintenance and
repair of City owned parking structures.
Restricted Dollars
may refer to appropriations to grant recipients awarded by the City, such as
Positive Alternatives for Youth (PAY) grants or YES Fund grants; dollars
received by the City such as Public Library Funds, Local Law Enforcement Block
Grants and Drug Asset Forfeiture Funds; or, donations appropriated for a
specific purpose (animal shelter spaying/neutering or the Fire Safety Trailer
are examples). In terms of City awarded grants, not all grants are paid out
within the 2002-03 fiscal year, some programs run on a calendar year basis.
ANALYSIS
A summary carryover list
(Exhibit A) designates each General Fund request by department, account number
and name, amount requested, and a justification. This is followed by a summary
of all other funds with continuing appropriation requests. This report will
highlight some key appropriation requests and summarize amounts requested for
the other funds.
City Attorney
Burbank Water and Power
-
Both the Water and Electric
Funds are requesting continuing appropriations for a variety of projects and
commodities including the purchase of vehicles, BWP Oracle reimplementation,
warehouse and fleet management systems, undergrounding of existing utility
lines, and capital projects that have yet to be completed.
City Clerk
Community Development
-
Payments on an Economic
Development Agreement that the City entered into in prior years that are
outside the Redevelopment Agency.
-
Continued contractual
services for planning projects including the General Plan update and overhaul
of Chapter 31 of the Burbank Municipal Code.
-
Regional Intermodal
Transportation Center Facility improvements such as elevator enhancements
project that is not yet completed and continued maintenance funded through
Proposition A and Proposition C funds.
-
Development Impact Fees
provide a resource for many ongoing transportation projects throughout the
City. Projects requested for carryover include the Chandler Bikeway, the Five
Points bridge widening, the Transportation Element Environmental Impact Report
(EIR), and the Media District Intelligent Transportation System.
-
The Low and Moderate Housing
Fund has several programs for single family home rehabilitation loans or
residential rehabilitation loans in process, as well as funding of several
projects not yet completed including the Lance site at 700 South San Fernando.
-
The Redevelopment Agency is
requesting the carryover of HOME Funds for ongoing projects, and funds from
the Golden State, City Centre, West Olive and South San Fernando Project Areas
to provide funding for projects that are not yet completed including Robert
Gross Park, Downtown Tenant Assistance Program, SR-134 Westbound Off-ramp
improvements, and the South San Fernando Streetscape project.
Fire
-
Outstanding invoices for
several purchases in progress including HAZMAT and Urban Search and Rescue
training for weapons of mass destruction
-
In final stages of selection
process for new records management system.
-
Grant from Warner Brothers
for Burbank Residents Assisting in Community Emergencies (BRACE)/Community
Emergency Response Team (CERT) (restricted item).
-
Anticipated funds to cover
the cost of sales tax for grants that have been awarded to the Department.
Information Technology
-
Pursuant to adopted Council
policy, the Information Technology Holding account will be replenished to
$340,000.
-
Network performance
monitoring, diagnostic and security software package of productions and the
associated costs for the necessary hardware and services.
-
The Computer Equipment
Replacement Fund (Fund 537) contains funds for the Document Imaging project
and the Oracle project as well as the Oracle Holding account ($2.168 million).
Library
-
Sister City Committee
expenses for visiting students/guests from the City�s sister cities.
-
Public Library Funds which
will help supplement the library budget, particularly in light of the drastic
reduction proposed by the State for 2003-04.
-
Supplemental funds to
purchase computers for a computer lab as part of the Central Library
remodeling project.
Management Services
-
As part of budget reduction,
the Employee Banquet Awards program will be modified. However, plans for the
2003-04 awards program were in progress so it was agreed that dollars would be
carried over from the year end savings to provide adequate funds for the
banquet.
-
Ongoing necessary employee
training.
-
Funds to uninsured judgments
budgeted in the General Liability Insurance Fund.
Park Recreation & Community
Services
-
Urban reforestation funds
are restricted and the balance is carried over each year.
-
Starlight bowl remaining
funds which are accumulated for capital maintenance purposes including the
seat renovation.
-
Pursuant to Council
direction, funds for Peacebuilders, Teen Street beat, and Teens in Action.
-
Grant funding disbursements
� The PAY grant awardees have not received their funding.
-
Burbank Athletic Federation
(BAF) revenues collected from sports leagues remain in this cost center for
uses specifically related to BAF program costs and capital. Each year the
balance in the accounts is carried over.
-
The Joslyn Foundation
provided funds to be used exclusively for future Joslyn Center facility
improvements.
-
Tournament of Roses
Association dollars for the City�s annual contribution to provide funds for
float production.
-
The YES Fund grant
recipients have not received all of their funding.
-
The Capital Projects Fund
has ongoing projects such as the South San Fernando Park, Field of Fame at
George Izay Park, and Joslyn Computer Lab.
-
The Municipal Building
Replacement Fund has a series of projects underway that were not completed in
FY 2002-03 including Mountain View Park, irrigation repairs, and Miller
School/Park restrooms.
Police
-
Funds from the Inmate
Welfare Fund which are restricted for supplies that benefit the inmates.
-
Grant award for bulletproof
vest purchases.
-
Funds to pay for veterinary
services such as spay and neutering.
-
Donations received for the
Animal Shelter that will be used to purchase special supplies.
-
Development Impact Fee
appropriations to complete the waterproofing for the Police/Fire facility
parking structure.
-
All balances related to the
General City Grant Fund and the Drug Asset Forfeiture Fund.
Public Works
-
Requests related to private
contractual services previously approved with the Clifford Development PSA,
and consultant services to reset survey monument within the City as required
by the Business and Professional Code.
-
Upgrades for GIS and CAD
permit and engineering software and maintenance contract renewals.
-
The Capital Projects Fund
has several continuing projects including the Magnolia Park Angles Parking
project, Seismic Retrofit project, and Johnny Carson Parking Lot project.
-
Ongoing street improvement
projects such as the Mariposa Street Improvement project, Traffic and
Pedestrian Signal Upgrade and Bridge Barrier Replacement Rail project which
are funded through Gas Tax dollars.
-
The Vehicle Replacement Fund
has requested funds for approved 2002-03 vehicle purchases that have yet to be
completed, fleet management software and the shop modification project.
-
The Water Reclamation and
Sewer Fund payments for Hyperion operations are on hold pending Los Angeles�
approval of the contract, the design of a new flow meter for more accuracy,
Phase B of the Biological Nutrient Removal, and additional repairs required on
the sanitary sewer system are among the items requested for continuing
appropriations.
-
The Parking Authority has
requested funds for a downtown parking study to be used for the development of
the Downtown Parking Management Committee�s parking management plan and for
additional maintenance and repair at City owned parking facilities.
-
The Municipal Building
Replacement Fund has a series of projects underway that were not completed in
FY 2002-03 including the Central Library interior lighting and carpet
projects, replacement of wood poles at Starlight Bowl, and Police/Fire
Headquarters exterior painting project.
Non-Departmental
-
There are a number of
non-departmental funds that need to be carried over for future expenses
including Airport related matters, Post Retirement Medical expenses, Military
Leave pool, Youth Programs and a minor land acquisition from the Santa Monica
Mountains Conservancy.
Summary of All Funds Requested
for Carryover
The following is a summary of
all funds that are being requested to be carried over to FY 2003-04:
SUMMARY OF FUND REQUESTS
FISCAL YEAR 2002-03
CARRYOVER
General Fund (Fund
001)
$ 6,243,977
Proposition A (Fund
104)
205,919
Proposition C (Fund
105)
81,080
General City Grant Fund (Fund
121)
1,283,965
Drug Asset Forfeiture Fund
(Fund 124)
766,586
Gas Tax Fund (Fund
125)
2,411,997
Disaster Relief Fund (Fund
126)
11,426
Development Impact Fees (Fund
127)
11,450,120
HOME Funds (Fund
128)
906,707
Golden State Capital Projects
(Fund 301)
742,711
City Centre Capital Projects
(Fund 302)
2,298,293
West Olive Capital Projects
(Fund 303)
624,069
South San Fernando Capital
Projects (Fund 304) 113,385
Low/Moderate Housing Fund
(Fund 305)
3,129,114
Parking Authority (Fund
310)
76,400
Capital Projects (Fund
370)
15,561,322
Youth Endowment Services (YES)
(Fund 130) 792,809
Water Reclamation and Sewer
(Fund 494) 8,410,194
Golf (Fund
495)
2,382,351
Burbank Water and Power �
Electric (Fund 496)
2,858,518
Burbank Water and Power �
Water (Fund 497)
145,499
Refuse Collection & Disposal
(Fund 498)
1,740,101
General Liability Insurance
(Fund 530)
99,353
Vehicle Replacement (Fund
532)
3,176,767
Office Equipment
Replacement/Rental (Fund 533)
34,760
Municipal Building Replacement
(Fund 534) 736,408
Computer Equipment Replacement
(Fund 537) 2,398,690
TOTAL
$ 68,682,521
FISCAL IMPACT:
At year-end all unencumbered
appropriations revert to available fund balance and can be used for other
purposes. As the Council is aware through the FY 2003-04 budget adoption
process, staff continues to be mindful of Burbank�s budget problems as well as
the budget crisis at the State level. While the completion of the continuing
appropriations process means that dollars are reverting to fund balance, due to
accrual of outstanding invoices, the available fund balance figure can only be
considered an estimate. Staff will be presenting the first quarter financial
report in November which will include a summary of Fiscal Year 2002-03.
RECOMMENDATION:
Staff recommends that the City
Council, the Redevelopment Agency, Parking Authority, and the Youth Endowment
Services Fund Board adopt the proposed resolutions for continuing
appropriations.
Attachments:
Exhibit A � Carryover List
Detail
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