HomeMy WebLinkAboutWORK-STUDY FINALri�
AGENDA
• City Manager's Budget & Economic Conditions Overview
• Fiscal Year 2014 -15 Review
— Innovation & Efficiencies
• Economic & Financial Highlights
• Fiscal Year 2015 -16 Budgetary Assumptions
JW UH,�,
— Trial Budget & Community Budget Hearings
Fiscal Year 2015 -16 Proposed Budget
Capital Improvement Program
Fiscal Year 2015 -16 Adopted Budget Calendar
Next Budget Calendar Steps
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CITY MANAGER'S BUDGET
& ECONOMIC OVERVIEW
8.8% growth in Top 6 Revenue Sources over a 3 -Year period
— $147.6M (Projected FY 14/15) vs. $135.6M (FY 12/13)
11.5% Sales Tax growth over a 3 -Year period
— $43.6M (Projected FY 14/15) vs. $39.1 M (FY 12/13)
17.3% Hotel Visitors Tax growth over a 3 -Year period
— $8.8M (Projected FY 14/15) vs. $7.5M (FY 12/13)
Assessed Property Values have increased by 8.5% over a 3-
Year period
— $20.4B (FY 14/15) vs. $18.8B (FY 12/13)
41.5% growth in Building Valuation
— $205.OM (Projected FY 14/15) vs. $144.8M (FY 12/13)
Unemployment rate has significantly declined
— 5.0% (Mar 15) vs. 13.0% (Mar 09)
"Advancing in all key areas"
MO
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55
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CITY MANAGER'S BUDGET
& ECONOMIC OVERVIEW
$60
$55
$50
$45
C $40
O
$35
_ $30
$25
$20
$15
$10
$5 $3.0
FY 09 -10
1,743% Projected Unassigned Ending
Growth Balance: $55.3M
-- — — — — — — — — —
�
FY 14 -15 Projected
$10.0M
'rojected FY
4 -15 Surplus
--$45.3
Projected $55.3M Ending Fund Balance at June 30, 2015 4
r
0
FY 2014.15
BUDGET ACCOMPLISHMENTS
• Developed a positive One -Year Forecast & Four -Year Projections as the basis of the
FY15 -16 Budget
— Modified assumptions based on updated revenue information and, as a result, developed a balanced budget
for the upcoming Fiscal Year
— CalPERS estimated contributions included in 4 -year projection (FY 16/17- FY19/20)
• Made progress in several areas of the Strategic Plan
— Financial Stability
— Continue to pursue objectives that shape downtown Santa Ana into a thriving, culturally diverse, shopping,
dining, and entertainment destination
— Enhance Public Safety integration, communications and community outreach.
• Successfully obtained $14.OM in Grant Funding
— Partnerships to Improve Community Health
— Active Transportation Program
— Memories of Migration
• Received $1.25M in COPS Hiring Grant Funds for ten additional Police Officers &
allocated $1.OM in matching City funds
• Additional Planning & Building staff to improve the permit and inspection process $1.1 M
5
FY 2014.15
BUDGET ACCOMPLISHMENTS
• Adopted a 7 -month Budget Calendar
• Presented a balanced Trial Budget in March -3 months prior to
Charter requirements
• Developed the Medical Marijuana Dispensaries (MMD)
Enforcement Plan:
— 5 Police Officers & 1 Police Sergeant -$1.5M
— 2 Community Preservation Inspectors -$253k
— 1 Revenue & Contract Compliance Examiner -$125k
— 1 Assistant City Attorney & additional funding for contractual services -$252k
— In total, the City added over $2.01VI in funding for the MMD Enforcement Plan
101
TRIAL BUDGET &COMMUNITY BUDGET
HEARINGS
Continued public input through Community Budget Hearings (April -May)
• Conducted Budget Hearings
— Approx. 150 attendees
— 40+ Speakers /Comment cards
• 38 %- Public Safety topics
• 20 %- Roadway Improvements /CIP
• 8% -Parks & Recreation topics
• 8 %- Funding for deferred maintenance
• 8 %- Miscellaneous topics
• 5 %- Zoning & ordinance topics
• 5% Orange County Fire Authority
• 5 %- Strategic Plan
• 3% Housing topics
"Community Input on Trial Budget" 7
7
TRIAL BUDGET & COMMUNITY BUDGET
HEARINGS
Community Budget ,�• One -on -One Meetings
Hearings -2015 AIX with Councilmembers
• Casa de Santiago Councilmember Martinez
— April 2, 2015 — May 4, 2015
• John Adams Elementary Councilmember Benavides
School — May 5, 2015
— April 16, 2015 Mayor Pro Tern Sarmiento
• Comlink at PD Community — May 7, 2015
Room
— April 23, 2015 Councilmember Amezcua
• Newhope Library — May 11, 2015
— April 28, 2015 • Councilmember Reyna
• Ward 1 Budget Hearing — May 12, 2015
Request • Councilmember Tinajero
i
-_ — May 27, 2015 — May 20, 2015 8
1 01-7-
1'�( 1�
FY 2014 -15
INNOVATION &EFFICIENCIES
Refinanced Police Department
Jail and Water Enterprise debt
service to save millions in
financing costs ($10.5M)
• Installation of new parking
meters with improved
technology in the Downtown
• Substantially achieved cost
recovery in Jail Operations
(28% increase in Jail Revenue)
Consolidated all public front
counter services to the 1St floor
of City Hall to improve
customer service experience
101
FY 2014 -15
INNOVATION & EFFICIENCIES
�I
• Establishment of Receivership
program to assist neighborhoods
and allow for cost recovery of
incurred legal fees and staff costs
• Installation of 24 -hour payment kiosk
at City Hall
• Online application for CDBG, ESG,
building permits, and business
license fees
• Information Technology Assessment
& Master Plan
"Technology Master Plan will be a
road map to the future" 10
11]rilIffffiI►IiaONA0aIILIII
FY 2014 -2015
GENERAL FUND FY 2014 -2015 PROJECTED VARIANCE
REVISED BUDGET
YEAR -END RESULTS
Total Revenues*
$ 208,918,360 $ 215,691,000 $ 61772,640 3.2%
Total Expenditures* I $ 208,918,360 I $ 204,684,000 I $ (41234,360)1 -2.0%
I]l1: all a►11,11IM1Illl:
AMILI III UON111x"1[I
FY 2014 -2015
FY 2014 -2015
REVENUE SOURCE
YEAR -END
VARIANCE
REVISED BUDGET
PROJECTED RESULTS
Sales Tax*
$ 43,519,000
$ 43,583,247
$ 64,247 0.1%
Property Tax*
29,759,000
30,900,855
1,141,855 3.8%
Property Tax In -Lieu of VLF*
26,801,000
27,620,605
819,605 3.1%
UUT*
24,001,000
25,234,396
1,233,396 5.1%
Business License*
11,300,000
11,326,298
26,298
0.2%
Hotel Visitors Tax*
8,200,000
8,811,133
611,133 7.5%
TOTAL*
$ 143,580,000 $ 147,476,534 $ 3,896,534 2.7%
FY 15 -16 BASELINE BUDGET ASSUMPTIONS
• $2.5M for the recurring implementation of the Strategic Plan
• COPS grant 2nd Year allocation
• Additional Planning & Building staff-$1.1M
• No cuts to programs or services
• Medical Marijuana Dispensaries (MMD) Enforcement Plan
• Includes revised annualized health insurance rates of 7%
• Includes FY 15 -16 actuarial PERS rates:
— Safety: 46.5%
— Miscellaneous: 28.5%
• Cost of Living Adjustment to be included in FY 15 -16 Budget pending fina
negotiations and Council approval
13
FY 2015 -16 PROPOSED BUDGET
$250 GENERAL FUND BUDGET: $222.6M
Intergovernmental Franchise Fees FMSA
HOW Hotel Visitor's Tax ` C
$200 Ch. for Svcs. & Fees — Debt Service
All Others*
O Recreat
Library
� $150
Use of Money
Fire Dept.
Utility Users Tax
$100
Property Tax �
In Lieu VLF
$50
R
Property Tax Police Dept.
Sales Tax
GF Revenue GF Expenditures
*Includes Non - Departmental, City Attorney's Office, Bowers Museum, HR, City Manager's
Office, Community Development, Clerk of the Council, & Legislative Affairs 14
FY 2015 -16
GENERAL FUND PROPOSED BUDGET
0%
I U
O
0% .4%
FY 1546 GF �w
0%
Expenditures: $222.6M
0%
L
18.7% -(n
C V L N C O
9.2% 0
CU
6.5%
0% 1.9%
*Includes Non - Departmental, City Attorney's Office, Bowers Museum, HR, City Manager's Office,
Community Development, Clerk of the Council, & Legislative Affairs
15
TRIAL BUDGET RECOMMENDATIONS
ID
Addition of Seven Police Officers ($500k)
— In response to patrol study
Upgrade of Police Equipment ($100k)
— To improve the effectiveness of the Police Department
Purchase of additional Library materials ($200k)
— Over 7,500 materials will be purchased
Funding to expand Library hours ($83k)
— Four hours on Sundays
Development of the Zoo Master Plan ($125k)
— In order to ensure AZA Accreditation
City Sponsored Events ($140k)
Funding to support operation of fields, lighting, & facilities ($150k)
Funding to address various Deferred Maintenance projects ($400k)
16
TRIAL BUDGET RECOMMENDATIONS - CONTINUED
• Initiate the development of a Safe Mobility Program ($500k)
— In order to address vehicle and pedestrian safety
• Funding for a City Council Liaison ($140k)
• Funding to support Econ. Dev. & Neigh. Improvement ($250k)
• Establish an Employee Pension Rate Stability Reserve ($500k)*
• Fund an Audit Program ($140k)
— In order to enhance existing internal control & audit program
• Funding for Neighborhood Associations ($52k)
• Civic Center Capital Projects ($225k)
• Ongoing IT Assessment ($150k)
• Code Enforcement technological improvements ($125k)
— In order to increase the effectiveness of Code Enforcement
Trial Budget Recommendations add a total of approx. $3.3M in programs & services
*To be funded with Year -End Savings
17
FY 15 -16 Deferred Maintenance Projects
• Total of $400k allocated for
Deferred Maintenance:
— $130k -Roof restoration of the
Corporate Yard
— $100k- Address various park facility
deferred maintenance
— $60k -Fire station improvements
— $40k -Front door upgrades to be ADA
compliant & exterior painting of the
South West Senior Center
— $40k- Rebuilding of air handler at New
Hope Library
— $30k- Install commercial commodes &
exterior painting of the Corbin Center
18
ADDITIONAL BUDGET
RECOMMENDATIONS
• Additional funding to purchase E -books ($22k)
— Over 1,000 additional materials
• Additional funding for Neighborhood Associations ($18k)
• Staffing for Body Camera Program ($200k)
— Program Manager
• Additional recreation classes ($165k)
• Youth Commission ($25k)
or
• CERT Program /Emergency Mgmt. ($65k) Funded by removal of
City Council Liaison
• Joint Use - Deferred Maintenance ($75k)
• Removal of City Council Liaison Position (- $140k)
Additional Budget Recommendations add a total of approx. $430k
in programs & services
19
CAPITAL IMPROVEMENT PROGRAM
Presented by:
Fred Mousavipour
Executive Director of Public Works
20
0�C�
Street
Improvements
$15,979,653
Nor-
CAPITAL IMPROVEMENT
PROGRAM (CIP)
$68,074,534
Traffic
Improvements
$11,663,000
&12
Utility /
Drainage /
Lighting
$32,219,849
City Facility
Improvements
$8,212,032
Street Improvements
o Traffic Improvements
Utility / Drainage / Lighting
Improvements
o City Facilities
21
• Non - Motorized Connectivity
Citywide Study
• Pavement Management
• Project Development
• Right -of -Way Management
z°
kZ
ET
MENTS
053
cents
• Alley Improvements
• Arterial Preventative Maintenance
• Arterial Street Rehabilitation:
- Bristol: 17th to Santa Clara
- Edinger: Raitt to Pacific
- Fairview: Alton to Segerstrom
- Lawson: Memory to NCL
• Local Preventative Maintenance
• Residential Street Repair
• Warner Industrial Community
Pavement Improvements
• Fairview Bridge and Street
Improvements
Sidewalk /Streetscape
4 — Projects
$2,611,260
• Omnibus Concrete
• Edinger Ave Landscape
Improvements
• Willits Sullivan Community
Beautification
• Non - Motorized Connectivity
Citywide Improvements
WA
. ...........y
6 — Projects
$940,000
• Bike Lane Project
Development
• Citywide Speed Limit Study
• Complete Streets Plans
• Safe Mobility Santa Ana
• Traffic Management Plans
• Traffic Safety Project
Development
C�
TRAFFIC
IMPROVEMENTS
=$11,663,000
Traffic Signal Mobility /Safety
1 — Project 9 - Projects
$260,000 �Y $9,463,000
• Westminster Ave / 17th
St Corridor Traffic Signal
Synchronization
Safe Routes to Schools
- Heninger Elementary
- King Elementary
- Monte Vista Elementary
- Washington Elementary
• Bike Lanes - Newhope,
Civic Center & Grand
• Bishop /Pacific /Shelton Bike
Boulevards
• Maple Bike Trail Safety
Enhancements
• South Main Corridor
Improvements
W $1,000,000
• Continue partnership with
OCTA
• Design Oversight
W
Sewer
Improvements
5 — Projects
$4,482,600
• Sewer Main
Improvements
- Columbine
- Warner Industrial
Park
- Parton, Garnsey,
Van Ness, 15th
Streets
Citywide Sewer
Main Improvements
• Sewer Main Repairs
& Replacements
or
-P
1612PUBLIC UTILITY/
DRAINAGE
IMPROVEMENTS
$32,2193849
Water r Facility Street Light
Improvements Improvements Improvement
8 - Projects y 5 — Projects 1 — Project
$19,421,630 J ' $7,040,000 $85,000
�• Water Main
Improvements
- Bristol Phase 3B
- Warner Industrial
Park
- S. Bristol
• Neighborhood Water
Main Projects
- Centennial
- Riverview
- West Grove
Valley
• Advanced Meter
Y Infrastructure
• SA -5 MWD Turnout
Vault Relocation
• Segerstrom (San
Lorenzo) Sewer Lift
• S. Station
Perimeter Wall
• Well No. 32
Rehabilitation
• Walnut Pump
I Station
• Perform study
and formulate
plan to perform a
Citywide LED
conversion
(Ot�w�'
Drainage/Water
Quality
5 — Projects
$1,190,619
• Drainage Master
Plan Supplement
• First St.
Undercrossing Lift
Station
• Residential Catch
Basin Connector
Pipe Screen
Installation
• Santa Ana Delhi
Channel Diversion
• Morrison Park LID
0&1
kn
Transit Facilities
2 — Projects
$958,519
• Safe Transit Stops
• SARTC ADA
Improvements
W "'R
-0m,
Recreation
Improvements
9 — Projects
$3,091,583
• Playground Equipment:
- Centennial Park
- Delhi
- Lillie King
- Madison
- Rosita
- Thornton
• Dan Young Soccer
Complex — Turf
• Pacific Electric Park
Improvements
• Memory Lane & Santa
Ana River Park Site
CITY
FACILITIES
$8,212,032
l S O
NTICE PARK
Park Facilities Zoo Facilities
6 — Projects 2 - Projects
$2,036,930 $2,125,000
• Centennial Lake
Circulation Study
• Sandpoint Paseo Security
Lighting
• Santa Ana Stadium
Structural Repairs
• Santiago Park Gas House
Landscape
• Thornton Park Electrical /
Restroom / Lighting
• Plaza Santa Ana
Restroom
• Amazon's Edge Giant
River Otter
• Master Plan
OR
PIMP Program
$200,000
• Pavement Management
Program
• Develop Funding Plan to
Eliminate Backlog
- Arterial Street
Backlog: $63 million
- Residential Street
Backlog: $41 million
- Industrial Street
Backlog: $25 million
Preserve Funding to
Maintain Improved
Streets
SMSA Program
$780,000
• Safe Mobility Santa Ana ,
• Address Transportation
System Safety
- Analyze Traffic
Collisions
- Identify Contributing
Factors
- Recommend
Improvements
- Develop Cost Estimates
- Prioritize Improvements
- Fund Initial Projects
FEATURED
PROGRAMS
Street Light LED Assessment
Conversion ® District
$85,000 $6,000,000
• Purchase Street Lights �• Consistent with PMP
from SCE • Creative Financing Option
• Finance Through • Warner Industrial
Reduced Rate Savings Community
• Replace with LED • Funding Plan for Backlog
• Lower Energy on Industrial Streets
Consumption and Cost
• More Responsive
Maintenance
Kel
SAFE MOBILITY
r . SANTA ANA (SMSA)
$780,000
o $500,000 from General Fund to be allocated for
priority projects identified by the SMSA Study
Allocation of Space
Reallocation of Space
f� ' Example Improvements:
o Curb extensions at crossing o Refuge medians
o Painted and elevated cross walk o Bike lane striping
TE
WA
.._
Street
Improvements
$554,379,375
• Pavement Rehabilitation
- Alleys
- Arterial Streets
- Neighborhood Streets
- Industrial Streets
• Street / Bridge / Grade
Separation Improvements
& Widening Projects
let
FUTURE
OPPORTUNITIES
1 $721,155,775
Traffic
Improvements
$4,912,000
• Traffic Planning
• Traffic Signal
• Safety/ Mobility
,Not
6
Utility / Drainage /
Lighting
$102,603,500
• Facility Improvements
• Sewer Improvements
• Water Improvements
• Citywide Storm Drain
Improvements
• Water Quality
Improvements
• Street Light LED
Conversion
City Facility
Improvements
$59,260,900
�h • Transit Facilities
• Park Facilities
• Public Safety Facilities
• General Municipal
Facilities
4001
4
October 29, 2014
Sunshine Ordinance Budget
February 19, 2015
Com -Link Meeting
March 17, 2015
City Council Meeting Trial Budget & CIP
March 26, 2015
Com -Link CIP Presentation
April 2, 2015
Development & Transportation
Committee
April 2, 2015
Community Budget Hearing
(Casa de Santiago)
Planning Commission Presentation
16, 2015
Budget Hearing
Adams
April 23, 2015
Com -Link Trial Budget & CIP
April 28, 2015
Community Budget Hearing
ewhooe Branch Public Libra
May 19, 2015
City Council Draft Budget & CIP
May 27, 2015
Community Budget Hearing
June 16, 2015
City Council Final Budget & CIP
C�
:01,
CIP
PROJECT
TRACKING
0
Last Updated: 08/11 /IS
PUBLIC WORKS AGENCY PROJECT SCHEDULE
MARCH 2015
ID
PmjKt
NumbK
Pryaei Typr
PrgaR Name
Cunmt BUdgN
w a•
ea w
Da R4
at w
W Q4
w w
1
2
2
Ll
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63
EOB
416
123
131
135
190
DI2
446
150
I%
in
162
SR
1]0
d177
245
265
285
306
326
331
3H
329
394
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N/A
N/A
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09I749
156832
I5-6829
I2 -6259
12 -6756
136433
TED
TED
TED
TED
TED
TED
I2 -6603
TBD
N/A
W -7516
15-7514
IS -6936
TED
15.61142
IS -6825
14 -6992
14 -6011
14-ESM
W -6801
15 -6325
156181
_
TranspirsaHon Haring
Transportation Manning
rveighhOrh..d Improvements
Arterial lmprovemeMs
Arterial lmprovemeMs
Snefial lmpmvemems
Arterial lmprommesds
TmHClmpbnnsmems
Traffic Imprevemems
Traffic Improvements
Traffic Imprevemems
Intr A"Oure Improvements
Inkastrutture lmprO memts
In1a9ructure lmprmements
In".nutlure lmpreuements
InhaslrucNee lmpmvemeOts
InM1'astmtture lmpreuemenf3
Inkaslructvre Imprevemems
Stdmt Drain /Water Quality _
Gty Facility Improvements
Tranepmemien M ann ins
Neighborhood Improvement,
Nei6hhorh.d lmpmvement5
Neishborh..d lm preeements
Neighherheed I.Im. .uts
Neighborhood Improvements
Neishhedlrd Impreerrn.ms
Arterial lMprOVemPMS
Arterial lmprovemeMs
Arterial Improvements
Arterial lm OrOVemPMS
Arterial lmpmvemeMS
Arterial lmprovemeMF
PIANNI NG
SR -55 Widening(Id6S -1 -5) COCTA lead AgeMy) Sam
Santa Ana - Garden Grova Streetcar S11.00
warner Industrial community AD $6.aw,RDD.w
ArteW SVeet 5lum/(Tr 141151 $1,900,00o.W
Arterial Street Slurry IN 13/I6l $L,9m'n Don
Bristd spec9ic plan Amenamem $250 �O�m
Warner Avenue Improvements &Widening {Main to G randjj $699,70.00
Hartley Bl,d TnNi[Sigoal SytbN i,M,bn $2,315100w
Bristol St Traffic Signal Syechmnizatim (OLTA lead) $26r,0003 Ed
Qrculation Element Update SSO911100.00
TSIA Study $409,a0D.m
Well No.32 Rehabilitation Improvements $459,1100.00
COlumbina Avenue Sewer Main Improvements $LAW,Dw.w
Parton, Garnsay, Van Ness, and 15th Street Sewer Main $25%ocam
Imprevemems _
Wamx Industrial Park Sewer Main lmprevamenH $1,5or 90900
Warner Industrial park Water Maln Improvements $2,999,9on.w
Serer Main Repairs and Replacements $222,10D W
Water Main Repairs and Replacements $1996,20A W.
Drainage Master Plan $@31000.00
Oddge Preventive Madmen once tram., $25000A0 Manning Pr.IenS- Cast Summary 12a,376,62U.w DESIGN
I -S HDV Cemral remdercu. Project $.
Residential Street Repair(FY L3 /14)COED $288,69200
Residentiais,reet Repair(FY14115)CDBG $1,05,443.06
Residential StreMRepair(FYW25)R.d $3,139,601.w
Resiamtial Street 5lumy(FY 1411Sj $29mOED
Alley lmprovemeMs (FY 14115) $2oo,DUo.D1
Omnibus Cammete Repair Project Varinus Whin Croy $269 lu w
Warner Avenue lmprWements & Widening(Vhl - Main to Oak( $431,700.00
mem Or, LOOT Re%dbilitMiOn(Main - NCQ $825,DOO.m
Qvic Curter Rehabilitati.r: Maint.Spurgeon $490000.00
M¢FatltleO R¢habil RaliOn: N¢whOPetO HOAM $006,000.00
Weaiminstir Rehabililati.n: Harbert. aiM.n SMID110.M
Grand Avenue MpmvemMtc &Widenmillph 11.4th•nth )
SEE
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30
December 2, 2
Adopted FY 15 -16 Budget Calendar
January 23, 2015 - February 17, 2015
Departmental Budget Meetings with
Budget Team
February 17, 2015
Adopted One -Year Forecast & Four -Year
Projections
March 17, 2015
City Manager's Trial Budget
Presentation
March 30, 2015
Sunshine Ordinance Budget Outreach
April -May 2015
Community Budget Hearings
.9;
r
ate_
April, 2015
Preliminary Seven -Year CIP presented to
Development & Transportation Committee
May 2015
City Council one -on -one Meetings
May 19, 2015
City Manager's Proposed FY 15 -16
Budget Work -Study Session
June 2, 2015
Tentative BudgetlClP Ordinance
Adoption
June 16, 2015
Final BudgetlClP Ordinance Adoption
July 1, 2015
Start of the New Fiscal Year
C7, May 27, 2015
Community Budget Hearing
June 2, 2015
Tentative BudgetlClP Ordinance Adoption
City Council Meeting
June 16, 2015
Final BudgetlClP Ordinance Adoption
City Council Meeting
July 1, 2015
Budget Implementation