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SPECIAL MEETING
CITY COUNCIL
OF THE
CITY OF SOUTH SAN FRANCISCO
P.O. Box 711 (City Hall, 400 Grand Avenue)
South San Francisco, California 94083
Meeting to be held at:
CITY HALL CONFERENCE ROOM
400 GRAND AVENUE
WEDNESDAY, JUNE 7, 2006
6:00 P.M.
NOTICE IS HEREBY GIVEN, pursuant to Section 54956 of the Government Code of the
State of California, the City Council ofthe City of South San Francisco will hold a Special Meeting
on Wednesday, the 7th day of June 2006, at 6:00 p.m., in the City Hall Conference Room, 400 Grand
Avenue, South San Francisco, California.
Purpose of the meeting:
1. Call to Order
2. Roll Call
3. Public Comments - comments are limited to items on the Special Meeting
Agenda
4. Study Session: Proposed 2006-07 Operating Budget
5. Adjournment
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~llFO~\~ Staff Report
DATE: June 7,2006
TO: Honorable Mayor and City Council
FROM: Jim Steele, Director of Finance
SUBJECT: OPERATING BUDGET FOR 2006-07
BACKGROUNDIDISCUSSION:
The following information is being transmitted to the City Council in preparation for the Budget
Study Session on June 7, 2006. This information was generated by questions at the original
budget study session on May 17th, and has been discussed with the Budget Subcommittee at
meetings held on May 24th and May 31st,
Attachment Page #
General Fund Reserves Policy with one recommended change made by 1
Budget Subcommittee: increase the minimum of the Undesignated
Reserve to 5% of the General Fund
Information on contract employees in city departments 2
A Table of Organization for the Public Works Department to show what 5
a centralized Administration Division would look like
A revised recommended Vehicle Purchases page, with five additional 7
vehicles being recommended for deferral next year, saving a total of
$156,000 for the Equipment Replacement Fund. The Budget
Subcommittee believes these vehicles can be deferred with minimal risk,
based on an assessment by the Garage Supervisor
A list of all leased vehicles in city departments 8
Information from the Fire Chief on staffing levels and caseloads in the 9
Code Enforcement program
Staff Report
Subject: Study Session for 2006-07 Operating Budget
Page 2 of 4
Attachment Pal!e #
Revised Capital Improvement Budget pages for parks: 17
- The Budget Subcommittee recommends that the City Hall Centennial
Sculpture project shown as Project 24 under Parks be reduced from
$75,000 to $50,000, and that it be broadened in scope to include
citywide art/sculptures
Revised Capital Improvement Budget pages for parks: 18
-The Budget Subcommittee recommends that project #26 shown under
the Parks tab of the Capital Improvement Budget be broadened from
"Batting Cage Improvements" to "Ball Field and Soccer Field
Improvements". Total funding would increase by $25,000 to a total of
$75,000, with $25,000 coming from Proposition 12 grants, $25,000
coming from the General Fund, and $25,000 from the Youth Leagues,
Information on salary and benefit changes by department, and for the 19
General Fund as a whole.
The last item was based on questions from the Council at the May 17th study session on why
wages were projected to increase 3%, while overall salaries and benefits were increasing by a
variety of percentages in different departments, Keep in mind that there are several factors that
influence overall salaries and benefit changes by department:
-retiree medical costs are increasing dramatically, and those costs are allocated to departments,
-PERS rates increased.
-health plans have different cost increases, with Kaiser's rate actually going down next year,
while Blue Shield's went up. Note that if a department has employees that switch from Kaiser to
Blue Shield, that can have a dramatic impact on overall salaries and benefits in that department if
it is a relatively small department. The City pays about $3,600 more per year for employees who
have Blue Shield coverage than have Kaiser coverage, As more employees have switched to
Blue Shield over time, the City's costs have increased.
-Finance changed the way that worker's compensation costs are allocated in the budget.
Historically, the budget system has allocated some worker's comp charges to salary line items,
and some to insurance in the non-salary line items, This year, Finance changed the allocation to
put more of those costs in the salary line items. There would have been a corresponding
decrease in the non-salary line items, except that worker's comp costs have increased overall, so
that salary allocation went up even more.
Finally, several other items have come to staffs attention since the original budget was
submitted to Council in May. With Council's concurrence, they will be included in the final
budget before the Council on June 14:
Staff Report
Subject: Study Session for 2006-07 Operating Budget
Page 3 of 4
. The City Manager had mentioned at the May 17 study session that there were several
position reclassifications that had been finalized too late to include in the draft budget
document. They include:
$46,785 in the Recreation Department to upgrade 3 positions.
$14,000 in the Sewer Fund to reclassify the Environmental Services;
$15,000 to upgrade one Maintenance Services Supervisor funded by Common
Greens.
. $27,500 is requested to be added to the Fire Department budget to fund a dues increase
from County Office of Emergency Services for Hazardous Materials Joint Powers
Authority costs. These costs were finalized after the preliminary budget document was
printed.
Items Needing More Discussion bv Council:
Finally, on May 31 S\ the Budget Subcommittee discussed in considerable depth two important
issues that they believe need to be considered and addressed by the full Council at the study
session, Those issues are:
. Staffing levels and caseloads in the Code Enforcement program. The Fire Chief presented
the Subcommittee with a proposal to add a contract Code Enforcement Officer at a cost of
$108,000. As noted above, this information is included in the attachments to this staff report;
. Augmentation of park maintenance staffing to improve the condition of the parks.
Restoration of one frozen Parks Maintenance Worker would cost $85,000.
FISCAL IMPACT:
The recommended changes outlined above will have the following impacts to the preliminary
budget presented to the Council on May 17:
. The Equipment Replacement Fund Balance will increase by $156,000 due to additional
vehicle deferrals;
. The $25,000 reduction to the Capital Improvement Fund to the Art Acquisition project
will reduce the need for fundraising by the $25,000;
. The Capital Improvement Fund change for Baseball/Soccer Fields Improvements will
require an additional $25,000 in funding from the Capital Projects Reserve, which would
still have a balance of $3.6 million;
. The General Fund operating surplus will be reduced by $74,285 to fund the General Fund
portions of position reclassifications and the hazardous materials JP A dues increase;
Staff Report
Subject: Study Session for 2006-07 Operating Budget
Page 4 of 4
. If, after deliberations, the Council were to decide to add resources to Code Enforcement,
staff recommends that it be funded from the Redevelopment Agency, since most code
enforcement activity focuses on downtown. If the Council were to restore a Parks
Maintenance Worker, that would be funded out of the General Fund. Adding $85,000 to
the General Fund would reduce the 2006-07 operating budget surplus to $305,,000.
Prepared by:q~QQ..:,
r' Steele
&ector of Finance
Approved b
'---
City of South San Francisco
Proposed Reserves Policy
2006-07
SUMMARY:
A summary of General Fund Reserves is listed below.
Fund/Reserve Reserve Target Recommendation Status as of 2006-07/ Does Reserve
Fall within Target
Recommendation?
General Fundi $1.2 million/2% of General Fund $1.2 millionlMeets Target
Reserve for operating budget
Emergencies
General $4.0 million/7% of General Fund $4.0 millionIMeets target
FundlEconomic operating budget
Contingencies
General $2.3 million minimurnlS% of $6.6 millionlExceeds minimum,
Fund/Undesignated General Fund operating budget. No within Policy guidelines.
Reserve maximum set.
General Fundi No target. Reserve is a result of the $3.6 million, exceeds minimum,
Reserve for Future Downtown Redevelopment Fund within Policy guidelines.
Economic paying back some advances to the
Development & City,
Capital Projects
- 1 -
Current List of Contract Employees
City of South San Francisco
Employee Dept./Position Approx. Position Status
Name Annual Cost
Cecilia HR Dept. I $62,145 Budgeted as an hourly, paid as contract
Buenaflor Personnel employee
Technician
None Recreation Dept. -0- NIIA
Robert Yonker IT Dept. I Special $85,200 Permanent Budgeted Position, but being filled
Projectsl Admin by contract employee
J ames Renner IT Dept. I PC $90,000 Permanent Budgeted Position, but being filled
Tech by contract employee
Lisa Miyako Library I Admin $70,000 Permanent Budgeted Position! employee left
Asst I employment with City and recruitment is
currently underway, Will hire a permanent
position again at a later time.
Iman Pub Works Dept - $77,571 Budgeted as regular positionl but is filled by
Mouasher WQCP I Admin contract employee.
Asst I
Mike Police Dept I $150,000 Permanent Budgeted Position I being filled for
Guglielmoni Police Captain administrative reasons for budgetary savings,
Will hire a permanent position again at a later
time.
None City Manager's " -0- N/A
Dept
None City Clerk's -0- N/A
Dept.
None Finance Dept -0- N/A
Jeff Baca BCD Dept I $105,000 Filled by a contract employee for
ANIP administrative reasons for the ANlP program
Construction
Manager
Bonnie Frazier BCD Dept I $75,000 Filled by a contract employee for
ANIP Office administrative reasons for the ANlP program
Manager
Chadrick ECD Dept I $97,000 Filled by a contract employee for
Smalley Planning- administrative reasons for the ANIP program
Associate Planner
Keith Marshal Fire Dept I $160,000 ($100 This is a position that was suggested by
Consultant for /hour x 32 hours Genentech as a way to minimize their impact
Genentech per week time 50 on the Fire Prevention Division during
weeks per year) Genentech's growth.
Tom Ott Fire Dept I Fire $50,000 ($50 This position is funded via revenue generated
Protection /hour x 20 hours through Fire Prevention fees the position
Consultant per week x 50 collects.
weeks per year)
-2-
Employee Dept./Position Approx. Position Status
Name Annual Cost
Larry Pasero Fire Dept I Fire $53,264 ($25.80 x This contract position was created to make up
Prevention 40 hours per week for the loss of 2 full time positions. This
Technician x 52 weeks) position is funded via revenue gene~rated
through Fire Prevention fees the position
collects,
Dennis Rosaia Fire Dept I Fire $53,264 This contract position was created to make up
Prevention for the loss of 2 full time positions, This
Technician position is funded via revenue generated
through Fire Prevention fees the position
collects.
David Fire Dept I Fire $50,000 ($50 This position is funded via revenue generated
Scardigli Protection /hour x 40 hours through Fire Prevention fees the position
Consultant per week x 50 collects,
weeks per year)
Kelli Patrick Fire Dept I Fire $41,600 ($20 per This position will remain only as long as
Prevention Permit hour x 40 hours sufficient Fire Prevention fees are collected
Tech per week x 50 that can support it. This position was created
weeks) after the separation of the Fire Prevention
Division and the Building Division so that a
counter person would be available to assist
citizens when they came to the Fire Prevention
counter.
Christina Fire Dept I $52,000 ($25 Created at the inception of the BLS program.
Crosby Management Ihour x 40 per This position is being filled via contract for
Analyst/BLS week x 52 weeks administrative purposes
Ambulance per year)
Program
Ken Anderson Fire Dept I Approx, $2400 This position is budgeted out of the BLS
EMT/BLS Iyear, (15 ten program.
Ambulance hour shifts @ $16
Program per hour)
Nelson Aranda Fire Dept I Approx. $2400 I This position is budgeted out of the BLS
EMT/BLS year (15 ten hour program.
Ambulance shifts @ $16 per
Program hour)
Barry Beecher Fire Dept I $33,280 ($16 This position is budgeted out of the BLS
EMT/BLS /hour x 40 hours program.
Ambulance per week x 52
Program weeks per year)
Michael Fire Dept I $33,280 ($16 This position is budgeted out of the BLS
Lemos EMT/BLS /hour x 40 hours program.
Ambulance per week x 52
Pro~am weeks per year)
-3-
Employee Dept./Position Approx. Position Status
Name Annual Cost
Hamid Locks Fire Dept / Approximately This position is budgeted out of the BLS
EMT/BLS $2400/year (15 program.
Ambulance ten hour shifts @
Program $16 per hour)
Ramon Fire Dept / $33,280 ($16 This position is budgeted out of the BLS
Ramirez EMT/BLS /hour x 40 hours program.
Ambulance per week x 52
Program weeks per year)
Jamala White Fire Dept / $37,440 ($18 This position is budgeted out of the BLS
EMT/BLS /hour x 40 hours program,
Ambulance per week x 52
Pro~ram weeks per year)
-4-
OPERATING BUDGET, 2006-07
PUBLIC WORKS DEPARTMENT (with admin breakout)
05/06 06/07
Director 1.00 1.00
ADMINISTRATION PARK MAINTENANCE
05/06 06/07 05/06 06/07
Full-Time 5.20 5.20 Full-Time 19.45 19,00
Part-Time .37 .00
"-
STREET MAINTENANCE & SEWER MAINTENANCE
TRAFFIC SAFETY
05/06 06/07 05/06 06/07
Full-Time 13.60 13,65 Full-Time 7.50 7.65
~
FLEET MAINTENANCE BUILDING MAINTENANCE
05/06 06/07 05/06 06/07
Full-Time 4.70 4.75 Full-Time 14.10 14.10
COMMON GREENS STORM WATER DRAINAGE
05/06 06/07 05/06 06/07
Full-Time 5.48 6.68 Full-Time 4.45 4.25
( ""\ ~ ""\
STORM WATER WATER QUALITY CONTROL
05/06 06/07 05/06 06/07
Full-Time .77 ,77 Full-Time 34.45 ~-l4.65
Part-Time .74 .74
'--
Note - i Parks Maintenance Worker position is charged to the Redevelopment
Agency. This position is reflected in the Redevelopment Agency budget and is not
included in the above numbers.
- 5-
PUBLIC WORKS DEPARTMENT
SAMPLE of Public Works Administation if the department
budgeted its staffing and materials and services in this way.
Salaries based on actual budget costs, Materials & Services estimated
Source of Funds:
General Fund
Sewer Fund
Common Greens Funds
Stormwater Fund
Garage Internal Service Fund
Salaries & Benefits
Materials & Services
Capital Outlay
Debt Service & Other
Change
Actual Adopted Amended Proposed From
2004-05 2005-06 2005-06 2006-07 Adopted
Budget
591,284 646,839 646,839 698,683 51,844
154,712 157,775 157,775 163,732 5,957
Administration Division
Budget
Total
745,996
804,614
804,614
862,415
57,801
Positions Budget
Adopted
2005-06
Proposed
2006-07
Change
Full-Time
6,20
6.20
Total
6.20
6.20
-6-
INTERNAL SERVICE FUNDS, 2006-07
EQUIPMENT REPLACEMENT FUND
PROPOSED VEHICLE PURCHASES, 2006-07
Department / Division
Vehicle to be Purchased
Cost
Direct Purchases
Police
Police
Police
Police
Fire
Fire
Rfe
J2afks
Parks
Parks
Parks
Parks
Parks
Parks
Building Inspection
St~eets
Streets
Streets
Streets
Building Maintenance
G::lr::lge (Pool C::lr)
Patrol Sedan
Patrol Sedan
Patrol Sedan
Motorcycle
Pickup Truck
3/4 Ton 4WD Diesel Truck with Shell
1 Ton 1WD Diesel Truck with Utility Body
He::3VY duty Truck
Pickup Truck
Pickup Truck
Light Truck
Light Truck
Light Truck
Light Truck
Light Truck
VaR
Piokup Truck
Pickup Truck
Sweeper
Van
Council Sed::m
31,000
31,000
31,000
18,000
16,000
70,000
50,000
40,000
21,000
21,000
14,500
14,500
14,500
14,500
15,000
18,000
21,000
21,000
160,000
22,000
27,000
Recommended for Deferrment (noted in strikethrough): (156,000)
Vehicle Replacement Total $ 515,000
Lease Purchases
Fire Fire Truck 415,000
Fire Fire Truck 415,000
Lease Purchase Total $ 830,000
Deferred Purchases
Police SUV 35,000
Police SUV 35,000
Police Motorcycle 18,000
Parks Steam Cleaner (from 2005-06) 10,000
Parks Truck 22,000
Garage Truck 22,000
$ 142,000
-7-
Lease to Rent Vehicles
City
M
anager
Vehicle# DETAIL VIN# Lease Date Expires
120 2004 CHEVY TRAIL BLAZER 1 GNDS135042159701 12/19/2003 12/19/2006
121 2004 CHEVY IMPALA 2GIWH52K849346042 6/28/2004 6/25/2007
Police
Vehicle# DETAIL VIN# Lease Date Expires
105 2004 FORD TAURUS 1FAFP53U34A118163 6/10/2004 6/10/2007
107 2004 FORD TAURUS 1FAHP55S14G135383 6/16/2004 6/16/2007
110 2004 FORD TAURUS 1FAHP53U54A137872 6/9/2004 6/9/2007
115 2006 FORD EXPLORER 1 FMEU63E06UA69854 3/21/2006 3/21/2009
123 2006 CHEVY IMPALA 2G1WB58K969130115 1 0/20/2005 1 0/20/2008
124 2006 FORD FUSION 3FAFP07186R104092 1 0/27/2005 1 0/27/2008
133 2005 FORD TAURUS 1FAFP53205A169815 11/29/2004 11/29/2007
135 2005 FORD 500 1FAFP23115G166649 1 0/13/2005 10/13/2008
143 2005 FORD 500 1FAFP25175G189317 1/17/2006 1/17/2009
-8-
CITY OF SOUTH SAN FRANCISCO
INTEROFFICE MEMORANDUM
DATE: June 2, 2006
TO: Barry M, Nagel, City Manager
FROM: Philip D. White, Fire Chief
SUBJECT: REQUEST FOR ADDITIONAL FIRE PREVENTION TECHNICIAJ\f
(CONTRACT) TO ASSIST WITH THE ENFORCEMENT OF THE
SOUTH SAN FRANCISCO MUNICIPAL CODE
Because of the current code enforcement caseload, I recommended the hiring of an
additional contract Fire Prevention Technician. The contract employee's duties will be
limited to enforcement of the South San Francisco Municipal Code. The term of the
contract will be for 12 months, and the total cost of the contract will be $107,681, This
will be an at-will position that can be eliminated with 30 days notice to the contract
employee.
Back2round
1. In the late 1990's the City Council began to receive numerous complaints from
citizens and businesses regarding trash, discarded appliances, abandoned vehicles,
dilapidated buildings, etc. that was impacting their health, safety, or desire to
conduct business in South San Francisco.
2, In response to these complaints, the City Council enacted the Community
Preservation Ordinance (Chapter 8,54 of the SSF Municipal Code) in 1999.
3. In anticipation of increased requests for code enforcement, funding was approved
for an additional code enforcement officer in FY 09-00 This brought the total
number officers from two to three.
4. In FY 00-01, two code enforcement officers handled 899 active code enforcement
cases. One Senior Code Enforcement Officer position remained vacant.
5. Approximately 100 active code enforcement cases were carried over to 2003
because they were received late in the year, and there were not enough code
enforcement officers to process the cases in a timely manner.
-9-
6. In FY 02-03, the Fire Department met its budget reduction goals, in part, by
freezing the Senior Code Enforcement Officer and (3) Fire Inspector positions,
To meet the ongoing need for fire inspections and enforcement of the South San
Francisco Municipal Code, the Safety Inspector classification was created. This
dual classification would allow the limited number of personnel to perform either
fire inspections or code enforcement. One of the stated impacts in reducing the
number of personnel would be the decreased ability to respond to code
enforcement complaints in a timely manner,
7. Over 319 active code enforcement cases were carried over to 2004 because they
were received late in the year, and there were not enough personnel resources to
process the cases in a timely manner.
8, Over 536 active code enforcement cases were carri.ed over to 2005 because they
were received late in the fiscal year, and there were not enough personnel
resources to process the cases in a timely manner.
9. In 2005, there were two Safety Inspectors and the equivalent of three full-time
contract employees who handled 1,159 active code enforcement cases and over
2,665 fire inspections
10, Over 786 active code enforcement cases were carried over to 2006 because they
were received late in the fiscal year, and there were not enough personnel
resources to process the cases in a timely manner (See Attachment 1).
Current
1. At this time there are 915 open code enforcement cases
2. Current code enforcement case load for regular full-time Fire Prevention
employees:
. Fire Marshal Bryan Niswonger
. 7 active cases
. Safety Inspector Tom Carney (Primarily Responsible for CE)
. 578 active cases, 100 CE complaints awaiting investigation
. Safety Inspector Michael Lantier (Primarily Responsible for FP)
. 108 active cases (assigned cases that require complex enforcement plans
and sustained effort over extended period of time)
3, The average number of code enforcement cases assigned to a single code
enforcement officer in San Mateo Countv per year is 199.
-10-
4. Because of the large CE case load, contract Fire Prevention Technicians are
assigned some code enforcement cases, However, this is kept to a minimum to
prevent code enforcement responsibilities from interfering with achievement of
their revenue goals.
· Fire Prevention Technician Dennis Rosia (Inspections/Permits)
· 44 active cases/50 CE complaints awaiting investigation
· Fire Prevention Technician Larry Pasero (Inspections/Permits)
. 13 active cases
5. Fire Prevention has created a Community Action Team comprised of volunteers
from the community to assist with the complaints of trash, litter, e~c,
. 15 active cases
6. The impacts of freezing four of the six Safety Inspector positions were well
documented in preparing for the FY 02-03 budget and those "hold the line"
budgets that have followed, Despite their great efforts to "get the job done,'" the
CE case load continues to grow because of a lack of adequate personnel
resources.
7, Over $23,369 in fines from the Issuance of administrative citations has been
collected to date in FY 05-06
8. Permission to hire contract employees that include Fire Protection Consultants
and Fire Prevention Technicians was given because their costs would be offset by
the revenue they would generate (plan checking, fire protection inspections, etc,)
9, As of April 31, 2006, these contract employees have generated over $576,501 in
revenue for the city (FY 05-06 revenue goal for the Fire Prevention Division is
$640,000-the city nets 60 cents of every dollar collected),
ProsDects for the Future
An additional Fire Prevention Technician assigned to code enforcement will result in
significant reductions in CE case load to Safety Inspector ratios, CE case load resolution
times and carry-over of open CE cases to the following year.
1. An additional Fire Prevention Technician assigned to code enforcement will result
in improved revenue generation by allowing more time for other Fire Prevention
Technician's to focus on inspections, revenue from administrative citations, etc.
2. The Fire Prevention Technician assigned to code enforcement is expected to dose
and process 2 CE cases per day. If hired in July 2006, it is expected that during
the term of the contract (12 months) she/he will close approximately 460 cases.
-11-
For the most part, this will eliminate the typical active CE case carryover to the
following year.
"flC-) DC
Philip D. White
Fire Chief
pdw
Attachments
-12-
2005 CE Cases by Type
Attachment 1
Type of Case
Animals
Bldg, Code
Construction
Business Reg.
Comm Pres.
Dang. Bldg.
Health Welfare
Health Safety
Pub. Imprv.
Pub. Peace
Substan. Housing
Vehicle
Water Sewage
ZoninQ
Total
Substan. Housing:\vehic1e
pUb.peace~
P b I Water Sewage
U . mprv.~ ~
Health Safety ~
Health Welfare
Dang. Bldg.
Comm Pres,
6
30
147
5
328
2
14
60
8
2
8
2
5
52
669
Construction
13
Attachment 1 a
1000
CE Case Workload Overview
2004 Cases Carried Over
2005 Cases Opened
2005 Cases Closed
2005 Cases Carried Over
2006 Cases Opened YTD
2006 Closed Cases YTD
2006 Active Cases
536
669
419
786
419
290
915
900
800
700
600
500
400
300
200
100
o
2004
Cases
Carried
Over
2005
Cases
Opened
2005
Cases
Closed
2005
Cases
Carried
Over
2006
Cases
Opened
YTD
2006
Closed
Cases
YTD
2006
Active
Cases
14
Attachment 2
EXAMPLES OF VIOLATIONS OF THE
COMMUNITY PRESERVATION
ORDINANCE (CHAPTER 8.54 SSFMC)
Illegal Dumping
Residential auto repair
Overflow garbage in view of street
.;~/~~t- - .. _~:
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Abandoned / Dilapidated Objects
- I ~:'"
l '1 1"~ I j 1_:. ;'
11 ~f)' . r:
Attractive Nuisances / Stored junk on porch area
Dead decayed material/garbage (Apartment Bldg.)
15
Attachment 3
OTHER EXAMPLES OF MUNICIPAL
CODE VIOLATIONS
--"1:(;
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Residential auto repair
~
~
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L
r
i
Lack of permit to keep animals in a residential
area. (15 goats, 1 pig, 40 chickens, 3 rabbits)
-. .:...;.
- - .....
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Residential auto repair / dismantling
Residential rear yard
Stored junk, auto parts, dilapidated objects
r-
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Illegal dumping of hazardous materials, people
living on the railroad easement, auto dismantling
(Lawrence Ave)
16
Page 3 - Parks
ENGINEERING DIVISION FISCAL YEAR 2006.2007
CAPITAL IMPROVEMENT PROGRAM
11
9 0
PRioR AVAILABLE
YEAR PRIOR YEAR
A'PP R 0 P R I A T
8
FUNDING
METHOD
7
0-11
FY
6
FY 09-10
5
FY 06-07 FY 07-08 FY 08-09
PROJEC'TCOSTS
4
3
PARKS
2
PROJECT NAME & NUMBER
ITEM NO.
ON
CI
50,000
50,000
50,000
JUNIPERO SERRA TREE REMEDIATION AND
REPLANTING
21
GR
DP
DP
OT
55,000
,987,000
10,000
ORANGE PARK MASTER PLAN UPDATE
WESTBOROUGH PARK IMPROVEMENTS
ORANGE PARK STORAGE SHED BASEBALL FIELD
. 50% FUNDING FROM SSFUSD
22
23
25
I
I-'
-....:)
I
GR
30,000
PURCHASE 12 PASSENGER VAN FOR RECREATION
PROGRAMS
27
18,000
18,000
GR
OT
DP
500,000
36,000
ORANGE PARK BOCCE BALL COURT ENCLOSURE
WESTBOROUGH PARK PICNIC SHELTER
REPLACEMENT
28
29
DP
5,000
SELLICK PARK PICNIC AREA UPGRADE
30
CI
50,000
CITYWIDE TREE PLANTING
31
36,000
36,000
o
o
50,000
565,000
2,343,000
PAGE SUBTOTAL
2,394,900
RDA = REDEVELOPMENT AGENCY
SE = SEWER ENTERPRISE FUND
PD = PARKING DISTRICT
OT = OTHER FUNDING SOURCE
h:/cip 06-07/form_cip-fy 06-07
2,650,900
430,000
2,525,000
MA = MEASURE A
GT=GASTAX
CS = CITY SERVICES FUND
GTW = GATEWAY ASSESSMENT
367,000
850,000
GR = GRANTS
TIF = TRAFFIC IMPACT FEE
SW = STORM WATER FUND
B = BONDS
6,718,900
TOTAL
CI = CAPITAL IMPROVEMENT FUNDS
DP = DEVELOPER FEES
CG = COMMON GREENS ASSESSMENTS
PROP 12 = PROPOSITION 12 GRANT FUNDING
PARKS PROJECT DESCRIPTIONS
ITEM NO. 21 - JUNIPERO SERRA TREE REMEDIATION AND REPLANTING
THIS PROJECT WILL REMOVE 99 DEAD OR DECLINING PINE TREES AND REPLANT NEW ONES.
ITEM NO. 22 - ORANGE PARK MASTER PLAN UPDATE
THIS PROJECT WILL UPDATE THE MASTER PLAN FROM 1990 AND INCORPORATE ANTICIPATED LAND USE CHANGES.
ITEM NO. 23 - WESTBOROUGH PARK IMPROVEMENTS
THIS PROJECT WILL RENOVATE EXISTING RESTROOM AND PICNIC SHELTERS, UPGRADE UPPER PLAY AREA AND
LANDSCAPING ENHANCEMENTS.
ITEM NO. 25 - ORANGE PARK STORAGE SHED - BASEBALL FIELD
I THIS PROJECT WILL PURCHASE AND INSTALL A SMALL STORAGE SHED (10' X 15') TO REPLACE STORAGE PROVIDED TO
~ SOUTH SAN FRANCISCO HIGH SCHOOL VARSITY BASEBALL TEAM. HALF OF PROJECT COST WILL BE FUNDED BY
00 SOUTH SAN FRANCISCO UNIFIED SCHOOL DISTRICT.
I
ITEM NO. 27 - PURCHASE 12 PASSENGER VAN FOR RECREATION PROGRAMS
THIS PROJECT WILL PURCHASE A 12 PASSENGER VAN TO TRANSPORT CHILDREN FOR AFTER SCHOOL PROGRAMS,
PRE-SCHOOL, SUMMER CAMP, AND SENIORS AS BACK-UP TO LARGER VANS.
ITEM NO. 28 - ORANGE PARK BOCCE BALL COURT ENCLOSURE
THIS PROJECT WILL INSTALL PATIO-TYPE ENCLOSURE ON 3 SIDES OF BOCCE BALL COURTS THAT HAVE A ROOF. A WIND
SCREEN WILL BE INSTALLED ON 3RD SIDE. HALF OF PROJECT COST WILL BE FUNDED BY THE ITALIAN AMERICAN CLUB.
ITEM NO. 29 - WESTBOROUGH PARK PICNIC SHELTER REPLACEMENT
THIS PROJECT WILL REPLACE THE PICNIC SHELTER AT WESTBOROUGH PARK AND UPGRADE LAWN.
ITEM NO. 30 - SELLICK PARK PICNIC AREA UPGRADE
THIS PROJECT WILL UPGRADE THE PICNIC AREA IN SELLICK PARK WITH A SMALL SHELTER AND NEW TABLES/BBQ
EQUIPMENT.
ITEM NO. 31 - CITYWIDE TREE PLANTING
THIS PROJECT WILL PLANT NEW TREES THROUGHOUT THE CITY.
General Fund
Comparison of 2006-07 Proposed Salaries and Benefits to 2005-06
Adopted Budget Salaries and Benefits
Est. Salary Increases
General Increases (MOU)
Step Increases
Est, Increase in Hourlies' Salaries
General Increase
Est. Increase Overtime Pay
( Increases with Salaries)
Restore 3 Frozen Police Officers - Salary
PERS & Medicare
Health Indurance
Workers' Comp and All Other
.4 Dispatcher Adjustment
Salary
PERS, Soc Security, and Medicare
Insurance
Workers' Comp and All Other
Overall Est. Health Plan Cost Increase
Retiree Medical Cost Increase, plus DentalNision
(costs allocated to departments)
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase
Salary driven
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, {Salary Driven)
Total
-19-
42,024,199
763,839
220,068
983,907
67,910
34,569
263,433
83,655
31,137
30,831
409,056
28,853
6,752
5,006
2,259
43,022
129,686
314,578
459,745
768,719'
37,070
45,272,461
3.00%
0.86%
3.00%
3,00%
1.6%
0.2%
3.65%
23.68%
1 03.5%
10.81%
3.5%
7.7%
CITY COUNCIL DEPARTMENT
Source of Funds:
General Fund
Department
Budget ( 01 )
Actual
2004-05
Salaries & Benefits
Materials & Services
Capital Outlay
Debt Service & Other
101,980
82,178
Adopted
2005-06
Amended
2005-06
Proposed
2006-07
113,360
93,447
Change
From
Adopted
Budget
11 ,440
(1,946)
Total
184,158
9,494
101,920
95,393
101,920
99,713
206,807
"
Adopted Budget Salaries and Benefits
Plus Increase in Retirement Cost
Pro Rata Health Plan Cost Increase
197,313
201,633
Pro Rata Retiree Medical Cost Increase, plus DentalNision
Former Councilmember was a retiree, and fewer health benefits were paid
to him from the City plan
Total:
-20-
101,920
416
5,408
5,616
113,360
6,0%
10.3%
45.0%
11.2%
CITY CLERK DEPARTMENT
Source of Funds: General Fund
Change
Department Actual Adopted Amended Proposed From
Budget (02 ) 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 262,707 280,283 280,283 297,498 17,215
Materials & Services 116,621 87,673 89,500 52,570 (35,103)
Capital Outlay
Debt Service & Other
Total 379,328 367,956 369,783 350,068 (17,888)
Pro Rata Retiree Medical Cost Increase, plus DentalNision
280,283
9,447 4.5%
3,476 9.1%
77 0.4%
2,023
642 101.6%
Adopted Budget Salaries and Benefits
Plus Estimated Salary Increase
City Clerk Salary adjusted by Council after last year's adopted budget
Plus Increase in PERS
Salary driven, plus PERS rate increase
Pro Rata Health Plan Cost Increase
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries, Finance changed the allocation this year: first, overall w/c
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology,
PERS, Social Security, and Medicare Increase
1,125
13,3%
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
42:5
5.6%
Total
297,498
6.1%
-21-
CITY MANAGER DEPARTMENT
Source of Funds:
General Fund
Department
Budget (05)
Change
Actual Adopted Amended Proposed From
2004-05 2005-06 2005-06 2006-07 Adopted
Budget
594,011 527,665 527,666 574,883 47,218
104,712 107,775 108,230 113,732 5,957
Salaries & Benefits
Materials & Services
Capital Outlay
Debt Service & Other
Total
698,723
635,440
635,896
688,615
53,175
Positions Budget
Adopted
2005-06
Proposed
2006-07
Change
Full-Time
3.70
3.70
Total
3.70
3.70
Adopted Budget Salaries and Benefits
527,665
Percent Increase Salaries
Includes City Manager's new contract;
27,038
7.3%
Asst. City Mgr compensation tied to Police and Fire Chief
which are tied to Police and Fire Unions' increases;
All others budgeted at 3%
Pro Rata Health Plan Cost Increase
3,237
8.1%
Pro Rata Retiree Medical Cost Increase, plus DentalNision
3,203
23.4%
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
Because salaries were up, this dept. got a proportionally higher increase
1,310
107.9%
PERS, Social Security, and Medicare Increase
Salary driven
10,785
13.4%
All other Salary-Related Costs
Vacation and sick leave payouts, admin. cashouts, (Salary Driven)
1,645
9.0%
Total
574,883
8.9%
-22-
CITY TREASURER DEPARTMENT
Source of Funds:
General Fund
Change
Department Actual Adopted Amended Proposed From
Budget ( 03 ) 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 29,032 34,174 34,174 35,548 1,374
Materials & Services 13,059 3,086 3,086 3,151 65
Capital Outlay
Debt Service & Other
Total 42,091 37,260 37,260 38,699 1 ,439
Adopted Budget Salaries and Benefits 34,174
Expected Increase in Salaries
Plus MOU mandated step increases
Pro Rata Health Plan Cost Increase
Pro Rata Retiree Medical Cost Increase, plus DentalNision
458
4.1%
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
770
31.1%
PERS, Social Security, and Medicare Increase
Salary driven, PERS rates increased
146
3.4%
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
Total
35,548
4.0%
-23-
ECONOMIC AND COMMUNITY DEVELOPMENT DEPARTMENT
Source of Funds:
General Fund 3,375,585
CDBG Fund 731,887
Parking Fund 355,369
Change
Department Actual Adopted Amended Proposed From
Budget ( 10 ) 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 2,565,217 2,725,003 2,725,003 2,915,442 190,439
Materials & Services 1,789,660 1,542,402 1,640,642 1,512,399 (30,003)
Capital Outlay
Debt Service & Other 35,000 35,000 35,000
Total 4,354,877 4,302,405 4,400,645 4,462,841 160,436
Adopted Budget Salaries and Benefits
2,725,003
Percent Increase for MOU Increases for Wages:
MOU, step increases, 20% of admin asst. position shifted to CDBG from
Sewer Fund
102,495
5.6%
Pro Rata Health Plan Cost Increase 10,907 4.0%
Pro Rata Retiree Medical Cost Increase, plus DentalNision 20,744 21.5%
Pro Rata Worker's Compensation Cost Increase 13,811 102.9%
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase 39,944 8.9%
All other Salary-Related Costs 2,538 4.7%
Vacation and sick leave payouts, admin. Cashouts, (Salary Driven)
Total 2,915,442 7.0%
-24-
FINANCE DEPARTMENT
Source of Funds: General Fund
Change
Department Actual Adopted Amended Proposed From
Budget ( 06 ) 2004-05 2005-06 2005-06 2006-07 AdoptE!d
Budget
Salaries & Benefits 1,251,674 1,300,989 1,300,989 1,354,620 53,1331
Materials & Services 309,864 291,933 301,483 284,543 (7,:390)
Capital Outlay
Debt Service & Other
Total 1,561,538 1,592,922 1,602,472 1,639,163 46,:241
Adopted Budget Salaries and Benefits
1,300,989
Expected Increase in Salaries 26,609
Plus MOU mandated step increases
Pro Rata Health Plan Cost Increase 3,064
Employees switched to lower cost Kaiser.
Pro Rata Retiree Medical Cost Increase, plus DentalNision 8,262
Pro Rata Worker's Compensation Cost Increase 2,107
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall w/c
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase 12,990
Salary driven, and PERS rates increased overall.
All other Salary-Related Costs 599
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
Total
1 ,354,620
-25-
~LO%
2.3%
17.2%
10'1.2%
13.4%
4.1%
4.1%
FIRE DEPARTMENT
Source of Funds: General Fund
General Fund: 12,645,060
Fee Revenues: 2,230,000
Change
Department Actual Adopted Amended Proposed From
Budget 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 11,306,906 12,044,727 12,044,727 12,880,311 835,584
Materials & Services 2,585,424 1,848,357 1,813,834 1,875,937 27,580
Capital Outlay 9,526 376,657 488,820 (376,657)
Debt Service & Other 2,517 56,521 56,521 118,812 62,291
Total 13,904,:373 14,326,262 14,403,902 14,875,060 548,798
Adopted Budget Salaries and Benefits 12,044,727
Percent Increase for MOU Increases for Wages 231,379 3.2%
Pro Rata Health Plan Cost Increase 29,008 3.7%
Pro Rata Retiree Medical Cost Increase, plus DentalNision 73,266 21.1%
Pro Rata Worker's Compensation Cost Increase 152,064 106.1 %
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase 311,231 14.0%
All other Salary-Related Costs 38,636 3.0%
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
Total 12,880,311 6.9%
-26-
HUMAN RESOURCES DEPARTMENT
Source of Funds: General Fund
Change
Department Actual Adopted Amended Proposed From
Budget (09) 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 513,490 590,896 590,896 625,542 34,646
Materials & SeNices 216,482 293,978 334,201 296,647 2,669
Capital Outlay
Debt SeNice & Other
Total 729,972 884,874 925,097 922,189 37,315
Adopted Budget Salaries and Benefits
590,896
MOU Increase
11,059
3.0%
Employees' changed to Kaiser, lower cost
Pro Rata Retiree Medical Cost Increase, plus DentalNision
3,545
22.6%
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
1,525
102.5%
PERS, Social Security, and Medicare Increase
4,046
4.4%
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
14,471
3.5%
Total
625,542
5.9%
-27-
INFORMATION TECHNOLOGY SERVICES DEPARTMENT
Source of Funds:
Charges to Departments: 1,262,576
Charges to Other Agencies: 24,000
Change
Department Actual Adopted Amended Proposed Fl'Om
Budget ( 16 ) 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 712,440 790,673 734,673 825,531 34,858
Materials & Services 554,618 444,143 529,167 461,045 16,902
Capital Outlay 351,695
Debt Service & Other
Total 1,618,753 1,234,816 1,263,840 1,286,576 51,760
Adopted Budget Salaries and Benefits
790,673
Expected Increase in Salaries
Plus MOU mandated step increases
18,389
3.2%
Pro Rata Health Plan Cost Increase
Increase is lower as two employees witched to lower cost Kaiser.
2,932
4.5%
Pro Rata Retiree Medical Cost Increase, plus DentalNision
4,028
17.0%
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
821
100.5%
PERS, Social Security, and Medicare Increase
Salary driven
8,509
6.7%
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
179
3.0%
Total
825,531
4.4%
-28-
LIBRARY DEPARTMENT
Source of Funds: General Fund
General Fund: 3,633,041
Grants, Fees and Other Revenue: 569,500
Change
Department Actual Adopted Amended Proposed From
Budget 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 3,064,823 3,037,293 3,037,293 3,161,624 124,331
Materials & Services 1,349,003 936,429 939,624 1,040,917 104,488
Capital Outlay
Debt Service & Other
Total 4,413,826 3,973,722 3,976,917 4,202,541 228,819
Adopted Budget Salaries and Benefits
Percent Increase Salaries
3,037,293
41,771 2.6%
24,607 4.4%
3,114 1.1%
18,965 20.5%
8,580 108.0%
Percent Increase Part-Time Salaries
Pro Rata Health Plan Cost Increase
Pro Rata Retiree Medical Cost Increase, plus DentalNision
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall w/c
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase
Salary driven
25,506
5.7%
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
1,788
4.6%
Total
3,161,624
4.1%
-29-
POLICE DEPARTMENT
Source of Funds:
General Fund: 17,541,466
Supplemental Law Enforcement Fund (C.O.P.S.) 136,E:84
Change
Department Actual Adopted Amended Proposed From
Budget 2004-05 2005-06 2005-06 2006-07 Adopted
Budget
Salaries & Benefits 13,613,468 13,939,791 13,993,656 15,515,894 1,576,103
Materials & Services 3,370,499 2,205,210 2,216,496 2,162,456 (42,7'54)
Capital Outlay 24,650
Debt Service & Other
Total 17,008,617 16,145,001 16,210,152 17,678,350 1 ,533,~i49
Adopted Budget Salaries and Benefits 13,939,791
Less: Bike patrol from program 12725, funded by RDA (74,831)
Percent Increase Salaries
385,522
Retore 3 frozen Police Officers
266,286
.4 Dispatchers
26,000
PERS on 3 officers
81,750
Pro Rata Health Plan Cost Increase 101,910
Pro Rata Retiree Medical Cost Increase, plus DentalNision 121,402
Pro Rata Worker's Compensation Cost Increase 222,004
Worker's camp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries, Finance changed the allocation this year: first, overall w/c
costs were increased, as those costs have been increasing,
Second, more of those increased costs. were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase 391,725
Salary driven
Overtime increase as salaries increase: 16,711
All other Salary-Related Costs 37,624
Vacation and sick reave payouts, admin cashouts, (Salary Driven)
Total 15,515,894
-30-
4,5%
3,1%
0.3%
9.3%
28.9%
118,8%
15.2%
4,5%
3.8%
11.3%
PUBLIC WORKS DEPARTMENT
Source of Funds:
General Fund *
Garage Internal Service Fund
Common Greens & Landscape Maintenance Fund
Sewer Fund
Storm Water Fund
* Includes Measure I Special Tax
7,617,196
1,186,266
1,426,541
16,730,231
734,688
125,556
Department Actual Adopted Amended Proposed
Budget 2004-05 2005-06 2005-06 2006-07
Salaries & Benefits 9,903,046 10,867,846 10,867,846 11,663,432
Materials & Services 13,148,275 10,475,294 10,595,015 11,209,730
Capital Outlay 33,000 37,568 121,800
Debt Service & Other 1,434,474 4,399,153 4,523,199 4,699,960
Total 24,485,795 25,775,293 26,023,628 27,694,922
Change
From
Adopted
Budget
795,586
734,436
88,800
300,807
1,919,629
10,867,846
229,130 3.2%
119,621 1.68%
26,640 0.38%
29,363 2.5%
108,808 24.8%
168,358 100.1%
Adopted Budget Salaries and Benefits
Percent Increase for MOU Increases for Wages
Sr, Engineer Funded in Sewer and Common Greens
PERS and Social Security on Sr, Engineer
Pro Rata Health Plan Cost Increase
Pro Rata Retiree Medical Cost Increase, plus DentalNision
Pro Rata Worker's Compensation Cost Increase
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall w/c
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non-salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase
89,334
All other Salary-Related Costs
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
24,332
Total
11,663,432
-31-
5.4%
3.1%
7.3%
RECREATION AND COMMUNITY SERVICES DEPARTMENT
Source of Funds:
General Fund 2,191,6:32
Fee Revenue 2,501 ,200
Change
Department Actual Adopted Amended Proposed From
Budget 2004-05 2005-06 2005-06 2006-07 Adoptecl
Budget
Salaries & Benefits 3,513,972 3,635,353 3,635,353 3,815,643 180,2!~0
Materials & Services 1,558,523 889,209 889,209 877,189 (12,020)
Capital Outlay
Debt Service & Other
Total 5,072,495 4,524,562 4,524,562 4,692,832 168,2'70
Adopted Budget Salaries and Benefits 3,635,353
Percent Increase Salaries: 41,407 3.0%
Percent Increase Part-Time Salaries 50,459 3.13%
Step increases included
Pro Rata Health Plan Cost Increase 22,560 6.13%
Pro Rata Retiree Medical Cost Increase, plus DentalNision 21,282 20.B%
Pro Rata Worker's Compensation Cost Increase 23,210 104.0%
Rate was doubled
Worker's comp has historically been budgeted in two places in departments'
budgets. The first is a portion of payroll, and the second is shown under non-
salaries. Finance changed the allocation this year: first, overall wlc
costs were increased, as those costs have been increasing.
Second, more of those increased costs were allocated to
payroll, and less was allocated overall to non..salaries. While costs
went up overall, changing the allocation methodology in this way
resulted in a $100,000 savings to the General Fund than under the prior
methodology.
PERS, Social Security, and Medicare Increase 20,913 4.B%
Salary driven
All other Salary-Related Costs 459 2.13%
Vacation and sick leave payouts, admin cashouts, (Salary Driven)
Total 3,815,643 5.0%
-32-