Presentation is loading. Please wait.

Presentation is loading. Please wait.

City Manager’s Proposed Budget for Fiscal Years 2010 and 2011 City Council Budget Hearing June 08, 2009.

Similar presentations


Presentation on theme: "City Manager’s Proposed Budget for Fiscal Years 2010 and 2011 City Council Budget Hearing June 08, 2009."— Presentation transcript:

1 City Manager’s Proposed Budget for Fiscal Years 2010 and 2011 City Council Budget Hearing June 08, 2009

2 2 Proposed Budget FY 2010 & 2011  Overview and Future Meetings June 8- City Council Budget Discussion  Budget Schedule  Update on FY 2009  City Manager’s Proposed Budget FY 2010 and 2011 General Fund Enterprise Funds Capital Fund  Questions/Discussion June 15  Public Hearings Proposition 218 utility rates  Water Utility Rates  Wastewater Collection Rates  Refuse Rates  FY 2010 Budget Adoption  FY 2011 Budget Adoption-in-concept

3 3 FY 2010 & 2011 Budget Hearing Schedule  March 31 Utility Rates & Prop 218 noticing  April 21 HSRAP/CDBG  April 27 Study Session with City Council  May 5 Budget Kick-Off, Admin. Depts.  May 7 Police, Fire, Library, Planning  May 12 CSD, Utilities, Utilities CIP  May 13 GF Capital Budget, PWD, ASD  May 19PWD Enterprise and ISF, Atty Office  May 26 Wrap-Up, Municipal Fee Schedule  May 28Wrap-up continued  June 8 Budget Review with City Council  June 15Budget Adoption

4 4 Proposed Budget FY 2010 & 2011  Update of Fiscal Year 2009 – General Fund $8.0 million gap due to revenue declines Budget Balancing Strategies initiated  One-time expenditure reductions moves structural issues into FY 2010

5 5 Proposed Budget FY 2010 & 2011  Summary – General Fund Fiscal year 2010 deficit - $10 million $8 million gap from FY 2009 $2 million in addition revenue declines  City Manager’s Proposed Budget balancing strategies: $3.0 million – Employee compensation contributions $2.8 million - Departmental expenditure reductions  One-time options” $2.1 million - Suspension of GF Retiree Medical contribution $1.0 million - Suspension of GF year-end contribution to Capital Fund $1.4 million - Additional revenues from other funds $0.3 million - Other expenditure changes $10.6 million  $0.6 FY 2010 excess to be applied to one-time options

6 6 Proposed Budget FY 2010 & 2011 Fiscal year 2010 General Fund deficit $10 million Budget balancing strategies

7 7 Proposed Budget FY 2010 & 2011 Finance Committee and Staff Recommended** Changes

8 8 Proposed Budget FY 2010 & 2011 Finance Committee and Staff Recommended Changes – General Fund FY 2010

9 9 Proposed Budget FY 2010 & 2011  General Fund Reserves Budget Stabilization Reserve  Reserve is for one-time unexpected needs, not meant to fund ongoing operating expense  Range 15-20% of GF expenditures; 18.5% is the target  FY 2010 proposed reserve level $21.7 million or 15.3%  FY 2011 proposed in-concept reserve level $19.0 million or 13.0% Additional expenditure reductions will be made prior to FY 2011 budget adoption, June 2010 to bring reserves to 15% Infrastructure Reserve  $5.2 million in FY 2010 and $1.6 million in FY 2011  The $1 million year-end budgeted transfer from the General Fund was suspended in FY 2009 and 2010, but resumes in FY 2011  An additional $1 million reduction in the General Fund transfer for FY 2010 was recommended by the Finance Committee

10 10 Proposed Budget FY 2010 & 2011  Additional General Fund Budget Pressures State Borrowing of Property Tax Revenues $2.4 million Possible Unknown Additional Revenue Declines Other Possible State Budget impacts Infrastructure Funding

11 11 Proposed Budget FY 2010 & 2011  Enterprise Funds Proposed Budgets Electric Fund  FY 2010$137.1 million  FY 2011$146.9 million Fiber Optics Fund  FY 2010$1.6 million  FY 2011$1.6 million Gas Fund  FY 2010$45.8 million  FY 2011$51.6 million Water Fund  FY 2010$50.8 million  FY 2011$33.3 million

12 12 Proposed Budget FY 2010 & 2011  Enterprise Funds Proposed Budgets Wastewater Collection Fund  FY 2010$16.4 million  FY 2011$17.3 million Refuse Fund  FY 2010$36.5 million  FY 2011$44.1 million Wastewater Treatment Fund  FY 2010$20.4 million  FY 2011$21.7 million Storm Drainage Fund  FY 2010$5.6 million  FY 2011$5.6 million

13 13 Proposed Budget FY 2010 & 2011  Enterprise Funds In Fiscal Year 2010 the average residential utility bill is increasing by $4.42 or 1.4 percent Rates2010 2011 Gas 10 % decrease 15 % increase Electric10 % increase 15 % increase Water 5 % increase 7 % increase Wastewater Collection 5 % increase 5 % increase Refuse17 % increase Storm Drainage 0 % increase

14 14 Proposed Budget FY 2010 & 2011 Average Residential Utility Bill

15 15 Proposed Budget FY 2010 & 2011  General Fund CIP Overview Total CIP $66.8 million in FY 2010 and $17.4 million in FY 2011  FY 2010 includes $50.5 million for Measure N Library Bond Construction and improvements  General Fund Contribution to CIP in FY 2010 $8.9 million Infrastructure Reserve  $5.2 million in FY 2010 and $1.6 million in FY 2011  The $1 million year-end budget transfer from the General Fund was suspended in FY 2009 and 2011, and resumes in FY 2011  An additional $1 million reduction in the General Fund transfer for FY 2010 was recommended by the Finance Committee

16 16 Proposed Budget FY 2010 & 2011 Update to Infrastructure Backlog Report  Infrastructure Backlog Report Total Backlog (20 years)$ 450 million 2009-13 GF CIP appropriations ($ 64) million Total Unfunded Backlog 2009-13$ 386 million

17 17 Proposed Budget FY 2010 & 2011  Questions/Discussion


Download ppt "City Manager’s Proposed Budget for Fiscal Years 2010 and 2011 City Council Budget Hearing June 08, 2009."

Similar presentations


Ads by Google