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CDC - Item 2A - 2006-07 Community Development Commission Budget• • ROSEMEAD CITY COUNCIL STAFF REPORT TO: THE HONORABLE MAYOR AND CITY COUNCIL FROM: ANDREW C. LAZZARETTO, CITY MANAGE DATE: JUNE 27, 2006 SUBJECT: 2006-07 COMMUNITY DEVELOPMENT COMMISSION BUDGET SUMMARY Attached for consideration is a copy of Resolution No. 2006-13 adopting the 2006-07 Community Development Commission Budget. Staff Recommendation Staff recommends that the Commissioners of the Rosemead Community Development Commission approve the 2006-07 Community Development Commission Budget by adopting Resolution No. 2006-13. ANALYSIS The 2006-07 Annual Budget includes expenditures of $15,984,190 with total funds available of $24,281,782, resulting with an ending fund balance of $8,297,592. The budget document presented for adoption was presented at the Budget Study Session held on June 6. 2006. PUBLIC NOTICE PROCESS This item has been noticed through the regular agenda notification process. Submitted by: n Ogaw Director of inance & MIS Attachment A: Resolution No. 2006-13 APPROVED FOR CITY COUNCIL AGENDA: ITEM NUMBER: • • ATTACHMENT A RESOLUTION NO. 2006-13 A RESOLUTION OF THE COMMUNITY DEVELOPMENT COMMISSION OF THE CITY OF ROSEMEAD ADOPTING THE ANNUAL BUDGET FOR FISCAL YEAR 2005-06 AND MAKING APPROPRIATIONS FOR THE AMOUNT BUDGETED WHEREAS, an Annual Budgetforthe Community Development Commission for the fiscal year commencing July 1, 2006 and ending June 30, 2007 was submitted to the Agency members and is on file in the City Clerk's office. NOW, THEREFORE, THE COMMUNITY DEVELOPMENT COMMISSION MEMBERS OF THE ROSEMEAD COMMUNITY DEVELOPMENT COMMISSION DO RESOLVE AS FOLLOWS: Section 1. The Budget is adopted as the Annual Budget of the Rosemead Community Development Commission for the fiscal year commencing July 1, 2006 and ending June 30, 2007. Section 2. There is hereby appropriated to each account set forth in the "Summary of Expenditures by Category" of said budget attached hereto, and made a part hereof as though fully set forth and the Executive Director is authorized and empowered to expend such sum for the purpose of such account, but with no expenditure by any office or department for any item within an account shall exceed the amount budgeted therefore without prior written approval of the Executive Director. PASSED, APPROVED and ADOPTED this 27th day of June, 2006 Executive Director of the Community Development Commission ATTEST: Agency Secretary 0 • ROSEMEAD COMMUNITY DEVELOPMENT COMMISSION SUMMARY OF EXPENDITURES BY CATEGORY REDEVELOPMENT FUNDS 2004-05 2005-06 2006-07 Actual Projected Budgeted ADMINISTRATIVE (Cost Center 4210): Legal Fees (Project Area No. 1) $ 43,496 $ 120,000 $ 45,000 Legal Fees (Project Area No. 2) 3,257 10,000 10,000 Auditing Fees 13,600 18,000 18,000 Other Financial Services 1,000 2,800 28,000 Professional Services (Proj Area 1) 2,720 0 0 Professional Services (Proj Area 2) 0 0 0 Fiscal Agent Services 4,635 5,000 5,000 Department Supplies (140) 100 500 Miscellaneous Expense 71,050 77,000 77,000 Travel and Meeting Expenses 300 0 500 Membership/Subscription 2,520 2,800 3,000 City Services (Project Area 1) 947,300 947,300 947,300 City Services (Project Area 2) 378,920 378,920 378,920 C/O: Vehicle 11,090 0 TOTAL ADMINISTRATIVE $ 1,479,748 $ 1,561,920 $ 1,513,220 SPECIAL PROJECTS (Cost Center 4215): NPDES $ 6,720 $ 40,000 $ 75,000 General Plan.Update 0 0 . 100,000 City Hall Renovation - Phase III 27,815 80,000 2,000,000 Rosemead Community Recreation Center Improvements 132,192 47,400 0 Rosemead Park Improvements 22,793 60,000 0 Rosemead Pool Improvements 0 204,000 0 Garvey Park Improvements 49,388 97,000 0 Garvey Pool Improvements 3,699 180,000 0 Sally Tanner Improvements 640 31,100 0 Pavement Management Study 13,095 0 15,000 New Avenue/Egley Avenue Vest Pocket Park 0 0 5,000 Sanitary Sewer Management Plan 0 0 175,000 Valley Boulevard Medians 0 0 300,000 Wayfinding Signage 0 0 50,000 Garvey Community Center 3,151 22,600 0 Street Trees 0 0 100,000 Hellman Avenue Bridge/Alhambra Wash 182,839 240,000 0 • • ROSEMEAD COMMUNITY DEVELOPMENT COMMISSION SUMMARY OF EXPENDITURES BY CATEGORY REDEVELOPMENT FUNDS SPECIAL PROJECTS (cont.): 2004-05 2005-06 2006-07 Actual Projected Budgeted ADA Park Improvements $ 8,730 0 0 Jess Gonzalez Sports Complex ` . 8,265 12,000 0 Zapopan Public Safety Center 49,149 380,000 0 Economic Development Program 1,044 2,500 800,000 Commercial Rehabilitation 25,962 50,000 300,000 Property Acquisitions 0 0 1,907,570 TOTAL SPECIAL PROJECTS $ 535,482 $ 1,446,600 $ 5,827,570 STREET PROJECTS (Cost Center 4501): Supportive Engineering $ 103,113 $ 85,000 $ 95,000 San Gabriel Boulevard Improvements 303,197 130,000 0 Virginia Street Improvements 9;360 3,000 45,000 TOTAL STREET PROJECTS $ 415,670 $ 218,000 $ 140,000 TRAFFIC SIGNALS (Cost Center 4531): Traffic Study $ 12,280 $ 18,500 $ 20,000 Hellman @ 1-10 Traffic Signal 0 255,000 30,000 Traffic Signal Controller Upgrades 5,370 170,000 20,000 Del Mar @ Highcliff Traffic Signal 0 18,000 185,000 Del Mar @ Graves Traffic Signal 0 8,500 120,000 Graves @ Jackson Traffic Signal 0 18,000 185,000 TOTAL TRAFFIC SIGNALS $ 17,650 $ 488,000 $ 560,000 • i ROSEMEAD COMMUNITY DEVELOPMENT COMMISSION SUMMARY OF EXPENDITURES BY CATEGORY REDEVELOPMENT FUNDS 2004-05 2005-06 2006-07 Actual Projected Budgeted TRANSFER TO: RHDC $ - $ - $ 250,000 1993 Bonds (Fund 45) 0 3,380,850 0 2006 Bonds (Fund 41) 0 0 2,370,000 Debt Service Fund. 2,166,798 2,302,168 2,661,700 TOTAL TRANSERS $ 2,166,798 $ 5,683,018 $ 5,281,700 REDEVELOPMENT FUNDS TOTAL $ 4,615,348 $ 9,397,538 $ 13,322,490 ROSEMEAD COMMUNITY DEVELOPMENT COMMISSION SUMMARY OF EXPENDITURES BY CATEGORY Debt Service Funds 2004-05 2005-06 2006-07 Actual Projected Budget 1993 BONDS (Series A) Principal Interest TOTAL 2006 BONDS (Series A) Principal Interest TOTAL DEBT SERVICE FUND TOTALS Principal Interest TOTAL $465,000 $490,000 $0 1,836,760 1,812,168 1,293, 320 $2,301,760 $2,302,168 $1,293,320 $0 $0 $780,000 0 0 588,380 $0 $0 $1,368,380 $465,000 $490,000 $780,000 11836,760 1,812,168 1,881,700 $2,301,760 $2,302,168 $2,661,700