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CC - Item IV D - 2001-2002 Budget Authorization To Transfer $420,845TO: HONORABLE MAYOR AND MEMBERS ROSEMEAD CITY COUNCIL FROM: BILL 0E, CITY MANAGER DATE: JUNE 18, 2002 RE: 2001-02 BUDGET AUTHORIZATION TO TRANSFER $420,845, FROM UNAPPROPRIATED RESERVE TO ORGANIZATIONS 4100, 4110, 4130, 4180, 4200, 4310, 4330, 4630, 4640, 4650, 4720, 4830, and 4840 - A review of this year's budget indicates that some departmental accounts have exceeded their budgeted amounts. Although total expenditures for the City are under budget, the City auditors are requiring that the City Council take Minute action to approve budget transfers from unappropriated reserve to each department. Listed below are the requested transfers: City Council (4100) - $36,780 is requested for the increase costs in salary and medical premiums. City Administration (4110) - $130,780 is requested for the payout of accrued sick and vacation leave for the outgoing City Manager and City membership fees. Finance (4130).-,$6,820 is requested to cover additional costs for Sales Tax Consultant and business license investigations. Buildings (4180) - $18,140 is requested to cover additional costs for general liability insurance. r; 61 Community Promotions (4200) - $25,100 is requested to cover additional cost for 2001 July 4" Celebration and retirement reception for the outgoing City Manager. Parking Control (4310) - $6,900 is requested to cover additional costs for processing parking citations. Animal Regulations (4330) - $17,300 is requested to cover additional costs for animal control actives. COUNCIL JUN 2 5 2002 ITEM No. LLV, ~'c 2001-02 Budget Authorization June 18, 2002 Page 2 Traffic Signal Maintenance (4630) - $44,000 is requested to cover additional costs for signal maintenance and repairs. Maintenance Trees and Parkway (4640) - $24,000 is requested to cover additional costs for routine tree maintenance. Maintenance Signs and Striping (4650) - $30,000 is requested for maintenance of street signs, striping and marking. Engineering (4720) - $17,865 is requested for plan check and inspection of industrial waste permits, reviewing, checking and approving maps, Aquatics (4830) - $49,440 is requested for utilities and pool maintenance. Recreation Fee & Charge (4840) - $13,720 is requested to cover the costs for the increase in staff hours and excursions. The estimated expenditures for 2001-02 is $19,226,458. The adopted 2001-02 Annual Budget is $20,959,621. These figures indicate that the City will again come in under budget. RECOMMENDATION It is recommended that the City Council authorize a transfer of $420,845 from unappropriated reserves to cover additional costs incurred during the current fiscal year 2001-02 for organizations 4100 4110 4130, 4180, 4200, 4310, 4330, 4630, 4640, 4650, 4720, 4830, and 4840. klo: budget2002-03\expovbud.doc Ms. Baker stated that $400,000 will still remain from FY 2001, and another $500,000 will be allocated for FY 2002. Councilman Taylor asked what can be implemented in order to prevent the City from giving away another $400,000. Ms. Baker responded that HOME funds are very restrictive and that 15% is set-aside for Community Housing Development Organization (CHDO). Ms. Baker continued that the primary function of the money, aside from the 15% set-aside for the specialized non-profits, is for the development of housing. The funds can be used for construction, acquisition and rehabilitation. Vote resulted: Yes: Imperial, Bruesch, Clark, Vasquez No: Taylor Absent: None Abstain: None The. Mayor declared said motion duly carried and so ordered. -D 200T=02-BUDGET AUTHORIZATION TO TRANSFER $420,845, FROM UNAPPROPRIATED RESERVE TO ORGANIZATIONS 4100, 4110, 4130, 4180, 4200, 4310, 4330, 4630, 4640, 4650, 4720, 4830, AND 4840 Councilman Taylor stated he is going to vote No on this item. MOTION BY COUNCILMEMBER CLARK, SECOND BY MAYOR PRO TEM VASQUEZ that the Council authorize a transfer of $420,845 from unappropriated reserves to cover additional costs incurred during the current. fiscal year 2001-02 for organizations 4100, 4110, 4130, 4180, 4200, 4310, 4330, 4630, 4640, 4650, 4720, 4830, and 4840. Vote resulted: Yes: Imperial, Bruesch, Clark, Vasquez No: Taylor Absent: None Abstain: None he Mayor declared said motion duly carried and so ordered. Councilman Taylor, referring to City Administration payout of accrued sick and vacation leave, stated that a limit of two years should be placed on accrued hours in order to prevent the dollar amounts from compounding and snowballing. Mr. Taylor stated the many cities have a policy requiring an employee to use their sick/vacation time within a stated.time frame or lose it. Mr. Taylor requested that staff research this item and bring it back for further discussion. V. MATTERS FOR DISCUSSION AND ACTION - None CCMIN:6-25-02 Page w5