Loading...
CC - Item 1A - Budget Workshop Presentation FY 19-20 FinalFiscal Year 2019/20 Preliminary Budget 0 5 10 15 20 25 30 35 40 45 17/18 18/19 19/20 Revenues Expenses CIP All Funds FY 19/20 Revenues $40,323,100 Expenses 38,834,300 Surplus $1,488,800 CIP Projects $4,300,800 2 21.5 22 22.5 23 23.5 24 24.5 25 25.5 17/18 18/19 19/20 Revenues Expenses General Fund FY 19/20 Revenues $24,862,900 Expenses 23,852,300 Surplus $1,010,600 Grants Reimbursements $810,533 GF Surplus 200,067 Total Surplus $1,010,600 3 FY 2019/20 4 Fund FY 17/18 Actual FY 18/19 Projected FY 19/20 Projected General Fund 24,470,280 24,064,533 24,862,900 Gas Tax 1,248,935 2,429,350 1,973,000 RMRA SB1 322,213 920,000 914,800 Local Transportation 100,005 37,000 133,000 Proposition A 1,124,947 1,172,000 1,236,700 Proposition C 890,017 898,000 987,200 Measure R 640,841 669,000 709,600 Measure M 580,190 758,000 804,300 Air Quality Mgmt. District 70,613 72,000 72,000 Street Lighting District 1,100,150 950,000 1,000,000 Development Impact Fees 28,614 50,000 58,700 CDBG 423,400 1,005,800 1,005,700 HOME 520,482 778,500 1,490,200 Internal Service 279,200 266,100 159,000 Capital Projects 535,838 -- RHDC 894,447 900,000 910,400 Successor Agency 3,917,118 4,000,000 4,005,600 Total City Revenues $37,147,293 $38,970,283 $40,323,100 Total Revenues Increase $1.3M (3.4%) 5 General Fund Revenues FY 17/18 Actual FY 18/19 Projected FY 19/20 Projected Property Taxes $9,131,456 $9,202,000 $9,602,000 Sales Taxes 5,929,492 5,650,000 5,650,000 Transient Occupancy Taxes 2,326,863 2,400,000 2,400,000 Bldg. Permits & Plan Checks 2,301,144 1,680,000 1,800,000 Franchise Fees 1,202,644 1,120,000 1,150,000 Recreation Fees 796,005 840,100 868,600 Public Safety 565,742 580,200 663,000 Public Work Permits 565,232 526,000 501,000 Grants 268,249 1,051,033 1,111,000 Other Fees 1,383,453 1,015,200 1,117,300 Total $24,470,280 $24,064,533 $24,862,900 GF Revenues Increase $798k (3%) 6 Significant General Fund Revenues Increase ◦Projected Property Taxes increases $400k ◦Projected Building Permits and Plan Checks increases $120k ◦Projected Public Safety (traffic violations) increases $83k ◦Projected Parks & Recreation increases $39k New programs: Youth Clinic $7k & Kids Night Out $2k Swim Team Classes increase $30k (Prior year revenue estimated at $120-$130k annually) Grants Reimbursements to General Fund ◦Urban Greening Grant Program for Duff School Project $521k ◦Land and Water Conservation Fund (LWCF) grant for Dog Park $290k ◦Total Reimbursements to the General Fund $811k Significant Special Revenue Fund Revenues Increase ◦Gas Tax apportionment increases $246k ◦Prop A, Prop C, Measure R, and Measure M apportionment increases a total of $206k ◦TDA reimbursement of $133k ◦HOME funding increases $712k (reallocating funding to new programs) Grants Reimbursements to Gas Tax Fund ◦Cal-Fire Grant for Tree Planting $285k ◦HSIP $241k ◦Total Reimbursements to the Gas Tax Fund $526k 7 FY 2019/20 8 Fund FY 17/18 Actual FY 18/19 Budget FY 19/20 Projected General Fund (GF)$ 22,810,591 $ 22,849,988 $ 23,852,300 Gas Tax 1,734,875 1,683,550 1,512,500 RMRA SB1 -1,226,600 914,800 Local Transportation Grant 100,000 37,000 133,000 Proposition A 971,584 1,061,900 1,101,000 Proposition C 940,317 830,500 1,050,900 Measure R 727,996 654,300 984,600 Measure M -693,000 743,200 Air Quality Mgmt District 30,430 70,000 30,000 Street Lighting District 784,302 941,000 741,100 CDBG 460,232 1,099,971 1,005,700 HOME 147,270 1,235,137 1,490,200 RHDC 831,882 876,200 910,400 Capital Projects 60,941 -- Internal Service 223,774 332,345 359,000 Successor Agency (SA)4,104,366 -4,005,600 Total Expenditures $ 33,928,560 $ 33,591,491 $ 38,834,300 Total Expenditures Increase $5.2M (comprises of SA $4M & mainly GF $1.2M) 9 Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change Legislative $899,451 $1,091,300 $1,127,400 $36,100 3.3% City Manager 533,243 634,500 810,500 176,000 27.7% Support Services 2,845,789 2,038,200 2,036,100 (2,100)-0.1% Public Safety 9,132,150 9,350,081 9,805,300 455,219 4.9% Public Works 4,072,399 4,835,800 4,414,000 (421,800)-8.7% Parks & Recreation 2,487,832 2,694,406 3,034,400 339,994 12.6% Community Development 2,032,928 1,920,700 2,379,600 458,900 23.9% CIP 806,799 285,000 245,000 (40,000)-14.0% Total $22,810,591 $22,849,988 $23,852,300 $1,002,312 4.4% 10 State legislative advocacy cost of $30,000 was moved from Support Services to Legislative to budget cost in the appropriate department Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change Legislative $899,451 $1,091,300 $1,127,400 $36,100 3.3% 11 City Council 35% Commissions 3% City Clerk 40% City Attorney 22% 19/20 Expenditures (by division) Senior Management Analyst position ◦Transfer from the Public Works Department to City Manager’s Office ◦Position is currently vacant ◦Perform grants administration and other duties for the City Manager’s Office ◦Salary & benefit costs is $107,000, resulting with a $62,000 cost savings Salary and benefit costs reflect wage increases based on contract and MOUs Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change City Manager $533,243 $634,500 $810,500 $176,000 27.7% 12 Total L.A. Sheriff Contract $8.6M, an increase of $430k ▪5% increase in the cost of a Deputy Sheriff Service Unit ▪$390k increase -FY 19/20 $7.82M versus FY 18/19 $7.43M ▪0.5% increase in the Liability Trust Account ▪$40k increase -FY 19/20 $780k versus FY 18/19 $740k Special Event Patrol budget increase $10k City’s in-house Animal Control Services budget increase $17k ◦Cost savings of $60k versus contracting for animal control services Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change Public Safety $9,132,150 $9,350,081 $9,805,300 $455,219 4.9% 13 Law Enforce. 90% Admin. 5% Parking Control 2% Crossing Guards 1% Animal Reg. 2% 19/20 Expenditures (by division) Significant changes shown below: Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change Public Works $4,072,399 $4,835,800 $4,414,000 ($421,800)-8.7% Division FY 18/19 Budget FY 19/20 Budget Increase/(D ecrease) PW Administration 3005 $182,500 $157,100 ($25,400) Motor Fleet 3020 112,100 56,500 (55,600) Parks & Open Spaces 3030 2,715,100 2,539,200 (175,900) Engineering 3035 930,100 719,600 (210,500) Project Management 3036 192,200 232,200 40,000 Total $4,132,000 $3,704,600 ($427,400) 14 PW Administration 3005 –Decrease $25k Cost savings from hiring the Public Works Director Motor 3020 –Decrease $56k Implement the new Vehicle Replacement and Maintenance Lease Program with Enterprise Fleet Management Reduce budget of $46k in Equipment Replacement Reduce Vehicle Repair Maintenance budget of $40k by $10k Gasoline budget of $26k remains the same Staff expects savings when the program is fully implemented 15 Parks & Open Spaces –Decrease $176k The Public Works Superintendent position will be retiring & position will not be filled o Cost savings is $180k (GF $144k & Street Lighting $36k) Reduce electricity & water budget by $75k to reflect average cost over three years Reclassification for an employee to a Maintenance Lead Worker o Salary & benefit costs is $4,900 Increase Ground Repair & Maintenance $39k budget to reflect the landscaping contract cost 16 Engineering 3035 –Decrease $210k City Engineer Position will not be filled Create Two New Positions: Associate Civil Engineer & Civil Engineering Assistant Fiscal impact is minimal since the prior City Engineer’s retirement cost was high Create new position for a Public Works Inspection ▪Position was previously contracted at $150k ▪Salary & Benefit Cost projected at $111,600, savings of $38k Reduce NPDES budget by $120k to reflect the scope of services for the year Reduce Other Professional Services cost in GF by $65k and use Measure R funding for engineering costs for CIP projects. o Project Management 3036 –Increase $40k Salaries and benefits related to CIP projects, budget increase by $40k 17 Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change Parks & Recreation $2,487,832 $2,694,406 $3,034,400 $339,994 12.6% 18 Significant changes shown below: Division FY 18/19 Budget FY 19/20 Budget Increase General Recreation 4005 315,400 381,400 66,000 Youth &Adult Sports 4010 63,100 73,100 10,000 Aquatics 4015 710,700 897,900 187,200 Senior Services 4025 140,300 182,900 42,600 Community Promotions/Special Events 4040 224,000 276,600 52,600 Total $1,453,500 $1,811,900 $358,400 General Recreation 4005 –Increase $66k Prior year budgeted hours for part-timers (PT) was 9,515 hours versus current year proposed hours of 15,672, an increase of 6,157 hours o Increase PT hours to match level of services provided o Increase Pay Rate from $12 to $13 per hour to comply with Minimum Wage requirements o Fiscal Impact –GF increase of $80k 19 Programs Hours Increase Reason for increase Summer Day Camp 420 Request for increase in hours to match services provided Evening & Weekend Roving Supervision 3,241 Hours were not budgeted in the prior year Field Supervision 936 New hours request Gym Rental Supervision 1,560 New hours request Total PT Hours Increase 6,157 Youth & Adult Sports 4010–Increase $10k Current year proposed hours increase 600 hours to implement new programs o Increase PT hours to match level of services provided o Increase Pay Rate from $12 to $13 per hour to comply with Minimum Wage requirements o General Supplies increase $3,300 for new programs o Fiscal Impact –GF increase of $8k for PT salaries & $3k for General Supplies 20 Programs Hours Increase Reason for increase Youth Sports Clinics –Volleyball & Basketball 192 New hours request Adult Basketball League 240 New hours request Start Smart Program 168 New hours request Total PT Hours Increase 600 Aquatics –Increase $187k Proposes 1 Recreation Supervisor & 1 Recreation Coordinator. PY budget only included 1 Recreation Coordinator to support the entire Aquatic Division. 2 positions were always budgeted for the Aquatic Division with the exception of prior year’s budget. Swim team class increases $15k (offset by revenue increases collected by the City for facility rentals). 21 Fiscal Impact Amount Increase GF for full-time salary & benefit costs $154,000 Increase GF for swim team instructor contract classes 15,000 Increase GF for part-time salary & benefit costs 26,000 Increase GF for lifeguards for swim team 28,000 Decrease in Machinery & Equipment (pool lifts were replaced in the prior year budget, current year budget is not proposing for pool equipment replacement) (36,000) Net Increase $187,000 Prior year budgeted hours for part-timers (PT) was 9,515 hours versus current year proposed hours of 15,672, increase of 4,041 hours Increase Pay Rate from $12 to $13 per hour to comply with Minimum Wage requirements Increase PT hours to match level of services provided Fiscal Impact is $54k, of which $28k relates to lifeguards for the Swim Team 22 Positions Prior Year Hours Propose Hours Increase Pool Managers 1,350 0 (1,350) Assistant Pool Manager 4,312 4,211 (101) Instructors/Lifeguards 4,180 5,991 1,811 * Lifeguards 8,000 9,913 1,913 * Aquatic Facility Attendant 2,538 4,306 1,768 Total PT Hours 20,380 24,421 4,041 * The Swim Team requires 2 lifeguards onsite, and their classes are scheduled for 3 hours per day, 6 days a week, for 50 weeks. The Swim Team requires 1,800 hours of lifeguards oversight, the fiscal impact is estimated at $28k. Senior Services 4030 –Increase $43k Reallocation of CDBG funds for new programs. Previously, CDBG funds were used to pay part- timers who served senior lunches at the Garvey Center o Fiscal Impact –increase General Fund by $43k Community Promotions/Special Events 4040 –Increase $53k Increase PT hours by 2,400 to provide coverage for special events such as 4th of July & Fall Fiesta special events o Fiscal Impact –increase General Fund by $35k Increase funding for special events o Fiscal Impact –increase General Fund by $18k o $10k for 60th Anniversary o $8k for all other events 23 Expenditures FY 17/18 Actual FY 18/19 Budget FY 19/20 Proposed $ Change % Change CD $2,032,928 $1,920,700 $2,379,600 $458,900 23.9% 24 Code 5115 –Increase $386k o Reclassification of Senior Code Enforcement Officer to Public Safety Supervisor o Reclassification of 2 Code Enforcement Officers to 2 Senior Code Enforcement Officers o Add new Code Enforcement Officer position & eliminate Public Safety Manager position o Reallocate funding of the entire Code Enforcement Division from CDBG/General Fund to be funded by General Fund only o Administrative burden from tracking staff time based on CDBG project areas and cases o Fiscal Impact increases General Fund by $386k o However, City will use CDBG funding of $366k for CIP projects and professional services related to CIP projects FY 2019/20 25 26 BUDGETED BUDGETED BUDGETED BUDGETED FULL-TIME POSITIONS 2018-19 2019-20 FULL-TIME POSITIONS 2018-19 2019-20 City Manager's Office Parks and RecreationCity Manager 1 1 Director of Parks & Recreation 1 1 Assistant City Manager 1 1 Recreation Manager 0 1 Senior Management Analyst 0 1 Recreation Coordinator 3 3 Executive Assist. to the City Manager 1 1 Recreation Supervisor 3 3 Administrative Assistant 1 1 Administrative Specialist 1 1 City Clerk Public Safety City Clerk 1 1 Public Safety Manager 1 0 Deputy City Clerk 1 1 Public Safety Supervisor 1 1 Senior Code Enforcement Officer 0 0 Human Resources Code Enforcement Officer 0 1 Human Resources Manager 1 1 Administrative Assistant 1 1 Human Resource Specialist 1 1 Public Works Financial Services Director of Public Works 1 1 Finance Director 1 1 City Engineer 1 0 Finance Manager 0 1 Associate Civil Engineer 0 1 Finance Services Supervisor 1 0 Public Works Manager 1 1 Accounting Specialist, Senior 2 3 Public Works Superintendent 1 0 Accounting Specialist 1 0 Public Works Inspector 0 1 Senior Management Analyst 1 0 Community Development Civil Engineering Assistant 0 1 Director of Community Development 1 1 Administrative Analyst 1 1 Planning & Economic Development Manager 1 1 Administrative Specialist 1 1 Public Safety Supervisor 0 1 Maintenance Lead Worker 4 5 Associate Planner 1 1 Maintenance Worker 9 9 Sr. Code Enforcement Officer 1 2 Facilities Technician 2 1 Housing Project Coordinator 0 1 Housing Project Coordinator 1 0 Management Analyst 0 1 Assistant Planner 2 1 Code Enforcement Officer 3 1 Administrative Assistant 1 1 Grand Totals 57 59 27 Department Position Funding Total Fiscal Impact Explanation City Manager Transfer Senior Management Analyst General Fund ($62,000) cost savings Transfer from PW to CM’s Office. Position is currently vacant. Duties include grants administration & various duties supporting the CM’s Office. Finance Add Finance Manager General Fund, Prop A, Prop C, Measure R ($40,000) cost savings New position to replace the Finance Services Supervisor, who is retiring in June 2019. Finance Upgrade Accounting Specialist to Senior Accounting Specialist General Fund $3,000 Upgrade an existing position to provide future growth and added job duties to assist with the annual budget process and various other accounting duties including special projects. Community Development (CD) 1)Upgrade Senior Code Enforcement Officer to Public Safety Supervisor 2)Upgrade two Code Enforcement Officers to two Senior Code Enforcement Officers 3)Add Code Enforcement Officer General Fund $8,200 $13,100 $86,900 •Public Safety Manager position, with salary & benefit of $131k, has been vacant & will be eliminated to fill a new Code Enforcement Officer position. •In order to provide growth for three employees who have topped out of their salary range, staff is proposing to upgrade 1 Sr. Code Enforcement Officer to Public Safety Supervisor & upgrade 2 Code Enforcement Officers to Sr. Code Enforcement Officers. Additional duties will be assigned. •Net fiscal impact is a cost savings of $22k. CD Upgrade Management Analyst General Fund 0 Upgrade a vacant Assistant Planner to Management Analyst position to provide broader scope of work assignments and backup to the Director, Planning, Housing, and Business Licenses. CD Transfer Housing Coordinator General Fund, CDBG, HOME 0 Transfer from Public Works to Community Development Department. 28 Department Position Funding Total Fiscal Impact Explanation Parks & Recreation Add Recreation Manager General Fund $130,600 •New position request to help the P&R Director manage the P&R Department. •Duties include planning, managing, and coordinating City- wide special events, special projects, and community programs. Public Works (PW) 1)City Engineer 2)Associate Civil Engineer 3)Civil Engineering Assistant General Fund, Prop C, Measure R ($231,200) $136,000 $95,200 •Eliminate the City Engineer position and replace it with an Associate Civil Engineer & Civil Engineering Assistant. •Job duties involve oversight of CIP projects. •Fiscal impact is minimal for FY 2019/20 as the cost savings in retirement costs from the previous Civil Engineer offset the salary cost for hiring two positions. PW Add Public Works Inspector General Fund, Prop C, Measure R $111,600 •New position request for a Public Works Inspector. •Position was contracted in the past, budgeted at $150,000 with costs increasing annually. •Position will provide flexibility in scheduling, no travel costs, and position can work on public works permits & inspections. •Fiscal impact is a cost savings of $38,000. 29 Department Position Funding Total Fiscal Impact Explanation PW Upgrade Maintenance Lead Worker General Fund $4,900 Upgrade an employee to a Maintenance Lead Worker position, this position will help the Director oversee special projects. Public Works PW Superintendent General Fund, Street Lighting ($180,000) cost savings This PW Superintendent position will be retiring in June 2019 and this position will not be filled. This generates a cost savings of $180k. FY 2019/20 30 $1,010,60 Change in Fund Balance (810,533) Grant Reimbursements - Dog Park & Duff School Project $200,067 Projected Surplus 31 General Estimated Fund Balance at 6/30/19 19,249,234 Estimated Revenues: Taxes 17,762,000 Intergovernmental 1,111,000 Licenses and permits 2,301,000 Charges for services 1,086,400 Fines, forfeitures and penalties 663,000 Investment income 80,000 Business License 220,000 Other 1,639,500 Total Revenues 24,862,900 Requested Appropriations: Legislative 1,127,400 City Manager 810,500 Support Services 2,036,100 Community Development 2,379,600 Parks & Recreation 3,034,400 Public Safety 9,805,300 Public Works 4,414,000 Debt Service - Capital Improvement Projects 245,000 Total Appropriations 23,852,300 Revenues over (under) appropriations 1,010,600 Other financing sources (uses): Transfers in - Transfers out - Total other financing sources (uses)- Change in fund balance 1,010,600 Estimated ending fund balance at 6/30/20 20,259,834 62%56%53%61% 51% 53% 53% 52% 51% 49.4% 0% 10% 20% 30% 40% 50% 60% 70% Unassigned General Fund Balance GF FB 32 In addition to the Unassigned General Fund Balance, the City also maintains a 31% General Fund Reserve. Total GF is at 80.4%. FY 2019/20 33 Fiscal Year Budget 2010/11 21,897,000 2011/12 8,575,000 2012/13 5,000,000 2013/14 12,209,500 2014/15 5,590,000 2015/16 2,825,000 2016/17 3,955,000 2017/18 3,454,597 2018/19 4,150,850 2019/20 4,300,800 34 Project Total Cost Funding Source CIP Budget Request 1 Valley Boulevard Resurfacing Project Phase II $1,811,800 RMRA SB1 Measure M Prop C $886,800 400,000 500,000 $1,786,800 2 Walnut Grove Ave Resurfacing Project Phase I 28,000 RMRA SB1 28,000 3 Various Residential Street Repairing 610,000 Gas Tax 600,000 4 Annual Slurry Project 370,000 Measure M General Fund 300,000 60,000 360,000 5 Localized Pavement Repairs 345,000 Gas Tax Measure R 200,000 130,000 330,000 35 Project Total Cost Funding Source CIP Budget Request 6 Rosemead Blvd. Median Landscaping 205,000 Measure R 200,000 7 Sidewalk Replacement Project 105,000 Measure R 100,000 8 Alley Way Improvements 123,400 CDBG 105,200 9 ADA Curb Ramps 65,000 Measure R 60,000 10 Sidewalk ADA Master Plan 60,000 Measure R 55,000 Total $3,723,200 $3,625,000 36 Project Total Cost Funding Source CIP Budget Request 1 Rosemead Park Walking Trail $285,000 Measure R TDA $147,000 133,000 280,000 2 Replace HVAC System at Garvey Park 252,300 CDBG 210,800 3 Public Safety Center Upgrade Design 52,000 General Fund 50,000 4 Community Garden 41,000 General Fund 40,000 5 Picnic Tables and Trash Receptacles Phase II 30,000 General Fund 30,000 6 Garvey Park Security Cameras 30,000 General Fund 30,000 7 RCRC Audio Visual 35,000 General Fund 35,000 Total $725,300 $675,800 37 Projects Required Funding 1. Ramona South/North Drainage Analysis $235,000 2. Replace HVAC System at Garvey Center 250,000 3. Purchase new Mobile Stage 150,000 4. New Roof at Canopy (Garvey Park)55,000 5. Acoustic Panels (Garvey Gym)30,000 6. Ball Field Lighting Upgrade Project (Garvey Park)100,000 7.New Gazebo and Landscape (RCRC)286,000 8.Playground Equipment Replacement 200,000 9. Parking Lot Renovations (Sport Complex)50,000 10. Repaint & Upgrade City Council Chamber 50,000 11. Garvey Park Main Office Renovations 200,000 12. Roof Repairs at Garvey Park Main Office & Gym 400,000 13.Resurfacing of Garvey Park Tennis Courts 40,000 14. Public Safety Center Upgrades (Construction Phase)450,000 Total $2,496,000 15. Rosemead Park Rest Room Remodel Grant 16.Passive Park Grant 38 39 Estimated Project #Project Funding Fiscal Year Funding Source Expended Carryover 21009 Rosemead Blvd HSIP $430,000 2013-14 HSIP Grant 23,803 $406,197 250,000 2013-14 Lighting District Funds 26,018 223,982 70,000 2013-14 Gas Tax 33,243 36,757 50,000 2013-14 Measure R 50,000 - 266,100 2017-18 Measure R -266,100 Subtotal 1,066,100 133,064 933,036 26006 City Signage Replacement Project 50,000 2016-17 Gas Tax 3,828 46,172 28004 High Intensity Activated Crosswalk -Mission/Ivar 241,300 2016-17 HSIP Grant 13,000 228,300 28005 Circulation Study for Klingerman/Angelus 50,000 2016-17 Measure R 7,738 42,262 27005 Battery Backup System Trafffic Signals 50,000 2017-18 Lighting District Funds 5,037 44,963 75,000 2017-18 Measure R 5,217 69,783 125,000 10,254 114,746 28006 Walnut Grove Underground Project 110,000 2017-18 Lighting District Funds 4,868 105,132 31017 Garvey Park Restroom Renovations 210,000 2017-18 General Fund 29,109 180,891 390,000 Community Development Block Grant -390,000 600,000 29,109 570,891 40 Estimated Project #Project Funding Fiscal Year Funding Source Expended Carryover 41015 Duff Park Improvement Project 284,500 2017-18 General Fund -284,500 520,533 2017-18 Urban Greening Grant -520,533 805,033 -805,033 41022 Dog Park 290,000 2017-18 General Fund -290,000 290,000 2017-18 Land Water Conservation Grant -290,000 580,000 -580,000 21028 Walnut Grove Ave Resurfacing Project Phase I 1,100,000 2018-19 RMRA SB1 43,891 1,056,109 21030 Walnut Grove Ave Resurfacing Project Phase II 440,000 2018-19 Measure M -440,000 21029 SR2S Sidewalk Gap Closure -Delta Ave 75,000 2018-19 Measure R 33,641 41,359 24007 Colored Crosswalk Installation 126,600 2018-19 RMRA SB1 -126,600 21031 Valley Blvd. Resurfacing Project Phase I 300,000 2018-19 Gas Tax -300,000 300,000 2018-19 Measure R -300,000 200,000 2018-19 Measure M -200,000 800,000 -800,000 41 Estimated Project #Project Funding Fiscal Year Funding Source Expended Carryover 49006 Landscape Median Bioswale 150,000 2018-19 Proposition C -150,000 26007 City Entry Monuments 175,000 2018-19 Proposition C -175,000 43007 Street Light Installation 70,000 2018-19 Lighting District Funds -70,000 43008 Underpass Lighting System 30,000 2018-19 Lighting District Funds 10,000 20,000 12050 Tree Planting Project -Fire Grant 298,250 2018-19 Cal Fire Grant -298,250 96,000 2018-19 Gas Tax -96,000 394,250 394,250 31018 City Hall Basement Improvements 140,000 2018-19 General Fund 100,000 40,000 43009 Picnic Tables & Trash Receptacles Phase I 30,000 2018-19 General Fund -30,000 Total Carryovers $7,158,283 $389,393 $6,768,890 42