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CC - Item 5B - Adoption of Resolutions Approving Rosemead's FY 2023-24 Operating Budget, CIP Budget, Financial Policies, Establishing the 2023-24 Appropriations Limit, Approving RHDC FY 23-24 Annual Budget, & Amending the FY 22-23 Budget & Salary ScheduleROSEMEAD CITY COUNCIL STAFF REPORT TO: THE HONORABLE MAYOR AND CITY COUNCIL FROM: BEN KIM, CITY MANAGERV--A-� DATE: JUNE 27, 2023 SUBJECT: ADOPTION OF RESOLUTIONS APPROVING THE CITY OF ROSEMEAD'S FY 2023-24 OPERATING BUDGET, CAPITAL IMPROVEMENT PROGRAM BUDGET, FINANCIAL POLICIES, ESTABLISHING THE FY 2023-24 APPROPRIATIONS LIMIT, APPROVING THE ROSEMEAD HOUSING DEVELOPMENT CORPORATION FY 2023-24 ANNUAL BUDGET, AND AMENDING THE CITY OF ROSEMEAD'S FY 2022-23 BUDGET, AND AMENDING THE CITY OF ROSEMEAD'S CONSOLIDATED SALARY SCHEDULE SUMMARY This report summarizes the City's overall financial plan for the 2023-24 Fiscal Year. The FY 2023-24 Budget for all City operating expenditures is $39,009,100 and is comprised of three operating fund types (General Fund, Special Revenue Funds, and Internal Service Funds). The Capital Improvement Program budget is $3,089,000 and includes funding for 5 new projects, additional funding for 2 existing projects, and funding for 4 annual projects. The Rosemead Housing Development Corporation (RHDC) budget is proposed at $868,400. BUDGET WORKSHOP A budget workshop was held on June 13, 2023 to present the proposed budget and answer questions. As discussed during the workshop, the Recreation Manager position was removed and staff was directed to propose alternative staffing changes to the Parks and Recreation Department budget. Staff is recommending that the Parks and Recreation Department hire a total of 4 to 6 part-time Park Rangers that will collectively work no more than 6,000 hours per year. Each part- time Park Ranger will work between 18 — 22 hours per week, no more than 1,000 hours per year. These positions have been included in the proposed Parks and Recreation Department budget and will report directly to the Recreation Supervisor at Garvey Park. The Park Ranger will be housed in the office area attached to the restroom at Garvey Park, the Park Ranger at Rosemead Park will be housed in the playschool building. While these locations will be home base the Park Ranger is expected to be visible in the park area. The Park Ranger will be at the parks 7 days a week. The Park Ranger positions will be the equivalent wage as the Community Service Officer and Parking Control Officer positions on the salary schedule. The salary range is $19.92 to $24.22 per AGENDA ITEM 5.11 City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 2 of 8 hour. The total part-time wage expenditure is estimated not to exceed the $131,900 that was allocated for the initially proposed Recreation Manager position. Daily duties of the position would include the following: • Roaming supervision of Rosemead Park and Garvey Park. • Inspect park facilities, report graffiti and vandalism and any items to be repaired. • Monitor and communicate concerns by park users. • Secure various facilities and restrooms each evening. • Assist with gazebo and field rentals. The Park Ranger will be provided with a city issued radio which will be used to contact Code Enforcement and/or the Sheriffs Department if needed. Additionally, the Park Rangers will be issued a City cell phone. The number will be posted on signs throughout the park for visitors who need assistance. Each Ranger will utilize a City vehicle to close facilities and restrooms as assigned. The Ranger assigned to Garvey Park will use the Parks and Recreation truck, the Ranger assigned to Rosemead Park will use an available Code Enforcement vehicle. DISCUSSION As shown in the following chart, the City of Rosemead's Adopted FY 2023-24 Operating Budget, including transfers, is $39,009,100 with an additional $3,089,000 within the Adopted Capital Improvement Program (CIP). General Fund 29,448,000 28,837,200 29,618,900 60,000 28,606,300 Special Revenue Funds 26,421,769 14,839,500 9,340,200 1,843,667 30,077,402 Internal Service Funds 9,136,362 50,000 50,000 GENERAL, FUND — The General Fund proposed budget (City operating and CIP) of $29,678,900 is balanced against $28,837,200 in estimated revenues. Although General Fund revenues are expected to be below FY 2023-24 appropriations by $841,700, the General Fund has sufficient fund balance to cover the excess in expense over revenues. The general fund fund balance is projected to remain sufficiently above the 40% fund balance reserve policy in FY 2023-24. GENERAL, FUND REVENUE — Fiscal year 2023-24 General Fund revenue is adopted at $28,837,200, representing an increase of 4.0% over the FY 2022-23 budgeted amount. The largest increases from the prior year are taxes, use of property, and charges for services. The following table presents the change in revenue by category. City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 3 of 8 "u es 21.3=8.831 21.5255" 22,628.200 1,102,700 ntergovernmcnml 3==,208 182,SCC 254.100 71,30C 39'0 Permits, Licenses Fees 3,332,017 2,348,000 2,66=,800 316,800 13% Fnes&Forfeitures 549,866 585,300 574,300 (11,000) -2% Use of Propertv 360,553 671,400 1,274,100 602,700 90% CharMfor Serve 102,609 943,000 1,393,900 450,900 48% Miscdleneous 228,572 265:: :3 3^-. 113.2001 -50% Donations 34.747 Operating Revenue 27,303,402err 28,837,200 2,520,2000 Total 27,301,402 rrr rr 1,120,200 TAXES — Taxes, which represent over 78% of the City's General Fund revenues, are expected to increase 5% over last year's budgeted amount. Property tax and property tax in -lieu of vehicle license fees represent of tax revenue and 40% of total General Fund revenue. These two sources are based on assessed property value and its growth was not impacted by the Pandemic. Sales tax represents 24% of total General Fund revenue and although the revenue source was impacted by the Pandemic, not to the level first anticipated. Sales tax is anticipated to decrease, based on forecast provided by our third -party sales tax consultant HDL. Transient occupancy tax was most impacted by the Pandemic but is anticipated to fully recover with the budgeted amount of $2.3 million which is comparable to FY 2018-19, its highest year. USE OF PROPERTY — The increase in this category is largely due to increased interest rate earnings on fixed income securities. GENERAL FUND EXPENDITURES — The appropriations for FY 2023-24 are $29,678,900 which are comprised of a $29,618,900 operating budget and a $60,000 portion of the Capital Improvement Program and is 7% greater than the adopted FY 2022-23 budget. The budget amount includes the assumption of a 2% salary and benefit increase, various contract and utility increases, $736,400 in new expenses, $179,100 in new programs, and $1,077,900 in one-time services and equipment purchases. This growth is primarily attributable to the following areas: • Salaries — The budget incorporates a 2% cost of living adjustment for all employees. The City is currently in labor negotiations and will come back to the Council for an additional budget amendment once an agreement has been reached and approved by the Council. • Retirement costs — CalPERS retirement contributions rates increased (15.95% compared to 14.030/o), while the required payment for unfunded accrued liability (UAL) decreased by nearly $41,800 (spread across all funds). The UAL payment may be paid to CalPERS City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 4 of 8 monthly or annually, however, if the annual payment option is selected the FY 2023-24 annual payment of $684,100 is reduced by nearly $22,900. The $22,900 savings from this prepayment have been incorporated into the adopted budget. • Material, services, and supplies — Across multiple departments costs have increased based on contract provisions or the general increase in the cost of goods and services. • Utilities — The cost of electricity, water, and natural gas is $30,000 greater than the previous budget based on FY 2021-22 actuals and FY 2022-23 year-to-date actuals. • City Council — A $4,900 increase to the budget has been included for stipends and benefits for additional Public Safety Commission positions. • City Clerk — A $130,000 increase to the budget has been included for anticipated March 2024 General Election cost. Increase of $82,100 relating to increased insurance premiums paid to CJPIA. Increase in software license cost in the amount of $37,200 for P1anetBids, OneRequest, Granicus, Laserfiche, and Municipal Code Services. • City Attorney — Budget remained flat compared to prior year budget due to analysis of trend and FY 2022-23 year-to-date actuals. • Administration / Human Resources — Overall Administration budget decrease due to the transfer of CDBG and Home functions back to Community Development. Overall decrease of $47,000 within various categories of the Human Resources budget due to an analysis of trend and usage. Finance — Increase in professional audit services in the amount of $8,900 due to new contract that was approved May 9`s, 2023. • General Services — Overall General Services budget decreased $228,300 largely due to transferring the School Resources Officers budget to Law Enforcement. Additional budget changes include decreasing the credit card fees budget by $30,000 due to the implementation of a Council approved 3% transaction fee when customers utilize credit cards as their form of payment. Increased Bank fees budget to $20,000 based on usage and also an effort to maintain a lower bank balance and reduce exposure due to several banking collapses this year. Public Safety — The public safety contract with the Los Angeles County Sheriffs Department increased 7.63% plus an increase in liability expense from 11% to 12% for FY 2023-24. The total contract cost is $1,122,900 more than budgeted for FY 2022-23. The increase includes the recommended one-time purchase of 3 vehicles which amounts to $314,234. The increase also includes an additional $15,000 for funding of FLOCK system. Other cost include the school resource officer budget moved from General Services division 1325 to Law Enforcement division 2010 in the amount of $135,000. Crossing Guards - Increase of $30,000 due to traffic studies resulting in the recommendation of 1 new site. There is also a 50% cost share with the respective school districts for their cost. City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 5 of 8 A request to add 4,000 hours of part-time Community Service Officer positions amounting to $94,400 to provide overnight public safety patrols in support of the City's mission to mitigate overnight commercial and residential burglaries, vandalism, and other criminal activities. Public Works — The department's budget includes the addition of $111,100 for an Administrative Analyst position to manage SB 1383 compliance. This cost is offset by revenues received from the waste hauler. Increased utilities budget in the amount of $35,000 to cover the rising costs of electricity and gas based on trend. Increase of $60,000 relating to the new custodial contract. • Parks and Recreation —The department's budget includes the addition of part-time Park Rangers. Duties include providing roaming supervision of Rosemead Park and Garvey Park, inspecting park facilities, reporting graffiti, vandalism, and any items to be repaired. Duties also include monitoring and communicating concerns by park users and securing various facilities and restrooms each evening. In addition, the positions will assist with gazebo and field rentals. Total cost of the part-time positions would amount to $131,900 for FY 2023-24. The part-time budget was decreased by $169,900 based on prior years usage and trend. • Community Development — The department's budget includes the transfer of CDBG and HOME programs from Administration to Community Development. The budget also includes $232,400 to update the Zoning Code (Psomas Contract). In addition, the City may need to update the Garvey Avenue Specific Plan and has budgeted an additional $150,000 in contract services budget. The department is proposing to delete one (1) Planning and Economic Development Division Manager position and add one (1) Deputy Director of Community Development position in order to better align position with job responsibilities and duties. The cost of the change for FY 2023-24 amounts to $6,200. The department is also proposing to add one Assistant Planner due to increased Planning Division workload which has increased significantly over the past couple of years. The Assistant Planner will be funded by ARPA funds. OTHER FUNDS — The City has 21 Special Revenue funds that are restricted in their use based on the purpose for which the revenue is collected. Collectively, the funds are adopted at $9,340,200 in operating appropriations and $1,843,700 in capital improvement program appropriations, offset by $14,889,500 in restricted revenue estimated for FY 2023-24 and the use of available fund balance. Most revenue estimates for these funds are provided by outside sources as discussed in the Revenue Detail section of this document. The foundation for increasing this year's recommended Capital Improvement Program was a review of the fund balances of all special revenue funds, FY 2022-23 year-end estimates, FY 2023-24 revenue projections, and current CIP obligations as detailed in the `Special Revenue Funds' section of this document. The City also has three Internal Service Funds which together, were estimated at $50,000 in revenue (transfer from the General Fund and interest earnings) and $50,000 in adopted expenditures for capital equipment and improvements. One additional Internal Service Fund, the Public Facilities Internal Service City Council Meeting - Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 6 of 8 Fund, was created to help fund future major maintenance and capital improvements to all City facilities and structures. The capital improvement projects for fiscal year 2023-24 to be funded by the new Public Facilities Internal Service Fund amounts to $1,185,333. STAFFING — The fiscal year 2023-24 budget includes a proposed citywide staffing level of 72 full- time positions. Upon adoption, the FY 2022-23 budget authorized a staffing level of 68 full-time employees, however, during the year two positions have been added bringing the current staffing level to 70 full-time positions. There are two new full-time positions proposed: one (1) Administrative Analyst within Public Works, and one (1) Assistant Planner. In addition, this budget contains a proposed adjustment to add one (1) Deputy Director of Community Development position and delete one (1) Planning and Economic Development Manager position. All salary ranges shown are current rates for FY 2022-23 and do not reflect a cost of living adjustment for FY 2023-24 since those terms are still being negotiated and have not been approved by Council. No of Positions Dept Position Title I-rul-11) Monthly Salary Range Add 1 PW Administrative Analyst MMPC 5 4,854 - 5 6,334 Add 1 CD Assistant Planner REA $ 5,042 - $ 6,578 Delete 1 CD Planning & Econ Dev Mgr MMPC $ 7,978 - $10,409 Add 1 CD Deputy Dir of Comm Dev MMPC $ 9,599 - $12,525 SALARY SCHEDULE — California Code of Regulations (CCR) Section 570.5 and amendments to 571(b) require a consolidated Salary Schedule which shows all City classifications and salary ranges for purposes of determining eligible salary compensation for retirement be publicly available. The consolidated salary schedule must be adopted by the City Council even if the compensation changes were approved via a Memorandum of Understanding, employee salary and benefit Resolutions, or other means. The attachment to Resolution 2023-35 represents the Consolidated Salary Schedule including new positions presented in the FY 2023-24 Proposed Budget on tonight's Agenda for concurrent approval. If any changes are made to the positions or salary ranges proposed, a modification would need to be made to the attached Schedule. CAPITAL IMPROVEMENT PROGRAM - The Capital Improvement Program (CIP) section includes project worksheets for each new and continuing project in addition to the summary charts for new projects and/or additional funding for FY 2023-24, a listing of continuing projects, a listing of completed/deleted projects, and a comprehensive listing of all projects in the 5 -Year CIP. CIP projects include building, upgrading, or replacing City infrastructure such as residential and arterial streets, traffic signals, parks, and public facilities. The FY 2023-24 Adopted CIP adds $3,089,000 to the current program for a total Capital Improvement Program Plan consisting of 45 projects in the amount of $51,934,850. The General Fund contributes $60,000 to the Program as partial funding for the annual Preventative Pavement Maintenance program and serves as part of the Maintenance of Effort (MOE) requirements for certain special funds. In addition to this year's City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27. 2023 Page 7 of 8 contribution, the General Fund is also obligated for projects previously approved but have not yet been completed in the amount of $214,915. Following is a summary of the adopted CIP plan by category: Summary by Category Active CIP 2023-24 Total • • :I AC11 1 Transportation 15,000,000 250,000 15,250,000 Park System 2,280,000 1,399,000 3,679,000 Facilities 3,310,000 540,000 3,850,000 Water Quality & Env 150,000 150,000 Other 1,760,000 1,760,000 Total 48,845,850 3,089,000 51,934,8SO Wa,u Qum pha. 3% These improvements are funded primarily by transportation related special revenue funds including American Rescue Plan funds, the street light district, and grants. As reflected in the following chart, the primary funding sources for the FY 2023-24 added projects is the General Fund, Street Light, CDBG and Gas Tax. Use of the street light fund for new and continuing projects is allowable due to the approval of Senate Bill No. 1307 which allows Rosemead to use its Street Lighting Act of 1919 revenue in accordance with Landscaping and Lighting Act of 1972 regulations. The City's light district is part of the 1% property ad valorem tax and not an additional assessment to our residents. ROSEMEAD HOUSING DEVELOPMENT CORPORATION — The City, through the Rosemead Housing Development Corporation (RHDC) owns and operates two Senior Housing facilities. The funding source of the RHDC is a combination of the rents collected from tenants and contributions from the Successor Agency to former Community Development Commission to cover any operating shortfalls and lease obligations to the City. FINANCIAL POLICIES — As part of the annual budget process, the Financial Policies contained within the Budget Guide section of this document are reviewed and updated as needed. There are no new financial policies recommended for adoption for FY 2023-24. APPROPRIATIONS LIMIT — Article XIII -B of the California Constitution (Proposition 4 as modified by Proposition 111) limits the amount of tax revenue that can be appropriated by State and local governments in a fiscal year. A City with appropriations greater than the limit must either refund the excess tax proceeds to the taxpayers or obtain their approval to raise the limit. Adoption of a Resolution is required annually to establish the limit. The calculation is based on the prior year's limit multiplied by a factor of the change in City or County population and the percent increase in per capita personal income or non-residential assessed valuation. Both population and per capital income data is supplied by the State of California Department of Finance. The City's limit for 2023-24 is $61,271,807 with appropriations subject to the limit at $22,834,452. Therefore, the City of Rosemead is $38,437,355 below its appropriation limit. City Council Meeting — Approval of FY 2023-24 Budgets and Related Items June 27, 2023 Page 8 of 8 ENVIRONMENTAL REVIEW City staff has determined, in accordance with Section 15061(b)(3) of the California Environmental Quality Act (CEQA) Guidelines, that this is not subject to CEQA review because it can be seen with certainty that there is no possibility that the activity will have a significant effect on the environment. STAFF RECOMMENDATION It is recommended that the City Council adopt the attached resolutions approving the FY 2023-24 budgets and related actions, and amend the FY 2022-23 budget as discussed at the June 13, 2023 budget workshop. FISCAL IMPACT The City's FY 2023-24 Operating and Capital Improvement Program Budget (All Funds), include total estimated revenues of $43,726,700 and total operating and capital improvement program appropriations of $42,098,100. The General Fund is balanced based on revenue estimates and a planned usage of available general fund unrestricted fund balance. All other funds are balanced based on the revenue estimates and use of available fund balance. The Rosemead Housing Development Corporation's FY 2023-24 Operating budget is proposed at $868,400. PUBLIC NOTICE PROCESS This item has been noticed through the regular agenda notification process. Prepared by: BryA Chua Finance Director Attachments: A — Resolution No. 2023-32 — Adopting the City's FY 2023-24 Operating Budget Exhibit A — Schedule of Appropriations B — Resolution No. 2023-33 — Adopting the City's FY 2023-24 CIP Budget C — Resolution No. 2023-34 — Adopting the FY 2023-24 Appropriations Limit Exhibit A — Appropriations Limit D — Resolution No. 2023-35 — Adopting the Consolidated Salary Schedule E — Resolution No. 2023-36 — Amending the FY 2022-23 Budget F — Resolution No. 2023-01 of the RHDC — Adopting the FY 2023-24 Budget G — City of Rosemead Annual Budget for Fiscal Year 2023-24 Attachment A Resolution No. 2023-32 — Adopting the City's FY 2023-24 Operating Budget Exhibit A — Schedule of Appropriations RESOLUTION NO. 2023-32 RESOLUTION OF THE COUNCIL OF THE CITY OF ROSEMEAD ADOPTING THE CITY'S OPERATING BUDGET, AUTHORIZED STAFFING, AND FINANCIAL POLICIES FOR THE 2023-24 FISCAL YEAR AND UPDATING THE LISTING OF SALARY AND JOB CLASSIFICATIONS FOR PART-TIME POSITIONS WHEREAS, appropriations are the legal authority for a City to spend its funds; and WHEREAS, the City Council was presented with a FY 2023-24 Proposed Budget at its June 13, 2023 Budget Workshop. NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ROSEMEAD, DOES HEREBY RESOLVE, DECLARE, DETERMINE, AND ORDER AS FOLLOWS: Section 1. That certain document entitled "City of Rosemead Annual Budget for Fiscal Year 2023-24", a copy of which is on file in the office of the City Clerk and on the City's Web Site, which may hereafter be amended by the Council, is hereby approved as the operating budget for the City of Rosemead for the Fiscal Year 2023-24. Section 2. The proposed operating budget for the City of Rosemead is hereby approved and adopted in the amount of $39,009,100. Appropriations for the General Fund are approved at the department level, with all other funds approved at the fund level. The approved appropriations for all operating funds are contained in Exhibit A attached hereto, and incorporated herein by this reference. Section 3. The Director of Finance, with the approval of the City Manager, is hereby authorized to transfer appropriations as needed from savings available in any department/object account in the budget to other accounts within the same fund to meet overall budget requirements provided the fund is within the approved budget by the City Council. Section 4. That any subsequent Council action prior to June 30, 2023 that has the effect of amending the approved FY 2023-24 Operating Budget will be reflected in the final FY 2023-24 budget document without additional or separate Council action. Section 5. In the case of fee-based programs, if the revenues for such programs exceed the amount budgeted, the City Council hereby authorizes the Finance Director, upon approval of the City Manager, to allow program expenditures to exceed appropriations of said program in the same amount of the increased revenue until amended by the City Council. A semi-annual report shall be made to the Council describing each such action with revisions to the revenue estimate and corresponding appropriation made by a resolution of the City Council. Section 6. Pursuant to the provisions of Section 37208 of the California Government Code, the Council, payroll checks and checks drawn in payment of demands approved by the Finance Director as conforming to the budget as approved by Council resolution, need not be audited by the legislative body prior to payment. Section 7. The City Council hereby adopts the Comprehensive Financial Policies of the City for Fiscal Year 2023-24, as included in the FY 2023-24 City of Rosemead Proposed Budget and without modification, in the FY 2023-24 Adopted Budget as part of this resolution. Section 8. That the City Council amends the 2023-24 Authorized Part -Time Employees Salary Ranges and Job Classifications effective July 1, 2023 by adding the wages of the Park Ranger position as the following: Park Ranaer 1 19.921 20.92 1 21.971 23.06 1 24.22 Section 9. The City Clerk shall certify to the adoption of this resolution and hereafter the same shall be in full force and effect. PASSED, APPROVED, AND ADOPTED this 27th day of June, 2023. Sean Dang, Mayor APPROVED AS TO FORM: ATTEST: Rachel Richman, City Attorney Ericka Hernandez, City Clerk STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES) CITY OF ROSEMEAD ) I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby certify that the foregoing City Council Resolution No. 2023-32 was duly adopted by the City Council of the City of Rosemead, California, at a regular meeting thereof held on the 27`h day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: /. &Ir W Ericka Hernandez, City Clerk Exhibit A City of Rosemead FY 2023-24 Adopted Operating Budget General Fund by Department 1100 City Council/Commissions/City Attorney 814,100 1115 City Clerk 1,299,700 1205 Administration 1,385,900 1305 Finance 1,002,200 1325 General Services 1,145,200 2000 Public Safety 12,897,900 3000 Public Works 4,566,600 4000 Parks & Recreation 4,030,500 5000 Community Development 2,476,800 Total - General Fund 29,618,900 Special Revenue Funds 201 Gas Tax 1,145,500 202 RMRA SB1 50,000 205 Local Transportation (TDA) - 215 Proposition A 501,200 220 Proposition C 1,055,200 225 Measure R 52,600 226 Measure M 33,300 227 Measure H - 228 American Rescue Plan 485,400 229 Measure R Highway Capital - 230 Air Quality Management District 242,600 231 Safe Clean Water 127,500 232 Grant Fund 138,000 233 State & Local Fiscal Recovery - 245 Street Lighting District 1,623,300 25x Development Impact Fees - 260 CDBG 1,141,900 270 HOME 2,743,700 Total - Special Revenue Funds 9,340,200 Internal Service Funds 505 Technology Replacement 50,000 Total - Operating Budget 39,009,100 Attachment B Resolution No. 2023-33 — Adopting the City's FY 2023-24 CIP Budget RESOLUTION NO. 2023-33 RESOLUTION OF THE COUNCIL OF THE CITY OF ROSEMEAD ADOPTING THE CITY'S CAPITAL IMPROVEMENT PROGRAM (CIP) BUDGET FOR THE 2023-24 FISCAL YEAR WHEREAS, appropriations are the legal authority for a City to spend its funds; and WHEREAS, the City Council was presented with a FY 2023-24 Proposed Capital Improvement Program Budget at its June 13, 2023 Budget Workshop. NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ROSEMEAD, DOES HEREBY RESOLVE, DECLARE, DETERMINE, AND ORDER AS FOLLOWS: Section 1. The proposed FY 2023-24 Capital Improvement Program budget for the City of Rosemead is hereby approved and adopted in the amount of $3,089,000. Section 2. Any changes to project budgets, including funding sources, within the CIP must be authorized by City Council resolution. Section 3. Project balances remaining at June 30, 2023 for confirmed projects will be carried forward to FY 2023-24. The Finance Director is authorized to bring forward appropriate balances to be reaffirmed by City Council resolution with the first quarter report. Section 4. That any subsequent Council action prior to June 30, 2023 that has the effect of amending the approved FY 2023-24 Capital Improvement Program Budget will be reflected in the final FY 2023-24 budget document without additional or separate Council action. Section 5. The City Clerk shall certify to the adoption of this resolution and hereafter the same shall be in full force and effect. PASSED, APPROVED, AND ADOPTED this 27th day of June, 2023. Sean Dang, Mayor APPROVED AS TO FORM: ATTEST: Rachel Richman, City Attorney Ericka Hernandez, City Clerk STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES) CITY OF ROSEMEAD ) I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby certify that the foregoing City Council Resolution No. 2023-33 was duly adopted by the City Council of the City of Rosemead, California, at a regular meeting thereof held on the 27' day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: Ericka Hernandez, City Clerk Attachment C Resolution No. 2023-34 — Adopting the FY 2023-24 Appropriations Limit Exhibit A — Appropriations Limit RESOLUTION NO. 2023-34 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROSEMEAD, CALIFORNIA, ADOPTING AN APPROPRIATIONS LIMIT FOR THE FISCAL YEAR 2023-24 WHEREAS, Article XIII -B of the Constitution of the State of California provides that total annual appropriations subject to limitation of the City shall not exceed the appropriations limit of the City for the prior year as adjusted for annual adjustment factors; and WHEREAS, Section 7910 of the Government code of the State of California directs the governing body of each local jurisdiction to establish its appropriations limit by resolution each year; and WHEREAS, the governing body of each local jurisdiction must select the annual adjustment factors to be used in determining the appropriations limit pursuant to Article XIIIB of the State Constitution. NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ROSEMEAD, DOES HEREBY RESOLVE, DECLARE, DETERMINE, AND ORDER AS FOLLOWS: SECTION 1. The City Council hereby elects the change in the California per capita personal income as the cost -of -living adjustment factor and the annual population change for the City of Rosemead as the population adjustment factor. SECTION 2. The appropriations limit fiscal year 2023-24 is hereby set at $61,271,807, as detailed in the attached Exhibit A, which is hereby made a part of this Resolution. SECTION 3. The City reserves the right to adjust or amend the appropriations limit based upon the use of alternative growth factors as authorized by Proposition 111 if such changes or revisions would result in a more advantageous appropriations limit, now or in the future. SECTION 4. The City Clerk shall certify to the adoption of this resolution and hereafter the same shall be in full force and effect. PASSED, APPROVED, AND ADOPTED this 27th day of June, 2023. Sean Dang, Mayor APPROVED AS TO FORM: ATTEST: Rachel Richman, City Attorney Ericka Hernandez, City Clerk STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES) CITY OF ROSEMEAD ) I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby certify that the foregoing City Council Resolution No. 2023-34 was duly adopted by the City Council of the City of Rosemead, California, at a regular meeting thereof held on the 27" day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: Ericka Hernandez, City Clerk Exhibit A City of Rosemead Appropriations Limit FY 2023-24 a) Prior Year Appropriations Limit b) Adjustment Factors _ 1) Population Change' 2) Cost of Living " 3) Combined Adjustment Factor c) Adjusted Limit d) Alterations e) Appropriations Limit - Current Year APPROPRIATIONS SUBJECTTO LIMITATION a) Proceeds of Taxes b) Exclusions c) Appropriation Subjectto Limitation d) Appropriation Limit -Current Year e) Under (Over) Limit $ 22,834,452 0 $ Amount $ 58,766,896 Percent Ratio 61,271,807 -0.17% 0.9983 4.44% 1.0444 38,437,355 1.0426 $ 61,271,807 $ 61,271,807 APPROPRIATIONS SUBJECTTO LIMITATION a) Proceeds of Taxes b) Exclusions c) Appropriation Subjectto Limitation d) Appropriation Limit -Current Year e) Under (Over) Limit $ 22,834,452 0 $ 22,834,452 $ 61,271,807 $ 38,437,355 Sources: • Annual Percent Change in Population City of Rosemead - Provided by CA Dept of Finance " Price Factor: Per Capita Personal Income- Provided by CA Dept of Finance Computations based on the 2023-24 Adopted Budget Attachment D Resolution No. 2023-35 — Adopting the Consolidated Salary Schedule RESOLUTION NO. 2023-35 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROSEMEAD, CALIFORNIA, AMENDING THE COMPREHENSIVE SALARY SCHEDULE TO MEET THE CALIFORNIA CODE OF REGULATIONS TITLE 2, SECTION 570.5 AND 571 TO REFLECT APPROVED RATES FOR ALL FULL-TIME EMPLOYEES OF THE CITY OF ROSEMEAD WHEREAS, the City Council has the authority to create, classify and design salary scales/ranges for all City of Rosemead employee positions; and WHEREAS, California Code of Regulation (CCR) Title 2, Section 570.5 and amendment to CCR Section 571 requires a consolidated Salary Schedule that is publicly available showing all City classifications and salary ranges; and WHEREAS, the City Council wishes to meet the requirements of these regulations by adopting a Salary Schedule, which sets forth the salary scales/ranges for all City of Rosemead employee classifications; and WHEREAS, Exhibit A includes the Consolidated Salary Schedule that reflects the new position as included in the FY 2023-24 budget and salary rates for all classifications. NOW THEREFORE, BE IT RESOLVED that hereby adopts the Salary Schedule for all City of Rosemead employee classifications as set forth in the attached Exhibit A to reflect the new position and salary rates for Fiscal Year 2023-24 effective July 1, 2023. PASSED, APPROVED, AND ADOPTED this 27h day of June, 2023. Sean Dang, Mayor APPROVED AS TO FORM: ATTEST: Rachel Richman, City Attorney Ericka Hernandez, City Clerk STATE OF CALIFORNIA COUNTY OF LOS ANGELES CITY OF ROSEMEAD I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby certify that the foregoing City Council Resolution No. 2023-35 was duly adopted by the City Council of the City of Rosemead, California, at a regular meeting thereof held on the 27th day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: Ericka Hernandez, City Clerk A L Ims } LL Q) m N o T N _O 21. Q ~ w N N E > u u w W m r b ry m o ti m vt 00 N m ry W. b b M N M o m N m n Q Ol b m m iA pf m m 01 01 n ll b� m CO V1 m.M r Q N m m d N O Ill N O1 n M 01 M b Q M m m d .. b .+ d o co N d N n d n Q Ll d m r r m m r m d m b N o ti d N n M m b Oi n ri� O ti� Oi Ili nI ti ti edi ti IO v1 O IO Oi vi O �D vl r O Oi 'I a0 W n O v1 r u1 n r o m m o 0 o m m b m N M O n JI M Q n O N O d O IO Q N O v m e ui r b M lO O b O O m m0 N O n vl N n ti N d m m N m r m m M b d r Q Nb N Oct V1 N M m l0 M 0o b lOO N m N V M b M m ro �6I,6 of N N 4 N m b O -i b N N l0 b m O W d O .i vi 16 '. n O N r o Iri Ic o ti 1p m M n N v) M M m N O n M Vl l0 m M N Ot M N T "I b Q lA b n V1 l0 rl N d O m W M O m � v o 16ai Iri e 16 vi 11:o oi... ao of 16 Cf vi rl: ui ll � n N M l0'M N O m ll1 n OI N m n n 01 b m M N n I40 m d m n m T m m e4 b N O 00 e -I b O1 m N m N O o N N Q m cr � o of li d acr i vi < � v� i of pr,:i of 6 vi 6 vi Ic 'I � m N O O d M m b m m n N d d m m m n Ill N m N Vl M N N Uf n m VI Q M O 1p N n m Vf Q m '.. .0 W V1 Q l0 Vf n O1 m n n lU m N l0 JI l0 t0 M 40 n O m m N l0 O Q Q m ."I b N Q m m N N m M N O N vi v of oo vi v Iri Iri r�: m co r e ai v 6 vi o 6 m N Nm N M n rl n Vf O Q N MM M M Q .-I m M b m C 'mCl La d o Q m N m m N m N d .-I n n ry m m m u v of vi ao e e vi a oo ao r to 0 v 4' 's 16 n N'.m In d ml,m d'b d mm m In n m o b n m N n m b N Q d- m n m N b M N b 0 .y O n d N N 0 b N M n n- n .-I m N b n O'.N m m N m O N b Q m d d ✓1 n b le m O Q b O N4 NII 0 N d d vi Q b 00 N n b v? an d �D d m In m N .y d N n m o ti d N o ' N N cr In m m n d IO I. b d pl n V N b Cy N Q 0 m b o b b d d n o n n N d N b Ic v vi e v vi, r � ;Iri of o v vi o vi v ao vi � v c vi d' �o oo� � Ic vi a v vi v a r Lq m N O ."� m ."I d N b m b b n N O O N d m Vl m d N N 11 m N m O M n m m d m Q d vi r m v1 N m d vi m m Q N', v1 n d M III Q b N n b b N N Q v1 d m n�ld o m m ry b mb m o m''o m In o N n.N ry m m N N n d m n� m M N In b b Q In N n d d N N m n N e'1 m n n m N N 0 d d M m IO b W e'I o n a N m Vl fV n ti N O d M 0 r�. n Q m b .-I a a Q m of -i rl - m m m N Q m m m d O m m b m Q N N IA d vi e < e e ni vi r Ili vi au o ,: ai ti e vi of � � � .N. a ri P17 ! vi 1 < ni u u a i z uuI u u u u u'Iuu u uu'''uu 021 07} uS 0?1 071 o7J 071 of o71 071 0+} 0?1 oil �' a s n F a F a 0 i- F- F d a n c a a n C. Q d a a 0 I p I i y m m o E .J c i g i y `a w o = O a w « m y a 'm C- w EOT v f0 cm 0 v a N �' N_ U m O V C m 3 F C ¢ C y T a T' Z V N m c i m` C 6 m a O c Y p E O V a a D O C O c n U¢¢ m a a s a y- c v a a c E o LL m J ,0 t m� J J o s c o o � u � t `w "' '' « s Y u m o a F m v v c c 01 " u �' w w o 0 o c c p 0 0 0 0 `o v � m z � � E F 3 3 3° t a u mO a a O O UO V $$ O p d Vc a 3 p YSm Srm AC YEy UCm CCm >V >V V >V >V wy mw %m ¢¢ ¢ m 0 V 2 m o Ov Oa m In b m vi u Attachment E Resolution No. 2023-36 — Amending the FY 2022-23 Budget RESOLUTION NO. 2023-36 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROSEMEAD, CALIFORNIA, AMENDING THE FY 2022-23 OPERATING AND CAPITAL IMPROVEMENT PROGRAM BUDGETS WHEREAS, a fiscal review is a prudent method to ensure that the City maintains a healthy financial structure; and WHEREAS, the City routinely adjusts fiscal year revenue estimates and appropriations throughout the fiscal year; and WHEREAS, the City Council adopted the FY 2022-23 Operating Budget and CIP budgets on June 14, 2022; and WHEREAS, the revised appropriation constitutes an update to the Fiscal Year 2022-23 budget approved pursuant to Resolution No. 2022-38. NOW THEREFORE, BE IT RESOLVED, by the City Council of the City of Rosemead, California, as follows: SECTION 1. That the City Council hereby approves the following appropriation of funds: State and Local Fiscal Recovery Funds (SLFRF) (Fund 233) Appropriation SLFRF Fund Adopted Budget 5,346,700 Transfer Budget to Other Funds General Fund 5,998,300 Gas Tax - Garvey Park Parking Lot Reconstruction (360,000) Gas Tax - Rosemead Park Parking Lots Resurfacing (275,000) Street Lighting District- Parks and Facilities Master Plan (250,000) Street Lighting District - Irrigation System Master Plan (460,000) Subtotal 4,653,300 Amended Budget 10,000,000 Gas Tax Fund (Fund 201) Appropriation Gas Tax Fund Adopted Budget 2,560,100 Transfer Budget to Other Funds Garvey Park Parking Lot Reconstruction 360,000 Rosemead Park Parking Lots Resurfacing 275,000 Subtotal 635,000 Amended Budget 3,195,100 SECTION 1. continued Street Lighting District (Fund 245) Appropriation Street Lighting District Fund Adopted Budget 2,046,100 Transfer Budget to Other Funds Parks and Facilities Master Plan 250,000 Irrigation System Master Plan 460,000 Subtotal 710,000 Amended Budget 2,756,100 General Fund (Fund 101) Revenue General Fund Adopted Transfer In Budget From SLFRF 1,400,000 Additional Transfer In from SLFRF 5,998,300 Amended Transfer In Budget 7,398,300 General Fund Adopted Budget with Transfers 27,717,000 Amended Total Budget with Transfers 35,115,300 General Fund (Fund 101) Appropriation General Fund Adopted Expense Budget 27,712,000 Purchase of Rosemead Chamber of Commerce Property 950,900 Transfer Out to Equipment Replacement Fund (Fund 501) 1,000,000 Transfer Out to Technology Replacement Fund (Fund 505) 500,000 Transfer Out to Public Facilities Fund (Fund 510) 7,000,000 Amended Budget 37,162,900 SECTION 2. The City Clerk shall certify to the passage and adoption of this resolution, and it shall thereupon be in full force and effect. PASSED, APPROVED, AND ADOPTED this 27th day of June, 2023. APPROVED AS TO FORM: Rachel Richman, City Attorney Sean Dang, Mayor ATTEST: Ericka Hernandez, City Clerk STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES) § CITY OF ROSEMEAD ) I, Ericka Hernandez, City Clerk of the City Council of the City of Rosemead, California, do hereby certify that the foregoing City Council Resolution No. 2023-36 was duly adopted by the City Council of the City of Rosemead, California, at a regular meeting thereof held on the 27" day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: Ericka Hernandez, City Clerk Attachment F Resolution No. 2023-01 of the RHDC — Adopting the FY 2023-24 Budget RESOLUTION NO. 2023-01 RHDC A RESOLUTION OF THE ROSEMEAD HOUSING DEVELOPMENT CORPORATION ADOPTING THE ANNUAL BUDGET FOR FISCAL YEAR 2023-24 WHEREAS, a proposed annual budget for the Rosemead Housing Development Corporation for the Fiscal Year commencing July 1, 2023 and ending June 30, 2024 was submitted to the Housing Development Corporation Board of Directors for its review and consideration and the proposed annual budget is on file in the Corporation Secretary's office. NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ROSEMEAD SITTING AS THE ROSEMEAD HOUSING DEVELOPMENT CORPORATION COMMISSION, DOES HEREBY RESOLVE, DECLARE, DETERMINE, AND ORDER AS FOLLOWS: SECTION 1. The 2023-24 Annual Budget for the Rosemead Housing Development Corporation is hereby adopted in the amount of $868,400. SECTION 2. The Corporation Secretary shall certify to the adoption of this resolution and hereafter the same shall be in full force and effect. PASSED, APPROVED, AND ADOPTED this 27th day of June, 2023. APPROVED AS TO FORM: Rachel Richman, Corporation Attorney Sean Dang, Corporation President ATTEST: Ericka Hernandez, Corporation Secretary STATE OF CALIFORNIA ) COUNTY OF LOS ANGELES) CITY OF ROSEMEAD ) I, Ericka Hernandez, Corporation Secretary to the Rosemead Housing Development Corporation of the City of Rosemead, California, do hereby certify that the foregoing Corporation Resolution No. 2023-01 RHDC, was duly adopted by the Board of the Rosemead Housing Development Corporation, at a special meeting thereof held on the 27`h day of June, 2023, by the following vote, to wit: AYES: NOES: ABSENT: ABSTAIN: Ericka Hernandez, Corporation Secretary Attachment G City of Rosemead Annual Budget for Fiscal Year 2023-24