HomeMy WebLinkAbout1990-91FY PROG & FINC'L PLAN
CITY OF TUSTIN PROGRAM AND FINANCIAL PLAN
FOR 1990-91
CITY COUNCIL
RICHARD B. EDGAR, MAYOR
CHARLES E. PUCKETT, MAYOR PRO-TEM
EARL PRESCOTT, COUNCILMAN
JIM POTTS, COUNCILMAN
LESLIE ANNE PONTIOUS, COUNCILWOMAN
MANAGEMENT STAFF
WILLIAM A. HUSTON, CITY MANAGER
JAMES A. ROURKE, CITY ATTORNEY
W. DOUGLAS FRANKS, CHIEF OF POLICE
MARY E. WYNN, CITY CLERK
RONALD A. NAULT, DIRECTOR OF FINANCE
CHRISTINE A. SHINGLETON, DIRECTOR OF COMMUNITY DEVELOPMENT
ROYLEEN A. WHITE, DIRECTOR OF ADMINISTRATIVE AND COMMUNITY SERVICES
ROBERT S. LEDENDECKER, DIRECTOR OF PUBLIC WORKS/CITY ENGINEER
TITLE
SECTION I
ORGANIZATION CHART
BASIC DATA
DEFINITION OF TERMS
SECTION II
STATEMENT OF FUND BALANCES
SUMMARY OF INTERFUND TRANSFERS
SECTION III
REVENUES
FUND DESCRIPTIONS
ACCOUNT DESCRIPTIONS
SECTION IV
SUMMARY OF POSITIONS
SECTION V
COMBINED PROGRAM EXPENDITURE
SUMMARY
OPERATING APPROPRIATIONS
BY DEPARTMENTS
TABLE OF CONTENTS
PAGE NO.
TITLE
DEPARTMENT EXPENDITURE PROGRAMS
1
2 - 3
4
LEGISLATION
ADMINISTRATION
COMMUNITY DEVELOPMENT
PUBLIC WORKS
POLICE
FIRE ADMINISTRATION
COMMUNITY SERVICES
NON-DEPARTMENTAL
5
6
SECTION VI.
7 - 12
13 - 15
16 - 19
CAPITAL IMPROVEMENT SUMMARY
FUNDING SOURCE
CAPITAL IMPROVEMENTS
SECTION VII
20 - 21
TUSTIN COMMUNITY
REDEVELOPMENT AGENCY
CAPITAL IMPROVEMENTS
SECTION VIII
22
TUSTIN WATER SERVICE
CAPITAL IMPROVEMENTS
SECTION IX
23
EAST TUSTIN ASSESSMENT
DISTRICT 85-1
CAPITAL IMPROVEMENTS
EAST TUSTIN ASSESSMENT
DISTRICT 86-2
CAPITAL IMPROVEMENTS
PAGE NO.
24 - 33
34 - 48
49 - 57
58 - 82
83 - 99
100
101-122
123-125
126
127-145
146-152
153-154
155-169
170-179
180-182
183-186
CITY CLERK
CITY
TREASURER
COMM/ADMIN
SERVICES
FINANCE
CITIZENS
OF
TUSTIN
MAYOR
CITY COUNCIL
CITY
ATTORNEY
PUBLIC
WORKS
-1-
- u- - -- -- - ------ - ----
REDEV.
AGENCY
CITY
MANAGER
,
,
, ,
L --- -- -- - - - - - - i
COORDINATION AND COOPERATION
,
,
r I I
SPEC. DIST. CONTRACT SERv. PRIV. UTIL.
LIBRARY FIRE ELECTRICITY
LIGHTING REFUSE NATURAL GAS
SEWERS ANIMAL CONT. TELEPHONE
FLOOD CONT. CABLE TV
AD 85-1 &86-2
POLICE
COMM.
DEV.
CHIEF
DEPUTY
CITY CLEfiK
BASIC DATA 1990-91
Tustin was founded in 1868 and incorporated as a General Law city September 21, 1927.
Population (a)
Registered Voters
Housing Units
Area of City (sq.mi.)
Property Valuations
(millions $)
Property Tax Revenue
(in $l,OOO's)
Taxable Sales
(in $l,OOO's)
Nu~ber of Retail
Fermi ts
All other outlets
Total all outlets
Store
Fire Insurance Class
Miles of City Streets
Arterial
Local
Miles of city owned
alleys
Signalized intersections
maintained
City owned buildings
Parks maintained
81-82
36,962
17,456
16,261
10.7
1,192.5
1,418.5
330,200
404
854
1,258
75.0
25.3
49.7
.71
43
9
9
82-83
38,223
17,453
16,321
10.7
1,268.5
1,643.4
336,164
423
898
1,321
75.1
25.3
49.8
.7
51
9
9
83-84
40,204
16,057
16,321
10.7
1,310
1,797.7
84-85
40,258
16,057
16,380
10.7
1,467
2,000
342,000** 380,000
431**
916**
1,347**
75.1
25.3
49.8
.7
53
9
9
430
918
1,352
4
75.1
25.3
49.8
53
9
9
85-86
40,815
19,966
16,424
10.7
1,6B7
2,200
540,000
435
1,009
1,444
75.1
25.3
49.B
.7
53
9
9
-2-
86-87
42,735
19,966
16,424
10.8
1,825
2,300
590,000
438
1,011
1,449
75.1
25.3
49.8
.7
.7
55
9
9
87-88
43,111
19,966
16,424
10.8
1,B25
2,300
690,000
438
1,011
1,449
75.1
25.3
49.3
.7
55
9
9
88-89
45,765
20,125
17,438
10.9
1,862
2,700
710,000
447
1,023
1,470
75.1
25.3
49.8
56
9
9
89-90
90-91
46,78249,409
21,414 19,160*
18,014 18,992**
10.9
2,029
3,048
770,000
452
1,028
1,470
75.1
25.3
49.8
.7
11.02
2,782
3,813.6
877,200
566
1,190
1,756
4
89.6
29.6
60.0
.7
.7
71
80
9
10
10
10
BASIC DATA 1990-91
81-82 82-83 83-84 84-85 85-86 86-87 87-88 88-B9 B9-90 90-91
city vehicles (total) 78 84 84 84 84 86 86 87 117 118
General 13 16 16 15 15 15 15 19 19 22
Fire (b) -- -- -- -- -- -- -- -- -- --
Police 27 32 32 32 35 37 37 39 41 40
Haintenance 24 23 23 23 23 23 23 25 41 41
Water 14 13 13 13 13 13 13 14 16 15
Full-time employees
(per 1,000 population) 4.64 4 .34 4.15 4.14 4.13 4.36 4.36 4.54 5.09 5.25
Per capita cost for (c)
operations (unadjusted) 212.06 236.18 245.33 263.05 307.98 291.84 314.0 344.0 392.0 432.18
Adjusted for inflation
(base year 1967) 81.61 81.4 83.56 86.19 95.4 105.60 110.88 112.47 138.0 161. 7
CPI Base year 1980 87.8 96.7 96.7 101. 2 105.9 110.6 113.4 118.9 124.6 129.0
% Annual increase 11.6 10.1 0.0 4.7 4.6 4 .4 2.5 4.9 4.8 4.9
Bonded indebtedness tax
rate:
Park Bond .0618 .00858 .00644 .00644 .00644 .00644 -- -- -- --
Center .0221 .00616 .00491 .00491 .00491 .00491 .00491 .00491 .0491 .0491
NOTES:
* Registered Voters as of 04-10-90
** Estimated
(a) state Department of Finance certification as of Jan. 1, since 1978.
(b) Contract services with Orange County since 1978-79.
(c) Excludes water service, RDA, and capital improvements.
-3-
1.
Program and
Financial Plan
a.
Preliminary:
b.
Final:
2.
Fund:
a.
General:
b.
Special:
3.
Personnel:
4.
Supplies & Services:
5.
Capital Outlay:
6.
Capital Improvements:
7. Appropriation:
8. Revenue:
9. Account Series:
10. Activity:
DEFINITION OF TEill1S
A plan which establishes the City council's short and long
term priorities through the allocation of resources for City
services and the improvement of public facilities.
The budget recommended
consideration.
by
City
Council
the
for
their
The budget which has been approved by the City Council for the
financing of governmental operations for the ensuing fiscal
year.
A sum of money set aside to carryon specific activities in
accordance with special regulations or restrictions. A fund
constitutes an independent accounting entity.
A fund accounting for general government which is financed by
revenues not otherwise restricted to special purposes.
Accounting of funds requiring expenditures
purposes under existing regulations.
for
special
The number of, and salaries paid to city employees.
Expendi tures for departmental operations and related expenses.
Equipment used in the operations of the City and of a non-
expendable nature, i.e., with a useful life of several years.
Major improvements including land and
acquisition, buildings, street construction,
facilities.
right-of-\-Iay
and related
Funds authorized to be expended.
Funds received to finance the City's expenditures.
An accounting level to record the costs
function, department, or group of services.
a
specific
of
The title of a particular account series.
-4-
STATEMENT OF COMPARATIVE FUND BALANCES
AUDITED PROJECTED ESTIMATED
BALANCE 1989-90 TRANSFERS BALANCE 1990-91 TRANSFERS BALANCE
FUND 6-30-90 REVENUE EXPENDITURES IN/rOUT] 6-30-90 REVENUE . EXPENDITURES IN/rOUT] 6-30-91
GENERAL $6,656,505 $19,827,014 $17,838,077 ($3,276,954) $5,368,488 $24,531,365 $21,392,722 ($4,386,656) $4,120,475
CAPITAL PROJECTS 2,816,526 150,000 5,195,690 5,004,896 2,775,732 200,000 5,720,606 5,970,606 3,225,732
GAS TAX 1,249,580 2,256,812 1,965,323 (308,000) 1,233,069 13,060,900 13,921,000 (324,000) 4B,969
PARK DEVELOPMENT 482,195 20,000 0 (206,575) 295,620 25,006 0 (21,650) 298,976
SEWER TRUST (9,903) 5,000 0 (4,903) 5,000 0 97
BEAUTIFICATION 273,544 195,000 o (300,367) 168,177 236,000 0 (403,300) 877
CIVIC CENTER BONDS 274,088 116,022 77,623 312,487 127,356 85,000 354,B43
ASSESSMENT DISTRICT 86-2:
CONSTRUCTION 35,464,211 1,529,896 14,816,708 22,177,399 500,000 18,602,375 4,075,024
TUSTIN STREET LIGHTING 408,074 357,000 144,400 620,674 386,000 235,200 771,474
TUSTIN LANDSCAPE & L TNG 74,225 167,000 123,700 117,525 175,000 258,000 34,525
ASSESSMENl DISTRICT 85-1: 0
CONSTRUCTION 20,054,326 650,000 6,883,144 13,B21,182 300,000 8,665,343 5,455,839
TUSTIN RDA:
SC-DEBT SERVICE 2,293,4B2 1,428,OB7 0 (165,000) 3,556,569 1,374,000 140,000 (173,000) 4,617,569
SC CAPITAL PROJECTS 1,642,350 85,000 54,665 1,672,685 70,000 669,750 1,072,935
SC-SET ASIDE B57,094 3B7,530 0 1,244,624 342,300 0 1,5B6,924
TC-DEBT SERVICE 3,027,893 2,449,397 1,500,000 (677,000) 3,300,290 2,404,700 0 (373,000) 5,331,990
TC-CAPITAL PROJECTS 1,34B,071 416,000 307,750 1,456,321 301,200 1,622,122 135,399
WATER:
OPERATIONS 7,748,OBl 4,428,741 3,863,606 (1,875,000) 6,438,216 4,230,000 6,302,76B (889,000) 3,476,448
DEBT SERVICE 176,722 955,500 763,000 369,222 966,000 370,000 965,222
CAPITAL PROJECTS 1,535, 15B 76,000 0 1,500,000 3,111,15B 100,000 0 500,000 3,711,158
EQUIPMENT 1,277,315 359,209 1 BO,OOO 1,456,524 357,514 457,800 1,356,23B
RISK MANAGEMENT 1,055,392 B18,451 7B5,157 304,000 1,392,6B6 1,016,216 500,000 100,000 2,00B,902
HEALTH BENEFITS (387,180) 697,000 470,310 (160,490) 57B,125 550,000 (132,365)
TOTAL ALL FUNDS $BB,317,749 $37,374,659 $54,969,153 $0 $70,723,255 $51,286,682 579,492,6B6 $0 542,517,251
-5-
1990-91
SUMMARY OF INTERFUND TRANSFERS
PARK CAPITAL SC DEBT TC DEBT WATER WATER RISK
GENERAL GAS TAX DEVELOP. PROJECTS BEUTIFICr SERVICE SERVICE ENTERP. CAPITAL MGMT.
1. Translar for Admin/Eng
alld slraal mainl. $324,000 ($32~ ,000)
2. Transler for main!. of pkwys
sl. madians and parks $145,000 ($145,000)
3 Tr"nslar 01 diraCI $173,000 ($ 173,000)
"drnin coslS and aliler
expallses
,1 Transfer 01 dlract
"elmill. cosls and aliler
expenses. $373,000 ($373,000)
5. Translar 01 direct
aelrnin. coslS "nd alher
axpallses. $2B9,000 ($389,000) $100,000
G. Tronsler lor ItHUro ($1,250,000) $1,250,000
capilat Improvemenls.
7. Tronsler lor Assessment
Districi au minis Ira lion. $0
ß. Transler al Revanue from
Hew CanslruCliol1 Tax
lor lulura park cI~v. ($693,350) $693,350 ($500,000) $500,000
9. Translar lor Ganaral
lunding al Capital
Improvemants. (3,747,306) -.Œ~~~9.QL 4,720,606 ~8,300)
Toln! Trons/ors ($4,386,656) ($32~,000) ($21,650) $5,970,606 ($403,300) ($ 173,000) ($373,000) ($889,000) $500,000 $100,000
-6-
Revenues All Funds
FY 1990-91
General 47.8%
Other 2,3%
Internal Svcs 3.8%
Water 10,3%
Gas 25.5%
ROA 8,8%
Assessment Oist 1.6%
FY 1990-91 total revenues $51,286,682
-7-
FUND
1990-91
SUMMARY OF REVENUES
BY FUND
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ESTIMATE
$21,211,164 $21,361,576 $19,827,014 $24,531,365
24,421 o 150,000 200,000
1,245,955 14,167,163 2,256,812 13,060,900
380,486 5,000 20,000 25,006
829 5,000 5,000 5,000
334,231 195,000 195,000 236,000
109,510 112,400 116,022 127,356
64,991,656 500,000 1,529,896 500,000
368,770 386,000 357,000 386,000
81,659 97,000 167,000 175,000
1,002,874 300,000 650,000 300,000
1,518,203 1,374,000 1,428,087 1,374,000
137,150 50,000 85,000 70,000
396, 139 342,300 387,530 342,300
2,360,730 2,215,700 2,449,397 2,404,700
126,884 151,000 416,000 301,200
5,985,934 4,445,300 4,428,741 4,230,000
853,316 966,000 955,500 966,000
85, 158 76,000 76,000 100,000
369,933 336,209 359,209 357,514
1,049,812 974,220 818,451 1,016,216
601,504 737,125 697,000 578,125
$103,236,318 $48,796,993 $37,374,659 $51,286,682
General
Capital Projects
Gas Tax
Park Development
Sewer Trust
Beautification
Civic Center Bonds
Assessment District 86-2
Tustin Lighting District
Landscape/Lighting District
Assessment District 85-1
RDA - SOUtil Central
Debt Service
Capital Projects
Set-Aside
RDA - Town Center
Debt Service
Capital Projects
Water Enterprise
Water Debt Surcharge
Water Capitallmprovernents
Equipment
Risk Management
Health Benefits
TOTAL ALL FUNDS
-8-
GENERAL FUND:
Property Taxes
Franchise Fees
Sales & Use Tax
Transient Lodging Tax
Business License Tax
New Construction Tax
Building Permits
Plan Check Fees
Vehicle Code Fines
Interest Income
Motor Vehicle License Tax
Cigarette Tax
State Grants
Federal Grants-HCDA
Sports Fees
Class Fees
Youth Service Fees
Developer Share of Projects
Senior CTR Donations
All Other Sources
FUND TOTAL
1990-91
REVENUE DETAIL
BY FUND
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ESTIMATE
$2,850,526 $3,048,000 $3,337,660 $3,813,565
573, 198 543,000 650,234 746,144
7,062,571 7,700,000 7,900,000 8,772,000
105,735 105,000 105,000 105,000
233,340 210,000 220,000 220,000
358,794 593,000 289,870 712,800
713,685 1,380,000 793,700 1,591,300
223,505 360,000 363,790 684,000
397,924 360,000 400,000 430,000
1,321,051 500,000 800,000 500,000
1,586,515 1,642,000 1,650,937 1,836,000
139,764 165,000 143, 168 150,000
609,930 435,371 253,978 174,000
191,248 194,900 o 95,000
160,978 155,723 161,849 156,373
156,267 190,000 174,200 190,000
229,678 228,406 220,000 233,850
411,014 1,400,000 o 1,300,000
418,905 o o 0
3,466,536 2,151,176 2,362,628 2,821,333
$21,211,164 $21,361,576 $19,827,014 $24,531,365
24,421 o 150,000 200,000
-
24,421 o 150,000 200,000
CAPITAL PROJECTS FUND:
Capital Projects
FUND TOTAL
-9-
Interest Income
Bicycle Trail Grants
Section 2106
Section 2107
Section 2107.5
County Grants - AHFP
Federal Aid to Urban Hwy.
Shared Projects (Irvine & Santa Ana)
Developer Contributions
OCUTT
Sundry Revenue
FUND TOTAL
1990-91
REVENUE DETAIL
BY FUND
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ESTIMATE
$369,487 $50,000 $50,000 $80,000
(5,358) 0 0 0
215,106 213,650 213,650 214,900
418,864 408,113 413,000 435,000
6,000 6,000 6,000 6,000
o 565,000 108,000 609,000
0 0 0 0
241,856 7,205,000 771,000 6,434,000
o 5,585,000 558,000 5,064,000
0 114,400 137,162 218,000
0 20,000 0 0
$1,245,955 $14,167,163 $2,256,812 $13,060,900
$380,486 $5,000 $20,000 $25,006
$829 $5,000 $5,000 $5,000
$334,231 $195,000 $195,000 $236,000
$89,880 $91,000 $95,622 $105,856
18,178 20,000 19,000 20,000
1,452 1,400 1,400 1,500
$109,510 $112,400 $116,022 $127,356
-10-
STATE GASOLINE TAX:
PARK DEVELOPMENT FUND
SEWER TRUST FUND
BEAUTIFICATION FUND
CIVIC CENTER BOND FUND:
Property Taxes
Interest Income
Homeowner Property Tax Relief
FUND TOTAL
1990-91
REVENUE DETAIL
BY FUND
Proceeds of Bonds
Interest Income
Developer Share/Proj. Cost
FUND TOTAL
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ESTIMATE
$62,176,989 $0 $0 $0
2,350,167 500,000 1,529,896 500,000
464,500 o o 0
$64,991,656 $500,000 $1,529,896 $500,000
$368,770 $386,000 $357,000 $386,000
$81,659 $97,000 $167,000 $175,000
$1,002,874 $300,000 $650,000 $300,000
ASSESSMENT DISTRICT 86-2:
TUSTIN STREET LIGHTING DISTRICT:
TUSTIN LANDSCAPE/LIGHTING DIST.:
ASSESSMENT DISTRICT 85-1:
REDEVELOPMENTAGENC~
South Central Project Area
Debt Service Fund:
Tax Increment
Interest Income
Fund Total
Capital Projects Fund:
Tax Increment
Interest Income
$1,355,720 $1,324,000 $1,298,087 $1,324,000
162,483 50,000 130,000 50,000
$1,518,203 $1,374,000 $1,428,087 $1,374,000
$0 $0 $0 $0
138,356 50,000 85,000 70,000
(1,206) o 0 o
$137,150 $50,000 $85,000 $70,000
$338,937 $332,300 $339,530 $332,300
57,202 10,000 48,000 10,000
$396, 139 $342,300 $387,530 $342,300
-
-11-
Proceeds of City Loan
Fund Total
Set-Aside Fund:
Tax Increment
Interest Income
Fund Total
1990-91
REVENUE DETAIL
BY FUND
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ESTIMATE
$2,105,749 $2, 115,700 $2,187,397 $2,204,700
254,981 100,000 262,000 200,000
0 0 0 0
$2,360,730 $2,215,700 $2,449,397 $2,404,700
$124,730 $150,000 $416,000 $300,000
238 0 0 0
1,916 1,000 0 1,200
$126,884 $151,000 $416,000 $301,200
$4,539,106 $4,133,000 $4,766,014 $4,492,200
$269,685 $75,000 $0 $75,000
3,610,202 3,500,000 3,500,000 3,150,000
1,116 187,000 187,000 0
2,104,931 683,300 741,741 1,005,000
----
$5,985,934 $4,445,300 $4,428,741 $4,230,000
$14,620 $15,000 $4,500 $15,000
838,696 951,000 951,000 951,000
$853,316 $966,000 $955,500 $966,000
$85, 158 $76,000 $76,000 $100,000
$369,933 $336,209 $359,209 $357,514
$1,049,812 $974,220 $818,451 $1,016,216
$601,504 $737,125 $697,000 $578,125
$103,236,318 $48,796,993 $37,374,659 $51,286,682
-12-
To,'". Center Project Area
Debt Service Fund:
Tax Increment
Interest Income
Bond Proceeds
Fund Total
Capital Projects Fund:
Interest Income
Proceeds of City Loan
Sundry Revenue
Fund Total
TOTAL RDA FUNDS
WATER ENTERPRISE FUND:
Interest Income
Water Sales
Equity Assessment Credit
All Other Sources
FUND TOTAL
WATER DEBT SURCHARGE FUND:
Intere~t Income
Surcharge Income
FUND TOTAL
WATER CAPITAL IMPROVEMENTS FUND:
EQUIPMENT REPLACEMENT FUND:
RISK MANAGEMENT FUND:
HEALTH BENEFIT FUND:
GRAND TOTAL ALL FUNDS
FUND ACCOUNTING DESCRIPTIONS
GENERAL FUND
FUND
010
Approximately seventy percent (70%) of all
monies received by the city deposited into
the General Fund, and is used to finance
general City operations. The major portion
of General Fund monies is received from
property and sales taxes.
GASOLINE TAX FUND
FUND 100
Funds collected under section 2106 and 2107
of the streets and Highways code are
distributed to cities, primarily on the
basis of population, and are deposited into
the Gasoline Tax Fund. Monies so received
must be generally be expended for the
construction of the state approved "select
aid system" of streets, or for maintenance.
SEWER MAIN TRUNK FUND
FUND 200
Fees collected by the city from property
owners for connections made to the city's
sewer system are deposited into this fund.
Prior to 1976-77, monies were distributed on
the basis of 25% to the County Sanitation
District No.7 for the construction and
maintenance of sewers, and 75% to the city
for construction of new trunk sewers by City
contract. since June 1977, 95% of all fees
are distributed to the District, and 5% are
credited to the City for administration and
unrestricted use. This fund will be
eliminated when outstanding obligations are
fulfilled.
-13-
CAPITAL IMPROVEMENT FUND
FUND 020
A fund established by resolution of Council
to accumulate a portion of property tax
revenue on annexed land held in agricultural
preserve for future capital improvements
within the area. The accumulation ends in
the budget year following the issuance of a
structural permit. This fund does not show
as a source of revenue because it is an
accounting transfer from the General Fund.
CITY BEAUTIFICATION FUND
FUND 300
Established by ordinance of the city
Council, all monies received from real
property transfer taxes are deposited into
the Beautification Fund. The fund is used
to finance the construction and maintenance
of beautification projects of the city.
TUSTIN LIGHTING AND LANDSCAPE
DISTRICT
FUND 530
Established by resolution of the City
Council, all monies received from special
assessments in the district are used to
finance the cost of street light
installation, maintenance and energy, and
maintenance of greenbelts, parks and public
right of way perpetuities.
FUND ACCOUNTING DESCRIPTIONS
CIVIC CENTER BOND FUND
FUND 410
Proceeds of the $950,000 twenty-five year
General Obligation civic Center Bond Issue,
approved by the citizens in 1972, were
deposited into this fund. These monies were
restricted to construction of a new civic
Center at Main street and Centennial Way.
The fund now is used solely to control
revenues and expenditures relating to the
Bond Issue's debt service.
ASSESSMENT DISTRICT 85-1
FUND 540
Assessment District 85-1 was created in
order to provide the resources necessary to
provide infra-structure capitalization prior
to development of the eastern portion of the
City.
WATER FUND
FUND 600
Established during the 1980-81 fiscal year.
The Water Fund is used to collect the
revenue from water sales and account for the
operating expenses and transmission and
distribution system.
LIABILITY FUND
FUND 820
A separate internal fund has been
established to fund the self-insured
retention excess insurance, paid claims,
administrative costs, legal and other
expenses. This fund does not show as a
source of revenue because it is an
accounting transfer from the non-
departmental operating budget to the fund.
EQUIPMENT FUND
FUND 700
A separate internal accounting fund has been
established to provide adequate reserves
with which to replace existing equipment on
a planned, economical basis. Using
departments are charged a monthly rental on
their vehicles and equipment which provides
for replacement, operational expense, and
repairs. This fund does not show as a
source of revenue because it is an
accounting transfer from the benefitted
departments to the fund.
WORKERS' COMPENSATION FUND
FUND 810
A separate internal fund has been
established to self-fund the recurring costs
of statutory payments under the ¡vorkers'
Compensation Law for on-the-job injuries and
occupational illnesses. Departments are
charged a "premium" bases on normal
insurance rates (adjusted by the fund's
experience) and applied to that department 's
payroll. Expenses of the fund include
medical claim payments, disability claims,
administrative costs, reinsurance costs,
legal expenses, and other expenses. This
fund does not show as a source of revenue
because it is an accounting transfer from
the benefitted departments to the fund.
-14-
FUND ACCOUNTING DESCRIPTIONS
HEALTH BENEFIT FUND
FUND 840
A separate trust fund has been established
to self-fund the routing cases of employee
heal th and dental care. Departments are
charged a "premium" based on employees and
coverage within the department. Expenses of
the fund include paid claims, administrative
costs, reinsurance costs, and other
expenses. This fund does not show as a
source of revenue because it is an
accounting transfer from the benefitted
departments to the fund.
-15-
REVENUE ACCOUNTS DESCRIPTIONS
PROPERTY TAXES
Prior to July 1, 1978, general law cities
were authorized to set a one-dollar tax rate
on both secured and unsecured properties for
General Fund purposes. However, Proposition
13 has created a new system whereby the
amount of property tax is greatly reduced
and is distributed as provided by the state
Legislature.
FRANCHISE TAX FEES
Franchises for operations within the City
for which a fee is charged, are presently
held by the local electric, natural gas,
cable television, and refuse collection
companies.
CITY SALES AND USE TAXES
The City tax rate on all goods and services
authorized under the Bradley-Burns Tax Law
is one percent (1%) and is State-collected.
BUSINESS LICENSE TAXES
The City Business License Ordinance
establishes the annual license fee charged
to all categories of businesses operating
within the City.
BUILDING PEill1ITS FEES
Fees for new building construction are based
on local ordinance and include electrical,
plumbing, and other related permits and
fees.
REAL PROPERTY TRANSFER TAXES
Established by ordinance and effective
January 1,1968, a twenty-seven and one-half
cent (27 1/2) tax is applied to each five
hundred dollars of sales of real property
transacted within the city. This tax is
County-collected and returned to the City
monthly.
NEW CONSTRUCTION TAXES
New residential and other construction is
taxed by an ordinance effective October,
1972. The proceeds go to the General Fund to
support the increased cost of municipal
services generated by the new development.
STREET PEill1ITS AND INSPECTIONS
A permit fee is charged for the inspection
of curbs, gutters, sidewalks, and other
street work installed by property owners or
developers.
OTHER LICENSES AND PEill1ITS
permi t fees are charged for a I icense to
operate taxicabs, provide entertainment in
public establishments, and for other
purposes.
PLANNING FEES
Fees for Use Permits, Variances, and zone
changes are charged the property owners when
applying for such actions from the City.
-16-
REVENUE ACCOUNTS DESCRIPTIONS
FINES AND FORFEITURES
Includes Vehicle code and non-traffic fines
collected primarily by the Orange County
Municipal Court. Eighty-five percent (85%)
of the amount received by the Court for
offenses occuring within the city is
returned to the City, with the exception of
50% returned to the City for arrests made by
the California Highway Patrol.
COUNTY GRANTS OF STATE GASOLINE TAXES
contributions from county Gax Tax funds to
City projects of county-wide benefit.
FEDERAL GRANTS
Grants from the Federal government to City
projects or programs of an eligible nature.
Grants under the Federal Revenue sharing
Program are included within this category.
SUBDIVISION MAP FEES
Includes subdivision map filing fees and
charge for engineering review and plan
checking of such maps.
SALE OF MAPS AND PUBLICATIONS
A charge is made for City maps and
reproduction of documents distributed to
private individuals.
-17-
STREET CONSTRUCTION
Monies paid by property owners in lieu of
required installation by owner of curbs,
gutters and paving when developing property.
STREET REIMBURSEMENT
contributions from private property owners
for curbs and gutters in connection with
street improvement projects.
PARKWAY TREE FEES
Charges made to developers, subdividers, and
others for the purchase and installation of
parkway trees by the City.
WEED ABATEMENT
Assessment charges made against property
owner when the City is required to clear
weeds on private property.
RECREATION FEES
Fees for sports, special classes, youth and
senior citizen programs, charged to
partially offset the cost of services.
FALSE ALARM FEES
service charges ];lade to businesses, etc.,
having excessive false alarms on burglary
and robbery alarm systems.
REVENUE ACCOUNTS DESCRIPTIONS
SPECIAL POLICE SERVICES
Charges made to the public for police
protection at dances and special events.
OTHER CURRENT ClmRGES
Charges made to the public for special
services and required installation of street
signs in new developments.
INTEREST
Interest received on invested surplus or
inactive monies and deposited into the
General, Revenue Sharing, Gas Tax, City
Beautification, Park Bond, Civic Center Bond
Fund, Redevelopment and Water Funds.
INTEREST ON DELINQUENT TAXES
Interest received on delinquent property tax
payment.
IŒNTS
Rent received for use of City buildings and
property, primarily the Clifton C. Miller
community Center, Tustin Senior Center, and
the lease of Fire station No.2.
ALCOHOLIC BEVERAGE LICENSE FEES
Fees paid annually to, and distributed by,
the Alcoholic Beverage control Board and
based on location of the licensed facility,
90% of which is returned to the City.
Repealed by State Action 1980-81.
MOTOR VEHICLE LICENSE FEES
Is in lieu of local property tax on vehicles
and is based on two percent (2 %) of the
market value of the vehicle. Fee is
distributed on the basis of population and
not the location of the vehicle's
registration.
STATE PROPERTY TAX RELIEF
Payments by the state to the City in lieu of
property taxes on Homeowner and Busine~s
Inventory Tax exemptions.
TRAILER COACH FEES
Is in lieu of property tax on trailers and
is based on the location of registration of
the trailer. Revenues are distributed one-
third each to schools, counties, and cities.
Mobile/modular homes placed on permanent
foundations are now taxed as real property.
CIGARETTE TAXES
A three-cent tax per pack of cigarettes,
established October 1, 1967, is state-
collected, and is distributed to cities,
one-half on the basis of taxable sales of
all other products, and one-half on the
basis of population.
HIGHWAY CARRIERS' BUSINESS LICENSE
State-collected business license fees on
highway carriers in lieu of City business
license fees, distributed on the basis of
population. Repealed by state Action 1980-
81.
-10-
REVENUE ACCOUNTS DESCRIPTIONS
STATE GRANTS
Grants administrated by state to City
projects or programs of an eligible nature.
Traffic Safety Grants from the State Office
of Trafic Safety are included in this
category.
STATE GASOLINE TAXES
state-collected gas tax is apportioned to
cities under various state laws and may be
used for engineering, right-of-way,
construction and maintenance, primarily of
non-local streets.
SALE OF CITY PROPERTY
Revenue received from the sale of surplus
City property.
SALE OF UNCLAIMED PROPERTY
Revenue received from the sale of abandoned
and unclaimed property.
SEWER CONNECTION FEES
A connection fee is charged to property
owners when sewers are installed and
connected to the City's sewer system. Prior
to 1977-78, 75% was retained by the City for
trunk main extensions and 25% was paid to
the Sanitation District. Since that time, 5%
is retained by the City for administrative
expense and the balance returned to the
District.
-19-
CONTRIBUTIONS
Donations and contributions paid to the city
for specific or general purposes.
PARK LAND DEDICATION FEES
Fees required from subdividers of
residential property in lieu of providing
park land and facilities for future
residents. Such fees are used to provide
alternative recreational facilities.
DAMAGED CITY PROPERTY
Collections from insurance companies and
private parties for damage to City property,
such as parkway trees, street signs,
buildings, etc.
SUNDRY OTHER REVENUE
Refunds, miscellaneous collections, and
other revenues are included in this account.
WATER SALES
Revenue collected from the sale of water for
all uses and equity assessment credits.
SUMMARY OF POSITIONS
1987-88 1988-89 1989-90 1990-91
ACTUAL ACTUAL ACTUAL ADOPTED
LEGISLATION 4 4 4 4
ADMINISTRATION 13 15.5 15.5 15.5
COMMUNITY DEVELOPMENT 18 24 24 25
PUBLIC WORKS 56 62.8 62,8 67
POLICE 97 103 109 118
COMMUNITY SERVICES 8.5 9 9 9
WATER 13 19 20.5 21.5
TOTAL FULL TIME POSITIONS 209.5 237.3 244.8 260
-20-
II FULL TIME POSITIONS
BY DEPARTMENT
[\jumber of Posi tions
260
240
220
200
180 .-
160
140
120
100 ,-
80
60
40
20
0
25
4 15.5 ~
/ ~ --_d
118
,I
II
.1
II
-~j
21.5
/ g:) íii1 I
Legis
Admin Corn Oev Pub Wks Police Corn Svcs Water
Total number of full time posi tions:260
Departments
-21-
1990-91
COMBINED GENERAL FUND
PROGRAM EXPENDITURE SUMMARY
DEPARTMENT
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
LEG ISLA TION $478,383 $452,833 $670,464 $600,427
ADMINISTRATION 853,704 1,088,070 920,943 1.195,969
COMMUNITY DEVELOPMENT 989,560 1,600,459 1,246,955 1.857,749
PUBLIC WORKS 4,176,854 4,857,873 4,653,092 5,343,217
POLICE 5,678,948 6,595,720 6,183,384 7,773,986
FIRE 2,506,020 2,662,743 2,662,743 2,975,808
COMMUNITY SERVICES 798,941 1,012,608 949, 115 986,491
NON-DEPARTMENTAL 450,866 540,030 551,381 659,075
Total General Fund $15,933,276 $18,810,336 $17,838,077 $21,392,722
Operations
-22-
FY 1990-91
Operating Appropriation
by department
Pub Wks 18.6%
Corn Dev 65%
21%
RDA 9 8%
Fire 10.4%
Corn Svcs 3.4%
l\jon-dept 2.3%
Water 15.7%
Total Operating Appropriation
$28,725,929
I
-~_J
-23-
DIRECTOR
COMMUNITY AND ADMIN.
SERVICES
CITY
COUNCIL
I
r I
ELECTED CITY
CITY CLERK ATTORNEY
CHIEF DEPUTY
CITY CLERK
,
,
,
,
-------~
DEPUTY
CITY CLERK
REPRODUCTION
OPERATORS
SWITCHBOARD
OPERATOR
-24-
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT:
Legislation
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Full-Time Staff
4
4
4
4
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenefits
$169,262
48,139
$213,398
68,148
$225, 199
69,222
$230,854
82,440
Total Personnel Costs
$217,401
$281,546
$294,421
$313,294
Supplies & Services
Olfice Expense
Contractual Expense
Departmental Expense
Transportation Expense
Training & Development
City Elections
$192,303 $122,950 $310,673 $220,312
o o o 22,000
22,548 22,657 21,727 24,726
1,936 1,985 1,396 400
23,082 23,695 22,247 18,695
8,152 o 20,000 0
$248,021 $171,287 $376,043 $286,133
Total Supplies & Services
Capital Outlay
Computer Software
Office Equipment
Office Furniture
$0 $0 $0 $0
12,961 o o 0
° ° o 1,000
-
$12,961 $0 $0 $1,000
$178,383 $152,833 $670,461 $600,427
-25-
Total Capital Outlay
DEPARTMENT TOTAL
DEPARTMENT:
LEGISLATION
DIVISION:
CITY COUNCIL
DESCRIPTION:
The City Council provides policy direction with regard to city services. Through
its review and approval of the City's annual operating and capital improvement
budget, the City Council determines the types and levels of City services. The City
Council authorizes changes in the Municipal Code through adoption of ordinances.
Policy direction is given by the City Council to the Planning commission, the Parks
and Recreation Commission and the Audit Committee. The City Council also serves as
the Board of Directors of the Tustin community Redevelopment Agency. The Board of
Directors is responsible for overseeing implementation of the Town Center and
South/Central Project Area Plans.
City Council members also serve as representatives to various County and regional
agencies responsible for transportation, airport, planning, sanitation and flood
control functions.
DIVISION BUDGET:
Personnel
Operations
Capital outlay
$ 55,824
20,800
0
Total
$ 76,624
-26-
1990-91 BUDGET DETAIL
DEPARTMENT: Legislation
DIVISION: City Council 1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
PERSONNEL DETAIL
Council Members 5 $400-$400 5 $440-$440 5 $440-$440 5 $440-$440
ACCOUNTING DETAIL
Personnel
Salaries $25,598 $25,600 $25,600 $26,400
Retirement/Benefits 17,758 23,696 23,937 29,424
Total Personnel Costs $43,356 $49,296 $49,537 $55,824
Supplies & Services
Olfice Expense $1,599 $700 $500 $1,000
Departmental Expense 3,728 4,300 5,000 6,30()
Transportation Expense 136 0 11 0
Training & Development 19,114 18,500 18,849 13,500
Total Supplies & Services $24,577 $23,500 $24,360 $20,800
Capital Outlay
Computer Software $0 $0 $0 $0
Total Capital Outlay $0 $0 $0 .$0
DIVISION TOTAL: $67,933 $72,796 $73,897 $76,624
-~ ---
-27-
DEPARTMENT:
DIVISION:
LEGISLATION
CITY CLERK
DESCRIPTION:
The City Clerk's office is the official record keeper of the city; custodian of the city
seal; responsible for the conduct of municipal elections; and the official filing officer
for Statement of Economic Interest and Campaign Disclosure forms as required by the Fair
Political Practices Commission. This office prepares the agendas and minutes for the City
Council and Redevelopment Agency and coordinates follow-up of Council and Agency actions.
TASKS:
1.
Prepare the City Council and Redevelopment Agency agenda, action agenda, minutes and coordinate City Council
and Redevelopment Agency follow-up and the retention of Council and Agency related records.
Distribute and update amendments to the municipal code and maintain current code books.
2.
3.
Develop and maintain a city-wide records management system which includes a master functional filing system,
records retention program and a computerized information retrieval.
4.
5,
Provide document/information research service for staff and general public.
Act as filing officer for conflict of interest forms for members of the City Council, Redevelopment Agency,
Planning Commission and designated employees.
6.
Coordinate and conduct the City of Tustin general municipal election and any special elections.
Provide the processing of incoming and outgoing mail for civic center and off-site departments.
7.
8.
Oversee the centralized duplicating services for the Civic Center; which includes maintenance agreements,
supplies and staffing functions,
DIVISION BUDGET:
Personne 1
Operations
Capital Outlay
$168,393
51,784
1,000
$221,177
TOTAL:
-28-
DEPARTMENT:
Legislation
DiVISION:
City Clerk
-
PERSONNEL DETAIL
Elected City Clerk
Chief Deputy City Clerk
Deputy City Clerk
Reproduction Operator
Switchboard Operator
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel CDsts
Supplies & Services
Contractual Expense
Office Expense
Departmental Expense
Transportation Expense
Training & Development
City Elections
Total Supplies & Services
CaQiti\lQLJ1I~y
Office Equipment
Total Capital Outlay
DIVISION TOTAL:
1990-91 BUDGET DETAIL
1988-89
ACTUAL
1989-90
PROJECTED
1990-91
ADOPTED
BUDGET
$200-$200
1 $3,233-$3,233
1 $2,141-$2,630
1 $1,523-$1,851
1 $1,523-$1,851
$200-$200 $200-$200
1 $3,242-$3,940 1 $3,242-$3,940
1 $2,338-$2,842 1 $2,338-$2,842
1 $1,662-$2,022 1 $1,662-$2,022
1 $1,662-$2,022 1 $1,662-$2,022
$200-$200
1 $3.753-$3.753
1 $2,216-$2,694
1 $1,576-$1,916
1 $1,576-$1,916
4
4
4
4
$114.747
24,602
$115.798
29,471
$127,599
29,010
$132,454
35,939
$139,349
$145,269
$156,609
$168,393
$0 $0 $0 $22,000
7,391 4,900 5,173 9,312
18,820 18,226 16,575 18,226
1,800 1,985 1,385 400
781 1,846 748 1,846
8,152 0 20,000 0
$36,944 $26,957 $43,881 $51,784
12,961 0 0 1,000
$12,961 $0 $0 $1,000
$189,254 $172,226 $200,490 $221,177
-29-
DIVISION: CITY CLERK
DIVISION ACCOUNT
PROFESSIONAL AND
CONSULTING SERVICES
1989-90
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
0
-30-
1990-91
$22,000
DESCRIPTION
Provides for development of city-wide record
management system and consulting services.
DEPARTMENT:
LEGISLATION
DIVISION:
CITY ATTORNEY
DESCRIPTION:
The City Attorney's office provides legal advice and services pertaining
to City affairs to the City Council, City Manager and other City
officials.
TASK:
1.
Attend city council, Redevelopment Agency and Planning commission and Audit Committee
meetings for the purpose of providing legal advice.
2.
Review and prepare ordinances, resolutions, franchises, agreements, contracts and other
documents.
3.
Provide legal advice to City departments.
,¡ .
Represent the city in court proceedings.
5.
Review and monitor general liability and worker's compensation claims processed by the
City's claims administrator.
DIVISION BUDGET:
Personnel $ 89,007
Operations 213,549
capital outlay -0-
TOTAL $302,626
-31-
1990-91 BUDGET DETAIL
DEPARTMENT:
Legislation
DIVISION:
City Attorney
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
$2,400-$3,000 1 $6,000-$6,000 1 $6,000-$6,000 1 $6,000-$6,000
PERSONNEL DETAIL
City Attorney
ACCOUNTING DETAIL
Personnel
Salaries
RetirementlBenefits
$28,917
5,779
$72,000
14,981
$72,000
16,275
$72,000
17,077
Total Personnel Costs
$34,696
$86,981
$88,275
$89,077
,
SuP12lies & Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
$183,313 $117,350 $305,000 $210,000
0 131 152 200
o o 0 0
3,187 3,349 2,650 3,349
$186,500 $120,830 $307,802 $213,549
Total Supplies & Services
Capital Outlay
Office Equipment
$0
$0 $0 $0
$0 $0 $0
$207,811 $396,077 $302,626
Total Capital Outlay
$0
DIVISION TOTAL:
$221,196
-32-
DEPARTHENT:
DIVISION:
LEGISLATION
CITY ATTORNEY
Contractual Services
DESCRIPTION OF ACCOUNTS 20,000 OR HORE
1989-90
1990-91
$ 80,000
$ 210,000
-33-
DESCRIPTION
Contractual services of
James G. Rourke; $210,000.
CITY MANAGER
EXEC. DIRECTOR REDEV. AGENCY
EXECUTIVE
COORDINATOR
CONTRACT
SERVICES
DEPARTMENT
CLERK
, I I ~. I
DIRECTOR DIRECTOR DIRECTOR CHIEF DIRECTOR CHIEF DEP.
COMM. DEV. COMM/ADMIN FINANCE POLICE PUBLIC CITY CLERK
SERVICES WORKS
-34-
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT: Administration 1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
PERSONNEL DETAIL
Full- Time Staff 13 15.5 15.5 15.5
ACCOUNTING DETAIL
Personnel
Salaries $525,594 $616,240 $559,285 $690,543
Retirement/Benefits 98,381 135,155 134,415 154,127
Total Personnel Costs $623,975 $751,395 $693,700 $844,670
Supplies & Services
Contractual Services $75,754 $74,317 $78,062 $157,619
Office Expense 4,833 6,631 8,355 5,643
Departmental Expense 33,756 44,003 40,620 50,853
Computer Expense 37,291 37,500 37,889 41,500
Transportation Expense 11,103 12,243 11,487 10,820
Training & Development 29,332 36,481 28,330 52,089
Total Supplies & Services $192,069 $211,175 $204,743 $318,524
Capital Outlay
Computer Software $14,479 $1,500 $500 $10,000
Office Equipment 0 10,000 10,000 5,625
Office Furniture 1,951 1,500 1,500 0
Computing Hardware 21,230 112,500 10,500 17,150
Total Capital Outlay $37,660 $125,500 $22,500 $32,775
DEPARTMENT TOTAL $853,704 $1,088,070 $920,943 $1,195,969
-35-
DEPARTMENT:
DIVISION:
ADllINISTRATION
CITY MANAGER
DESCRIPTION:
Under policy direction of the City Council, the city Manager's office is responsible
for planning, organizing and evaluating City services and providing management
direction to all city departments through the department heads. It also ensures
that the types and levels of city services are consistent with City council policy
and the adopted budget.
TASKS:
1.
Keep the City Council constantly apprised as to the status of city programs and
activities.
2.
Present the proposed 1991-92 budget and the three-year financial plan to the
City Council..
3.
Respond to and resolve citizen complaints concerning City services.
4.
Serve as Executive Director of the Tustin community Redevelopment Agency.
5.
Provide staff support, when required, to members of the City Council serving on
County and regional agencies.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$ 197,444
18,800
5,700
Total
$ 221,944
-36-
1990-91 BUDGET DETAIL
DEPARTMENT: Administration
DIVISION: City Manager 1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
PERSONNEL DETAIL
City Manager 1 $7,184-$7,184 1 $7,973-$7,973 1 $8,372-$8,372 1 $8,372-$8,372
Executive Coordinator 1 $2,204-$2,679 1 $2,303-$2,800 1 $2,442-$2,968 1 $2,442-$2,968
Department Clerk .1 $1,742-$2,118 .1 $1,802-$2,212 .1 $1,902-$2,312 1. $1,902-$2,312
3 3 3 3
ACCOUNTING DETAIL
Personnel
Salaries $137,113 $151,452 $123,192 $161,346
RetirementfBenefits 25,035 31,631 31,631 36,098
Total Personnel Costs $162,148 $183,083 $154,823 $197,444
Supplies & Services
Office Expense $901 $2,688 $2,688 $1,700
Departmental Expense 1,297 1,450 1,745 3,880
Transportation Expense 5,000 5,250 5,250 5,020
Training & Development 6,764 9,642 5,450 8,200
Total Supplies & Services $13,962 $19,030 $15,133 $18,800
Capital Outlay
Computer Hardware $0 $0 $0 $5,700
Total Capital Outlay $0 $0 $0 $5,700
DIVISION TOTAL: $176,110 $202, 113 $169,956 $221,944
-~~---
DIRECTOR OF FINANCE ---mm{
AUDIT COMMITTEE I
I SECRETARY I
I
I -------------- -------- -- -- u-- -----{ O.C.C.R.M.A.* I
ADMINISTRATIVE I
ASSISTANT I
ASSISTANT
FINANCE DIRECTOR
I
l
SENIOR
ACCOUNT ACCOUNT
CLERKS CLERKS
*ORANGE COUNTY CITIES RISK MANAGEMENT AUTHORITY
-38-
8.
9.
DEPARTMENT:
ADMINISTRATION
DIVISION:
FINANCE
DESCRIPTION:
The Finance Division provides financial services and accounting support
for the City; the Redevelopment Agency; water utility and the City's
special Assessment Districts, and is responsible for recording the
financial activities of the City in accordance with generally accepted
accounting principles and standards of the National Committee on
Governmental Accounting and Auditing.
TASKS:
1.
Deposit and record all revenues of the city.
2.
Administer the purchasing ordinance of the city at the direction of the Purchasing
Officer.
3.
Maintain an aggressive idyll funds investment program.
4.
Provide management support for water utility billings.
5.
Prepare quarterly financial reports.
6.
Prepare monthly management information reports (expense ledgers by account and vendor,
construction ledgers, etc.)
7.
Complete Annual Report of Operations for the state Controller, state street Report and
other reports as required by other agencies.
Prepare Comprehensive Annual
Program.
Financial
including the
Report,
Federal
Single Audit
Initiate a citywide fixed asset tagging and accounting system.
-39-
10.
11.
12.
13 .
14.
15.
16.
Administer the payroll and accounts payable functions.
Admínister the Self-Insured Risk Management Program which includes health, long term
disability, worker's compensation and general liability.
Develop innovative
principals.
financing
techniques
continue
comply
with
acceptable
and
to
Assemble the 1991-1992 operating and capital improvement budget.
Provide the treasury function for outstanding bond issues including: TW\~ Bonds,
AD 85-1, and AD 86-2.
Represent the city as Treasurer of the Orange County cities Risk Management Authority.
Prepare financial documents for Assessment District 86-2 financing.
DIVISION DUDGET:
Personnel $ 353,758
Operations 88,000
capital Outlay 24,075
TOTAL $ 465,833
-40-
1990-91 BUDGET DETAIL
DEPARTMENT:
Administration
DIVISION: Finance
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Finance Director
Asst. Finance Director
Administrative Assistant II
Secretary
Sr. Account Clerk
Account Clerk
1 $4,965-$4,965
1 $2,740-$3,330
1 $5,164-$5,164 1 $5,422-$5,422 1 $5,422-$5,422
1 $2,991-$3,636 1 $3,141-$3,818 1 $3,141-$3,818
1 $2,659-$3,232 1 $2,792-$3,393 1 $2,792-$3,393
.1 $1,977-$2,403 1 $2,004-$2,435 1 $2,004-$2,435
1 $1,903-$2,314 1 $1,999-$2,430 1 $1,999-$2,430
2.5 $1,654-$2,010 2.5 $1,736-$2,110 2.5 $1,736-$2,110
-- - -
7.5 7.5 7.5
1 $1,835-$2,231
1 $1,840-$2,236
2 $1,598-$1,942
6
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
$224,173 $254,678 $244,295 $286,723
43,366 58,370 57,630 67,035
$267,539 $313,048 $301,925 $353,758
$13,675 $19,441 $26,236 $22,750
97 0 0 0
10,805 16,250 14,250 14,250
34,485 37,500 37,889 37,500
1,865 2,756 2,000 2,000
6,450 11,500 7,590 11,500
$67,377 $87,447 $87,965 $88,000
$0 $10,000 $10,000 $5,625
2,104 1,500 500 10,000
9,437 102,500 o 8,450
--
$11,541 $114,000 $10,500 $24,075
$346,457 $514,495 $400,390 $465,833
--
- ~ 1
Total Personnel Costs
Supplies & Services
Contracual Services
Office Expense
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Office Equipment
Computer Software
Computing Hardware
Total Capital Outlay
DIVISION TOTAL:
DEPARTMENT:
FINANCE
Computer Expenses
DESCRIPTION OF ACCOUNTS 20,000 OR MORE
1989-90
37,500
-42-
1990-91
37,500
DESCRIPTION
Major costs include computer
maintenance, $25,000;
computer supplies; and
forms, $2,500; software
maintenance, $10,000.
DIRECTOR OF
COMMUNITY! ADMINISTRATIVE
SERVICES
ADMINISTRATIVE
ASSISTANT
SENIOR PERSONNEL
ANALYST
PERSONNEL
ANALYST
SECRETARY
DEPARTMENT
CLERK
(PART TIME)
-43-
ADMINISTRATION
DEPARTMENT:
ADMINISTRATIVE SERVICES
DIVISION:
The Administrative Services Division handles the Personnel function,
and provides staff support to the city Manager's office. The
Personnel function attracts, hires and maintains the highest quality
staff available; coordinates delivery of employee benefits; and
insures compliance of all applicable laws regarding personnel
matters. Other Administrative Services functions include
legislative review and follow up, special studies, and projects for
the City Manager. The Director of Administrative Services also
provides management direction to the Community Services Department
and the City Clerk's office.
DESCRIPTION:
TASKS:
1.
Implement study of city-wide reproduction needs and install necessary equipment.
2.
Produce updated policies and procedures manual for management personnel.
3.
support SCAQMD compliance efforts with creative employee incentive programs.
4.
Initiate feasibility study of modified work schedules for those employees represented
by Tustin Municipal Employees Association. Complete feasibility study of Modified Work
Schedules for those employees represented by Tustin Police Officer's Association.
5.
Review internal controls and strengthen where necessary.
6.
Produce comprehensive employee handbook.
7.
Meet and confer with employee organizations regarding wages, benefits, and working
conditions;implement and monitor compliance with all agreements; develop City
management positions in negotiations.
-44-
11.
12.
13.
14 .
15.
16.
17.
18.
19.
20.
21.
22.
(Administrative Services Tasks continued)
8.
Maintain contact with the legislative network; review legislation with impact upon
municipal government; take appropriate action to communicate the City's position to
the elected officials.
9.
Recruit and select all employees;
develop testing materials and procedures.
10.
Monitor employee benefits programs, such as medical and
insurance, long term disability and educational benefits.
life
insurance,
dental
Support City goals through assertive recruitment, strong
relationships, positive communication, and creative solutions.
employee-employer
Develop and coordinate employee training and staff development programs.
Monitor compliance with Affirmative Action guidelines and other state and federal law.
Manage worker compensation caseload and coordinate same with third-party administrator.
Maintain compensation plan;
review and recommend salary levels for all City classes.
Maintain position classification plan.
l1oni tor employee relations acti vi ties: Coordinate employee relations commi ttee,
monitor compliance with Personnel Rules and Regulations, and work with departments to
resolve employee relations problems.
Work with community agencies, institutions,
and maintain a positive image for the City.
organizations, and individuals to foster
Provide staff support for Tustin Ranch development.
Act as Hearing Officer for disciplinary appeals hearings.
Provide management level staff support to the City Manager for special projects and
studies.
Provide lead staff support to customer service program implementation.
-45-
(Administrative Services Tasks continued)
DIVISION BUDGET:
Personnel
operations
Capital Outlay
$293,468
$211,724
$ 3,000
TOTAL
$508, B2
-46-
1990-91 BUDGET DETAIL
DEPARTrv1ENT:
Administration
[)\/ISIOU:
Administrative Services
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETA/L
Dir. Community/Administrative
Sr. Personnel Analyst
r,drninislrative Assistant I
Personnel Analyst
Secretary
2l!DDlies f', Services
Contractual Services
Computer Operations
C:fice Expense
Departmental Expense
TriJnsportation Expense
TriJining & Development
TOliJl Supplies & Services
1 54,965-$4,965 1 $5,164-$5,164 1 $5,422-$5,422 1 $5,422-$5,422
1 52,906-$3,532 1 $2,906-$3,532 1 $3,051-$3,708 1 $3,051-$3,708
1 1 1 $2,7,92-$3,394
1 1 $2,641-$3,211 1 $2,773-$3,371 1 $2,773-$3,371
1 ~$1,917-$2,331 1 $2,004-$2,436 1 $2,004-$2,436
-
4 5 5 5
$164,308 $210,110 $191,798 $242,474
29,980 45,154 45,154 50,994
--
$194,288 $255,264 $236,952 $293,468
$62,079 $54,876 $51,826 $134,869
2,806 0 0 4,000
3,835 3,943 5,661 3,943
21,654 26,303 24,625 32,723
4,238 4,237 4,231 3,800
16,118 15,339 15,290 32,3EJ9
5110,730 $104,698 $101,645 $211,724
$1,951 $1,500 $1,500 $0
11,793 10,000 10,500 3,000
12,375 0 0 0
$26,119 $11,500 $12,000 $3,000
$331,131 $311,462 $350,597 $508,192
¡'~CCOUNTING DETA/L
Personnel
Salaries
RetiremenUBenefits
ToliJl Personnel Costs
'-'.'lpltill Outlay
Office Furnilure
Computing Hardware
Computer Software
Total Capital Outlay
DIVISION TOTAL:
-47-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DIVISION:
ADMINISTRATIVE SERVICES
DIVISION ACCOUNT
CONTRACTUAL SERVICES
DEPARTMENTAL OPERATIONS
1989-90
$53,826
$26,303
1990-91
$134,869
$ 37,723
-48-
DESCRIPTION
Provides $16,560 for
medical services;
$19,100 psychological
services: $7,709 for
management studies;
$3,000 for annual
physicals for Police
personnel; $22,000
for negotiations
services; $40,000 for
Modified Work Schedule
studies; and $26,500
for an outside
management audit of
the Public Works
Department.
Provides $5,958 for
departmental supplies;
$2,625 for printing;
$20,000 for advertising
for recruitments; and
$640 for maintaining
the Scantron machine;
and $3,500 for
contingencies related
to SCAQMD Compl iance.
CONTRACT
INSPECTOR
PLAN CHECK
CONSULTANTS
FIRE
MARSHALL
HEALTH
SERVICES
PLAN
CHECKER
BUILDING
INSPECTOR
BUILDING
OFFICIAL
BUILDING
TECHNICIAN
BUILDING
INSPECTOR
BUILDING
TECHNICIAN
BUILDING
INSPECTOR
BUILDING DIVISION
DIRECTOR OF
COMMUNITY DEVELOPMENT
ASSISTANT
DIRECTOR
SENIOR
PLANNER
ASSOCIATE
PLANNER
ASSISTANT
PLANNER
IMPROVMT.
INSPECTOR
SECRETARY
BUSINESS
LICENSE CLERK
DEPARTMENT
CLERK
CODE
ENFORCEMENT
OFFICER
SPECIAL PROJECTS!
ADVANCED PLANNING
-49-
PLANNING
COMMISSION
SENIOR
PLANNER
ASSOCIATE
PLANNER
ASSISTANT
PLANNER
DEPARTMENT
CLERK
CURRENT PLANNING
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT:
Community Development
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Full-Time Staff
18
24
24
25
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$539,591 $769,799 $614,971 $933,217
109,810 171,781 115,840 226,107
$619,101 $941,580 $760,811 $1,159,324
$269,912 $454,700 $346,300 $521,200
5,229 10,300 9,825 9,300
16,370 35,450 28,800 36,050
7,284 15,200 7,000 14,050
20,886 12,400 12,000 11,775
20,383 30,829 26,400 34,700
$340,064 $558,879 $430,325 $627,075
$95 $29,500 $3,000 $45,000
0 750 750 6,750
0 9,450 9,769 6,100
0 42,800 24,800 13,500
0 3,500 3,500 o
0 14,000 14,000 0
$95 $100,000 $55,819 $71,350
$989,560 $1,600,459 $1,246,955 $1,857,749
-50-
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
CDmputer Software
Office Equipment
Office Furniture
Computing Hardware
Special Equipment
Passenger Vehicles
Total Capital Outlay
DEPARTMENT TOTAL
DEPARTMENT:
DIVISION:
DESCRIPTION:
COMMUNITY DEVELOPMENT
PLANNING
Planning includes current and advanced planning/special project functions.
Current Planning ;provides for the review of proposed development to ensure
conformance to city Zoning and development standards including site plan and
design review and development permit coordination and tracking. Advanced
Planning provides for any needed revisions to the Tustin Area General Plan in
order to maintain a viable document reflecting community goals and state
Redevelopment Agency through monitoring and reviews of proposed developments
and public improvements to ensure the revitalization of the Town Center Area
and South/Central proj ect Areas as set forth in each redevelopment plan.
Additional responsibilities include CDBG activities, business licenses,
annexations, code enforcement and special department projects. The Planning
Division provides required staff support to the city Council, PI,:¡nning
commission and Redevelopment Agency. More specific continuing PliHlning
Division responsibilities include: processing applications for zoning and
subdivision permits; coordinating local land use policies and plans with
regional planning agencies; coordinating zoning and business license
enforcement; preparing reports to the Planning Commission, City Council and
Redevelopment Agency concerning the General Plan, zoning, sign and
subdivision regulations; preparing annexation and a variety of land use
policy studies; on-going evaluation of City I S specific plans to ensure
conformance with stated goals and objectives; and maintenance of statistical
data concerning population and land use (housing, commercial and industrial)
within the City.
1990-91 Goals/Tasks
1.
Initiate a major General Plan revision program.
2.
complete Sign Code revisions.
3.
Complete zoning amendments for Annexation Area 149.
4.
complete a Grading Manual.
-51-
5.
Complete the Pacific Center East Specific Plan and a Development Disposition Agreement
with Santa Fe Realty Corporation, the major property owner.
6.
Provide staff support for the expeditious completion of the Tustin Auto Center, Tustin
Market Place and the first neighborhood commercial center in East Tustin at the corner
of Irvine Boulevard and Jamboree.
7.
Coordinate
financing.
and
completion
Civic
of
Center
plans,
temporary
City
Hall
relocation
8.
Continue the City's current program for monitoring of airport noise.
9.
Monitor development activity particularly in the cities of Santa Ana, Orange and Irvine
for impacts on Tustin.
10.
Provide proactive concentrated support in cooperation with the Police Department to
improve the southwest portion of the city.
11.
Monitor and recommend where necessary measures to ensure the City's compliance with the
Air Quality Management Plan and the Tanner Bill (Hazardous Waste Management).
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$
729,420
251,575
43,750
TOTAL
$1,024,745
-52-
1990-91 BUDGET DETAIL
Community Development
1988-89
ACTUAL
DEPARTMENT:
DIVISION:
Planning
PERSONNEL DETAIL
Community Dev. Director
Assistant Director
Senior Planner
Associate Planner
Assistant Planner
Secretary
Planning Technician
Code Enforcement Officer
Department Clerk
Clerk Typist
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
1 $5,201-$5,201
2 $2,965-$3,604
3 $2,580-$3,136
1 $2,349-$2,855
1 $1,835-$2,231
1 $1,968-$2,392
BUDGET
1 $5,688-$5,688
1 $3,750-$4,558
2 $3,386-$4,116
4 $2,670-$3,246
1 $2,430-$2,969
1 $1,899-$2,309
1 $1,968-$2,392
1989-90
PROJECTED
1 $5,972-$5,972
1 $3,750-$4,558
2 $3,556-$4,322
4 $2,381-$3,441
1 $2,577-$3,132
1 $2,004-$2,436
1 $2,159-$2,625
1990-91
ADOPTED
1 $5,972-$5,972
1 $4,162-$5,058
2 $3,556-$4,322
5 $2,381-$3,441
2 $2,577-$3,132
1 $2,004-$2,436
1 $2,577-$3,132
2 $1,606-$1,950 3 $1,803-$2,192 3 $1,902-$2,312 3 $1,902-$2,312
~ $1,523-$1,851 ~ $1,576-$1,916 ~ $1,663-$2,022 -
12 15 15 16
$349,945 $495,901 $424,391 $587,528
69,073 106,791 101,340 141 ,892
$419,018 $602,692 $525,731 $729,420
$46,051 $129,700 $21,300 $196,200
3,147 4,000 3,525 4,000
10,007 16,350 13,600 17,050
6,392 6,000 5,000 6,000
6,786 8,800 8,800 7,125
14,681 18, 129 16,900 21,200
$87,064 $182,979 $69, 125 $251,575
$0 $4,350 $4,350 $1,000
0 750 750 6,750
0 42,000 24,000 4,500
95 2,500 2,000 31,500
-
$95 $49,600 $31,100 $43,750
$506, 177 $835,271 $625,956 $1,024,745
-53-
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Office Furniture
Office Equipment
Computing Hardware
Computer Soltware
Total Capital Outlay
DIVISION TOTAL:
DESCRIPTION OF ACCOUNTS OVER $20,000
DEPARTHENT:
COMMUNITY DEVELOPHENT
3010 PLANNING
DIVISION
DIVISION ACCOUNT
Professional and Consulting
Capital Outlay
1989-90
1990-91
$118,000
$174,500
49,600
43,750
-54-
DESCRIPTION
Contractual services for
permit processing (10,000),
General Plan update
(100,000), map updates
(2,500), business license
support (6,000), special EIR
services (8,000), fiscal
model update (8,000),
airport noise monitoring
(15,000), Old Town
guidelines (25,000).
11icrofilm reader (50% of
cost), microfiche storage
cabinets (2,000) , computer
hardware (18,000), computer
software (13,500).
DEPARTMENT:
DIVISION:
DESCRIPTION:
COMMUNITY DEVELOPMENT
BUILDING DIVISION
The Building Division provides for the establishment of and enforcement of
building regulations to ensure that new and existing buildings are safe and
suitable for their intended use. The provision also establishes and enforces
standards for private in fracture improvements. More specific continuing
responsibilities include: receiving and plan checking applications for
permits to ensure compliance with state and City building and grading code
requirements and City private infrastructure standards; issuing building,
plumbing, electrical, mechanical, grading and sign permits; making daily
inspections of residential, commercial and industrial construction and
private infrastructure construction to ensure compliance with the approved
plans; certifying structures for use and occupancy; reviewing and making
recommendations for the adoption of all uniform codes; assisting the public
with technical information regarding City and state codes.
1990-91 Goals/Tasks:
1.
Prepare mechanisms to improve the structural integrity of unrein forced masonry building
in City built prior to 1933.
2.
Complete design of a computerized building permit an program management system for the
purpose of providing immediate data retrieval capability.
3.
Complete a Building Division procedural manual as time permits.
4.
Update all Building Division handouts.
DIVISION BUDGET:
Personnel
operations
Capital Outlay
$429,904
375,500
27,600
TOTAL
$833,004
-55-
1990-91 BUDGET DETAIL
DEPARTMENT:
Community Development
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
1 $3,603-$4,380 1 $3,603-$4,380 1 $3,747-$4,555 1 $3,747-$4,555
1 $2,879-$3,499 2 $2,879-$3,499 2 $3,072-$3,734 2 $3,072-$3,734
1 1 1 $2,795-$3,397
3 $2,442-$2,969 3 $2,442-$2,969 3 $2,606-$3, 168 3 $2,606-$3,168
1 $1,854-$2,254 2 $1,854-$2,254 2 $1,956-$2,378 2 $1,956-$2,378
6 9 9 9
$189,646 $273,898 $190,580 $345,689
40,737 64,990 44,500 84,215
$230,383 $338,888 $235,080 $429,90/1
$223,861 $325,000 $325,000 $325,000
2,082 6,300 6,300 5,300
6,363 19, 100 15,200 19,000
892 9,200 2000 8,050
14, 100 3,600 3,200 4,650
5,702 12,700 9,500 13,500
$253,000 $375,900 $361,200 $375,500
$0 $3,500 $3,500 $0
0 5,100 5,419 5,100
0 27,000 1,000 13,500
0 800 800 9,000
0 14,000 14,000 0
-~
$0 $50,400 $24,719 $27,600
$483,383 $765,188 $620,999 $833,004
DIVISION:
Building
PERSONNEL DETAIL
Building Official
Plan Checker
Public Works Inspector
Building Inspector
Building Technician
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Computer Expense
Trans1ortation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Special Equipment
Office Furniture
Computer Software
Computing Hardware
Passenger Vehicles
Total Capital Outlay
DIVISION TOTAL:
-,",0-
DEPARTMENT:
DIVISION:
DIVISION ACCOUNT
DESCRIPTION OF ACCOUNTS OVER $20,000
COMMUNITY DEVELOPMENT
3020 BUILDING
1989-90
1990-91
Professional and consulting
Capital Outlay
$325,000
$325,000
36,400
27,600
-57-
DESCRIPTION
Contractual Services for
contract inspector (50,000),
building and landscaping
plan checking (105,000)
engineering plan check and
special geotechnical soils
services (170,000).
Microfilm reader (50% of
cost), file cabinets (600),
plan storage for private
street and improvement plans
(1,500) , computer software
(13,500), computer hardware
(9,000) .
DIRECTOR OF PUBLIC WORKS/
CITY ENGINEER
ADMINISTRATIVE
ASSISTANT
EMERGENCY SERVICES
DEPARTMENT CLERK
ENGINEERING SERVICES MANAGER
r
DEPARTMENT CLERK
ENGINEERING DIVISION
I
STREETS/PARKSfTREES/
VEHICLES/FACILITIES
DIVISION
CONSULT TRAFFIC ENGINEER
ASST. CIVIL ENGINEER
DRAFTOR
JR. CIVIL ENGINEER
ENGINEERING AIDE
SA. PUBLIC WORKS INSPECTOR
PUBLIC WORKS INSPECTOR
ASSOCIATE CIVIL ENGINEER
TRANSPORTATION ENGINEER
MAl NT. FOREMAN
EQUIP. MECHANIC
EQUIP. OPERATOR
LEADPERSON
TREE TRIMMER
MAl NT. WORKER
MECHANIC HELPER
CUSTODIAN
-58-
I
SECRETARY
FIELD SERVICES MANAGER
1
~
WATER
SERVICES DIVISION
WATER CON SUPR
EOUIP. OPERATOR
MAINT. WORKER
MAl NT. SUPERVISOR
WATER ENGINEER
PLANT OPERATOR
LEADWORKER
DEPARTMENT CLERK
l
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT:
Public Works
1988-89
ACTUAL
1989-90
BUDGET
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Full-Time Staff
56
62.8
62.8
67
ACCOUNTING DETAIL
Personnel
Salaries
ReliremenUBenefits
Total Personnel Costs
$1,565,760
414,033
$1,979,793
$1,967,411
611,180
$2,578,591
$1,866,103
550,047
$2,416,150
$2,210,708
683,725
$2,894,433
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Facilities Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
$232,022
7,674
1,009,429
337,437
o
293,098
6,426
$1,886,086
$371,241
8,725
1,064,724
348,490
o
284,453
17,050
$2,094,683
$261,702
8,700
1,033,292
410,590
0
311,586
16,807
--~
$2,042,677
$304,251
8,725
1,226,361
390,500
0
379,747
17,050
$2,326,634
Capital Outlay
Computer Software
Office Equipment
Office Furniture
Computing Hardware
Departmental Equipment
Construction Equipment
Trucks
Total Capital Outlay
$1,321
7,382
659
22,466
61,447
205,938
11 ,762
$310,975
$15,000
5,900
3,500
1,200
14,449
123,605
20,945
$184,599
$15,000
6,100
3,500
1,165
26,150
121,405
20,945
$194,265
$5,000
0
3,200
1,950
25,750
73,350
12,900
--
$122,150
DEPARTMENT TOTAL
$4,176,854
$4,857,873
$1,653,092
$5,343,217
'::"0::-
---------
---- ...--------
PUBLIC WORKS
DEPARTMENT:
ADMINISTRATION
DIVISION:
The Administration Division coordinates and provides direction to all
Public Works divisions and Water Service field operations. This division
provides research and analysis of current and proposed public works
projects to ensure benefit, safety and convenience to the community and
general public.
DESCRIPTION:
TASKS:
1.
2.
3.
4.
5.
Prepare a management audit of all Public Works divisions.
Maintain the vehicular purchase program.
Search for and promote County, State and/or Federal grants for cooperative capital
Improvement Projects.
Develop and administer the Department's fiscal operations budget and capital
improvement plan.
Prepare a departmental productivity program.
6.
Administer contracts and franchises.
7.
Administer and process legal aspects related to the department.
8.
Legislative analysis with respect to Public Works and utilities.
9.
Administer State and Federal Programs relating to Public Works.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$269,726
64,526
1,400
TOTAL
$335,652
-60-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Administration
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Director of Public Works
Administrative Assistant
Field Services Manager
Secretary
Department Clerk
1 $5,202-$5,202 1 $5,810-$5,810 1 $6,101-$6,101 1 $6,101-$6,101
1 $2,485-$3,021 0.5 $2,659-$3,232 0.5 $2,419-$2,940 1 $2,419-$2,940
1 $3,428-$4,167 1 $3,725-$4,528 1 $3,837-$4,664 1 $3,837-$4,664
1 $1,679-$2,041 1 $1,977-$2,403 1 $2,004-$2,436 1 $2,004-$2,436
2 $1,594-$1,937 2.3 $1,803-$2,192 2.3 $1,902-$2,312 1 $1,902-$2,312
- - - -
6 5.8 5.8 5
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$231,026
48,006
$279,032
$226,640
56,447
$283,087
$226,880
53,241
$280,121
$216,276
53,450
$269,726
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$14,900
7,674
13,314
7,266
6,328
-
$49,482
$551
8,725
31,599
12,166
13,550
$66,591
$5,678
8,700
32,292
12,166
13,086
---~
$71,922
$551
8,725
31,600
10,100
13,550
$64,526
Capital Outlay
Department Equipment
Office Equipment
Computing Hardware
Computer Software
Total Capital Outlay
$361
476
1,040
o
$1,877
$3,500
900
0
14,000
$18,400
$3,500
900
0
14,000
$18,400
$1,400
0
0
0
$1,400
DIVISION TOTAL
$330,391
$368,078
$370,443
$335,652
----~---- -- ----------- .-- .---
--_u_------------- ---------------------
-(:1
DEPARTMENT:
PUBLIC WORKS
DIVISION:
EMERGENCY SERVICES
DESCRIPTION:
The Emergency Services Division is responsible for preparation and
implementation of the City's emergency service/disaster preparedness
program. Under Federal and State guidelines, the division organizes
City forces and community responses to natural or civil disasters
and/or disturbances.
TASKS:
1.
continue State and Federal training in emergency services.
2.
continue preparation of the City's Multi-Hazard Functional Plan.
3.
Develop city response training program.
DIVISION BUDGET:
Personnel
operations
Capital outlay
$32,821
15,525
13,000
TOTAL
$61,346
-62-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Emergency Services
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Administrative Assistant
Department Clerk
0
0
0
0.5 $2,303-$2,800 0.5 $2,419-$2,940
0.7 $1,803-$2,191 0.7 $1,902-$2,312 1 $1,902-$2,312
- - -
1.2 1.2 1
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenefits
Total Pusonnel Costs
$0 $19,392 $16,067 $24,5G4
0 4,913 3,778 8,257
-
$0 $24,305 $19,845 $32,821
$0 $0 $0 $1,000
$0 0 $0 0
$0 2,025 $2,025 11,025
$0 0 $0 0
$0 3,500 $3,500 3,500
$0 $5,525 $5,525 $15,525
$0 $0 $5,805 $13,000
0 0 0 0
"-
$0 $0 $5,805 $13,000
$0 $29,830 $31,175 $G1,34G
Supplies & Services
Contracual Services
Facilities Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Otller Depl. Equipment
Trucks
Total Capital Outlay
DIVISION TOTAL:
-63-
PUBLIC WORKS
DEPARTMENT:
ENGINEERING
DIVISION:
The Engineering Division designs and prepares plans for the city's Capital
Improvement Program; inspects all projects within the public right-of-way;
maintains records to promote the general safety and well being of the
community; and coordinates all inter/intra community related regional
traffic pertinent to pedestrian and vehicular safety.
DESCRIPTION:
TASKS:
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
ll.
12.
Prepare plans, cost estimates and reports for capital Improvement projects.
Plan check subdivision/parcel maps and construction inspection involving public
improvements.
Warrant studies for traffic:
etc.
signing, signalization, crossing guard request and
City-wide traffic studies inclusive of, but not limited to, arterial highway
classification review; new development impact; and modification and synchronization
of the traffic signal systems.
Monitor traffic safety program.
Traffic count program to provide data for traffic and market studies.
Maintenance of maps, records and reports for all public improvements.
Public assistance to include, but not be limited to, response to engineering related
inquiries, concerns and complaints.
Contract administration and technical assistance to other city departments and
outside agencies.
Administration of East Tustin Assessment District(s).
Administration of Landscape and Lighting District.
Engineering services to Water Department Operations.
-64-
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
TOTAL
$
701,343
703,343
10,150
$1,414,836
-65-
DEPARTMENT:
Public Works
DIVISION:
Engineering
PROJECTED
PERSONNEL DETAIL
Engineering Services Manager
Associate Civil Engineer
Assistant Civil Engineer
Junior Civil Engineer
Draftsman
Engineering Aide
Sr, Public Works Inspector
Public Works Inspector
Transportation Engineer
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
Supplies & Services
Contracual Services
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Passenger Vehicles
Office Furniture
Office Equipment
Computer Software
Computing Hardware
Total Capital Outlay
DIVISION TOTAL:
1990-91 BUDGET DETAIL
1988-89
ACTUAL
1989-90
BUDGET
1990-91
ADOPTED
1
2
2
1
1
1
1
2
1
12
$3,428-$4,167
1 $4,189-$5,092 1 $4,231-$5,143 1 $4,231-$5,143
2 $3,162-$3,844 2 $3,396-$4,128 2 $3,396-$4,128
2 $2,874-$3,494 2 $3,087-$3,753 2 $3,087-$3,753
2 $2,607-$3,169 2 $2,800-$3,403 2 $2,800-$3,403
1 $2,037-$2,476 1 $2,188-$2,659 1 $2,188-$2,659
1 $2,037-$2,476 1 $2,188-$2,659 1 $2,188-$2,659
1 $3,066-$3,727 1 $3,066-$3,727 1 $3,066-$3,727
2 $2,662-$3,235 2 $2,794-$3,397 2 $2,794-$3,397
~$3,162-$3,844 ~$3,396-$4,128 ~$3,396-$4,128
13 13 13
$2,663-$3,237
$2,415-$2,935
$1,968-$2,392
$1,872-$2,275
$2,520-$3,063
$2,420-$2,942
$388,718 $517,484 $459,290 $557,359
82,900 129,411 112,010 143,984
$471,618 $646,895 $571,300 $701,343
$143,378 $304,991 $174,000 $223,000
213,951 339,935 307,287 467,800
o o ° 0
8,550 10,938 10,938 12,543
o o 39 o
$365,879 $655,864 $492,264 $703,343
$11,248 $0 $0 $0
659 3,500 3,500 3,200
6,906 5,000 5200 o
1,321 1,000 1,000 5,000
12,441 o o 1,950
$32,575 $9,500 $9,700 $10,150
$870,072 $1,312,259 $1,073,264 $1,414,836
-66-
DEPARTMENT:
PUBLIC I'lORKS
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
4020 ENGINEERING
DIVISION ACCOUNT
Architect/Engineering
Services
Signal Maintenance
Damage
Street Light Energy
Signal Maintenance
Routine
Signal Energy
1989-90
1990-91
$ 90,000
$210,000
$ 62,100
$107,000
$ 37,920
$ 49,500
$ 57,765
$ 74,600
$177,750
$232,300
-67-
DESCRIPrION
Provides for consultant services
engineering programs and Capital
Improvement projects, and a
Consultant Traffic Engineer and
Technician.
Based on experienced costs for
the past three years and the
proposed growth of 20 signals
for Fiscal Year 1990-91.
Electrical energy for street
lighting.
Contractual service for routine
maintenance of traffic signals;
cost includes system growth of
20 signals in Fiscal Year 1990-
91.
Electrical energy for traffic
signals including proposed
system growth of 20 signals in
Fiscal Year 1990-91.
TASKS:
DEPARTMENT:
PUBLIC WORKS
DIVISION:
STREETS
DESCRIPTION:
The Street Division ensures the aesthetic image and safe environment
desired by the community through scheduled street sweeping, signing and
striping and by maintaining all streets, sidewalks, bike trails, median,
parkways, storm drains, and catch basins within the public right-of-way.
1.
Maintain asphaltic concrete paved areas in public areas through in-house repairs and
administration of contractual services.
~.
Maintain all publicly owned storm drain, catch basins and surface drainage
facilities.
3.
Maintain all turf and foliage within the street medians/parkways and grounds of
City facilities.
4.
Weed abatement and litter control programs in the public right-of-way.
5.
Administer street striping contract and paint on street traffic control as needed.
6.
Maintain traffic signing program as directed by the Engineering Division, Traffic
Section.
7.
Scheduled sweeping of streets, bike trails and parking lots throughout the City.
DIVISION BUDGET:
Personnel
Operations
capital Outlay
$
712,123
720,590
74,300
TOTAL
$1,507,013
-68-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION: Streets
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Maintenance Supervisor
Maintenance Leadman
Equipment Operator
Maintenance Worker
1 $2,031-$2,469 1 $2,613-$3,176 1 $2,743-$3,334
1 $2,031-$2,469 1 $2,102-$2,555 1 $2,287-$2,780
2 $1,797-$2,184 3 $1,965-$2,388 3 $2,137-$2,598
8 $1,530-$2,050 11 $1,680-$2,251 11 $1,828-$2,449
- - -
12 16 16
1
2
3
12
18
$2,743-$3,334
$2,287 -$2,780
$2,137-$2,598
$1,828-$2,449
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benifits
Total Personnel Costs
$315,824 $441,398 $431,108 $540,752
97,331 143,648 134,181 171,371
$413,155 $585,046 $565,289 $712,123
($1,544) $0 $5,707 $0
668,423 591,069 592,713 589,375
53,985 23,300 45,599 25,500
66,480 69,293 69,293 105,715
98 o 182 0
-
$787,442 $683,662 $713,494 $720,590
$0 $0 $0 $6,700
11,776 2,475 8,626 0
125,126 74,266 74,266 67,600
$136,902 $76,741 $82,892 $74,300
$1,337,499 $1,345,449 $1,361,675 $1,507,013
-69-
Supplies & Services
Contractual Services
Departmental Expense
Facilities Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Special Equipment
Departmental Equipment
Constr. & Maint. Equipment
Total Capital Outlay
DIVISION TOTAL:
DEPARTMENT:
PUBLIC WORKS
DIVISION:
4030 STREETS
DIVISION ACCOUNT
sign Maintenance and
striping
Sidewalk Construction
Street and Alley Repair
Water
Traffic Signs and Paint
Vehicle equipment lease
Departmental equipment
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
1989-90
1990-91
DESCRIPTION
$ 72,188
$ 75,000
Annual contractual service
for street striping and
specialty painting.
$125,800
$125,800
Annual contract for sidewalk
installation.
$225,936
$205,000
Maintenance of asphaltic
concrete surfaces.
$ 21,100
Irrigation water for
landscaped medians.
$ 44,100
$ 60,000
Materials for in-house street
painting and signing program.
$ 69,293
$105,715
Annual lease rate for all
vehicular equipment assigned
to the street division.
$
$ 20,300
Edgers (2) - $700; 25" mower
(3) - $1950; hedge trimmer
(1) - $350
3,400
-70-
DEPARTMENT:
PUBLIC WORKS
DIVISION:
PARKS
DESCRIPTION:
The Park Division maintains all City parks to ensure the desired
aesthetic image of the community, promote the general well being of the
citizenry.
TASKS:
1.
Maintain turf in parks on a scheduled basis.
2.
Maintain park irrigation system to ensure proper watering, being mindful of
water conservation.
3.
Maintain foliage by spraying, remove and/or replacement as required.
4.
Litter control program in parks.
5.
Graffiti removal program in parks and public right-of-way.
6.
Regular maintenance and repair of park play equipment, structures and eating
facilities.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$416,907
199,328
14,650
TOTAL
$630,885
-71-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Parks
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Maintenance Supervisor
Maintenance Leadman
Maintenance Worker
1 $2,031-$2,469 1 $2,613-$3,176 1 $2,743-$3,334 1 $2,743-$3,334
1 1 $2,102-$2,555 1 $2,287-$2,780 1 $2,287-$2,780
~ $1,530-$2,050 ~ $1,680-$2,251 ~ $1,828-$2,449 ~ $1,828-$2,449
9 10 10 11
ACCOUNTING DETAIL
Personnel
Salaries
RetirementlBenefits
Total Personnel Costs
Capital Outlay
Construction Equipment
Departmental Equipment
MobilelSpecial Equipment
Computer Software
Total Capital Outlay
$199,465 $249,102 $243,065 $303,374
63,074 87,567 83,990 113,533
$262,539 $336,669 $327,055 $416,907
$24,103 $12,500 $17,030 $19,500
67,429 92,800 82,400 98,000
63,443 57,085 58,770 59,975
20,522 18,189 18,189 21,853
o o ° 0
$175,497 $180,574 $176,389 $199,328
$26,701 $16,839 $14,639 $1,750
4,826 2,875 2,875 0
0 20,945 20,945 12,900
0 o ° 0
$31,527 $40,659 $38,459 $14,650
$469,563 $557,902 $541,903 $630,885
Supplies & Services
Contracual Services
Facilities Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
DIVISION TOTAL:
-72-
DEPARTHENT:
DIVISION:
DIVISION ACCOUNT
Sports lighting
Water
Park supplies
DESCRIPTION OF ACCOU~ $20,000 OR MORE
PUBLIC WORKS
4040 PARKS
Vehicle equipment lease
1989-90
1990-91
$41,800
$42,000
$37,000
$40,000
$40,200
$40,200
$21,853
-73-
DESCRIPTION
Lighting for ball fields,
tennis courts and demand
charges.
Water for all parks.
Includes: sprays,
fertilizers, custodial
supplies, repair parts,etc
Annual lease rate for all
vehicular equipment
assigned to the Park Div.
DEPARTMENT:
PUBLIC WORKS
DIVISION:
TREES
DESCRIPTION:
The Tree Division maintains trees located in the public right-of-way
and on public properties for the preservation of environmental quality
and aesthetic imagery.
TASKS:
1.
Trimming, lifting and general health care of all publicly owned trees.
2.
Planting of public trees mandated by new development.
3.
Removal/replacement of publicly owned trees as directed by the City Council.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$269,157
80,542
4,000
TOTAL
$353,699
-74-
¡
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Trees
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Maintenance Leadman
Tree Trimmer
Maintenance Worker
1 $1,873-$2,277 1 $2,102-$2,555 1 $2,287-$2,780 1 $2,287-$2,780
2 $1,775-$2,157 2 $1,948-$2,368 2 $2,119-$2,576 2 $2,119-$2,576
4 $1,530-$2,050 4 $1,680-$2,251 4 $1,828-$2,449 5 $1,828-$2,449
- - - -
7 7 7 8
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenefits
Total Personnel Costs
$165,522 $170,990 $145,481 $193,729
49,876 63,601 54,825 75,428
$215,398 $234,591 $200,306 $269,157
$14,585 $10,000 $16,087 $15,000
43,355 32,225 29,685 32,625
14,566 19,022 19,022 32,917
$72,506 $61,247 $64,794 $80,542
$42,863 $32,500 $32,500 $4,000
4601 3,010 3010 0
$47,464 $35,510 $35,510 $4,000
$335,368 $331,318 $300,610 $353,699
Supplies & Services
Contracual Services
Departmental Expense
Transportation Exp6nse
Total Supplies & Services
Capital Outlay
Construction Equipment
Other Department Equipment
Total Capital Outlay
DIVISION TOTAL:
-75-
~
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT:
PUBLIC WORKS
DIVISION:
4050 TREES
DIVISION ACCOUNT
1989-90
1990-91
DESCRIPTION
Vehicle equipment lease
$32,917
Annual lease rate for all
vehicular equipment
assigned to the Tree Div.
-76-
DEPARTMENT:
PUBLIC \-lORKS
DIVISION:
EQUIPMENT/VEHICLES
DESCRIPTION:
The Equipment/Vehicle Maintenance Division provides general repair and
preventative maintenance for City vehicles and other mechanical
equipment as well as maintaining a vehicular/equipment history for
timely replacements and/or new purchases in a cost effective manner.
T~SKS:
1.
Perform major/minor repairs on vehicular and other mechanical equipment.
2.
Maintain preventative maintenance program on vehicular and mechanical equipment.
3.
Coordinates major mechanical repairs with private sector.
4.
Provide fuel and fuel usage reports for City, Water enterprise fund and Tustin
Unified School District.
5.
Licensing/inspection of vehicles required by state Department of Motor
Vehicles.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$213,743
216,188
4,650
TOTAL
$434,581
-77-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Equipment/Vehicles
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Maintenance Supervisor
Equipment Mechanic
Mechanic's Helper
1 $2,031-$2,469 1 $2,613-$3,176 1 $2,743-$3,334 1 $2,743-$3,334
2 $1,951-$2,371 3 $2,153-$2,617 3 $2,260-$2,748 3 $2,260-$2,748
2-$1,469-$1,786 ~$1,650-$2,005 ~$1,733-$2,106 ~$1,733-$2,106
4 5 5 5
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$123,487 $136,849 $138,288 $158,304
34,555 45,491 43,409 55,439
$158,042 $182,340 $181,697 $213,743
$0 $1,200 $1,200 $1,200
3,996 7,600 6,925 28,775
174,534 153,790 180,839 186,213
0 0 0 0
$178,530 $162,590 $188,964 $216,188
$8,985 $1,200 $1,165 $0
30,856 1,300 1,300 4,650
$39,841 $2,500 $2,465 $4,650
$376,413 $347,430 $373,126 $434,581
Supplies & Services
Contractual Services
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Computing Hardware
Departmental Equipment
Total Capital Outlay
DIVISION TOTAL:
-78-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPART!1ENT:
PUBLIC \'iOI~KS
DIVISION:
4060 VEHICLE MAINTENANCE
DIVISION ACCOUNT
1989-90
1990-91
DESCRIPTION
Hazardous ylaste Disposal
$20,000
Disposal of all City-
generated hazardous waste.
Vehicle operations
$55,000
$82,000
Purchased fuel and oil.
Vehicle repairs
$88,751
$90,000
Repairs for all general
service and police
vehicles.
-79-
DEPARTMENT:
PUBLIC WORKS
DIVISION:
FACILITIES MAINTENANCE
DESCRIPTION:
The Facility Maintenance Division performs custodial services and
building maintenance/repair to provide a clean, healthy and safe
environment for the employees and general public as well as being
responsible for all public building(s) security.
TASKS:
1.
Custodial services in: City Hall, Council Chambers, Community Center, Police
facility, Maintenance and Water facilities and Senior Center.
2.
Building repairs in all public facilities inclusive of, but not limited to:
structural, plumbing, electrical and painting.
3.
Maintenance tasks in all public facilities inclusive of, but not limited to:
building security and special functions.
4.
Supervise and assist in contractual building repairs.
DIVISION BUDGET:
Personnel
Operations
capital Outlay
$278,613
326,592
TOTAL
$605,205
-80-
1990-91 BUDGET DETAIL
DEPARTMENT:
Public Works
DIVISION:
Facilities Maintenance
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Maintenance Supervisor
Maintenance Worker
Custodian
1 $2,257-$2,143 1 $2,613-$3,176 1 $2,143-$3,334 1 $2,743-$3,334
1 $1,530-$2,050 1 $1,680-$2,251 1 $1,828-$2,449 1 $1,828-$2,449
4 $1,259-$1,186 4 $1,650-$2,006 4 $1,195-$2,182 4 $1,795-$2,182
6 6 6 6
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$141,118 $205,556 $205,924 $216,350
38,291 80,102 64,613 62,263
$180,009 $285,658 $270,537 $278,613
$36,600 $41,999 $42,000 $44,000
216,023 232,390 282,591 267,000
2,947 3,186 3,595 5,186
1,180 1,055 1,139 10,406
o o 0 0
-
$256,750 $278,630 $329,325 $326,592
$9,027 $1,289 $1,034 $0
11,162 0 0 0
$20,789 $1,289 $1,034 $0
$457,548 $565,577 $600,896 $605,205
~
-81-
Supplies & Services
Contracual Services
Facilities Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Olltloy
Other Depl. Equipment
Trucks
ToWI Capital Outlay
DIVISION TOTAL:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT:
PUBLIC WORKS
DIVISION:
4070 BUILDING FACILITIES
DIVISION ACCOUNT
1989-90
1990-91
DESCRIPTION
HVAC
$42,000
$44,000
Computerized HVAC
maintenance contract for
the civic Center complex
and Maintenance Facility.
Building maintenance
and repair
$34,650
$42,000
Major and minor building
repairs in the civic
Center complex, Mainte-
nance facility and Senior
center.
Electric
$103,210
$120,000
Electricity for civic
Center complex, Mainte-
nance and Senior Center.
Telephone
$65,500
$70,000
Telephone service for
civic Center complex,
Maintenance and Water
facilities and mobile
units.
-82-
CHIEF
OF
POLICE
COMMUNITY RESOURCES OFFICE
3 OFFICERS COORDINATOR
CONSULTANT COMMUNITY RESOURCES
RESERVES 2 CSO
OPERATIONS INVESTIGA TION/SERVICES
DIVISION ------------- DIVISION
CAPTAIN CAPTAIN
TECH SERVo
7 OFFICERS 1 SGT
1 CSO-A.1.
1 CLERK
1PCO 5 OFFICERS 3 CSO
1 PrT XlCOORD 4 OFFICERS
24 XlGUARDS 1 DEPT CLK 2 CSO 8 CLERKS
K-9 1 DEPT CLK 1 PrT AIDE
3 OFFICERS 1 PrT TYPIST 1 PrT TYPIST
3 CANINES
EXPLORERS
PROP & EVID PERS & TRG
1 PROP OFC 1 OFFICER
1 PROP AIDE 1 DEPT CLK
1 PrT AIDE
-83-
Capital Outlay
Computer Software
Office Equipment
Office Furniture
Computing Hardware
Departmental Equipment
Communications Equipment
Passenger Vehicles
Police Vehicles
Total Capital Outlay
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
97 103 109 118
$3,846,726 $4,398,216 $3,981,043 $5,175,650
1,093,803 1,291,844 1,275,871 1,903,755
$4,940,529 $5,690,060 $5,256,914 $7,079,405
$38,017 $37,025 $38,025 $41,525
42,114 34,757 36,757 27,998
218,594 233,758 247,619 225,371
14,154 12,759 12,759 6,669
43,091 44,496 58,769 56,424
175,008 260,599 261,084 86,812
101,506 125,796 116,671 132,639
$632,484 $749,190 $771,684 $577,438
$0 $0 $0 $0
o o o 720
o o ° 0
43,891 105,788 103,054 4,000
22,173 22,030 21,421 79,173
4,055 28,652 30,311 11,250
15,094 o o 0
20,722 o o 22,000
$105,935 $156,470 $154,786 $117,143
$5,678,948 $6,595,720 $6,183,384 $7,773,986
- _____m_-
_n . ----------
-R4-
DEPARTMENT:
Police
PERSONNEL DETAIL
Full- Time Staff
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Canine Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
DEPARTMENT TOTAL
DEPARTMENT:
POLICE
DIVISION:
ADMINISTRATION/COMMUNITY RESOURCES
DESCRIPTION: The Administration/Community Resources Division provides leadership and
management direction to all Police Department functions. Its primary responsibility is to
ensure that the Department's purpose of providing protection to life and property through
crime and accident prevention, detection and apprehension is achieved. The Administration
and Community Resources Division is also responsible for maintaining open lines of
communication between the Police Department and the community.
TASKS:
Crime prevention is achieved through educating the community about safety
awareness. Crime statistics are maintained and research projects conducted
to assist all Department Divisions in achieving the Police Department's goal
of reducing crime.
1.
Provide administrative leadership to the entire Department.
2.
Provide budget direction and control.
3.
Review and implement new programs to enhance effectiveness of Department.
4.
Provide supervision and direction to the Community Resources Unit.
5.
Ensure free flow of internal and external information.
6.
Participate in citywide team management concepts.
7.
Provide training and learning opportunities to all police personnel as it relates to
their individual task assignments.
8.
Provide direction and analysis to staff projects.
-85-
Administration Tasks (continued)
9.
Coordinate with other law enforcement agencies, local, state, and federal.
10.
Coordinate Police Department activities with other City Departments.
11.
Continue to provide consistent and uniform levels of police services as the community
grows
12.
Evaluate ways of enhancing the community relations program.
12.
Institute a city-wide problem oriented policing (POP) program.
14.
Expand the DARE Program and continue to provide other youth programs.
DIVISION BUDGET:
Personnel $ 656,393
Operations 54,115
Captialoutlay 0
TOTAL $ 710,508
-86-
1990-91 BUDGET DETAIL
DEPARTMENT:
Police
DIVISION:
Administration
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
$306,368 $382,508 $335,911 $478,438
98,928 119,461 103,242 177,955
$405,296 $501,969 $439, 153 $656,393
$0 $3,300 $3,300 $6,000
1,682 400 400 280
21,477 9,556 10,593 10,506
14,372 24,533 24,533 13,959
18,154 22,020 22,216 23,370
$55,685 $59.809 $61,042 $54,115
$0 $4,475 $2,032 $0
$0 $4,475 $2,032 $0
$460,981 $566,253 $502,227 $710,508
-87-
PERSONNEL DETAIL
Police Chief
Captain
Police Officer
Office Coordinator
Division Secretary
Comm. Services Officer
1 $5,389-$5,389
2 $3,990-$4,850
1 $2,422-$2,943
1 $2,007-$2,440
1 $1,748-$2,124
~ $1,650-$2,005
7
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenefits
Total Personnel Costs
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Transportation Expense
Training & De\.elopment
Total Supplies & Services
Capital Outlay
Department Equipment
Total Capital Outlay
DIVISION TOTAL:
1
2
2
1
1
1
8
$6,667-$6,667
$4,449-$5,408
$2,736-$3,325
$2,293-$2,787
$1,977-$2,403
$1,793-$2,180
1 $6,733-$6,733 1 $6,733-$6,733
2 $4,672-$5,679 2 $4,672-$5,679
2 $2,930-$3,561 3 $2,930-$3,561
1 $2,419-$2,940 1 $2,419-$2,940
1 $2,004-$2,435 1 $2,004-$2,435
1 $1,953-$2,674 2 $1,953-$2,674
- -
8 10
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT:
POLICE
DIVISION
ADMINISTRATION - 5010
Account
89/90
.2..QL21
$23,370
Description
Training & Development $22,050
Includes $6,500 for meetings,
$14,320 for training, and $2,550
for membership and subscriptions.
$6,426 is POST reimburseable.
-88-
TASKS:
DEPARTMENT:
DIVISION:
DESCRIPTION:
POLICE
OPERATIONS
The Operations Division is comprised of two areas of service; Patrol and
Traffic. The Patrol program includes the availability of a uniformed
officer responsible for responding to citizen calls for service and personal
observations of criminal or suspected criminal activity twenty-four hours a
day, 365 days a year; the initial investigation and subsequent documentation
of violations of the law; statistical analysis of specific criminal
offenses; enforcement of local and state laws and the arrest of suspected
offenders; investigation of miscellaneous, non-criminal incidents;
preservation of life and property during natural disaster, providing
emergency first aid as required at scenes of medical emergencies; provision
for mutual aid as needed; general traffic enforcement and investigation in
the absence of specialized traffic accident investigation personnel;
supervision, coordination training and deployment of all uniformed personnel
including the personnel of the K-9 Program, the Police Reserve Program and
Communications personnel.
The Traffic Program supplements the Patrol section through specialized
deployment of motorcycle officers to combat specific traffic problems as
outlined by the traffic accident analysis; Parking Control Program and the
abatement of abandoned vehicles.
1.
Respond to calls for emergency police service with a goal of a 3-minute response
time.
2.
Respond to non-emergency (report) calls for service with a goal of a 10-minute
response time.
3.
Maintain an average patrol time availability of 25% per Officer.
4.
write and/or record all police reports.
5.
Crime suppression through specific crime analysis and a high degree of visibility of
patrol units in the high crime areas.
6.
Crime suppression through deployment of special enforcement units.
-89-
11.
12.
13 .
14.
15.
16.
17 .
18.
19.
20.
Operations Tasks (continued)
7
Reduce traffic accidents through analysis program coupled with comprehensive selective
enforcement program.
8.
Cross-train ~ll patrol officers in traffic matters.
9.
Apprehension, transportation and booking of offenders.
10.
Document and evaluate job performance of all assigned personnel
Conduct presentations before public and private groups including Community Watch
Programs.
Receiving, interpreting, recording and transmitting information appropriQtely via the
Communications Center.
Conduct briefing sessions and roll call training.
Conduct bi-monthly training days for all assigned personnel.
Conduct firearms training and qualification.
Decrease the numer of abandoned vehicles left on city streets and private property
through the vehicle abatement program.
Maintain an appropriate number/level of available resources (personnel and equipment
in order to achieve the above-stated tasks without the necessity of service level
reductions.
Refine and implement Field Training Officer Program.
Establish comprehensive operating procedures.
Reorganize the traffic division.
DIVISION !3UDGET:
Personnel
Operations
Capital Outlay
$
4,661,206
212,919
33,970
-90-
TOT^L
$
4,908,095
1990-91 BUDGET DETAIL
DEPARTMENT: Police
DIVISION:
Operations
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
4 $3,469-$4,216 4 $3,811-$4,633 4 $4,002-$4,864 4 $4,002-$4,864
7 $2,961-$3,599 7 $3,314-$4,028 7 $3,414-$4,150 8 $3,414-$4,150
38 $2,422-$2,943 40 $2,736-$3,325 46 $2,930-$3,561 52 $2,930-$3,561
1 $1,521-$1,848 1 $1,672-$2,033 1 $1,821-$2,221 1 $1,821-$2,221
7 $1,802-$2,191 7 $1,987-$2,416 7 $2,164-$2,631 7 $2,164-$2,631
1 $1,733-$2,106 1 $1,953-$2,374 1 $1,953-$2,374
~ $2,257-$2,743 1 $2,767-$3,363 1 $2,767-$3,363
57 61 67 74
$2,474,455 $2,812,637 $2,531,143 $3,367,166
707,195 837,695 822,713 1,294,040
$3,181,650 $3,650,332 $3,353,856 $4,661,206
$10,839 $9,375 $10,375 $14,375
92,906 137,618 144,218 102,140
10,643 12,000 12,000 12,000
14,154 12,759 12,759 6,669
120,282 175,165 175,650 30,944
42,326 54,518 45,197 46,791
$291,150 $401,435 $400, 199 $212,919
$4,055 $28,652 $30,311 $11,250
15,094 o o 0
20,722 o o 22,000
o o o 720
o 16,780 15,121 0
$39,871 $45,432 $45,432 $33,970
$3,512,671 $4,097,199 $3,799,487 $4,908,095
PERSONNEL DETAIL
Lieutenants
Sergeants
Police Officer
Parking Control Officer
Communications Officer
CSO/Traffic Investigator
Dispatch Supervisor
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
Supplies & Services
Contracual Services
Departmental Expense
Computer Expense
Canine Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Communications Equipment
Passenger Vehicles
Police Vehicles
Office Equipment
Department Equipment
Total Capital Outlay
DIVISION TOTAL:
-91-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT: POLICE
DIVISION: OPERATIONS - 5020
Account 89/90 90/91
Departmental Expense $120,872 $102,140
Transportation Expense
$175,165
$ 30,944
Training and Development
$ 45,197
$ 46,791
-92
Description
Includes $1,000 for modifica-
tions, $18,350 for supplies,
$42,700 for uniforms, $33,935
for special equipment mainten-
ance, $5,155 for printing
expenses, $12,000 for computer
operations, and $6,669 for
canine expe~ses.
Provides for future replacement
of 15 patrol units, 3 canine
units, 1 parking control unit,
and 7 motorcycles.
Includes $4,093 for meetings,
$41,281 for training, and $1,417
memberships and subscriptions.
$37,056 is POST reimburseable.
DEPARTMENT:
Police
1990-91 BUDGET DETAIL
DIVISION:
Investigations
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Lieutenant
Sergeant
Police Agent
Police Officer
Non-Sworn Investigator
Department Clerk
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
1 $3,469-$4,216 1 $3,811-$4,633
1 $2,961-$3,599 1 $3,314-$4,028
1 $2,543-$3,091 1 $2,776-$3,374
9 $2,422-$2,943 9 $2,735-$3,325 9 $2,930-$3,561
2 $1,650-$2,005 2 $1,793-$2,180 2 $1,953-$2,374
2 $1,594-$1,937 2 $1,803-$2,191 2 $1,902-$2,312
- - -
16 16 16
1 $4,002-$4,864
2 $3,414-$4,150
1 $4,002-$4,864
2 $3,414-$4,150
9 $2,930-$3,561
2 $1,953-$2,374
2 $1,902-$2,312
16
$617,319 $675,914 $656,466
177,881 194,679 210,796
$795,200 $870,593 $867,262
$27,178 $24,350 $24,350
41,149 22,115 22,115
33,138 54,651 54,651
17,554 16,450 16,450
$119,019 $117,566 $117,566
$737,395
262,227
$999,622
Supplies & Services
Contractual Services
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$21,150
27,759
38,409
16,913
$104,231
Capital Outlay
Departmental Equipment
Total Capital Outlay
$9,629 $0 $759 $0
$9,629 $0 $759 $0
$923,848 $988, 159 $985,587 $1,103,853
DIVISION TOTAL:
-93-
7.
8.
9.
10.
DEPARTMEMENT:
POLICE
DIVISION:
INVESTIGATION
DESCRIPTION:
The Investigation Division is responsible for
investigating crimes against persons and property,
juvenile cases, vice, narcotics, white collar crime, and
criminal intelligence gathering.
TASKS:
1.
Manage, plan, organize and audit the investigation functions of the Department.
2.
Provide required support functions for the Investigations Section.
3.
Provide case audit and management of workable follow-up investigations for the
identification, apprehension of offenders, and recovery of property.
4.
Identify and respond to community needs and expectations concerning the juvenile
justice system.
5.
Utilize the juvenile diversion program provided by the Assessment and Treatment
Services Center.
6.
Maintain an ongoing liaison with the District Attorney's Office to ensure proper
prosecution of criminals arrested by this Department.
Investigate crimes dealing with vice, narcotics and white collar crimes.
Maintain criminal intelligence and liaison with other agencies and the community.
Support the Operations Division as necessary to ensure achievement of the
Department's goals and tasks.
Establish comprehensive operating procedures.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$
999,622
104,231
0
TOTAL
$1,103,853
-94-
DEPARTMENT:
DIVISION:
Acccount
Contractual
Services
Departmental
Expense
Transportation
Expense
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
POLICE
INVESTIGATIONS - 5030
89/90
90/91
Description
$ 24,350
$ 21,150
Includes $20,100 for professional
and consulting services (includes
$18,000 for ATSC, $2,000 for We Tip,
$1,050 for joint emergency services,
this is for our annual CAL-ID users
fee.
$ 21,413
$ 27,759
Includes $3,830 for departmental
supplies, $5,400 for uniforms,
$2,725 for special equipment
maintenance, $2,652 for special
equipment rental, $1,050 for
printing expenses, and $11,850 for
investigative expenses.
$ 54,651
$ 38,409
Provides for replacement of 8
detective vehicles into the vehicle
replacement fund and monthly rental
fees for 3 undercover vehicles used
in narcotics enforcement.
-95-
TASKS:
2.
3.
4.
5.
6.
7.
8.
9.
10.
11.
DEPARTMENT:
POLICE
DIVISION:
SERVICES
DESCRIPTION:
The Services Division provides support assistance for field
operations and investigation personnel in order to maintain
the 24-hour operation of the Police Department. It also
coordinates the selection and training of police personnel and
maintains a centralized records system for the Police
Department.
1.
Provide planning and research for various Police Department functions.
Investigate businesses requiring city permits and/or licenses.
Coordinate and monitor the Department's fiscal activities on a daily basis.
Provide copies of police reports, statistics, etc., to the public in accordance
with State guidelines.
!1aintain and provide criminal, incident and traffic activity information.
Provide statistical and crime data to Federal and State agencies and to police
personnel.
Coordinate the processing and selection of the best qualified persons for
positions within the Police Department.
!1aintain complete and accurate personnel and departmental records.
Coordinate the training for all departmental personnel.
Provide accurate recording, storage, and retrieval of all property and evidence.
Identify and purge accumulated property within legal guidelines.
-96-
Services Tasks (continued)
12.
13.
14.
15.
16.
17.
18.
19.
Coordinate the annual police auction.
Maintain accurate records for fiscal review and order department supplies and
equipment.
Complete implementation of the Department's data processing system.
Institute comprehensive integrity training for all department personnel.
Revise current manual of policies and ethics.
Establish comprehensive operating procedures.
Institute a comprehensive personnel recruitment program.
Evaluate the feasibility of a computer aided dispatch/records system.
DIVISION BUDGET:
Personnel
Operations
capital Outlay
$
762,184
206,173
83,173
TOTAL
$1,051,530
-97-
1990-91 BUDGET DETAIL
DEPARTMENT:
Police
DIVISION:
Services
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Sergeant
Police Officer
Records Supervisor
Property Officer
Non-Sworn Investigator
Department Clerk
Records Clerk
Property Aide
1 $2,961-$3,599 1 $3,314-$1,028 1 $3,411-$4,150 1 $3,414-$4,150
1 $2,422-$2,943 1 $2,735-$3,325 1 $2,930-$3,561 1 $2,930-$3,561
1 $2,052-$2,495 1 $2,495-$3,032 1 $2,619-$3,184 1 $2,619-$3,184
1 $1,825-$2.218 1 $2,007-$2,439 1 $2,185-$2,656 1 $2,185-$2,656
3 $1,650-$2,005 3 $1,793-$2,180 3 $1,953-$2,374 3 $1,953-$2,374
1 $1,594-$1,937 1 $1,803-$2,191 1 $1,902-$2,213 1 $1,902-$2,213
8 $1,525-$1,854 9 $1,726-$2,097 9 $1,820-$2,213 9 $1,820-$2,213
1 $1,379-$1,676 1 $1,516-$1,843 1 $1,599-$1,944 1 $1,599-$1,944
- - - -
17 18 18 18
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenVBenefits
Total Personnel Costs
$448,584 $527,157 $457,523 $592,651
109,799 140,009 139,120 169,533
$558,383 $667,166 $596,643 $762,184
$40,432 $34,357 $36,357 $27,718
63,062 64,469 70,693 84,966
32,448 32,496 46,769 44,424
7,216 6,250 6,250 3,500
23,472 32,808 32,808 45,565
$166,630 $170,380 $192,877 $206,173
Supplies & Services
Office Expense
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Departmental Equipment
Computing Hardware
Total Capital Outlay
$12,544
43,891
$56,435
$775
105,788
$106,563
$3,509
103,054
$106,563
$79,173
4,000
$83,173
DIVISION TOTAL:
$781,448
$944,109
$896,083
$1,051,530
----~-~-_._--
---~------
-QQ-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT: POLICE
DIVISION SERVICES - 5040
Account 89/90 90/91
Office Expense $ 34,357 $ 27,718
Description
Includes $10,040 for officer
operating supplies, $5,396 for
duplication expense,$7,345 for
microfilm/microfiche expense, $2,605
for word processing expense, and
$2,332 for office equipment
maintenance.
Departmental Expense
$ 93,487
$ 84,966
Includes $47,538 for departmental
supplies, $1,123 for expendable
equipment, $3,100 for uniforms,
$8,997 for special equipment
maintenance, $17,208 for special
equipment rental, and $7,000 for
printing expenses.
Computer Expense
$ 32,496
$ 44,424
computer maintenance for main frame
computers and peripherals.
Training & Development $ 32,808
$ 45,565
Includes $5,131 for meetings,
$39,171 for training expenses and
$1,263 for membership and sub-
scriptions. $11,209 of this is POST
reimburseable.
-99-
1990-91 BUDGET DETAIL
DEPARTMENT:
Fire Protection
DIVISION:
Administratiön
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
ACCOUNTING DETAIL
Personnel
Total Personnel Costs
0
$0
0
$0
0
$0
0
$0
SuQQlies & Services
County Fire Contract
Total Supplies & Services
$2,506,020
$2,506,020
$2,662,743
$2,662,743
$2,662,743
$2,662,743
$2,975,808
$2,975,808
CaDit,!! Outlay
Total Capital Outlay
0
$0
0
$0
0
$0
0
$0
DIVISION TOTAL:
$2,506,020
$2,662,743
$2,662,743
$2,975,808
-100-
flECREA TIOtJ
SUPERVISOFI
CLASSES. CUL TUIlAL
ARTS SENIOR CITIZENS
BIlOCHURE
--
~
flECflEATIGr¡
COOIlDII~A TOR
(SENIOR CITIZEllSj
~
1':OIHRACTEMPLOYEES
CONTRACT
INSTRI ICTORS
VOLUNTEERS
I
CONTRACT EMPLOYEES
RECREATION
SPECIALISTS
VOLUlnEERS
DIRECTOR OF
COMMUI'JITYI ADMINISTRATIVE
SERVICES
RECREATION
SUPERINTENDENT
SECRET AfW
DEPARTMENT CLEfiK
INTEHMEDIATE
TYPIST CLEI1I(
-101-
RECREATION surE/WISOR
PLAYGROUNDS. TINY TOTS
PUBLICITY. SPECIAL
EVENTS
CONTRACT EMPLOYEES
VOLUNTEEIlS
PARK MOIHlORS
RECREATION SUPERVISOR
ADULTIYOUTII SPOflTS
FACILITIES. FIELDS
SPECIAL EVEi'HS
CONTRACT EMPLOYEES
SPORTS OFFICIALS
COACIIES. VOLUNTEERS
1990-91 BUDGET DETAIL
DEPARTMENT: Community Services
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
PERSONNEL DETA/L
Full-Time Staff 8.5 9 9 9
ACCOUNTING DETA/L
Personnel
Salaries $236,400 $308,766 $285,284 $321,253
Retirement/Benefits 55,077 72,794 69,696 88,118
Total Personnel Costs $291,477 $381,560 $354,980 $409,371
Supplies & Services
Contractual Services $378,013 $440,416 $428,831 $416,999
Office Expense 2,488 S,120 8,015 6,133
Departmental Expense 66,369 107,621 88,200 84,824
Facilities Expense 25,858 22,860 23,955 24,360
Transportation Expense 12,630 20,099 20,099 22,125
Training & Development 6,892 14,212 11,332 14,430
Total Supplies & Services $492,250 $610,328 $580,432 $568,871
Capital Outlay
Typewriters $0 $0 SO $700
Office Equipment 6,939 6,574 6,574 0
Departmental Equipment 4,884 3,061 o 7,549
Computing Hardware 3,391 11,085 7,129 0
Total Capital Outlay $15,214 $20,720 $13,703 $8,2,19
DEPARTMENT TOTAL $798,941 $1,012,608 $949,115 $986,491
-102-
DEPARTMENT:
COMMUNITY SERVICES
DIVISION:
ADMINISTRATION
DESCRIPTION:
Administration is responsible for managing the entire Community services
Department; including personnel, fiscal policy, long-range planning,
training, and operational policies. The Department plans, organizes,
and manages recreation and Community Services programs which enables
Tustin residents of all ages, interests, and capabilities, to experience
self-satisfaction, personal growth, and fulfillment through participation
in leisure activities.
TASKS:
1.
Allocates the necessary resources including labor, finances, equipment, and facilities
for the provision of leisure services.
2.
Ensures effective management by setting standards,
performance of staff.
evaluating,
and controlling the
3.
Evaluates programs, and facilities. Recommends and implements necessary changes to
ensure that participant expectations are being met.
4.
Secures appropriate fees and charges in support of programs and services.
5.
Attracts participants to leisure activity programs; to maintain a positive public image.
6.
Works with community agencies, institutions, organizations, and individuals by making
staff available for consultation services.
7.
Works with citizens, the Parks and Recreation Commission, and consultants to design and
establish public facilities, parks, and open space which meet the needs and interests
of the community.
8.
Develops long-range plans and strategies for future open space. Currently working with
a financial consultant to complete a park financing plan.
9.
Maintains contact with the legislative network and professional lobbyists which serve
the interests of the recreation and parks movement.
-103-
10.
11.
12.
13.
14.
Schedules and rents Clifton C. Miller Community Center, Council Chambers, Tustin Area
Senior Center, and other public facilities.
Coordinates the Department's Capital Improvement Program which includes rehabilitation
of existing, and construction of new facilities. Planned for this year are completion
of design and construction of the Neighborhood Park at Heritage and Myford in Tustin
Ranch, completion of the construction Columbus Tustin Phase 2A Improvements, and the
design of the twenty acre sports complex in Tustin Ranch, provided adequate funds are
available for construction.
Implements good customer services practices by providing extended hours of operation
and requesting feedback from our participants.
Reviews City policies regarding community Services Programs
Recreation Commission and recommends changes as necessary.
with
the
Parks
and
Facilitates work of the Ad Hoc Child Care Committee to identify community needs,
relevant issues, and appropriate solutions.
DIVISION BUDGET:
Personnel $185,471
Operations 58,279
Capital Outlay -0-
Total
$243,750
-104-
.
DEPARTMENT:
1990-91 BUDGET DETAIL
Community Services
DIVISION:
Administration
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
1 $2,794-$3,396 1 $3,194-$3,883 1 $3,354-$4,077 1 $3,354-$4,077
1 $1,679-$2,041 1 $1,890-$2,309 1 $2,004-$2,435 1 $2,004-$2,435
1 $1,803-$2,191 2 $1,803-$2,191 2 $1,902-$2,312 2 $1,902-$2,312
1 $1,418-$1,724 - -
4 4 4 4
PERSONNEL DETAIL
Recreation Superintendent
Secretary
Department Clerk
Intermediate Clerk Typist
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$114,496 $134,067 $134,067 $144,373
28,103 33,578 33,686 41,098
$142,599 $167,645 $167,753 $185,471
$7,731 $25,673 $13,921 $25,528
2,060 3,252 3,251 3,251
17,248 15,425 15,449 18,525
1,800 1,800 1,800 1,800
4,525 8,730 7,295 9,175
$33,364 $54,880 $41,716 $58,279
$0 $0 $0 $0
6,939 6,574 6,574 0
$6,939 $6,574 $6,574 $0
$182,902 $229,099 $216,043 $243,750
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Typewriters
Other Office Equipment
Total Capital Outlay
DIVISION TOTAL:
-105-
DEPARTHENT:
DESCRIPTION OF ACCOUNTS $20,000 OR HORE
com1UNITY SERVICES
DIVISION:
ADHINISTRATION
DIVISION ACCOUNT
Professional & Consulting
Services
Actual
1989/90
$19,000
1990/91
$23,428
-106-
DESCRIPTION
Contract services for
consultants - Park
Financing Plan and
related studies;
arborist for protection
of trees in Tustin
Ranch; miscellaneous
park design studies
and updating CIP costs;
phone study for the
Senior Center;
playground equipment
safety audit; free-
lance writer for
upgrading program
promotion information;
and computer study for
Senior Center to be
part of existing
department computer
network.
COMMUNITY SERVICES
DEPARTMENT: .
SPORTS
DIVISION:
The Sports Division provides recreational programs for both youth and
adults. Among the youth programs are: Track Clinic, Track Meet, Cross
Country Meet and Soccer Clinic. The number of participants in these
youth programs total over 450. The adult softball program (450 teams)
participates mid-January through mid-December. The division is also
responsible for coordinating, scheduling and preparing all athletic
fields for both the adult leagues and the following youth groups: A.F.A.
girls fast pitch, A.Y.S.O. soccer (reserves fields and provides lights),
and both Tustin and Foothill girl's softball teams. Lastly, the Sports
Division spearheads the city Chili Cook-Off celebration and provides I
support for the other City conducted special events.
DESCRIPTION:
TASKS:
1.
Promotes and conducts youth sports activities: cross country meet, track clinic, and
track meet. Schedules advance field reservations for youth and adult sports
organizations.
2.
Works cooperatively with AYSO (American Youth Soccer Organization) to plan and promote
youth soccer clinic and instructional league.
3.
Schedules over 2,000 softball games involving approximately 43,000 participants.
Schedules staff to maintain City athletic fields. Collects fees, organizational
meetings, assigns officials and compiles standings of all softball leagues.
4.
Promotes and plans various special events:
Halloween Carnival and Chili Cook-Off.
5.
Sets and monitors specific goals to increase participation and quality programming.
6.
Conducts surveys and evaluates programs and events to ensure quality programming,
positive public relations and establish community interest.
7.
Assist Parks and Recreation commission in researching various projects
development, joint use, etc.), written and verbal reports, per requests.
(park
-107-
8.
Coordinates the overall maintenance of the Columbus Tustin facility with the Tustin
Unified School District, the City Maintenance Department and Community Services part-
time staff.
9.
Purchases suppli~s, capital items and materials necessary to maintain City sports
programs. Submits purchase recommendations for various state and regional grants.
Compiles bids specifications for purchasing.
DIVISION BUDGET:
Personnel $ 45,534
Operations 89,126
Capital Outlay -0-
TOTAL:
$134,660
-108-
DEPARTMENT:
1990-91 BUDGET DETAIL
Community Services
DIVISION:
Sports
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
1 $2,094-$2,545 1 $2,496-$3,034 1 $2,571-3,125 1 $2,571-3,125
-
1
PERSONNEL DETAIL
Recreation Supervisor
ACCOUNTING DETAIL
Personnel
Supplies & Services
Contracual Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$34,636 $35,352 $35,352 $37,500
6,260 6,989 7,435 8,034
$40,896 $42,341 $42,787 $45,534
$60,276 $58,697 $58,697 $62,520
49 441 441 410
17,641 23,589 23,589 19,889
1,956 7,191 7,191 5,117
942 1,245 800 1,190
$80,864 $91,163 $90,718 $89,126
$0 $0 $0 $0
$0 $0 $0 $0
$121,760 $133,504 $133,505 $134,660
Salaries
Retirement/Benefits
Total Personnel Costs
Capital Outlay
Department Equipment
Total Capital Outlay
DIVISION TOTAL:
-109-
DEPARTI1ENT:
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
COMMUNITY SERVICES
SPORTS
DIVISION ACCOUNT
Contractual Service
1989/90
$58,697
-110-
1990/91
$62,520
DESCRIPTION
This account provides
$38,500 for umpires.
$8,400 is budgeted for
field maintenance with
$6,000 budgeted for
supervision of fields
for softball leagues
and tournaments. An
amount of $5,000 is
provided for an in-
office recreation
assistant to help with
field scheduling and
reg i s t rat ion
processing. For the
track program, $700
is provided for a
c1 inic instructor and
$400 is provided for
workers for the track
and cross country
meets. $2,000 is
budgeted for a soccer
clinic instructor and
staff.
DEPARTMENT:
COMMUNITY SERVICES
DIVISION:
CLASSES/CULTURAL ARTS
DESCRIPTION:
The Cultural Arts/Classes division promotes, coordinates, and supervises all recreation
classes, plays, dances, lectures, and special programs such as Carousel. The division is
responsible for publicity, including the City brochure; procurement of instructors; supplies
and facilities; coordination with the School District; class registrations; and records.
The division oversees City-wide events such as 5/10K Run, Concerts in the Park, Easter Egg
Hunt. The division oversees the game basket and Santa suit rental.
TASKS:
1.
Provides 200-250 recreation classes per quarter in such areas as dance (for Tiny
Tots through Seniors), music, drama, crafts, exercise programs, tennis, gymnastics,
bridge, speed reading, and more.
2.
Sponsors cultural activities such as Evening of Dance, Concerts in the Park and
plays in coordination with L.P. Repertory. Promotes many special programs such
as Youth Arts Carousel, a high quality fine arts program for children.
3.
Offers lectures on subjects of interest to the community. Some topics have
included: Tax Preparation, Yoga, Assertion Training, Money Mangement, Travel Fun
Shop, Time Management and Recordkeeping.
4.
Promotes and develops special events such as 5/10K Run, Concerts in the Park and
Easter Egg Hunt.
5.
Evaluates classes for effectiveness. Uses customer orientated evaluation process
to respond appropriately to the needs of the public.
6.
Computerizes the facility reservation system to more effectively service our
clients and streamline reports. Continues to work with school district on facility
use.
7.
Develops joint programs with corporations and businesses in Tustin.
-111-
8.
9.
10.
Works with the Commission in evaluating the class fee policy.
Takes a service oriented approach to all customers by follow-up, evaluations and
notifications and prompt response.
Works on publicizing Community Services programs by sending out timely press
releases, taking pictures, and using appropriate mailing list.
DIVISION BUDGET
Personnel $ 47,301
operations 175,284
Capital Outlay -0-
TOTAL
$223,234
-112-
DEPARTMENT:
1990-91 BUDGET DETAIL
Community Services
DIVISION:
Classes/Cultural Arts
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Recreation Supervisor
7-$2,094-$2,545 ~$2,496-$3,034 ~$2,571-3,125 ~ $2,571-3,125
1 1 1 1
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$36,852
7,679
$44,531
$35,352
8,657
$44,009
$35,352
9,406
-
$44,758
$37,500
9,801
$47,301
SuQPlies & Services
Contractual Services
Facilities Expense
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$110,183 $141,900 $125,591 $142,450
25,858 22,860 23,955 24,360
145 550 550 550
4,142 5,057 6,871 5,236
778 1,166 1,166 1,542
988 1,346 1,173 1,146
$142,094 $172,879 $159,306 $175,284
$3,391 $11,085 $7,129 $0
1,098 2,007 o 649
$4,489 $13,092 $7,129 $649
$191,114 $229,980 $211,193 $223,234
Capital Outlay
Computing Hardware
Departmental Equipment
Total Capital Outlay
DIVISION TOTAL:
-113-
DEPARTMENT:
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
COMMUNITY SERVICES
CLASSES AND CULTURAL ARTS
DIVISION ACCOUNT
1989/90
Contractual Services
$141,900
Building Rental
22,860
1990/91
$142,450
24,360
-114-
DESCRIPTION
Contract services for
instructors, Carousel,
Concerts, part-time
advertising, plays,
dance and new programs
Lambert School Lease
DEPARTMENT:
COHMUNITY SERVICES
DIVISION:
YOUTH SERVICES
DESCRIPTION:
The division plans, organizes, promotes, coordinates and supervises youth
activities and special projects. These activities include recreation
programs at Frontier, Magnolia and centennial Parks, summer, winter and
spring day camps, Child Development Program, after school child care,
teen programs, and volunteers. The division is also responsible for
special projects such as Tree Lighting Ceremony, special events, game
basket, Santa suit and excursions for youth and adults. The division
assists in such events as Tustin Tiller Days, EI Camino Real Chili Cook-
Off, and the 5/10K Run.
The division manages the operation of recreation facilities operated by
the department. These facilities include the Tustin Area Senior Center,
Clifton C. Miller Community Center, as well as the city-operated parks
and recreation areas. The division is also responsible for assisting
with the coordination of recreation facility planning, design
construction and renovation.
TASKS:
1.
Provides supervision for school-age children at three parks.
2.
Supervises contract after-school day care programs.
3.
Manages Summer, Winter and Spring Day Camps.
4.
Provides special holiday programs (excursions, Tree Lighting ceremony, special events,
volunteers, Santa suit and Game basket).
5.
supervises Child Development contract.
6.
Provides teen programs.
7.
Coordinates the City's volunteer program which utilizes over 200 volunteers each year
to produce city-sponsored programs.
-115-
8.
9.
10.
Serves as the staff contact for Child Care information.
Represents department on design review committee.
Coordinates park and recreation facility planning, design, construction and renovation.
DIVISION BUDGET
Personnel $ 50,053
Operations 182,992
Capital Outlay -0-
TOTAL
$233,045
-116-
1990-91 BUDGET DETAIL
DEPARTMENT: Community Services
DIVISION:
Youth Services
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Recreation Supervisor
0.5 $2,094-$2,545 ~$2,496-$3,034 ~$2,571-3,125 ~$2,571-3,125
0.5 1 1 1
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenefits
Total Personnel Costs
$31,631
7,428
$39,059
$35,352
8,657
$44,009
$34,380
8,361
$42,741
$37,500
12,553
$50,053
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$188,593
117
18,325
7,218
240
$214,493
$208,691
300
25,070
8,476
1,190
$243,727
$225,000
327
22,565
8,476
950
$257,318
$154,796
300
14,895
11,823
1,178
$182,992
Capital Outlay
Other Dept. Equipment
Total Capital Outlay
$3,786
$3,786
$1,054
$1,054
$0
$0
$0
$0
DIVISION TOTAL:
$257,338
$288,790
$300,059
$233,045
-117-
DEPARTHENT:
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
COill1UNITY SERVICES
YOUTH SERVICES
DIVISION ACCOUNT
Contractual Services
1989/90
$225,000
-118-
1990/91
$154,796
DESCRIPTION
An amount of $137,600
is provided for
contract child care
services for Kid's
Centers at Veeh and
Beswick Schools.
$15,416 is budgeted
for Car.,p Tustin and
Hol iday Camp workers.
Amounts of $600 is
budgeted for teen
programs, $700 for the
Volunteer Reception,
$500 for various
special events, $450
for the Tree Lighting
Banner, and $150 for
the Santa Suit.
DEPARTMENT:
COMMUNITY SERVICES
DIVISION:
HUMAN SERVICES/SENIOR CITIZENS
DESCRIPTION:
The Senior Citizen/Human Service Division is responsible for the
operation of the Tustin Area Senior Center. Program Coordination
involving a wide variety of recreational, educational, and social
services is this division's primary charge. These activities are
accomplished in part with the cosponsorship of such organizations as:
Feedback Foundation's Transportation Lunch and Counseling Program; Irvine
Valley College Emeritus Institute; and Orange county Health Department.
TASKS:
1.
Provides supervisory administrative and operational direction for the Tustin Area Senior
Center.
2.
Coordinates and promotes senior citizens activities and services
following three target areas:
focusing on the
*
Human Service - Social and human services designed to assist those with needs in
basic activities of daily living including nutrition, physical and mental wel1ness
and housing.
*
Enrichment - Recreational and educational programs providing activities options
for seniors with special life enriching interests.
*
Core- Recreational and educational programs providing activities options
seniors improving the quality of life.
for
3.
Conducts outreach and information and referral through monthly newsletters, specially
trained volunteer and professional staff and community interaction.
-119-
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1990-91 BUDGET DETAIL
DEPARTMENT:
Community Services
DIVISION:
Human Services/Senior Citizens
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Recreation Supervisor
Recreation Coordinator
1 $2,094-$2,545 1 $2,496-$3,034 1 $2,571-3,125 1 $2,571-3,125
~ $1,715-$2,085 ~ $1,886-$2,293 ~ $1,981-$2,408 ~ $1,981-$2,408
2 2 2 2
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/B'enefits
Total Personnel Costs
$18,785 $68,643 $46, 133 $64,380
5,607 14,913 10,808 16,632
$24,392 $83,556 $56,941 $81,012
$11,230 $5,455 $5,622 $31,705
117 577 3,446 1,622
9,013 38,480 19,726 26,279
878 1,466 1,466 1,843
197 1,701 1,114 1,741
$21,435 $47,679 $31,374 $63,190
$0 $0 $0 $700
$0 $0 $0 $6,900
$0 $0 $0 $7,600
$45,827 $131,235 $88,315 $151,802
Supplies & Services
C~ntractual Services
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Typewriters
Department Equipment
Total Capital Outlay
DIVISION TOTAL:
-121-
DEPARTHENT:
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR HORE
COHHUNITY SERVICES
HUlll\N SERVICES/SENIOR CITIZENS
1989/90
DIVISION ACCOUNT
Contract Services
$5,455
-122-
1990/91
$31,705
DESCRIPTION
Contract services
including $5,445 for
Con sol i d ate d
Transportation Services
Agency, $10,560 for
the Senior Dance Band
(projected revenue
$14,400), and a variety
of instructor classes
including fitness,
dance, watercolor,
counseling services
and semin¿Œ honoraria.
DEPARTMENT:
NON-DEPARTMENTAL
DESCRIPTION:
The non-departmental accounts are general in nature and cannot easily be
assigned to a specific department. They consist of items such as
liability insurance premiums, postage for all departments, duplicating
expenses for all departments, city contribution to various community
activities, city memberships, and community promotion activities.
DIVISION BUDGET:
Personnel
operations
capital Outlay
$ -0-
659,075
-0-
TOTAL
$659,075
-123-
1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT: Non-
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
ACCOUNTING DETAIL
Personnel
Total Personnel Costs
$0
$0
$0
$0
$0
$0
$0
$0
Supplies & Services
Contractual Services
Liability/Property Insurance
Facilities Expense
Office Expense
Departmental Expense
Training & Development
Otller Expense
Community Activities
Total Supplies & Services
$6,620 $15,750 $15,750 $40,000
250,000 275,000 275,000 275,000
6,699 6,000 6,245 10,000
72,547 71,500 73,564 95,000
13,081 11,100 14,035 11 ,100
9,363 9,150 9,150 10,050
1,229 1,000 3,142 1,000
89,722 148,925 149,495 216,925
$449,261 $538,425 $546,381 $659,075
$1,605 $5,000 $5,000 $0
o 0 0 o
$1,605 $1,605 $5,000 $0
$450,866 $540,030 $551,381 $659,075
-124-
Capital Outlay
Office Equipment
Computing Hardware
Total Capital Outlay
DEPARTMENT TOTAL:
DESCRIPTION OF ACCOUNTS 20,000 OR MORE
DEPARTMENT:
NON-DEPARTMENTAL
Liability & Property
Insurance
Contractual Services
Offices Expenses
Community Activities
1989-90
1990-91
$ 275,000
$ 275,000
15,750
40,000
71,500
95,000
148,925
216,925
-125-
DESCRIPTION
Premium for liability
property insurance coverage,
$275,000; transfer for
accumulation of additional
reserves for future claims.
Includes consultant fees for
for county-City Fire Service
study, $25,000; Specialized
Consultant Services,
$15,000.
Includes duplication
expenses, $50,000; and
postage, $45,000.
Includes such things as City
memberships $18,000; Chamber
of Commerce contribution
$2,400; annexation expenses
$5,000; 4th of July
Celebration, $17,640; Tiller
Days, $13,000; holiday
decorations, $1,000; and
Community Promotions,
$15,000; City Link,
$3,885; Airport Noise Study
$5,000; County Animal
Control $106,000.
GOVERNMENTAL FUNDS
CAPITAL IMPROVEMENT PROGRAM
SUMMARY
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND BUDGET PROJECTION REQUEST PLANNED PLANNED PLANNED PLANNED
GAS TAX 15,457,300 1,965,323 13,921,000 1,145,800 0 0 475,000
CAPITAL PROJECTS FUN 5,793,433 5,195,690 6,064,606 2,946,500 1,853,900 2,475,300 2,106,800
ASSESSMENT DIST, 85-1 17,544,414 6,883,144 8,665,343 2,234,400 0 0 0
ASSESSMENT DIST. 86-2 37,719,083 14,816,708 18,602,375 4,300,000 0 0 0
$76,514,230 $28,860,865 $47,253,324 $10,626,700 $1,853,900 $2,475,300 $2,581,800
CAPITAL IMPROVEMENT PROGRAM
SOURCE FUNDING SOURCE
GENERAL FUND $3,552,662 $0 $3,747,306 $2,355,300 $1,553,900 $2,175,300 $1,806,800
GAS TAX FUND 1,808,400 1,965,323 1,645,000 308,900 0 0 287,000
BEAUTIFICATION FUND 211,400 0 258,300 68,500 0 0 0
PARKDEVELOPMENTFN 735,000 0 715,000 0 0 0 0
ASSESSMENT DIST, 85-1 17,544,414 6,883,144 8,665,343 2,234,400 0 0 0
AHFP 565,000 0 507,000 339,000 0 0 188,000
FAU 0 0 0 0 0 0 0
OCUTT 114,400 0 218,000 230,000 0 0 0
HCDA 159,500 0 70,000 222,700 0 0 0
CITY OF IRVINE 7,130,000 0 6,417,000 0 0 0 0
THE IRVINE CO, 5,580,000 0 5,022,000 0 0 0 0
COUNTY OF ORANGE 0 0 0 183,000 0 0 0
CITY OF SANTA ANA 75,000 0 75,000 0 0 0 0
DEVELOPERS 0 0 0 37,000 0 0 0
SR, CENTER GRANTS 81,478 0 0 0 0 0 0
CONTRIBUTIONS 0 0 0 0 0 0 0
STATE GRANTS 170,893 0 0 47,900 0 0 0
CAL TRANS 67,000 0 67,000 0 0 0 0
CAPITAL IMPROVEMENT 1,000,000 5,195,690 1,244,000 300,000 300,000 300,000 300,000
ASSESSMENT DIST, 86-2 37,719,083 14,816,708 18,602,375 4,300,000 0 0 0
$76,514,230 $28,860,865 $47,253,324 $10,626,700 $1,853,900 $2,475,300 $2,581,800
-126-
FY 1990-91
Capital Improvements by Fund
Capi tal PrOject 2.696
Assessment Dist 53.396
TCRDA 2,196
Water 5,696
Park/Beautif'tion 1.996
General 7.396
Total Capital Improvement $51,198,351
-127-
CAPITI\L IMFRJVEMENl' rnŒRl\M
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND EUTx:EI' P!ru"EX:TI ON ill!X;EI' PlANNED PIANNED PIANNED PlANNED
10. IUBLIC FACILITIES
1. Council Chamber and Canun. Bldg.
Repair/Haintenance (100021) GF $29,458 $ -- $ -- $ -- $ -- $ -- $--
2. !1aintenance Facility Carpet
Replacement (100022) GF 2,500 2,691 --
3. Fire station Construction
(East Tustin) (100024) GF 1,300,000 -- 1,300,000
4. Maintenance Facility Roof (100025)
- RepairjMaintenance (4 bldgs.) GF -- -- 33,000
- Install plastic protective film
on administration bldg. WindCMs GF -- -- 8,000
- Replace telephone system
(*additional funding in
Water budget) GF -- -- 2,800
- Paint garage bays GF -- -- 5,000
- Architectural study for
facility expansion GF -- -- 16,000
'.IDI'AIS $1,331,958 $2,691 $1,364,800 $- $- $- $-
FUND RÐ:AP GF $1,331,958 $2,691 $1,364,800 $- $- $- $-
30. I3EAUITFI ClI. TI CN rno.nx::rs
1. General street Lighting Program
a. Installations at various
locations B $ 15,000 $15,000 $ 18,000 $ -- $ -- $ -- $ --
b. Easterly side of Red Hill from
Warner Ave. to Valencia Ave. B -- -- -- 51,400
(300045)
2. Construct embossed =ncrete on
medians at various locations (300011) B 34,400 -- 34,000
a. Hall Cir./First st. ($5,300)
b. Fashion Island/First ($2,600)
-128-
1989-90 1989-90 1990-9l 1991-92 1992-93 1993-94 1994-95
FUND mIGET ffiOJECIT ON mIGET PIANNED PIANNED PIANNED PlANNED
30. ßEAUITFI CATION rno.JECTS (Cant 1 d.)
d. Irvine/Old Irvine ($1,800)
e. Bryan/Stonehenge ($22,100)
(300011)
3. Reconstruction of interlocking
pavers on EI Camino Real (300044) GF $ 4,108 $ 3,210 $ -- $ -- $ -- $ -- $--
4, City entrance signs (300046) GF 40,000 -- 40,000
5. Red Hill Ave. from Lance Dr. to
First st. and Seventeenth st.
easterly of Yorba st., Re-sod
center islands (300047) GF 5,000
6, Seventeenth Street Median Trees
from Yorba (No.) to Prospect Ave. GF 12,000 12,000
(300049)
7. Poles/standards for banner displays
(300048)
* First st. between "B" and "c" sts. GF 6,400 -- 6,400
* Newport Ave. between Holt Ave.
and Irvine Blvd. GF -- -- 6,400
* Irvine Blvd. between Prospect
Ave. and Fashion Lane GF -- -- -- 7,000
* Red Hill Ave. between Sycamore
Ave. and í-lalnut GF -- -- -- -- 7,000
* Seventeenth st. between Yorba st.
and Prospect Ave. GF -- -- -- -- -- 7,000
8. Newport Ave. Center Islands from GI' -- -- -- 152,900
McFadden Ave. to Sycamore Ave. B -- -- -- 17,100
9. Red Hill Av. Center Islands from
1-5 Freewy to Lance Dr. GF -- -- -- -- 159,400
-129-
CAPI.TI\L IMffiJtJEMENI' IR:X;IWi
1989--90 1989--90 1990--91 1991--92 1992--93 1993--94 1994--95
FUND EIJCGEl' ~CN BJDGEI' PIANNED PIANNED PlANNED PI ANI ÆD
30. ßFl\IJI'IFICATICN H\'O.JIXTS (Cont 1 d.)
10. Red Hill Ave. Center Islands from
¡'la1nut Ave. to I-5 Freeway GF -- -- -- -- -- 183,400
11. Red Hill Ave. Center Islands from
Warner Ave. to the AT&SF RR GF $ -- $ -- $ -- $ -- $ -- $ -- $163,600
TOTALS $116,908 $30,210 $105,200 $228,400 $166,400 190,400 $163,600
FUND RFX::AP B $49,400 $15,000 $ 52,400 $ 68,500 $- $- $-
GF $67,508 $15,210 $ 52,800 $ 7,000 $166,400 $190,400 $163,600
GT $ - $- $ - $152,900 $- $- $-
40. CXIffJNITY SERVICE:> FACILrI'IE$
1. Camino Real Park/Tract No. 12345
(400016) GF $ 46,122 $ 39,880 $ -- $ -- $ -- $ -- $ --
2. Centennial Park - Play Equipment
Replacement (400017) GF 14,020 -- 12,920
3. Senior Center Facility (100015) GF 112,588 118,656 --
4. Neighborhood Park/Tract No. 12763
(400019) (New Canst. Tax) PO 400,000 20,000 380,000
5. Ca1umbus-'I\1stin Park Storm Drain GF 13 , 690 -- 13,690
and Site Improvements (400020) RIll\. * * *
* $293,917 STATE GRANT 170,893 54,152 116,741
PO 35,000 -- 35,000
6. Frontier Park Rehabilitation
(400021) B 27,000 6,000 111,000
-130-
CAPITAL :I11ffiJVEMEN1' IRX::AAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND I:UIX;E1' HIDECTI ON IUL'GE1' PIANNED PI1\NNEI) PIANNED PLANNED
1\0. ro MJNTIY SERVI as FA CILI:TI:ES ( Cont' d.)
7. Tract No. 12870 Park. - Sports
Complex (400022) PD $ 300,000 $ -- $ 300,000 $ -- $ -- $ -- $ --
8. Pine tree Park Play Equipment
Replacement (400023) B -- -- 30,000
9. !1agnolia Tree Park. Installation
of Security Lighting (400024) B -- -- 50,000
10. Magnolia Tree Park Play Equipment
Replacement (400025) B -- -- 15,000
11. Camino Real Park. - Four Aluminum
Park Benches (400026) B -- -- 1,300
12. Construct Maintenance Access Ramps
to Parks - Various Locations (4CO027) B -- -- 8,000
13. Centennial Park Play Equipment
Replacement (400028) B -- -- 12,000
'IDI'AIS $1,119,313 $251,608 $1,072,731 $- $- $- $-
FUND RECi\P GF $ 186,420 $171,456 $ 13,690 $- $- $- $-
ST . GRANI' $ 170,893 $ 54,152 $ 116,741 $- $- $- $-
PO $ 735,000 $ 20,000 $ 715,000 $- $- $- $-
B $ 27,000 $ 6,000 $ 227,300 $- $- $- $-
-131-
CAPITAL :r:MrnOVEMENr:æ::GRAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND IDŒET HIDECI'ION B.JJX;ET PIANNED PIlINNED PIl\NNED PI lINNED
60. 'llWiSI-DRTI\'l'ION FACILITIE:S
1. Major Maintenance Prcx:¡ram GF $ 754,745 $248,659 $1,056,096 $550,000 $550,000 $550,000 $550,001
(700001)
2. Jamboree Road Construction GT 1,390,000 139,000 1,251,000
from Edinger to Barranca CAP . IMP 1,000,000 100,000 900,000
Parkway: (700004) AHFP 400,000 40,000 360,000
Plan/Spec preparation IRV 7,130,000 713,000 6,417,000
Construction ($15,500,000) TIC 5,580,000 558,000 5,022,000
Right-of-Way (City Share
$1,900,000) 7-year program CAP . IMP -- -- 344,000 300,000 300,000 300,000 300,001
3. Red Hill/Walnut Ave. Widening at
Northeasterly corner (700055)
Construction Phase (* Maximum GT 171,000 -- 120,000
AHFP Participation) AHFP *68,000 -- 68,000
4. !1ain st. Reconstruction from GT 112,897 137,162
Pacific St. to Rte 55 Fwy. OCUIT 112,896 137,162
(700089)
5. Main st. Ornamental Lightirg
from "C" st. to Rte 55 Freeway GF 77,100 77,200
(700070)
6. &Is Benches (700002) GF 5,000 4,935 5,000
7. Bikeway/Pedestrian Facilities
SB 821 Funds (700061) GF 16,000 8,700 23,000
-132-
CAPITAL IMFmVEMENr rn::x.;RAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND B:JIX;Er PRO.JECI'I CN BJIX;ET PlANNED PIl\NNF:l? PLANNED PINlI æo
60. 'llW1SroRl'ATICN ThCILITIES (Cont I d.)
8. Tustin Ranch Road Wall/Bennj
Lan:lscaping between walnut Ave.
and I -5 Freeway (700090)
Design GF 5,000 5,000 --
Construction B 135,000 10,400 124,600
9. First St. \'¡idening/Reconstruction GT 67,000 3,000 64,000
from Rte 55 to Westerly City AHFP 97,000 -- 97,000
Limits, Incl. traffic signals SA 50,000 -- 50,000
(900091)
10. Orange st. WideningjReconstruc-
tion between E1 camino Real and
San Juan st. (700092) HCDA 159,500 -- 70,000
11. Auto Center Drive Extension/
Reconstruction/$266,300 (700099) GF 557,300 398,200 80,000
Storm Drain funding from Flood
Control Facility Sectionj$291,000
12. Yorba st. Westerly side widening GF 40,000 3,000 37,000
between First st. and Irvine CALTRANS 42,000 -- 42,000
Blvd. ((700101)
13. Tustin Ranch Road from Walnut to
Edinger (700100)
Project Design Report GF $ 7,100 $ 7,100 $ -- $ -- $ -- $ -- $ --
Final Design GF 150,000 12,000 370,000
Construction (City 5.4!VTIC 1M) GF 100,000 -- -
14. !1ountain View Reconstruction
from First st. to 250' S/O
Irvine Blvd. GF -- -- -- 156,500
-133-
CAPITAL ~ FRX;Rl\M
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 19901-95
FUND OOŒET PRO.JECl'IOO' OOŒET PLANNED PlANNED p¡ANNED PIN 1NED
60. 'illANSroRrATIOO' FACIIJ:TIR> (Cont'd.)
15. El Camino Real from Red Hill
Ave. to BrOo-lJ1ing Ave.
Project Design Report GF -- -- -- 35,000
Final Design GF -- -- -- 150,000
R¡'W - Construction GF -- -- -- -- 300,000 300,000 300,000
16. Pacific st. at Second st. & (700105)
Pacific at Third st. Cross-
gutter, curb return ccnstruction GF -- -- 13,200 --
17. California st. between TI1Ìrd st.
& Main st. curb & gutter/paving
ccnstruction GF -- -- - 31,500
-
18. Yorba st. easterly side widening GI' -- -- 50,000 102,000
between First st. and Irvine Blvd. AHFP -- -- 50,000 102,000
(700109) DEV -- -- -- 37,000
19. Green Valley sidewalk relocation
southerly of Mitchell Ave. (700106) GF -- -- 39,800
20. Trash receptacles at various
locations (700107) GF -- -- 15,000
21. Nisson Rd. between Newport Ave. SB-140 -- -- 10,300
Ave. and Red Hill Ave. (700108) GF -- -- 93,000
22. Red Hill Ave. between Edinger SB-140 -- -- -- 47,900
Ave. and Walnut Ave. GF -- -- -- 430,800
-134-
CAPITAL I:MFRJVEMENr FR::GRAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND mr::GEr mo:rEX:TI 00 EUIX;EI' PlANNED PIlINNED PIANt ill) PLANNED
60. 'IIWiSroRrATIŒr F7\CILITIES (Cont'd)
23. Red Hill Ave. between Harner OCUIT $ -- $ -- $ -- $230,000
Ave. and Valencia Ave. GF -- -- -- 261,600
24. Red Hill Ave., Earranca Pkway. OCUIT -- -- 218,000
to Harner Ave. (700110) GT -- -- 242,100
25. Yorba st. widening between 130'
N/O Laurie Lane & Santa Clara
Ave. Right-of-\vay GT -- -- -- 22,000
AHFP -- -- -- 128,000
a:xJNTY -- -- -- 106,000
Construction GT -- -- -- 32,000
AHFP -- -- -- 109,000
a:xJNTY -- -- -- 77 , 000
26. "c" street Reconstruction
northerly of Hitchell Ave. H CI1l\ -- -- -- 91,400
27. San Juan st. Hidening/
Reconstruction between
NevipOrt Ave. and Orange st. H CI1l\ -- -- -- 65,900
28. Walnut st. Hidening/
Reconstruction between
Newport Ave. and Orange st. HCDA -- -- -- 65,400
29. "A" st. from First st. to 250'
S/O Irvine Blvd. GF -- -- -- -- 156,500
30. Red Hill \videning between
Melvin Way and 200+ ft.
Southerly GF -- -- -- -- 65,000
-135-
CAPITAL IMrnOIJEMENl' IR:X;RAM
1989-90
FOND RJIX;EI'
60.
'ffiANSIDRrATIoo FACILITIES
(Cont'd)
31.
"B" st. from First st. to
150+ ft. S/O Irvine Blvd.
GF $ --
32.
Tustin Meadows Area Pedestrian
Lighting:
Kingsboro Cir. to Walnut
Royal Oak Rd. to Green Meadow
Green Meadow to Braeburn
Amherst to Emerywocd
Royal Oak to Fallenleaf
GF
GF
GF
GF
GF
33.
stonehenge Drive from Bryan to
CrìJJIMell Drive
stonehenge storm Drain
GF
GF
34. Hilliams st. Widening from
McFadden Ave. to Main st.
GT
AHFP
* Additional funding under Flocd Control Facilities
-136-
1989-90 1990-91 1991-92 1992-93
ffiOJECI'Ioo BJI:GE:r PLANNED PlANNED
$
$
$ --
$
1993-94 1994-95
PlANNED PlANNED
$156,000 $ --
8,800
2,600
8,800
4,100
2,600
71,500
(FCF*)
287,000
188,000
CAPITAL IMF'OOVEMENr ffi'XRAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND BJDGET PRO.JECI'Ioo BJDGET PIANNED PlANNED PIANNED PU\NNED
60. ml\NS IDRI'ATI 00 Fl\ CILITIES
(Cont'd.)
35. Alley easterly of Yorba St.
& southerly of Linda Lane GF $ -- $ -- $ -- $ -- $ -- $ -- $ 37,00
WI'AlS
$18,227,538 $2,840,518 $17,044,096 $3,131,000 $1,371,500 $1,333,400 $1,733,50
FUND RECAP GF $ 1,712,245 $ 764,794 $ 1,782,096 $1,615,400 $1,071,500 $1,033,400 $ 985,50
GI' $ 1,740,897 $ 449,162 $ 1,607,100 $ 156,000 $ - $ - $ 287,00
AHFP $ 565,000 $ 108,000 $ 507,000 $ 339,000 $ - $ - $ 188,00
IRV. $ 7,DO,OOO $ 713,000 $ 6,417,000 $ - $ - $ - $ -
CAP. IMP $ 1,000,000 $ 100,000 $ 1,244,000 $ 300,000 $ 300,000 $ 300,000 $ 300,00
TIC $ 5,580,000 $ 558,000 $ 5,022,000 $ - $ - $ - $
cx:urr $ 112,896 $ D7,162 $ 218,000 $ 230,000 $ - $ - $
B $ D5,OOO $ 10,400 $ 124,600 $ - $ - $ - $
S.A. $ 50,000 $ - $ 50,000 $ - $ - $ - $
HCll"\. $ 159,500 $ - $ 70,000 $ 222,700 $ - $ - $
Ci\IlillANS $ 42,000 $ - $ 42,000 $ - $ - $ - $
DEV. $ - $ - $ - $ 37,000 $ - $ - $
SB-14 0 $ - $ - $ 10,300 $ 47,900 $ - $ - $
CXXJNIY $ - $ - $ - $ 183,000 $ - $ - $
-137-
CAPITAL ~ rncx:awr
1989-90 1989-90
FUND BJrGEl' }H).JOCIT ON
1990-91 1991-92
BJrGEl' PlANNED
1992-93
PlANNED
1993-94 1994-95
PlANNED PlANNED
65. 'IWlFFIC ŒNillOL FACILITIES
1. !-1odify Permissive Left
Turn Fhasing at Various GF $203,000 $16,725 $ 186,275 $ -- $ -- $ -- $ --
Intersections (800022) RDA * *
2. Install New Signal Controller
at San Juan & Red Hill Ave. (800027) GF 22,000 43,000
3. Flashing Amber Pedestrian
Lights at Amaganset & Yorba
and Prospect & Beneta Way (800025) GF 32,000 32,000
4. \Varner Ave. at Pullman Ave. ill 50,000 -- 50,000
New Installation (800030) S.A. 25,000 -- 25,000
ca I trans 25,000 -- 25,000
5. Misc. Traffic Signal
Modi fica t i ons / Improvements
at Various Locations (800031) GF 30,000 -- 30,000
6. Yorba st. at Vandenberg Ln.
New Installation (800032) GF 100,000 -- 145,000
7. Main st. at Stoneglass (800034) GF 150,000 30,000 50,000
8. Bryan Ave. at Fannington Rd.
New Installation (800038) GF -- -- 100,000
9. Red Hill Ave. at Mitchell Ave.
Modification to Install Left
Turn Fhasing (800039) GF -- -- 80,000
* See Redevelopment Agency for additional funding.
-138-
65.
'IMFFTC cx:NThDL FA~ (Cont'd)
10. Vlalnut Ave. at Bra;.ming Ave.
Hodification to Install Left
Turn Fhasing (800040)
11. El Camino Real at Hain st.
~!odification to Install Left
Turn Fhasing (800029)
12. \'Ialnut Ave. at Franklin Ave.
!1odification to Install Left
Turn Fhasing (800033)
13. Red Hill Ave. at Bryan Ave.
Modification to Install Left
Turn Phasing (800041)
14. Emergency Vehicle Traffic (800042)
Signal Pre-emption System
for Various Congested Inter-
sections (Freeway Related Const.)
15. Traffic Signal Modifications and
Interconnect along Irvine Blvd.,
Nel-ipOrt Ave. ,Edinger Ave. and Red
Hill Ave., Traffic Mitigations for
1-5 Hidening. Caltrans Reimbursement
(800035)
16. street Light Conduit along EI Camino
RealjNisson Road (800037)
17. Traffic Signal Computerization
* Red Hill Ave./Service Road
* Red Hill Ave.jMitchell Ave.
* Red Hill Ave.jNisson Road
* Red Hill Ave./EI Camino Real
CAPITAL IMrnOIJEMENI' ffiX:RAM
1989-90 1989-90
FUND EUI:GEl' FR.DECI'I rn
CIP
CIP
(800043) GF
GF
GF
17 , 000
GF
22,300
GF
GF
197,800
62,800
10,000
9,000
-139-
1990-91 1991-92
IÐL'GEI' PIANNED
1992-93
PIANNED
40,000
30,000
35,000
40,000
175,000
197,800
48,000
85,000
1993-94 1991-95
PIlINNED PIN 1NED
CAPTD\L J:MFRJVFMEm' "ffiXRN1
1989-90 1989-90
FUND II.JJ::GE:r PRO:JE):ITCN
65.
'ffiAFFIC ~L F7\CILITIES (Cont'd)
18. Traffic Signal Computerization (800043) GF
* Red Hill Ave.jWalnut Ave.
* Red Hill Ave./San Juan st.
* Red Hill Ave./Bryan Ave.
19. Traffic Signal Computerization (800043) GF
* First St./E1 Camino Real
* First st./Prospect Ave.
* First St./centennial Way
20. Traffic Signal Computerization (800043) GF
* Walnut Ave./OXford Ave.
* Walnut Ave./Cherrywcx:xj In.
* Walnut Ave./BrcMning Ave.
21. Traffic Signal Computerization (800043) GF
* McFadden Ave./'I\1stin Village Way
* Newport Ave.jMÌtchell AVe.
* Newport Ave.jMcFadden Ave.
* Newport Ave.jWalnut Ave.
* Newport Ave./Sycamore Ave.
22. Upgrade Pedestrian Signal
Indication to International
Symbols at Various Locations
GF
23. Red Hill Ave. at El Camino Real
Modify¡'Upgrade Traffic Signal
GF
24. Red Hill Ave. at Nisson Rd.
Modify¡'Upgrade Traffic Signal
GF
1990-91 1991-92
R.JCGET PI1\NNED
21,000
30,000
21,000
35,000
-140-
50,000
100,000
100,000
1992-93
PlANNED
1993-94 1994-95
PIlINNED PLANNED
50,000
50,000
CAPITAL IMrOOVEMENr ~
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND fULQIT ffiOJECTI CN fULQIT PIANNED PLANNED PIANNED PJ:)',M ŒD
65. 'rnAFFIC CXNJR)L FACILITIES (Cont'd)
25. Traffic Signal Computerization GF -- -- -- 29,000
* Main st./Pacific st.
* JoJain St./"B" St.
* EI Camino Real/Sixth st.
26. !1odify Permissive Left Turn
F1ìasing at Various Intersections GF -- -- -- 115,000
* Red Hill/Carnegie Ave.
* I-!cFadden Ave.jRitchey st.
* I-!cFadden Ave.¡Williams st.
* I-!cFadden Ave.jPasadena Ave.
27. Red Hill Ave. at Bell Ave.
New Installation GF -- -- -- -- -- 100,000
'IC:1TI\LS $936,900 $140,725 $1,449,075 $394,000 $ 50,000 $150,000 $ -
FUND RECAP GF $836,900 $140,725 $1,349,075 $394,000 $ 50,000 $150,000 $ -
GT $ 50,000 $ - $ 50,000 $ - $ - $ - $-
S.A. $ 25,000 $ - $ 25,000 $ - $ - - $-
C1\.IlillANS $ 25,000 $ - $ 25,000 $ - $ - - $-
-141-
CAPrIN. IMffiOVEMENI' :m:x;RN{
1989-90 1989-90
FOND EUIX;IIT ~ rn
1990-91 1991-92
EUIX;IIT PIANNED
1992-93
PI1\NNED
1993-94 1994-95
PIANNED PIN mE!)
70.
FI.COD a:NIRJL F7\CILITI:ES
1. In-channel Facilities for
San Diego Creek Watershed: (900020)
!1onitoring GF $ 10,000 $ -- $ 10,000 $ -- $ -- $ -- $ --
Ma intenance/ Opera t ion GF 70,000 5,667 64,333
2. Sixth st. storm Drain between
"B" st. and Main st. (900028) GF 159,500 169,700
3. Pacific st. storm Drain between
Sixth st. and Main st. (900028) GF 147,100 155,833
4. El Modena-Irvine Channel
Improvements between I -5
Fwy and Michelle Dr. (900031)
Plan Preparation GF 52,000 47,000 5,000
Construction GF 1,248,000 -- 1,248,000
5. Venta storm Drain from: (900030)
F-10 Channel to Sycamore GF 323,300 20,080 335,120
Sycamore to í'ialnut GF 282,400 20,080 379,040
6. Yorba st. Storm Drain from:
Seventeenth St. to Medford Ave. GF -- -- -- 119,100
Medford Ave. to Laurie In. GF -- -- -- 125,800
7. Lcx::kwood Dr. Storm Drain from .
Prospect Ave. to "D" st. GF -- -- -- 94,000
8. San Juan st. storm Drain from
Falmouth Dr. to 600' E/O Red Hill Ave. GF -- -- -- -- 171,700
-142-
CAPITAL mFRJVE11ENI' FR:X:rlW1:
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
FUND rnIX;Er Pß:lJOCIT 00' IUJX;EI' PlANNED PlANNED PlANNED PIANNED
70. FIJ:X)[) cx:N1RJ L FACILITIES ( Cont' d)
9. utt Dr. jVeeh Dr. storm Drain
from Mitchell Ave. to Woodlawn Dr. GF $ -- $ -- $ -- $ -- $ 94,300 $ -- $
10 . stonehenge Dr. storm Drain from
Byran Ave. to Cromvlell Dr. GF -- -- -- -- -- 209,500
stonehenge Roadway Improvments GF -- -- -- -- -- (TF)
11. TUstin l1eadcws Nuisance
vlater Drains GF -- -- -- -- -- 592,000
12. First Baptist Church Drain from
Ne~port Ave. to Tract No. 10628 GF -- -- -- -- -- -- 74,200
13. Holt Ave. storm Drain from
Irvine Blvd. to Lillian Way GF -- -- -- -- -- -- 75,000
14. EI Camino Real Ave. Strom drain GF -- -- -- - -- -- 508,500
from Red Hill to Brawnin:j
'.I"OrAIS $2,292,300 $418,370 $2,041,493 $338,900 $266,000 $801,500 $657,700
FUND REC1IP GF $2,292,300 $418,370 $2,041,493 $338,900 $266,000 $801,500 $657,700
(TF) Additional Fundin:j under Transportation Facilities
-143-
10.
30.
40.
60.
65.
allIER rno:JEX:'IS - UNSaIECUIED IN CTlY OF 'lUSI'IN FIVE YEAR FR:X;Rì\M
ruBLIC FACII.J:TIES (tnlli)
BE.:AIJTIFI CATI 00 ~
1-
2.
Red Hill Avenue Center Islands from Warner Avenue to AT&SF Railroad.......... . . . . . .. $
Irvine Boulevard Center Islands from Old Irvine to Red Hill......................... $
PARK AND REX:EEATI00 FACILITIES (tnlli)
1-
2.
3.
4.
5.
6.
7.
8.
Gymnasium and Athletic Complex (4 lighted fields) ...................................
Community and Arts center ..............................,.............................
Youth-Griented Facility (Replace Lambert School) .....................................
Columbus-Tustin Multi-purpose Gymnasium Complex ......................................
Neighborhood Parks specific Plan (1) (5 Acres) including restrooms ..................
Major picnic Facilities ...................................,..........................
Nature Center (5,000 Sq. Ft.) """""""""""""""""""""""""""...
Tustin Unified School District Administration Building Acquisition ...................
'illANSIDRrATIoo FACILITIES
1-
2.
3.
4.
"c" Street, First Northerly """"""""""""""""""""""""""".... $
Second Street, from "A" Street to "B" street .............. ....................... .... $
Alley Northerly of First street, from "B" street to 150' E/O "c" Street............... $
Alley Northerly of Second street, from Pasadena Avenue to Myrtle Avenue. . . . . . . . . . . . . . . $
'ffiAFFIC Œ! !IR)LS
(tnlli)
-144-
452,800
13 , 900
$5,754,000
$4,296,000
$2,500,000
$2,100,000
$ 683,000
$ 100,000
$ 628,800
$3,500,000
82,400
24,700
18,900
10,700
70.
80.
CYIHER ~ - UNSŒIEI:XJIED IN CITY OF 'IUSI'IN FIVE YEAR IR:X:RAM
FIOOD o:::NIHJL Fl\.CILITIES
L
2.
3.
4.
5.
6.
7.
8.
~1itchell Avenue Drain, Browning to 1300'+ Westerly.............. .....................
Acacia Drive Drain, Jacaranda Avenue Southerly.......................................
OlWYn Drive Drain, Red Hill Avenue to Laburnum Drive ................................,
Carfax Avenue Drain, Sycamore Avenue to Scherer ......................................
Wildeve Lane Drain, Walnut Avenue to windemere Drive .................................
Mitchell Avenue Drain, utt Drive to Del Amo Avenue ...................................
Prospect Avenue Drain, Wellington Drive to Arbolada Lane .............................
W1P-7 williams street Drain - McFadden to Alliance ..........,........................
WASTE DISfŒ>AL Fl\.CILITIES (NCNE)
-145-
$ 189,300
$ (0,000
$ 77,800
$ 143,700
$ 107,800
$ 153,400
$ 104,300
$ 127,000
TUSTIN COMMUNITY REDEVELOPMENT AGENCY
REDEVELOPMENT AGENCY
BOARD OF DIRECTORS
(CITY COUNCIL)
AGENCY ATTORNEY (CITY EXECUTIVE DIRECTOR
ATTORNEY) (CITY MANAGER)
ENGINEER SECRETARY CLERK TREASURER PLANNER
(DIR. OF PW.) (CITY CLERK) (DIR. OF FINANCE) (DIR. OF COMM. DEV.)
-146-
5.
6.
DEPARTMENT:
TUSTIN COMMUNITY REDEVELOPMENT AGENCY
DESCRIPTION:
The Tustin Community Redevelopment Agency was established in 1976 for the
purpose of providing needed public improvements and facilitating economic
development within the Town Center Project Area and the South Central
Redevelopment Project Areas. The City Council serves as the Agency Board of
Directors and City staff provide required Agency staff support.
The Agency is administered in accordance with the Town Center Area
Redevelopment Project Area and the South Central Project Area plans and state
redevelopment law.
Agency expenses include capital improvement proj ects and operating costs
which include required staff support and consultant services.
1990-91 Goals/Tasks
1.
Complete capital improvement projects scheduled for 1990-91 and carry-over projects
approved in prior years.
2.
continue to identify Agency funded projects and programs which result in achievement of
goals set forth in the town Center project Area and the South Central Project Area.
3.
Prepare a financial plan for the Agency which includes projected tax increment revenue
and a plan (alternatives and strategies) for financing scheduled and proposed projects
wi thin the Agency I s proj ect areas. The plan will provide the basis upon which to
consider the issuance of bonds to finance Agency projects.
4.
Complete amended plan document to provide updated development and funding goals through
the financial gains of the Agency.
Complete a Development Disposition Agreement with the property owner of the Pacific
Center East project.
Coordinate the civic Center expansion program and financing.
-147-
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1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT:
Tustin Community Redevelopment Agency
1988-89 1989-90
ACTUAL BUDGET PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Agency Members
5
$60-$60
5
$60-$60
5
$60-$60
5
$60-$60
ACCOUNTING DETAIL
Personnel
Salaries
Retirement & Insurance
Total Personnel Costs
$2,175 $0 $586 $0
0 0 0 0
-
$2,175 $0 $586 $0
$351,133 $797,025 $348,500 $1,091,000
190,751 12,898 9,865 12,050
7,871 4,699 3,850 8,300
522,500 204,000 0 0
$1,072,255 $1,018,622 $362,215 $1,111,350
$0 $500 $0 $500
0 0 0 0
0 0 0 0
0 1,500 0 1,500
1,592 0 0 0
$1,592 $2,000 $0 $2,000
$1,076,022 $1,020,622 . $362,801 $1,113,350
Supplies & Services
Contractual Services
Departmental Expense
Training & Development
Other Expense
Total Supplies & Services
Capital Outlay
Office Furniture
Office Equipment
Computing Hardware
Computing Software
Building Improvements
Total Capital Outlay
DEPARTMENT TOTAL
-149-
1990-91 BUDGET DETAIL
DEPART~~ENT:
Tustin Community Redevelopment Agency
DIVISION:
Town Center Project Area
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Agency Members
5
$30-$30
5
$30-$30
5
$30-$30
5
$30-$30
ACCOUNTING DETAIL
Personnel
Salaries
Total Personnel Costs
$400 $0 $386 $0
$400 $0 $386 $0
$316,783 $591,537 $295,000 $913,000
190,142 8,548 9,800 5,700
7,113 2,749 2,950 4,150
522,500 204,000 0 0
$1,036,538 $806,834 $307,750 $922,850
$0 $0 $0 $0
0 750 0 750
1,592 0 0 0
$1,592 $750 $0 $750
$1,038,530 $807,584 $308, 136 $923,600
Supplies & Services
Contractual Services
Departmental Expense
Training & Development
Other Expense
Total Supplies & Services
Capital Outlay
Office Furniture
Computing Software
Building Improvements
Total Capital Outlay
DIVISION TOTAL:
-150-
1990-91 BUDGET DETAIL
DEPARTMENT:
Tustin Community Redevelopment Agency
DIVISION:
South Central Project Area
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
PERSONNEL DETAIL
Agency Members 5 $30-$30 5 $30-$30 5 $30-$30 5 $30-$30
ACCOUNTING DETAIL
Personnel
Salaries
Total Personnel Costs
$1,775 $0 $200 $0
$1,775 $0 $200 $0
$34,350 $205,488 $53,500 $178,000
609 4,350 65 6,350
758 1,950 900 4,150
0 0 0 0
$35,717 $211,788 $54,465 $188,500
$0 $500 $0 $500
0 750 0 750
$0 $1,250 $0 $1,250
$37,492 $213,038 $54,665 $189,750
Supplies & Services
Contractual Services
Departmental Expense
Training & Development
Other Expense
Total Supplies & Services
Capital Outlay
Office Furniture
Computing Software
Total Capital Outlay
DIVISION TOTAL:
-151-
DESCRIPTION OF ACCOUNTS ~~~OOO OR MORE
DEPARTHENT:
TUSTIN COMMUNITY REDEVELOPMENT AGENCY
DIVISION ACCOUNT
Contractual Services
Departmental Expenses
1989-90
1990-91
$460,025
$491,000
342,898
600,000
-152-
DESCRIPTION
Professional and consulting: Pacific
Center East Specific Plan (80,000);
Miscellaneous traffic studies (5,000).
Economic/Finance Consultants: Regular
support services to Agency including
bond services (85,000).
Accounting/Audit (7,000). Appraisal
Services (30,000). Fiscal Agent
expenses (7,000). Legal Services
(45,000). Miscellaneous Planning
Consultant: Old Town Design
Guidelines (20,000). Architect
Engineering Services: civic Center
project (200,000).
Moving and
(600,000).
Relocation
expenses
REDEVEI:D FMENI' 1\GENCY
CAPrmL IMrnOVEMENI' ~
'K-'WN CENI'ER ('æ) - SCUIH CENillAL (Xl
1989-90 1989-90
ßJDGET FRo.mCrr 00
1990-91 1991-92
IULGEI' PIANNED
1992-93
PIANNED
1993-94 1994-95
PIANNED PIANNED
10.
FUBLIC FACILITIES
1.
sixth Street/"B" St. Intersection
Underground in:¡ of Telephone Company
Facilities ('æ) (300041)
$ 12,000
$ --
$ 12,000 $--
$ --
$ --
$ --
SUBIC1I'AIS $ 12,000 $ - $ 12,000 $- $- $- $-
40. CXM1UNITY SERVICES FACILITIES
1. COlumbus-Tustin Park storm Drain System
and site Improvements (TC) (400020) $293,917 $ -- $293,917 $ -- $ -- $ -- $--
SUBIC1I'AIS $293,917 $- $293,917 $- $- $- $-
60.
'llWISIDRrATIOO FACILITIES
NONE
-153-
REIJEVEID:œENl' AGENCY
CAPITAL I:MPIUJEMENr ~
'lOo/N ŒNI'ER (']X;) - sanH ŒNrnAL (SC)
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
mŒEl' IR>.JEcr'IOO mŒEl' PIlINNED PIlINNED PIANNED PIANNED
65. 'IRAFFIC <XNIHJL FACILITIES
1. Modify Various Signalized Intersections
to Accommodate Left-turn Phasing (TC) $ 11,000 $ -- $ 11,000 $ - $ -- $ -- $ --
(800022)
SUJIDID\IS $ 11,000 $ - $ 11,000 $ - $ - $ - $-
70. FIDOD c:x::MR)L FACILITIES
1. Amagansett Way Storm Drain between
Prospect Ave. and Acacia Ave. (']X;) $295,000 $ -- $295,000 $ -- $ -- $ -- $ --
(900024)
2. Nissen Rd. storm Drain between "B"
st. and 800'+ ft. Westerly (SC) (900025) 105,000 -- --
(Transfer $105,000 to Edinger Storm Drain)
3. Edinger st. Storm Drain Between Red
Hill Ave. and Del Arno (SC) (900026) 180,000 -- 480,000
SUJIDID\IS $580,000 $ - $775,000 $ - $ - $ - $ -
90 . WATER SUPPLY DISIRIIUI'IOO
NONE
(TC) 'lOo/N ŒNI'ER GRAND 'lUI'AIS $611,917 $ - $611,917 $ - $ - $ - $ -
(SC) saJIH--c:mrnAL GRAND 'lUI'AIS $285,000 - $480,000 $ - $ - $ - $ -
-154-
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1990-91 BUDGET DETAIL
DEPARTMENT SUMMARY
DEPARTMENT: Water Enterprise
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Full-Time Staff
13
19
20.5
21.5
ACCOUNTING DETAIL
Personnel
Salaries $217,420 $598, 169 $363,747 $715,637
Retirement/Benefits 119,927 178,727 156,809 199,945
Total Personnel Costs $337,347 $776,896 $520,556 $915,582
Supplies & Services
Contractual Services $116,887 $166,064 $35,714 $30,920
Facilities Expense 8,421 10,551 14,125 11 ,800
Office Expense 7,660 18,350 23,600 29,700
Departmental Expense 2,700,193 2,113,511 2,285,963 2,442,035
Computer Expense 48,448 35,397 31,389 39,500
Transportation Expense 45,998 48,496 47,656 71,025
Training & Development 2,261 6,335 5,210 8,750
Other Expense 801,490 1,405,000 912,000 928,200
Total Supplies & Services $3,731,358 $3,803,704 $3,355,657 $3,561,930
Capital Outlay
Office Equipment $2,272 $9,200 $10,857 $13,045
Computing Hardware 9,436 102,500 0 9,200
Computing Software 2,104 0 0 10,000
Departmental Equipment 512 240,220 240,220 4,100
Construction Equipment 7,429 10,000 10,000 9,800
Total Capital Outlay $21,753 $361,920 $261,077 $46,145
DEPARTMENT TOTAL $4,090,458 $4,942,520 $4,137,290 $4,523,657
-156-
DEPARTMENT:
DIVISION:
DESCRIPTION:
TASKS:
DIVISION BUDGET:
WATER
SERVICE BILLING
The service billing function of the city Water service is responsible for the
preparation of the monthly water bills and the interface between the office
and field operations concerning the maintenance of the utility billing
structure.
1.
Prepare monthly bills from the data represented by the consumption of
the utility since the previous billing.
2.
Receive payments and reconcile accounts receivable reports.
3.
Notify customers of non-payments.
4.
Prepare work orders for field operations concerning meter repair, turn-
ons and turn-offs.
5.
Prepare and monitor water management reports.
6.
Monitor and implement the city's water conservation efforts.
Personal $ 242,171
operations 1,036,746
Capital Outlay 22,575
TOTAL
$1,301,492
-157-
DEPARTMENT:
1990-91 BUDGET DETAIL
Water Enterprise
DIVISION:
Service Billing
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Customer Service Supervisor
Senior Account Clerk
Account Clerk
Meter Reader
3 $1,598-$1,942
3
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenVBenifits
Total Personnel Costs
$110,194
24,721
$134,915
Supplies & Services
Contractual Services
Office Expense
Departmental Expense
Computer Expense
Transportation Expense
Training & Development
Other Expense
Total Supplies & Services
$110,981
7,500
12,936
48,448
1,879
1,441
801,490
$984,675
Capital Outlay
Office Equipment
Computing Hardware
Computing Software
Communication Equipment
Total Capital Outlay
$2,272
9,436
2,104
0
$13,812
DIVISION TOTAL:
$1,133,402
-158-
1 $3,024-$3,175 1 $3,024-$3,175
1 $1,999-$2,429 1 $1,999-$2,429
3 $1,653-$2,010 2.5 $1,733-$2,106 2,5 $1,733-$2,106
~ $1,679-$2,251 ~ $1,828-$2,449 ~ $1,828-$2,449
5 ~5 6.5
$134,940
42,288
$177,228
$137,629
36,430
$174,059
$188,554
53,617
$242,171
$111,872
17,850
8,955
35,397
2,897
2,660
1,405,000
$1,584,631
$19,200
17,850
6,292
31,389
4,797
1,410
912,000
$992,938
$12,000
27,700
12,160
39,500
14,486
2,700
928,200
-
$1,036,746
$4,700
102,500
0
0
$107,200
$5,338
0
0
0
$5,338
$1,875
9,200
10,000
1,500
-
$22,575
$1,869,059
$1,172,335
$1,301,492
DEPARTMENT:
WATER
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
SERVICE BILLING
Computer Expenses
Other Expenses
Office Expense
1988-89
$
35,397
1,405,000
17,850
-159-
1989-90
$
39,500
928,200
27,700
DESCRIPTION
Includes computer operations
$12,000; computer maintenance
$12,000; computer paper forms
and supplies, $15,500.
Expense reimbursement to
General Fund $ 90,000;
Liability Insurance transfer
$100,000; bad debt expenses
amortization, and depreciation
$ 38,200. Capital Improvement
Transfer $500.000.
Postage expense $27,700.
DEPARTMENT:
WATER
DIVISION:
OPERATIONS
DESCRIPTION:
The Water Operation Division supplies, without interruption, water
meeting various Federal and State Safe Drinking Water Standards to the
entire community and adjacent areas. This division also maintains water
main lines, service laterals, hydrants, and water reservoirs.
TASKS:
1.
Prepare water management plan and engineering analysis of the system facilities.
2.
Develop divisional operations policy and procedures manual.
3.
Develop inventory control program.
4.
Routine maintenance and emergency repairs to system facilities.
5.
Review water needs for new developments and coordinate installation of required
facilities.
DIVISION BUDGET:
Personnel
Operations
Capital Outlay
$ 628,334
2,131,884
23,570
TOTAL
$2,783,788
-160-
1990-91 BUDGET DETAIL
DEPARTMENT: Water Enterprise
DIVISION:
Operations
1988-89
ACTUAL
PERSONNEL DETAIL
Water Services Engineer
Water Construction Super.
1 $3,014-$3,664
1 $2,031-$2,469
Maintenance Supervisor
Maintenance Leadman
Equipment Operator
Maintenance Worker
Department Clerk
8 $1,623-$2,175
10
ACCOUNTING DETAIL
Personnel
Salaries
RetiremenUBenifits
Total Personnel Costs
Supplies & Services
Contractual Services
Facilities Expense
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Other Expense
Total Supplies & Services
Capital Outlay
Construction Equipment
Department Equipment
$107,226
95,206
$202,432
$5,906
8,421
160
2,685,914
44, 119
820
405,998
$3,151,338
$7,429
512
Office Equipment
Total Capital Outlay
0
$7,941
DIVISION TOTAL:
$3,361,711
1989-90 1990-91
BUDGET PROJECTED ADOPTED
1 $3,162-$3,844 1 $3,396-$4,128 1 $3,396-$4,128
1 $3,014-$3,664 1 $3,165-$3,847 1 $3,165-$3,847
1 $2,612-$3,175 1 $2,743-$3,334 1 $2,743-$3,334
1 $2,102-$2,555 1 $2,287-$2,780 1 $2,287-$2,780
1 $1,965-$2,388 1 $2,137-$2,598 2 $2,137-$2,598
8 $1,680-$2,251 8 $1,828-$2,449 7 $1,828-$2,449
1 $1,902-$2,312
13 13 14
$426,361 $208,118 $488,919
126,765 117,813 139,415
$553, 126 $325,931 $628,334
$54, 192 $16,514 $18,920
10,551 14,125 11,800
500 5,750 2,000
1,912,806 2,202,651 2,036,575
45,599 42,859 56,539
3,675 3,800 6,050
0 0 0
$2,027,323 $2,285,699 $2,131,884
$10,000 $10,000 $9,800
240,220 240,220 2,600
4,500 5,519 11,170
$254,720 $255,739 $23,570
$2,835,169 $2,867,369 $2,783,788
-161-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT: WATER
DIVISION:
9520 OPERATIONS
DIVISION ACCOUNT
1989-90 1990-91
$1,022,238 $880,000
$ 352,275 $491,000
$ 63,263 $ 65,800
$ 259,875 $374,000
DESCRIPTION
East Orange County Water
District
Purchased water
from OCWD
Electric
Electricity used
to pump water
Well Maintenance
Maintenance and
repair of well
pumps
Basin Replenishment Assessment
Orange County
Water District
Basin Replenishment
fees.
Property Tax $ 20,857 $ 21,000
Main Line Maintenance $ 93,713 $ 97,500
Service Lateral Maintenance $ 27,563 $ 28,700
County Property
Tax
Maintenance/repair
to existing water
main lines
Maintenance/repair
of services within
system
Vehicle Leasing
$
26,399
$ 35,439
Lease rates for
vehicles in water
operations
-162-
DEPARTMENT: WATER
DIVISION:
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
9520 OPERATIONS
1990-91
DIVISION ACCOUNT
Department equipment
1989-90
$
103,500
$ 23,570
-163-
DESCRIPTION
Computer Upgrade/
replacement (1)
$7500; Voluntary
Emergency Prepared-
ness Radio (1) -
$2600; Pneumatic Saw
(1) - $1500; Fax
Machine (1) - $1400;
Traffic weight steel
plates - $6500;
Portable flood light
$800; Fire hydrant
flow test equipment-
$1000; File cabinet
(1) - $750; Flat
storage files -
$1000; Bookcase (1)
$520.
DEPART!1ENT:
WATER
DIVISION:
ION EXCHANGE TREATMENT PLANT
DESCRIPTION:
The Ion Exchange Water Treatment Plant removes nitrate-contaminated water
from the underground basin and treats it so that it will comply with
Federal and state Safe Drinking Water standards. This demonstration
project is a cooperative effort with Orange County Water District.
TASKS:
1.
Provide a healthful and wholesome water supply to the community.
2.
Determine feasibility of Ion Exchange for nitrate removal from ground water.
3.
Provide more reliable water supply by decreasing dependence on imported supply.
4.
Purify the groundwater basin and retard the spread of nitrates to adjacent areas and
other wells.
DIVISION BUDGET:
Personnel
Operations
capital Outlay
$ 22,536
178,400
0
TOTAL
$200,936
-164-
1990-91 BUDGET DETAIL
DEPARTMENT: Water Enterprise
DIVISION:
ION Exchange Treatment
Plant
PERSONNEL DETAIL
Plant Operator
1988-89 1989-90 1990-91
ACTUAL BUDGET PROJECTED ADOPTED
0 0.5 $2,207-$2,682 0.5 $2,207-$2,682 0.5 $2,207-$2,682
- - -
0 0.5 0.5 0.5
ACCOUNTING DETAIL
Personnel
Salaries
Retirement/Benefits
Total Personnel Costs
$0 $18,434 $9,000 $19,082
0 4,837 1,283 3,454
$0 $23,271 $10,283 $22,536
$0 $0 $0 $0
0 0 0 0
0 0 0 0
1,268 95,875 38,400 178,400
0 0 0 0
0 0 0 0
-
$1,268 $95,875 $38,400 $178,400
:." Supplies & Services
Contractual Services
Facilities Expense
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
Capital Outlay
Construction Equipment
DIVISION TOTAL:
$0 $0
0 0
0 0
$0 $0
$119,146
-165-
$0 $0
0 0
0 0
$0 $0
$48,683 $200,936
Department Equipment
Office Equipment
Total Capital Outlay
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT: WATER
DIVISION:
9560 IONIZATION
DIVISION ACCOUNT
1989-90
1990-91
DESCRIPTION
Electric
$37,250
$55,000
Electricity used
for operation of
ion exchange
treatment plant.
Basin Replenishment Assessment
$28,125
$53,000
Cost of replenish-
ment to water
basin.
Chemicals
$20,000
$55,000
Chemicals used for
operation of ion
exchange treatment
plant.
-166-
DEPARTMENT:
WATER
DIVISION:
REVERSE OSMOSIS TREATMENT PLANT
DESCRIPTION:
The reverse osmosis water treatment plant removes nitrate-contaminated
water from the underground basin and treats it so that it will comply with
Federal and State Safe Drinking Water Standards. This demonstration
project is a cooperative effort with Orange County Water District.
TASKS:
1.
Provide a healthful and wholesome water supply to the community.
2.
Determine feasibility of Reverse Osmosis treatment for nitrate removal from ground
water.
3.
Provide more reliable water supply by decreasing dependence on imported supply.
4.
Purify the groundwater basin and retard the spread of nitrates to adjacent areas and
other wells.
DIVISION BUDGET:
Personnel
operations
Capital Outlay
$ 22,541
214,900
0
TOTAL
$237,441
-167-
1990-91 BUDGET DETAIL
DEPARTMENT: Water Enterprise
DIVISION:
Reverse Osmosis Treatment
Plant
1988-89
ACTUAL
BUDGET
1989-90
PROJECTED
1990-91
ADOPTED
PERSONNEL DETAIL
Plant Operator
0
0
0.5 $2,207-$2,682 0.5 $2,207-$2,682 0.5 $2,207-$2,682
- - -
a5 a5 0.5
ACCOUNTING DETAIL
Personnel
Salaries
RetirementfBenifits
Total Personnel Costs
$0
0
$0
$18,434
4,837
$23,271
$9,000
1,283
-
$10,283
$19,082
3,459
$22,541
Supplies & Services
Contractual Services
Facilities Expense
Office Expense
Departmental Expense
Transportation Expense
Training & Development
Total Supplies & Services
$0 $0 $0 $0
0 0 0 0
0 0 0 0
75 95,875 38,620 214,900
0 0 0 0
0 0 0 0
$75 $95,875 $38,620 $214,900
$0 $0 $0 $0
0 0 0 0
0 0 0 0
$0 $0 $0 $0
$75 $119,146 $48,903 $237,441
Capital Outlay
Construction Equipment
Department Equipment
Offica Equipment
Total Capital Outlay
DIVISION TOTAL:
-168-
DESCRIPTION OF ACCOUNTS $20,000 OR MORE
DEPARTMENT: WATER
DIVISION:
9570 REVERSE OSMOSIS
DIVISION ACCOUNT
1989-90
1990-91
DESCRIPTION
Electric
$37,250
$115,000
Electricity used
for operation of
of reverse osmosis
treatment plant.
Basin Replenishment Assessment
$28,125
$58,000
Cost of replenish-
ment to water
basin.
Chemicals
$20,000
$27,000
Chemicals used for
operation of
reverse osmosis
treatment plant.
-169-
'IUSTIN WATER SERVICE
CAPIT7\L IMPROVEMENr ffi!X:RAM
1989-90 1989-90
BJLQIT ffi'OJ1'X:T[ 00
1990-91 1991-92
BJLQIT PLANNED
1992-93
PLANNED
1993-94 1994-95
PlANNED PI !INNED
90. WATER SUPPLY AND DIS'ffillUI'Ioo
1. Bell Ave./lvarner Ave. lDop $ 5,200 $ -- $ 5,200 $ -- $ -- $ -- $ --
Completion (600022)
2. Replacement of Obso] ete Production
Heters on Wells with McCrometer
Flan:Jed Tube Heters (Multiple Year 6,000 6,000 6,000
Program) (600052)
3. Rehabilitate Landscaping at Simon
Ranch Road Reservoir Site (600059) 9,500 -- 9,500
4. Foothill Reservoir site Retaining
¡valls & Landscape/Irrigation ('IWo 42,500 -- 42,500
Year Program) (600063)
5. ModifyjUpgrade Telemetry System
for Reservoirs, ¡veIls and Pumps 75,000 -- 125,000
(600064)
6. Drill and Construct Well and Well-
head Facility (600065) 400,000 -- 400,000
7. Rebecca In., Gl-Jen Ave., Lucinda Way,
and Ceborah Dr. Water Main Replace-
ment (4") STL W'ly of Red Hill Ave.
(County Territory) (600068) 55,455 9,880
8. Foothill Reservoir Repair (structural
Rehabilitation & Installation of 232,500 232,500
Liner) (600069)
-170-
90.
WATER SUPPLY. AND D:rsrnIRJl'Ioo (COnt' d. )
'lUSTIN WATER SERVICE
CAPITAL IMPROVEMENl' :rn:GRAM
1989-90 1989-90
BJŒET :m::u:ærr 00
Enram3.da Dr., southerly of Skyline Dr.,
Replacement of 500 L.F. of 4" STL Water
Main (COunty Territory) (600070) $ 45,000 $--
9.
10.
orvillina Dr. northerly of Skyline Dr.
Replacement of 500 ft. of 4" STL Water
Main (COunty Territory) (600071)
11.
Malta st. am Vale Ave. Water Main
Replacement (4") STL from Hewes Ave.
W'ly Vale Ave. to Foothill Blvd.
Replacement of 4" STL Water Main
(County Territory) (600072)
12.
BrcMI1ing Ave. Southerly of Beverly
Glen, Replacement of 800 L.F. 8" STL
Water Main (COunty Territory) (600073)
13.
Garlam Ave., Wreath PI., am Chaplet
Water Main Replacement (4") STL E'ly
of Red Hill Ave. (county Territúry)
(600074)
14.
Bikini Pl., Saigon Ln., am Lindale
In. Water Main Replacement (4") STL
E'ly of Red Hill Ave. (COunty
Territory) (600075)
15.
Prospect Ave. Water Main Replacement
(4") STL from Main st. to First st.
(city Territory) (600076)
45,000
147,000
380
62,500
120,000
360
208,300
425
120,000
243
-171-
1990-91 1991-92
BJŒET PLANNED
$ 45,000
45,000
146,620
62,500
119,300
207,875
119,757
$ --
1992-93
PIANNED
$ --
1993-94 1994-95
PIANNED PIlINNED
$ --
$ --
20.
21.
22.
23.
'IUSTIN WATER SERVICE
O\PI'TI\L IMffiOVE11ENI' PRO::;RAM
1989-90 1989-90
BJIX:ET JR):JæIT 00
90.
16.
WATER SUPPLY AND DISlRIBJI'IOO (Cont I d. )
"c" st. northerly of Mitchell Ave.
Water Main Replacement (3" STL)
(City Territory) (600079) $ 24,000
17.
Automated C1ùorination Equipment
Installation at Each Wellhead
Facility (600077)
120,000
18.
Nisson Road Water Main Replacement
(6" STL) between Newport Ave. and
150' W/O Red Hill Ave. (City
Territory) (600086)
19.
Beautify/Landscape Water Facility
at 235 Main street (600078)
4,500
Tustin Ave./First st. and First st./
Pasadena Ave. Ca1trans Reimbursement
for Freeway Construction Mitigation
(600082)
109,000
El Camino Real between Orange st. and
Red Hill Ave. Caltrans Reimbursement
for Freeway Construction Mitigation
(600083) 135,600
Nisson Rd. between Red Hill Ave. and
Brcwning Ave. Caltrans Reimbursement
for Freeway Construction Migitation
(600084) 137,400
Red Hill Ave. Water Main Replace-
ment between Nisson Rd. and
EI Camino Real (6" STL) (600085)
99,500
$
136
2,005
98,000
99,500
-172-
1990-91 1991-92
BJIX:ET PlANNED
$ 23,864
117,995
160,500
4,500
11,000
135,600
137,400
$ --
1992-93
PIJI.NNED
$ --
1993-94 1994-95
PIlINNED PlANNED
$ --
$ --
90.
24.
WATER SUPPLY AND DISIRIHJITOO (Cont' d. )
Newport Ave. Water Main Replace- $
ment (8" STL) from EdÌfBer Ave. to
Walnut Ave. (City Territory) (600087)
25.
Theodora from Prospect to Holt,
Replace 6" STL (Co. Territory) (600088)
26.
Woodland Dr. Water Main Replacement
(4") STL northerly of Bryan Ave.
(City Territory) (600089)
27.
Zig Zag Way Water Main Replacement
(4") STL northerly of La Colina Dr.
(County Territory) (600090)
28.
"B" st. Water Main Replacement
(4") STL southerly of sixth st.
(City Territory) (600091)
29.
Tustin Ave. Wellsite, Replace Screen
Wall and Electrical Panel (600092)
30.
LivÌfBston from Beneta to Lillian,
Lillian from LivÌfBston to Holt,
Replacement of 2000 L.F. 4" STL
Water Main (Co. Territory) (600093)
31.
Water Plan Facility, Replace
Telephone system (100025)
32.
Pasadena Ave. Water Main Replacement
(4") STL southerly of Second st.
(City Territory)
'lUSl'JN WA'illR SER\TICE
CAPITAL ~ IRX;RAM
1989-90 1989-90
IJ.JIX;E:r ~OO
$
-173-
1992-93
PI l\NNED
1990-91 1991-92
an:x:E:l' PIANNED
$
263,200
190,000
106,300
97,600
53,200
45,000
176,000
1,200
$
$
99,200
1993-94 1994-95
PI.ANNEQ PlANNED
$
$
'IUSTIN WATER SERVI Œ
CAPITAL I:MFHJVEMFNr FRX:RAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
mrxær fR))"ærI 00 mIX;E:I' PIANNED PlANNED PlANNED PIANNED
9. WATER SUPPLY AND DISIRIIUI'IOO (Cont I d.)
33. Leon Way Water Main Replacement
(4") STL from Lillian Way to Holt
Ave. (County Territory) $ -- $ -- $ -- $ 66,500 $ -- $ -- $ --
34.
35.
36.
37.
38.
39.
40.
Ramanza Pl. 4" STL Water Main
replacement northerly of Lillian Way
(County Territory)
37,000
Caneda PI. 4" STL Water Main
Replacement northerly of Lillian
Way (County Territory)
36,700
EI Camino Lane 4" STL Water Main
Replacement easterly of Newport Ave.
County Territory)
48,700
Newport Ave. from Wass to Newport
Reservoir, Replace 1600 L.F. 16"
Riveted steel Pipeline
525,000
525,000
Warren Ave. Water Main Replacement (4")
STL from Clarissa to Ehlen (County and
City Territory)
106,300
Foothill Blvd. Water Main Replacement
(8") STL from Newport Ave. to Arroyo Ave.
(County Territory)
90,600
"A" st. 4" C.!. Water Main Replacement
from Main st. to First st. (City Territory)--
109,800
-174-
90.
WATER SUPPIX AND DIS'ffillUI'Ioo (Cant I d. )
41.
"A" st. 3" STL Water Main Replacement
from First st. to Irvine Boulevard
City Territor $ --
42.
Ethelbee Way 6" STL Water Main Replace-
ment northerly of Santa Clara Ave. ancl
Santa Clara Ave. (County Territory)
43.
Whitney Dr., Lassen Way, Lassen Dr.,
ancl Shasta Dr. Water Main Replacement
(4") STL from Prospect Ave. to Ranier
Ave. (County Territory)
44.
Ranier Dr. 4" ancl 6" STL Water Main
Replacement from Olympia Way to
Prospect Ave. (COunty Territory)
45.
COunty Lane Replacement of 4" STL Water
Main northerly of La COlina (COunty
Territory)
46.
Sierra Alta Dr. Replacement of 4" STL
Water Main from Red Hill Ave. to Windsor
Lane (County Territory)
47.
Ranch View Dr., Replacement of 4" STL
Water Main northerly of La COlina Dr.
(County Territory)
'lUSTIN WATER SERVICE
CAPITAL ~ :mxRAM
1989-90 1989-90
IIJIX;EI' PInJ"æIT 00
$ --
-175-
1990-91 1991-92
B.JIX;E.T PIANNED
$ --
$ --
1992-93
PIANNED
$ 76,300
76,100
1993-94 1994-95
PlANNED PIANNED
$ --
$ --
143,400
114,000
63,100
194,500
29,600
'lUS'.I'lli WATER SERVICE
C7\PlTAL :IMFRJVEMENl' ffiCGRAM
1989-90 1989-90
OOŒEI' FR::DæIT 00
1990-91 1991-92
IUCGEI' PIANNED
90. WATER SUPPLY AND DISIRIIUI'ICN (Cont I d.)
48. Linda Lane, Laurinda Way, Laurie Lane,
Replacement of 4" STL Water main WIly
of Prospect Ave. (County Territory) $
49. Kirk Ave. ,Dall Lane,Norwocxi Park Place,
RepJacement of 4" STL Water Main W'ly
of Holt Ave. (County Territory)
50. Bigelow Park, Replacement of 4" STL
Water Main from Holt Ave. to Livingston
(County Territory)
51. Clarissa Lane, Replacement of 4" STL
Water Main northerly of Vanderlip
(County Territory)
52. Brenan Way, Replacement of 4" STL Water
!1ain from Varrlerlip to Seventeenth st.
(County Territory)
53. Arbolada Way, Replacement of 4" STL
¡'later Main Westerly of Prospect Ave.
(City Territory)
54. Fiesta Way Replacement of 4" STL
Water Main Westerly of Prospect
(City Territory)
$
$
-176-
1992-93
PIANNED
$
$
1993-94 1994-95
PIANNED PIANNED
$122,000
185,100
$ --
114,600
29,800
98,300
38,900
38,900
'lUSI'IN WATER SERVICE
CAPITAL ~ rna;RAM
1989-90 1989-90 1990-91 1991-92 1992-93 1993-94 1994-95
HJIX:EI' rno:r:æ:rr rn IUIX:ET PIlINNED PIANNED PIANNED PIANNED
90. WATER SUPPLY AND Drsrnnurrrn (Cont' d.)
55. Kenwocx:i Lane, Replacement of 4" STL
Water Main from La Colina to Sierra
Alta Dr. (County Territory) $ -- $ -- $ -- $ -- $ -- $ -- $ 56,000
56.
San Juan st. from utt to Red Hill,
Replace 650 ft. of 4" STL Water
Main (City Territory)
57,700
57.
CeB.1sk, Walter, Raleigh Northerly
of Mitchell Ave., Replace 1600 ft.
of 4" STL"Water Main (City Territory)
158,400
58.
Fairhaven..from Hewes to Esplanade,
Replace 1700 L.F. 10" STL Water
Main (County Territory)
187,000
'IDrAI.S
$2,203,955 $453,929 $2,853,110 $1,063,100 $1,234,100 $1,101,700
$1,030,300
-177-
Oil IER IIDJEX::I'S - UNSafELUIED IN
WATER SERIJI CE FIVE YEAR ffiCGRAM
10.
Mt. Hcxx:l, Sierra Madre and Allegheny Northerly
of Santa Clara, Replace 2300 L.F. of 4" STL Water
Main (County Territory) """""""""""""""""""""""""""............. $190,300
11.
Prospect Ave. from Seventeenth to Fairhaven, Replace
5200 L.F. of 8" STL Water Main (County Territory) ......................................... $506,000
12.
Santa Clara from Prospect to Esplanade, Replace
4200 L.F. of 8" STL \Vater Main (County Territory) """""""""""""""""""'" $418,000
13.
Modify piping on Seventeenth st. between Brenan
and NevipOrt to isolate flows from proposed Seventeenth
st. wellsite nitrate removal plant to pressure zone #2 .................................... $275,000
14.
Install Booster stations at various locations to lift
well water pt.n11ped in pressure zone #1 to pressure
zone #2 """""""""""""""""""""""""""............................. $275,000
-178-
arnER ffiC\Jæl'S - UNSaIErUIED IN
WATER SERVICE FIVE YEAR PR::GWI
1.
Lemona In., Replacement of 4" Water Main
Southerly of La Colina Dr. (County Territory) ............................................. $ 51,400
2.
Windsor PI., Replacement of 4" Water Main from
Warren Ave. to Seventeenth st. (County Territory) ......................................... $ 84,200
3.
Cameron In., Replacement of 4" Water Main
Southerly of Vanderlip st. (County Territory) ............................................. $ 71,700
4.
Ehlen Way, Brenan Way, Harp ct., Manning Dr.,
Replacement of 4" Wate:rMain Northerly of
Warren Ave. (COunty Territory) ............................................................ $127,500
5.
Esplanade from Fairhaven to Seventeenth, Install
5200 L.F. of new 10" Water Main (County Territory) ........................................ $517,000
6.
Fairmont Way South of Fairhaven, Replace
800 L.F. 4" STL Water Main (County Territory) ............................................. $ 79,200
7.
Hewes Ave. from Ervin to oak Ridge, Replace
1600 L. F. Water Main and from Vale to Old Foothill
replace 900 L.F. of 4" STL Water Main (County Territory) .................................. $236,500
8.
Rosalind Southerly of Fairhaven, Replace 900 L.F.
of Water 4" STL Water Main (County Territory) ............................................. $ 74,800
9.
Blue Ridge from Mt. Hocx:l to Santa Clara, oak Ridge
from Mt. Hood to Blue Ridge, Replace 2300 L.F. of
6" S~ Water Main (County Territory) ...................................................... $190,300
-179-
EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1
CAPITAL IMPROVEMENT PROGRAM
60. TRANSPORTATION FACILITIES
1. Tustin Ranch Rd. between Bryan
Ave. and Irvine Blvd. (City contract)
2. New Myford Rd. between EI Camino Real
and Irvine Blvd. (City contract)
3. Southerly half of Irvine Blvd. from
800 ft. easterly of Browning Ave.
to Myford Road (City contract)
4. Jamboree Rd.
Irvine Blvd.
(Myford) from 1-5 Fwy to
(City contract)
5. El Camino Real from easterly boundary
of Auto Center to Myford Rd.
(City contract)
6. Bryan Ave. from Browning Ave. to
Myford Rd. except south half between
Browning Ave. and 300' easterly of
Tustin Ranch Road (City contract)
7. Easterly half of Browning Ave. from
Bryan Ave. to 1300 ft. northerly of
Bryan Ave. (City contract)
8. Tustin Ranch Rd./I-5 Interchange
(Caltrans contract)
SUBTOTALS
1989-90
BUDGET
$
805,535
385,160
500,575
411,432
150,437
411,792
35,177
11,542,328
$14,242,436
-lBO-
1989-90
PROJECTION
1991-92
PLANNED
1990-91
BUDGET
$
$
698,534
$
107,001
102,737
282,423
56,665
443,910
415,505
52,733
97,704
166,694
245,098
609 34,568
6,200,000 3,342,328 2,000,00
$6,686,439 $5,560,070 $2,000,00
65.
10.
EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1
CAPITAL IMPROVEMENT PROGRAM
TRAFFIC CONTROL FACILITIES
Traffic Signal Installations/
Interconnect System at Various
Locations.
1.
Browning Ave. and Bryan Ave.
100% complete
2.
Tustin Ranch Rd. and Auto Center Dr.,
0% complete
3.
Tustin Ranch Rd. and EI Camino Real,
100% complete
4.
EI Camino Real and Browning Avenue,
0% complete
5.
Bryan Ave. and Jamboree Road,
100% complete
6.
Tustin Ranch Rd. and Bryan Ave.,
100% complete
7.
Irvine Blvd. and Jamboree Rd.
(1/2 intersection) 100% complete
8.
Tustin Ranch Rd. and Irvine Blvd.
(1/2 intersection) 100% complete
9.
Tustin Ranch Rd. and north I-5 Ramps,
0% complete
Tustin Ranch Rd. and south 1-5 ramps,
0% complete
1989-90
BUDGET
$976,051
-181-
1989-90
PROJECTION
$158,250
1990-91
BUDGET
$583,401
1991-92
PLANNED
$234,400
~
11.
12.
13.
14.
15.
16.
17 .
'lJh
1.
EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1
CAPITAL IMPROVEMENT PROGRAM
TRAFFIC CONTROL FACILITIES (Cont'd.)
E1 Camino Real and Jamboree Rd.,
100% complete
Jamboree Rd. and Sector 11 Access
100% complete
Irvine Blvd. and New Myford,
100% complete
Bryan Ave. and New Myford,
100% complete
Heritage Way and New Myford,
100% complete
EI Camino Real and Myford Rd.,
100% complete
Tustin Ranch Rd. and Parkview/
Heritage, 100% complete
SUBTOTALS
FLOOD CONTROL FACILITIES
EI Modena-Irvine Channel
2.
Drainage and Flood Control
SUBTOTALS
TOTALS
1989-90
BUDGET
1989-90
PROJECTION
1990-91
BUDGET
1991-92
PLANNED
$
976,051
$ 2,213,139
112,788
$ 2,325,927
$17,544,414
-182-
$ 158,250 $ 583,401
$ -- $2,213,139
38,455 74,333
$ 38,455 $2,287,472
$6,883,144 $8,665,343
$
234,400
$
$
$2,234,400
4Q..,.
1.
~
1.
65.
EAST TUSTIN ASSESSMENT DISTRICT NO. 86-2
CAPITAL IMPROVEMENT PROGRAM
1989-90 1989-90 1990-91
BUDGET PROJECTION BUDGET
COMMUNITY SERVICES FACILITIES
Regional Trails
SUBTOTALS
TRANSPORTATION FACILITIES
North 1/2 of Irvine Blvd. from
Jamboree Rd. to westerly City boundary
2.
Tustin Ranch Rd. from Irvine Blvd.
to Jamboree Rd.
3.
Jamboree Rd. from Irvine Blvd. to
Santiago Rd. (Relocated)
4.
Portola Parkway from Jamboree Rd.
to Tustin Ranch Rd.
5.
La Colina Dr. from Tustin Ranch Rd.
to westerly City boundary
6.
Tustin Ranch Rd. Interchange
($4,445,000) transferred to AD No. 86-2
SUBTOTALS
TRAFFIC CONTROLS
Traffic signal Installations/
Interconnect System at Various
Locations.
1.
Tustin Ranch Rd. at Irvine Blvd.
(1/2 intersection) 100% complete
1991-92
PLANNED
$ 679,700 $ -- $ 679,700 $
$ 679,700 $ -- $ 679,700 $
$ 550,115 $ 111,989 $ 438,126 $
2,745,394 659,618 2,085,776
20,284,801 7,978,735 10,006,066 2,300,00
331,068 78,628 252,440
333,753 29,453 304,300
4,445,000 -- 2,965,000 1,480,00
$24,245,131 $ 8,858,423 $13,086,708 $2,300,00
$ 1,689,375
$ 1,465,971
$
223,404
$
-183-
65.
10.
11.
12.
13 .
EAST TUSTIN ASSESSMENT DISTRICT NO. 86-2
CAPITAL IMPROVEMENT PROGRAM
TRAFFIC CONTROLS (Cont'd.)
3.
Tustin Ranch Rd. at Rawlings,
100% complete
4.
Tustin Ranch Rd. at La Colina
100% complete
5.
Tustin Ranch Rd. at Portola
Parkway, 100% complete
6.
Tustin Ranch Rd. at pioneer Way
20% complete
7.
Tustin Ranch Rd. at Jamboree Rd.
100% complete
8.
Jamboree Rd. at Irvine Blvd.
(1/2 intersection) 100% complete
9.
Jamboree Rd. at Robinson Dr.
100% complete
Jamboree Rd. at Lot 20
100% complete
Jamboree Rd. at Champion Way
100% complete
Jamboree Rd. at Portola Parkway
100% complete
Irvine Blvd. at Robinson Dr.
100% complete
-184-
1989-90
BUDGET
1989-90
PROJECTION
,.
1990-91
BUDGET
1991-92
PLANNED