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HomeMy WebLinkAbout1986-87FY PROG & FINC'L PLAN CITY OF TUSTIN PROGRAM AND FINANCIAL PLAN FOR 1986-87 ADOPTED JULY 7. 1986 RESOLUTION 86-84 and RDA 86-7 CITY COUNCIL DONALD J. SALTAREllI. MAYOR RONALD B. HOESTEREY. MAYOR PROTEM URSULA E. KENNEDY. COUNCilWOMAN RICHARD B. EDGAR. COUNCILMAN JOHN KEllY. COUNCilMAN MANAGEMENT STAFF WIllIAM A. HUSTON. CITY MANAGER JAMES A. ROURKE. CITY ATTORNEY RONALD A. NAULT, DIRECTOR OF FINANCE CHARLES R. THAYER. POLICE CHIEF DONALD D. lAMM. DIRECTOR OF COMMUNITY DEVELOPMENT MARY E. WYNN. CITY CLERK ROYlEEN A. WHITE, DIRECTOR OF ADMIN./COMMUNITY SERVICES ROBERT S. lEDENDECKER, DIRECTOR OF PUBLIC WORKS/CITY ENGINEER TABlE OF CONTENTS TITLE CITY MANAGER'S BUDGET MESSAGE PAGE 110. 1 - vii TIRE DEPARTMENT EXPENDITURE PROGRAMS SECTION I ORGANIZATION CHART BASIC DATA DEFINITION OF TERMS lEGISLATION ADMINISTRATION COMMUNITY DEVELOPMENT PUBLIC WRKS POLICE FIRE ADMINISTRATION COMMUNITY SERVICES NON-DEPARTMENTAL SECTIOI VI 2 3 - 4 5 SECTION II STATEMENT OF FUND BALANCES SUMMARY OF INTERFUND TRANSFERS 7 8 SECTION III CAPITAL IMPROVEMENT SUMMARY - FUNDING SOURCE CAPITAL IMPROVEMENT PROGRAM EAST TUSTIN 'ASSESSMENT DISTRICT UNSCHEDULED PROGRAM NEEDS SECTIOII VII REVENUES FUND DESCRIPTIONS ACCOUNT DESCRIPTIONS SECTION IV 10 - 16 17 - 19 20 - 23 TUSTIN COMMU~ITY REDEVELOPMENT AGENCY CAPITAL IMPROVEMENTS SUMMARY OF POSITIONS SECTION V 25 COMBINED PROGRAM EXPENDITURE SUMMARY 27 SECTION VIII TUSTIN WATER SERVICE CAPITAL IMPROVEMENTS UNSCHEDULED PROGRAM NEEDS PAGE 110. 29 - 39 42 - 56 58- 64 66 - 91 93 - 109 111 - 113 115 - 136 138 - 140 142 143 - 153 154 - 157 158 - 159 u~ - 164 165 - 171 172 - 179 180 - 185 186 - 188 REVENUES. ALL FUNDS All OTHERS '345,880 mUIOOET REVENUES BY SOURCES INTEREST '970,500 , MOTOR VEHICLE IN LIEU '1,235,000 VEHICLE FINES CODE FRANCHISE '250,000 FEES '433,000 CAPITAL IMPROVEMENT BY FUNDS WATER '388,300 BEAUTIFICATION '21,000 OPERARA TING APPROPRIATIONS BY DEPARTMENT POLICE '4,581,168 RDA '1,859,839 lEGISLATION '322,901 NON.DEPARTMENTAl S308,ooo COMMUNITY DEVELOPMENT $893,923 COMMUNITY SERVICES $822,942 ADMINISTRATION '840,088 BUDGET TO: FROM : HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCil WILLIAM A. HUSTON, CITY MANAGER SUBJECT: 1986-81 ADOPTED BUOGET The 1986-87 Adopted Budget reflects the following: 1. continuation of the levels of City services provided in fiscal year 1985-86; 2. a capi tal improvement program whi ch provi des for a variety of projects, each of whi ch is an important component of the City's public facilities; 3. fund balances necessary for cash flow, interest earnings, future debt service and other long term obligations; and 4, it is balanced. BUDGET OYERVIEW Listed below i5 a comparison of the projected 1985-86 budget and the 1986-87 Preliminary Budget for all funds: Operations Debt Service Capital Improvements 1985-86 $ 11 ,412 ,432 1,614,000 5L4~~.681 1986-87 $ 18,086,683 1,708,002 6," 43~.1O0 SUBTOTAL $ 24,580,113 $ 26,227,785 Assessment District 85-1 " TOTAL i$ 3,655,700 $ 28,235,813 $ 15,366,900 $ 41,594,685 The operations portion of the budget incl udes personnel, operating and depreciation e){penses, sel f-insured and commercial 1 iabfl fty, workers compensation and heal th insurance and capital outlay items. Debt Service incl udes annual principal and interest payments for authorized park, civic center, redevelopment and water bond issues. Capital improvements include all projects e){cept those funded through Assessment District 85-1 which is shown separately. This District incl udes capital projects in the East Tustin Specific Plan area funded through property assessments. The total budget comparison incl udes a sub-total in order to more accurately compare the 1985-86 and 1986-87 budgets because Assessment District 85-1 skews the total s. It is important to keep in mind that Assessment District 85-1 projects are funded through assessments only on properties within the District. The 1986-87 preliminary operations budget for all funds is 3.9% more than the 1985-86 projected budget. The increase is attributable to allowances for inflation, proposed new personnel and a significant increase in the cost of insurance. GENERAl FUND The 1986-87 total preliminary General Fund budget of $13,626,465 is 5.U more than the 1985-86 projected total budget. The 1986-87 operations portion of the budget (all e){penses less capital improvements incl uded within the General Fund) is 7.4% more than the 1985-86 projected operations budget. The increase in the operations portion of the General Fund budget is due primarily to inflation and supplemental requests. Supplemental budget requests, which are e){plained below, include new e){penditures required to maintain 1985-86 levels of service or increase the efficiency of operations. 1. Assistant Civil Engineer (2) - These positions will be responsible for preparing design plans for capital improvement projects, including projects funded through Assessment District 85-1. The cost of these positions will be largely offset by administrative fees charged to the Assessment District. Due to the volume and nature of the required engineering, staff has determined that utilizing consultants in lieu of adding these positions would not be as cost-beneficial. 2. Mechanic Helper (1) - This position is needed in order to improve the efficiency of the, vehicle equipment operation. Over the years, vehicles (such as the Water Department) have been added to the City's fleet without adding personnel to the Vehicle Division of the Publ ic Works Department. While vehicle maintenance equipment has been upgraded, it is not sufficient to keep pace with the workload. The Mechanic Helper will free higher-paid vehicle mechanics from non- vehicle maintenance tasks. 3. Co8puter Equi~nt - This provides $18,000 for the purchase of additional equipment to upgrade the Police computer program. 4. Property Officer (1) - This provides for upgrading from part-time to full-time a non-sworn position in the Police Department responsible for evidence. The upgrade is necessary due to the increased workload. i i 5. Non-Svorn Investigator (1) - This is a non-sworn position in the Police Department necessary due to the increased workload in the Services Division. 6. Part-Tille Clerks (2) - This includes one part-time clerk in the Investigations and one in the Services Division of the Police Department. These positions are necessary due to the increased workload. 7. Building Inspector (1) - This position is needed due to the increased workload created by construction activity. The cost will be partially offset by building permit and inspection fees. 8. City Planner (1) - With the increasing workload and comple){ity of projects and tasks administered by the Community Development Department, the Director of the department needs to allocate more time for management of major projects, negotiations with developers and redevelopment activities. The City Planner position will free the Director from direct supervision of day-to-day activities, thereby creating time for the Director to concentrate on long-range planning and special/major projects. With the above proposed new positions in the General Fund, the number of full-time personnel per 1,000 population womdbe 3.95 which is less than the 3.91 per 1,000 population in 1985-86. The 1986-87 contract for County fire services is 4.91 more than the 1985-86 price. The City Council has received a report which assesses the cost-benefit of the County contract. On the basis of that report, staff is not recommending any changes in the contract at this time, but will continue to monitor it relative to criteria set forth in the report. Projected 1986-87 General Fund revenue of $12,623.840 in 7.1n more than the 1985-86 projected amount of $11,791,583. The 1986-87 budget does not include proposed higher or new fees. The principal changes in 1986-87 General Fund revenue are as follows: sales Tax. - Budgeted 1986-87 sales ta){ is 9.26% more than the 1985-86 projected amount. The increase is based upon projected inflationary and real growth in ta){able sales. A conservative all owance has been made for the schedul ed 'openings of deal ers currently under construction in the Auto Center. With the City's new sales ta){ monitoring system, trends which affect local sales ta){ can be identified and corrective actions taken more quickly than in the past. Property Taxes - Are projected to be 5.4% more than 1985-86 based upon antici pa ted reassessments of property re-sal es and new construction. The a increase pursuant to Proposition 13 is included within the projected increase. Hi Motor Vehicle In-lieu Tax - Is projected to increase 17.6% based upon estimates through the State Controller. Proposition 47 on the June 3, 1986 ballot would constitutionally guarantee that the vehicle license ta){ would go to cities on a permanent basis. This would insure the vehicle in-l feu ta){ as a permanent source of revenue by preventing the State legislature from suspending payments to cities as it did from 1981 through 1984 (the City of Tustin lost $800,000 as a resul t) . The June 30, 1987 projected General Fund balance is $3,226,228. It is important to note that the 1987 projected balance is higher than the 1986 projected balance even though new positions have been added, the loss of revenue sharing has been absorbed by the General Fund and $703,100 has been allocated from General Fund revenue for capital improvement projects. WATER SYSTEM The 1986-87 preliminary operations budget for the water system includes e){penditures of $4,169,718 and operating revènue of $4,272 ,094. In addition to operating revenue, $851,000 in debt surcharge revenue ~ill be collected. Listed below is a comparison of the 1985-86 authorized and 1986-87 preliminary budget: 1985-86 1986-87 $ 4,169,718 388,300 225,000 Operations $ 3,433,431 Capital Improvements 878,500 Transfer to Water Capital Improvement Fund 225,000 TOTAL $ 4,536,931 $ 4,783,018 The Water Enterprise budget also includes the cost of debt service which is e){plained in a later section of this memorandum. The transfer to the Water Capital Improvement Fund includes monies set aside for future construction of a water well ($200,000) and acquisition of the nitrate removal facility ($250,000). By accumulating funds over time, monies will be available when it is determined that the projects should proceed. The June 30, 1987 projected water operations fund balance of $1,768,200 is required for cash flow, contingency requirements and future capital improvements. The water system is becoming self-sufficient and has greater flexibility to handle unanticipated needs. However, it is important that water rates be reviewed on an ongoing basis to ensure that the water enterprise fund remains self-supporting and capable of meeting future operating and capital requirements. Staff will be submitting to the City Council at a later date a report regarding water rates. REDEVElOPMEliT AGEIICY The 1986-87 preliminary budget for the Redevelopment Agency includes operating e){penses of $1,848,052 and capital improvement projects totalling $929,100. iv The major operating expenses include $200,000 for general liability insurance, $390,000 for reimbursement to the General Fund for overhead e){penses and $898,452 for debt service on the 1982 ta){ allocation bond issue. Of the total operating e){penses. $30,500 are allocated to the South/Central Project Area are for direct overhead expenses and $75,000 for indirect e){penses. All other operating e){penses are for the Town Center Project Area. The only capital improvement projects for fiscal "87" are funded through the Town Center Project area. The South/Central Project area negative fund balance of $177,258 is due to the Resco project participation agreement approved in 1985-86. The shortfall in ta){ increment income is covered by a loan from the General Fund which will be paid back as ta){ increment increases in 1987-88 with completion of the Pacific Bell and other projects in the South/Central Project area. The set-aside balance of $115,161 is restricted by State law to projects benefitting low/moderate-income families. It is staff's recommendation that set-aside funds continue to accumulate until there are sufficient funds to participate in a meaningful housing project. The Town Center Project Area capital projects June 30, 1987 balance of $2,837,000 is available for future redevelopment projects. DEBT. SERVICE Debt service is the annual principal and interest payments for authorized bond issues and developer advances obligations of the water system. listed below is a comparison of debt service by issue for fiscal years 1985-86 and 1986-87. ISSUE Parks Civic Center Redevelopment Wa ter (Assumed Debt) Water (lease-Revenue) Water (Developer Advances) 1985-86 1986-87 $ 102 ,000 $ 97,000 75,000 72,550 897,000 898,452 119,500 119,500 427,099 471,410 53,401 49,090 $ 1,674,000 $ 1,708,002 Annual payments for debt service are based upon the principal and interest schedule established when the bonds were issued. Each bond issue has particular requirements concerning early redemption and coverage requirements (proceeds of the bond issue and portions of current revenue that must be reserved for future payments). The projected balance for each bond fund sàtisfies the coverage and reserve requirements of each issue. The projected Town Center Debt Service Fund balance of $2,140,296 includes appro){imately $1,000,000 that can be transferred to the Town Center Capital Project Fund upon retirement of the outstanding bonds. The remainder of the balance is set aside for 1987-88 bond payments and other required reserves. v The Wa ter Debt Servi ce Fund incl udes surcharge revenue coll ected through the bi -monthl y wa ter bill. The full amount collected is deposited into this fund for redemption of 1983 lease-revenue bonds, Tustin Water Works bonds (debt assumed through acquisition of Tustin Water Works) and developer advances tal so assumed through Tustin Water Works). Future water debt obligations will be met since the surcharge rate is set at an amount that takes into account the fl uctuations in annual principal and interest payments during the term of the bonds and developer advances obligations. At a later date, staff will be submitting to the City Council reports regarding redemption of Park and Civic Center bonds and a cash flow analysis of the Water Debt Service Fund. CAPITAl IMPROVEMENTS The Capital Improvement Program section of the budget lists all proposed capital improvement projects by type and source of funding. Listed below is a comparison of 1985-86 and 1986-87 allocations for capital improvements by fund: ' FUND 1985-86 1986-87 $ 1,397,591 $ 1,203,100 368,000 -0- 1,354,864 3,876,500 210,000 -0- 38,434 21,000 -0- 15,100 934,592 929,100 311,700 -0- 878,500 388,300 3,655,700 15,366,900 $ 9,149,381 $ 21,800,000 General Revenue Sharing Gas Tu Capital Improvements Beautification Park Development Redevelopment (Town Center) Redevelopment (South/Central) Water Assessment District 85-1 The Capital Improvements sections of the budget (including Redevelopment and Water) include proposed projects for the subsequent four years and a list of unscheduled projects. It is important to keep in mind that the five-year capital improvement program is a planning guide and as such it could be subject to change depending upon availability of funding, changes in design/scheduling considerations and any unforeseen circumstances. SELF-INSURED AND EQUIPMENT FUNDS The City's self-insured health and Workers Compensation programs continue to be financially and actuarily sound. vi Unfortunately the risk management fund (general liabfl ity) is subject to the ever changing conditions of the insurance market. In 1985-86 the City e){perienced a substantial increase in its general liability insurance premium and increased its self-insured retention from $100,000 to $250,000. At this point it is not known whether the City will be able to secure general 1 iabil i ty insurance (in e){cess of the sel f-insured reserve) in December, 1987. If the City is forced to go un-insured for general liability, it will be necessary to review at that time whether the risk management fund balance should be further increased. Based upon a depreciation schedule, funds are transferred annually from General Fund departmental operating budgets to the Equipment Fund. This ensures that adequate amounts are earmarked for future equipment replacement. The actual replacement of equipment (Police vehicles, trucks, street sweepers, etc.) depends upon its condition at the time of schedul ed replacement, cost of maintenance, etc. The 1986-87 preliminary General Fund budget incl udes funds for retention of a consul tant to develop a computerized fi){ed asset inventory and depreciation system for all assets of the City. This system will insure that all assets are included within the depreciation system. vii c . -= en 'PI :' :ID 'PI ... en Ø) n ... "' :' ... . n . ... ... ... -= ... C N . ... :. :. -= ... ... . :. ... -= ... -= . ... n ... = 'PI :. :ID :ID :8 ... en CITY CLERK CITY TREASURER COMM/ADMIN SERVICES FINANCE CITIZENS OF TUSTIN MAYOR aTY COUNCIL ------ REDEV. AGENCY CITY ATTORNEY I I I I I I I I I I I I L__---i , I COORDINATION AND COOPERATION CITY MANAGER SPEC. DIST. CONTRACT SERVo PRIV. UTIL. LIBRARY FIRE ELECTRICITY LIGHTING REFUSE NATURAL GAS SEWERS ANIMAL CONT. TELEPHONE FLOOD CONT. CABLE TV AD 85-1 PUBLIC WORKS COMM. DEV. CHIEF DEPUTY CITY CLERK POLICE BASIC DATA 1985-86 Tustin was founded In 1868 and Incorporated as a General law city Septelllber 21.1927. 77-78 78-79 79-80 80-81 81-82 82-83 83-84 84-85 85-86 86-87** Popul atlon (a) 32 ,650 32 ,792 33,700 33,940 36,962 38,223 40.204 40,258 40,815 42,735 Registered Voters 13,074 13.537 13,254 15,321 17 .456 17 ,453 16.057 16,057 19.966 19,966 Housing Unl ts 12,976 13.618 14.085 16.233 16,261 16,321 16.321 16,380 16.424 16,424 Area of City (sq..I.) 8.1 8.1 9.9 10.7 10.7 10.7 10.7 10.7 10.7 10.8 Property Valuations (.llllons $) 600.0 697.2 841.2 933.2 1,192.5 1,268.5 1.310 1.467 1.687 1,825 Property tax Revenue (b) (thousands $) 1.278.0 596.5 949.5 1.128.9 1.418.7 1.643.4 1,787.7 2.000 2.200 2,300 Taxable Sales Ic) (In $1,000) 155,558 212 ,840 281.332 301,673 330,200 336.164 342 ,000** 380.000 540.000 590,000 Mllllber of Reta t1 Store per.1 ts 325 392 404 404 404 423 431** 430 435 438 All other outlets 566 661 709 787 854 898 916** 918 1.009 1.011 Total all outlets 891 1.053 1,113 1.191 1,258 1.321 1,347** 1,352 1.444 1,449 Fire Insurance Class 4 4 4 4 4 4 4 4 4 4 Miles of City streets 68.4 70.2 70.7 75.0 75.0 75.1 75.1 75.1 75.1 75.1 Arterial 24.0 24.1 24.4 25.3 25.3 25.3 25.3 25.3 25.3 25.3 Local 44.4 46.1 46.3 49.7 49.7 49.8 49.8 49.8 49.8 49.8 Miles of City owned alleys .71 .71 .71 .71 .71 .7 .7 .7 .7 .7 Signal hed Intersections (d) ' 40 42 39 43 43 51 53 53 53 55 City owned bull dings 14 10 11 9 9 9 9 9 9 9 Parks maintained 9 9 9 9 g 9 9 9 9 9 City vehicles (total) 63 56 63 78 78 84 84 84 84 86 General 11 12 13 13 13 16 16 16 15 15 Fire (e) 11 -- -- -- -- -- -- -- -- -- Police 22 23 26 27 27 32 32 32 35 37 Maintenance 20 21 24 24 24 23 23 23 23 23 lIater If) -- -- -- 14 14 13 13 13 13 13 3 (page twol BASIC DATA 1985-86 77-78 78-79 79-80 80-81 81-82 82-83 83-84 84-85 85-86 86-87** fu11-tllDE! e.ployees (per 1,000 populatlonl (gl 4.04 3.72 4.12 4.59 4.64 4.34 4.15 4.14 4.13 4.36 Excluding fire + water 3.27 3.72 4.12 4.08 4.13 3.89 3.72 3.69 3.97 3.95 Per capl ta cost for operations (unadjustedl (hI 121. 33 134.03 137.96 200.55 212.06 236.18 245.33 263.05 307.98 291.84 Adjusted for Inflation (base year 19671 65.41 67.15 59.31 76.99 81.61 81.4 83.56 86.19 95.4 100.17 CPl (I) 185.5 199.6 232.6 260.5 283.9 290.1 293.6 305.2 322.8 328.2 I Annual Increase 6.12 7.60 16.53 11.99 9.0 8.3 1.2 4.1 5.0 4.3 Bonded Indebtedness tax rate Park 80nd .0912 .0835 .0715 .0918 .0618 .00858 .00644 .00644 .00644 .00644 Center .0577 .0600 .0534 .0552 .1221 .00616 .00491 .00491 .00491 .00491 NOTES: ** Esthllted , (al State Dept. of finance Certfflcatlon as of Jan. I, since 1978. (b) Prop. 13 effective In 1978 (cl Calendar year report, Board of Equal fzatlon (d) 42 Intersections -Intalned by city leI Contract services with Orange County fY 1978-79. If) IIater service acquired fY 1980-81 Igl Includes fire Dept. prior to fY 18-79 and water utility after fY 1980 Ihl Excl udes water service. RDA. and capital fllprovellents 11) 1982-83 Is June 1982,prevlous CPI as of January 4 1. Program and Financial Plan a. Preliminary: b. Final: 2. Fund: a. General: b. Special: 3. Personne 1 : 4. Supplies & Services: 5. Capital_OutlßY: 6. Ca~ital lf11I!rovements: 7. Salary--A~justment: 8. ApPS_OQriation: 9. Revenue: 10. Account Series: 11. Activity: DEFINITION OF TERMS 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 by the City Manager to the City Council for their consideration. 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 ac- counting entity. A fund accounting for general government which is financed by revenues not otherwise restricted to special purposes. Accounting of funds requiring e){penditures for special purposes under e){- isting regulations. The number of, and salaries paid to City employees. Expenditures for departmental operations and related expenses. Equipment used in the operation of the City and of a non-e){pendable nature, i.e.. with a useful life of several years. Major improvements including land and right-of-way acquisition, buildings, street construction, and related facilities. Changes in the dollar amount for personnel resulting from a change in salary rate or reclassification of positions. Funds authorized to be e){pended. Funds received to finance the City's expenditures. An accounting level to record the costs of a specific function, department, or group of servi ces. . The title of a particular account series. 5 VI VI VI C: .... 1"'1 :I: =- CO) :1: .... .... =- 1"'1 ... ::a :l: CI -C 1"'1 8: 8: CI .... ~ CI ... ... ~ ... 8: .... ~ 1"'1 c: ::a 8: ~ CI c: 8: = CI =- r- .... =- ::a 8: =- CO) 8: 1"'1 VI VI ~ 1"'1 ::a VI STATEMENT OF CIIIPARATIYE fUND BAlANCES Audited 1985-86 Projected 1986-81 Est Imated Balance Transfers Balance Transfers Ba lance Expenditures 6/30/85 Revenue Expend Itures In/(Out) 6/30/86 Revenue Appropriations In/(Out) 6/30/81 General S 3,334,200 $11.191,583 S12,961,338 S 1.031,B80 S 3,202,325 $12,623,840 S13,626,465 $1.026,528 S 3,226,228 Revenue Shari ng (23,412) 353,000 368,000 0 (38.472) 0 0 38.412 0 Gas 'fax 530,164 1,284.604 1,354,864 (225.000) 235,504 4.101,380 3,816.500 (250,000) 216.384 Park Development 1,516 12,000 0 0 13,516 5,000 15,100 0 3.416 Sewer Trust (19,248) 5,000 0 0 (I4,24B) 500 0 0 (13.14B) Capital IlII Irovement 150,434 30.000 210,000 0 (29,566) 0 0 0 (29,566) Beautification 61,141 100,000 38,434 (100,000) 22,701 125,000 21,000 (125,000) 1,101 Park Bonds 318,157 128,800 102,000 D 344,951 121,600 91,000 0 315,551 Chic Center Bonds 132,410 88 , 000 15,000 0 145,410 81.100 12.550 0 160,560 Assessment District 85-1 0 3.655.100 3,655,100 0 0 15,366,900 15,366,900 0 0 Tustin RDA Debt Service 2,061,009 1.128.739 897,000 (159.000) 2,133,148 1,105.000 898,452 (800,000) 2.140,296 Capital Projects TC 4,249,180 964.121 2,496.860 392,560 3,110,201 100,000 1.383,200 410,000 2.831,001 Capital Projects SC 14,968 121,000 361,226 (80,000) (305,258) 233,500 30,500 (75.000) (171,258) Set-Aside 24,861 31,500 0 0 56,361 58,800 0 0 115,161 Water Operations 2,343,055 4,413,000 4,045.491 (491,440) 2,219,124 4,212,094 4,333.018 (450,000) 1,168,200 Debt Service 1,911 869,000 600,000 0 210,911 851,000 640,000 0 4BI,911 Capital Improvetlents 0 0 0 225,000 225.000 0 0 225.000 450.000 Equl pment 839,311 565.000 359,900 0 1,044,411 537.289 584,000 0 991,100 RI sk Management 694,411 366,000 300.000 0 760,411 342,000 250.000 0 852,411 Health Benefit 302,314 405.000 410,000 0 291,314 439,601 400,000 0 336,915 Total SI5.017 ,534 $26.912.653 $28,235,813 $ 0 $13,754,374 $41,583.204 $41,594.685 $ 0 $13,742,B93 SIIIIARY OF IIITERfUJII TIWISfERS ROil ROil ROil Water Revenue Debt Capital Capital Water Capital General Sharing Gas Tax Beautification Service Projects(TC) Projects(SC) Enterprise Improvements 1. Discont i nuance of Revenue Sharing Program $ (38,412) $ 38,412 $ - $ - $ - $ - $ - $ 2. Administration and maintenance items froll Gas tax proceeds 250,000 - (250.000) 3. Transfer for Maintenance of parkways. street medians and parks 125.000 - - (125,000) 4. Nov. 1st transfer of surplus funds. from ROil tax increment held by Fiscal IIgent - - - - (800,000) 800,000 5. Transfer of direct administrative costs and other expenses to General Fund 390,ooO - - - - (390,000) 6. Transfer of di rect administrative costs and other expenses to Generaal Fund 75.000 - - - - - (15,000) 1. Transfer of di rect administrative costs and other expenses to General Fund 225,000 - - - - - - (225,000) 8. Transfer for future capital improvements - - --=-- - - - - (225,000) 225,000 TOTN.. SI .026,528 $ 38.472 $(250,000) $(125.000) $(800.000) $410.000 $( 15.000) $(450,000) $225.000 8 >0 .., :ID CI' n = '\" '\" n . c n = 1:1 '\" -t = . ... . 1:1 = C -t '\" '\" . '" CI' 1:1 n ... '\" :ID ... ", ... ... n "V :ID -t ... ... "V C -t . ... '" c . '" SUMMARY OF REVENUES BY FUrl) 1984-85 1985-86 1986-87 FUND Actual Budget Projection Estimate General $10,764,561 $11,409,300 $11,791,583 $12,623,840 Revenue Shari ng 349,285 360,000 353,000 0 Gas Ta){ 1,662,012 2,327,304 1,284,604 4,107,380 Park Development 4,000 5,000 12,000 5,000 Sewer Trust 2,826 500 5,000 500 Capita 1 Imp rovement 0 30,000 30,000 0 Beautification 85,225 100,000 100,000 125,000 Park Bonds 139,979 127,600 128,800 127,600 Civic Center Bonds 81,964 87,200 88,000 87,700 Assessment District 85-1 0 3,655,700 3,655,700 15,366,900 RDA - South Central Capital Projects 99,446 152,000 121,000 233,500 Set-Aside 24,861 31,500 31,500 58,800 RDA - Town Center Debt Service 1,735,853 1,724,000 1,728,739 1,705,000 Capital Projects 522,074 4,935,000 964,727 700,000 Water Enterprise 4,810,424 4,273,000 4,473,000 4,272,094 Water Debt Surcharge 1,013,429 858,000 869,000 851,000 Equi pment 603,503 564,665 565,000 537,289 Ri sk Management 320,361 366,141 366,000 342,000 Hea lth Benefits 452,520 400,797 405,000 439,601 TOTAl AlL FUfI)S $22.672.323 $31,401.101 $26.912,653 $41.583.204 10 REVENUE DETAIL SOURCE CITY REVENUES 1984-85 1985-86 1986-87 GENERAl FUll) Actual Budget Projection Estimate Property Taxes Secured $1,761,860 $1,993,000 $1,984,604 $2,093,000 Property Taxes Unsecured 147,797 177 ,000 178,919 185,000 Property Ta){es Delinquent 73,104 44,000 44,477 50,000 Franchise Fees 402,721 433,000 420,000 433,000 Sales & Use Ta){ 4,658,646' 5,400,000 5,400,000 5,900,000 Transient lodging Ta){ 79,668 76,000 76,000 78,000 Business license Ta){ 171,762 150,000 175,000 160,000 New Construction Ta){ 104,615 81,000 105,000 108,000 Construction Permits 322,739 226,000 300,000 297,000 Street & Curb Permits 6,698 30,000 15,000 4,115 Other licenses & Permits 5,810 5,000 6,000 225 Vehicle Code Fines 260,373 250,000 250,000 250,000 Non-traffic Fines 100,755 40,000 40,000 40,000 Interest 298,316 . 375,000 300,000 325,000 Rents - Community Center 18,255 23,000 20,000 23,000 Rents - Fire Station 22,896 23,000 23,000 23,000 Rents - Park land 2,900 2,400 2,401 2,400 POST Reimbursement 53,622 51,000 51,000 50,000 Motor Vehicle lic. Tax 937,807 990,000 1,050,000 1,235,000 Homeowner's Ta){ Relief 65,878 68,000 68,000 70,000 Bus. Inventory Ta){ Relief 54,396 0 54,000 0 Trailer Coach In-lieu Tax 11,572 12,000 10,000 12,000 Cigarette Ta){ 150,666 150,000 150,000 150,000 State SB 174 Funds - Park 10,489 20,000 20,000 0 State Grant - Other - 115,000 115,000 0 Federal Grant HCDA 88,757 201,300 201,000 0 Planning Fees 6,807 16,000 16,000 13,000 Subdivision Fees 36,703 3.000 8,300 2,000 Sale of Maps & Publications 704 500 1,000 500 Parkway Tree Fees 0 500 100 500 Weed Abatement 140 600 100 600 Sports Fees 126,325 125,000 125.000 147,000 Class Fees 157,363 176,000 176,000 180,000 11 SOURCE CITY REVENUES GENERAL FUND (continued) Youth Service Fees Sr. Citizen's Human Services Fees False Alarm Fees Special Police Services Sale - City Property Sale of Unclaimed Property Damaged City Property Developer Share of Projects East Tustin Specific Plan Sundry Revenue library landscape Maint. Co-op With City of Irvine Recovery of Expense (AD 85-1) TOTAl REVENUE SHARING FUND Interest Revenue Sharing TOTAl STATE GASOLINE TAX Interest Bicycle Trail Funds State Grants - Other Section 2106 Section 2107 Section 2107.5 County Grants of State Gas Tax (AHFP) Federal Aid Urban Hwy. Shared Projects (Irvine) Developer Contributions Orange County Transportation Trust SB 300 TOTAL REVENUE DETAIL 1984-85 1985-86 1986-87 Actual Budget Projection Estimate $ 14,945 $ 14,000 $ 60,000 $ 106,400 60,823 82,000 20,000 21,600 2,525 2,000 2,000 2,500 31,014 30,000 25,000 35,000 1,527 0 0 0 4,089 9,000 0 9,000 12,423 0 10,862 0 357,012 0 0 500,000 47,840 0 195,080 0 6,563 0 8,408 0 8,616 15,000 16,000 17,000 77,040 0 33,332 0 0 0 35,000 100,000 $10.764.561 $11.409.300 $11.191.583 $12,623.840 $ 8,096 $ 25,000 $ 19,950 $ 0 341,189 335,000 333,050 0 $ 349.285 $ 360.000 $ 353.000 $ 0 $ 80,678 $ 15,000 $ 15,000 $ 10,000 10,294 8,604 0 8,600 0 0 0 0 228,889 182,000 188,000 195,000 361,722 348,000 358,000 365,000 6,000 6,000 6,000 6,000 0 937,500 67,500 180,000 929,958 377 ,200 100,600 2,238,990 44,471 453,000 319,504 498,790 0 0 0 216,000 0 0 0 159,000 0 0 230,000 230,000 $ 1,622,012 $ 2,327,304 $ 1,284.604 $ 4,107,380 12 REVENUE DETAIL SOURCE 1984-85 1985-86 1986-87 PARK DEVELOPMENT FUJI) Actual Budget Projection Estimate Parkland Ded. Fees $ 4.000 $ 5.000 $ 12.000 $ 5.000 SEWER TRUST FUND Sewer Connection Fees* $ 2.826 $ 500 $ 5.000 $ 500 CAPITAl IMPROVEtENT FUND Propert'y Taxes $ 0 $ 30.000 $ 30.000 $ 0 BEAUTIFlCATlOI FUND Real Property Trans.Tax $ 85,225 $100,000 $100,000 $125,000 State SB 174 Funds - Park 0 ' 0 0 0 TOTAl $ 85.225 $100.000 $IDO.ooo $125.000 PARK BOND FUJI) Property Taxes Secured $ 83,661 $ 88,000 $ 90,904 $ 92,000 Property Taxes Unsecured 11 ,016 12,000 12,396 12,000 Property Ta){es Delinquent 2,999 0 0 0 Interest 40,025 26,000 24,000 22.000 Homeowner's Property Tax Relief 2,278 1,600 1,500 1,600 TOTAl $139.919 $121.600 $128,800 $121.600 *Prior to 1977-78 the City received 75~ of sewer connection fees for trunk line extensions within the city. Thereafter, the City received 5% of such fees for unrestricted use (after completing payoff of outstanding obligations to County Sanitation District No.7.) 13 REVENUE DETAIL SOURCE 1984-85 1985-86 1986-87 CIVIC CENTER BOND FUND Actual Budget Projection Estimate Property Taxes Secured $ 58,145 $ 67,000 $ 68,000 $ 70,000 Property Ta){es Unsecured 5,464 9,000 9,700 9,500 Property Taxes Delinquent 1,894 0 0 0 Interest 14,878 10,000 9,000 7,000 Homeowner's Property Ta){ Relief 1,583 1,200 1,300 1,200 TOTAl S 81,964 S 81.200 $ 88,000 $ 81.100 Assessment District 85-1 $ 0 $ 3.655.700 $ 3.655.100 $15,366,900 REDEVELOPMENT AGENCY South Central Capital Projects: Property Ta){ Increment $ 98,652 $ 150,000 $ 120,000 $ 231,000 Interest 0 1,000 1,000 2,500 Homeowner's Property Ta){ Relief 794 1,000 0 0 Business Inventory Prop. Ta){ Relief 0 0 0 0 Fund Total $ 99,446 $ 152.000 $ 121,000 $ 233,500 Set-Aside: Property Tax Increment $ 24,663 $ 30,000 $ 30,000 $ 57,800 Homeowner's Relief 198 0 0 0 Interest 0 1,500 1,500 1,000 Fund Total $ 24,861 $ 31.500 $ 31,500 $ 58,800 14 REVENUE DETAIL SOURCE REDEVELOPMENT AGENCY Town Center Fund Total 1984-85 1985-86 1986-87 Actual Budget Project ion Estimate $ 1,410,720 $ 1,418,000 $ 1,428.739 $ 1,490,000 249,898 300,000 300,000 215,000 9,987 6,000 0 0 65,248 0 0 0 $ 1.135.853 $ 1,124,000 $ 1.128,139 $ 1.105.000 $ 485,394 $ 400,000 $ 400.000 $ 350,000 0 0 0 0 0 4,535,000 550,000 0 36,680 0 0 0 0 0 0 350.000 $ 522,014 $ 4,935,000 $ 964,121 $ 100.000 $ 18,401 $ 3,000 $ 3.000 $ 9,050 192,069 20,000 20,000 15,000 4,146,840 4,018,000 4,105,000 4,018,044 370,803 232,000 232,000 230,000 82,311 0 113,000 0 0 0 0 0 $4.810,424 $4.273.000 $4.473.000 $4.272.094 Debt Service Fund: Property Tax Increment Interest Homeowner's Property Tax Relief Business Inventory Prop. Tax Relief Fund Total Capital Projects Fund: Interest Developer Share of Projects Sale of Acquired Property Rents-Newforth Center Recovery of Expense WATER ENTERPRISE FUND Street and Curb Permits Interest Water Sales Equity Assessment Credit Sund ry Revenue Sale of Services Fund Total 15 REVENUE DETAIL SOURCE 1984-85 1985-86 1986-87 Actual Budget Projection Estimate WATER DEBT SURCHARGE FUrl) Interest $ 161,429 $ 30,000 $ 30,000 $ 23,000 Surcharge 852,000 828,000 839.000 828,000 Fund Total $1.013.429 $ 858.000 $ 869.000 $ 851.000 EQUIPMENT FUrl) General Fund Vehicle Leases $ 603,503 $ 564,665 $ 565,000 $ 537,289 Fund Total $ 603.503 $ 564.665 $ 565.000 $ 537.289 RISK MANAGEMENT FUJI) Earned Premium $ 320,361 $ 366,141 $ 366,000 $ 342,000 Fund Tota1 $ 320,361 $ 366.141 $ 366.000 $ 342.000 HEALTH BENEFIT FUJI) Interest $ 34,097 $ 0 $ 5,000 $ 0 Earned Premium 418,423 400,797 400,000 439,601 Fund Total $ 452.520 $ 400,191 $ 405,000 $ 439,601 GRAND TOTAL ALL FUNDS $22.612,323 $31.401.101 $26,912,653 $41.583,204 16 FUND ACCOUNTING DESCRIPTIONS GENERAL FUND Fund 01 Appro){imately seventy percent (70%) of all monies received by the City is deposited into the General Fund, and is used .to finance general City oper- ations. The major portion of General Fund monies is received from property and sales ta){es. REVENUE SHARIIIG FUND Fund 05 Federal Revenue Sharing Funds are distributed based on a formula of population, local tax effort, and average per capita income. GASOLINE TAX FUND Fund 10 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 Ta){ Fund. Monies so received must generally be e){pended for the construction of the State-approved "select aid system" of streets, or for maintenance. SEWER MAIN TRUNK FUND Fund 20 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 outstand- ing obligations are fulfilled. CAPITAL IMPROVEMENT FUND Fund 21 A fund established by resolution of council to ac- cumulate a portion of property ta){ revenue on an- nexed land held in agricultural preserve for fu- ture capital outlay within the area. The accumu- lation ends in the budget year following the issu- ance of a structural permit. This fund does not show as a source of revenue because it is an ac- counting transfer from the General Fund. CITY BEAUTIFICATION FUND Fund 30 Established by ordinance of the City Council. all monies received from real property transfer ta){es are deposited into Beautification Fund. The fund is used to finance the construction and mainten- ance of beautification projects of the City. 17 PARK BOND FUND Fund 40 FUND ACCOUNTING DESCRIPTIONS Proceeds of the $1,200,000 twenty-year General Ob- ligation Park bond Issue, approved by the citizens in 1971, were deposited and expended in this fund. The fund is used to control revenues and expenditures relating to the Bond Issue's debt service. CIVIC CENTER BOND FUND Fund 41 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 construc- tion of a new Civic Center at Main Street and Cen- tennial Way. The fund is now used solely to con- trol revenues and expenditures relating to the Bond Issue's debt service. ASSESSMENT DISTRICT 85-1 Fund 54 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 60 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. EqUIPMENT FUND Fund 10 A separate internal accounting fund has been established to provide adequate reserves with which to replace e){isting equipment on a planned, economical basis. Using departments are charged a monthly rental on their vehicles and equipment which provides for replaement, operational expense, and repairs. This fund does not show as a s~urce of revenue because it is an accounting transfer from the benefited departments to the fund. WORKERS' COMPENSATION FUND Fund 81 A separate internal fund has been established to self-fund the recurring costs of statutory payments under the Workers' Compensation law for on-the-job injuries and occupational illnesses. Departments are charged a "premium" based on normal insurance rates (adjusted by the fund's e){perience) and applied to that department's payroll. E){penses of the fund include medical claim payments, disability claims, administrative costs, reinsurance costs, legal e){penses, and other e){penses. Thi s fund does not show as a source of revenue because it is an accounting transfer from the benefited departments to the fund. LIABILITY FUND Fund 82 A separate internal fund has been established to fund the self-insured retention e){cess 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. 18 FUND ACCOUNTING DESCRIPTIONS HEALTH BENEFIT FUND Fund 84 A separate trust fund has been established to self-fund the routine cases of employee health anddental care. Departments are charged a IIpremi urn" based on employees and coverage within the department. E){penses 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 benefited departments to the fund. 19 PROPERTY TAXES REVENUE ACCOUNTS DESCRIPTION NEW CONSTRUCTION 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 ta){ rate on all goods and services authorized under the Bradley-Burns Ta){ law is one percent (1%) and is State-collected. BUSINESS lICENSE TAX The City Business license Ordinance establishes the annual license fee charged to all categories of businesses operating within the city. REAl PROPERTY TRANSFER TAXES Established by ordinance and effective January 1, 1968, a twenty-seven and one-half cent (27 1/2~) ta){ is applied to each five hundred dollars of sales of real property transacted within the City. This ta){ is County-collected and returned to the City monthly. New residential and other construction is taxed by ordinance effective October 1972. The proceeds go to the General Fund to support the increased cost of municipal services generated by the new deve- lopment. BUILDING PERMIT FEES Fees for new building construction are based on local ordinance and include electrical, plumbing, and other related permits and fees. STREET PERMITS 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 PERMITS Permit fees are charged for a license to operate taxicabs, provide entertainment in public estab- lishments, and for other purposes. FINES AND FORFEITURES Includes Vehicle Code and non-traffic fines col- lected primarily by the Orange County Municipal Court. Eighty-five percent (85%) of the amount received by the Court for offenses occurring with- in the city is returned to the City, with the e){- ception of 50% returned to the City for arrests made by the California Highway Patrol. (continued) 20 COUNTY GRANTS OF STATE GASOLINE TAXES REVENUE ACCOUNTS DESCRIPTION PARKWAY TREE FEES FEDERAL GRANTS Charges made to developers, subdividers, and others for the purchase and installation of park- way trees by the City. WEED ABATEMENT Contributions from County Gas Ta){ Funds to City projects of county-wide benefit. Grants from the Federal government to City pro- jects or programs of an eligible nature. Grants under the Federal Revenue Sharing Program are included within this category. Assessment charges made against property owner when the City is required to clear weeds on pri- vate property. PLANNING FEES RECREATION FEES Fees for Use Permits, Variances, and Zone Changes are charged the property owners when applying for such actions from the City. Fees for sports. special classes, youth and senior citizen programs, charged to partially offset the cost of services. SUBDIVISION MAP FEES FALSE A~ FEES Include subdivision map filing fees and charge for engineering review and plan checking of such maps. Servi ce charges made to bust nesses, etc., having e){cessive false alarms on burglary and robbery a larm systems. SALE OF MAPS AND PUBLICATIONS A charge is made for city maps and reproduction of documents distributed to private individuals. SPECIAL POlICE SERVICES Charges made to the public for police protection at dances and special events. STREET CONSTRUCTION Monies paid by property owners in lieu of required installation by owner of curbs, gutters and paving when developing property. OTHER CURRENT CHARGES Charges made to the public for special services and required installation of street signs in new developments. (continued) STREET REIMBURSEMENT Contributions from private property owners for curbs and gutters in connection with street improvement projects. 21 REVENUE ACCOUNTS DESCRIPTION TRAILER COACH FEES 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 DELI~ENT TAXES Interest received on delinquent property tax pay- ment. RENTS Rent received for use of City buildings and prop- erty, primarily the Clifton C. Miller Community Center, and the lease of Fire Station No.2. ALCOHOlIC BEVERAGE lICENSE FEES Fees paid annually to, and distributed by, the Al- coholic Beverage Control Board and based on loca- tion of the licensed facility, 90% of which is re- turned to the City. Repealed by State Action 1980-81. MOTOR VEHICLE lICENSE FEES Is in lieu of local property ta){ 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 prop- erty ta){es on Homeowner and Business Inventory Tax Exemptions. Is in lieu of property ta){ 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 ta){ed as real property. CIGARETTE TAXES A three-cent (3~) ta){ per pack of cigarettes, es- tablished October 1,1967, is State~collected, and is distributed to cities, one-half on the basis of ta){able 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 STATE GRANTS Grants administered by State to City projects or programs of an eligible nature. Traffic Safety Grants from the State Office of Traffic 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 engi- neering, right-of-way, construction and mainten- ance, primarily of non-local streets. (continued) 22 SALE OF CITY PROPERTY REVENUE ACCOUNTS DESCRIPTION DAMAGED CITY PROPERTY Revenue received from the sale of surplus City property. Collections from insurance companies and private parties for damage to City property, such as parkway trees, street signs, buildings, etc. SALE OF UNCLAIMED PROPERTY Revenue received from the sale of abandoned and unclaimed property. SUNDRY OTHER REVENUE Refunds, miscellaneous collections, and other revenues are included in this account. SEWER CONNECTION FEES WATER SALES 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 e){tensions and 25% was paid to the Sanitation District. Since that time, 5% is retained by the City for adminis- trative expense and the balance returned to the District. . Revenue collected from the sale of water for all uses and equity assessment credits. 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 facil- ities for future residents. Such fees are used to provide alternative recreational facilities. 23 '" = :II: :II: >- ~ -< Q ." " Q ell ... ... ... Q . '" '" .... n ... ... Q . ... c SUMMARY OF POSITIONS FULL TIME POSITIONS 1983-84 1984-85 1985-86 1986-87 DEPARTMENT ACTUAL ACTUAL ACTUAL REQUEST Legis 1 a ti on 4 4 4 4 Administration 11 11 11 11 Community Development 10 12 12 15 Public Works 41 42 42 45 Police 76 81 87 89 Community Services 8 7 7 7 Wa ter 19 .-!L 17 -11. TOTAl 169 174 180 188 ?t:; >- 1:11: C :E :E = en ~ 1:11: = ~ .... = . ~ ~ )C ~ en :E :E C C 1:11: 1:11: c.IJ c.IJ = = 1:11: 1:11: ~ ~ ~ = 1:11: . = = .. ... .... = .... . c ~ cae ~ ~ )C . ~ =- ~ c.IJ ... . = ~ . ~ :E = . ... .... .... cae ... = c U :E ~ ~ = ~ en u = 1986-81 COMBINED GENERAL FUND PROGRAM EXPENDITURE SUMMARY legislation Administration Community Development Public Works Police Fire Community Services Non-Departmental Sub-total Operations 1984-85 1985-86 1986-87 Actual Budget Projection Adopted $ 297,692 $ 330,620 $ 330,620 $ 322,901 509,687 604,199 582 ,565 640,066 488,320 541,720 524,198 693,923 2,632,866 3,103,719 3,051,936 3,224.367 3,744,925 4,189,758 4,127,439 4,561,166 1,772,000 1,953,732 1,953,732 2,050,000 509,145 581,425 548,012 622,942 346,035 243~000 445,245 308,000 $10,300,670 $11 ,548 ,113 $11,563,747 $12,423,365 45,800 1,283,250 1,397,591 1,203,100 $10.346.410 $12 .831.423 $12 .961,338 $13,626.465 Capital Improvements TOTAL GENERAL FUND 27 en z c CI: CD 0 þo CI: "" !AI .. . - . 0 u Wi CI: !AI - . .. 0 CI: .... = !AI "" = C o .... !c .... -' u u - en = - þo þo þo :8 CD .... .... .... !AI !AI - - - .. .... u u U M W .... .... :8 :8 !AI !AI :8 Z Z 0 .... .... - CI: CI: en c C - .. Il1o =- !AI !AI - = Q Q aTY CLERK CHIEF DEPUTY CITY CLERK REPRODUCTION OPERATOR DEPUTY CITY CLERK CITY COUNCil I I SWITCHBOARD OPERATOR I CITY ATTORNEY 1986-81 BUDGET REQUEST DEPARTMENT SUMMARY DEPARTIENT: LEGISlATION 1984-85 1985-86 1986-81 ACTUAl BUDGET PROJECTION ADOPTED PERSONNEL DETAIL Full-time Staff 4 4 4 4 ACCOUNTIfIì ŒTAIL Personnel Salaries $139,590 $146,336 $146,336 $155,800 Reti rement & Insurance 44,922 50,095 50,095 49,738 Total Personnel $184,512 $196,431 $196,431 $205,538 Supplies & Services Contractual Services $ 82,400 $ 82,420 $ 82,420 $ 82,541 Offi ce Expense 1,800 ~,397 4,397 2,550 Departmental Expense 12,480 12,663 12,663 13,661 Transportation E){pense 1,260 1,800 1,800 1,800 Training & Development 15,240 17 ,309 17 ,309 16,411 Other E){penses -- 15,000 15,000 -- Total Supplies & Services $113,180 $133,589 $133,589 $116,963 Capital Outlay Office Equipment $ -- $ 600 $ 600 400 Total Capital Outlay $ -- $ 600 $ 600 400 DEPARTMENT TOTAl $291.692 $330.620 $330.620 $322.901 29 DEPARTMENT : DIVISION: DESCRIPTION: DIVISION BUDGET: Personnel Operations Capital Outlay Total lEGISLATION CITY COUNCIL The City Council provides policy direction with regard to all municipal func- tions. Through its review and approval of the City's annual operating and capital improvement budget, the City Council determines the level of City services to be provided. The City Council also serves as the Board of Directors of the Tustin Community Redevelopment Agency. The Board of Directors is responsible for pro- viding policy directions with regard to implementation of the Town Center Project Area Plan. City Council members also serve as representatives to various County and regional agencies responsible for transportation, airport, planning, sanitation and flood control functions. $41,872 17 ,130 $59,002 30 1986-81 BUOGET DETAIL DEPARTMENT: LEGISlATION DIVISION: CITY COUrl:Il 1984-85 1985-86 1986-81 ACTUAl BUDGET PROJECTED ADOPTED PERSONNEl DETAIL Counci 1 Members 5 $351-351 5 $351-351 5 $351-351 5 $400-400 ACCOUNTING DETAIL Personne 1 Salaries $21,057 $21,058 $21,058 $24,000 Retirement & Insurance 16,526 16,446 16,446 17 ,872 Total Personnel $37,583 $37,504 $37,504 $41,872 Supplies & Services Office Expense $ 250 $ 261 $ 261 $ 400 Departmental Expense 2,400 2,508 2,508 3,000 Training & Development 12,750 14,746 14,746 13,730 Total Supplies & Services $15,400 $17 ,515 $17,515 $17,130 Capital Outlaf¡ Office Equ pment Total Capital Outlay DIVISION TOTAl: $52,983 $55.019 $55,019 $59.002 31 DESCRIPTION (F ACCOUNTS $10,000 OR DE DEPARTMENT: lEGISlATION DIVISION - City Council Sup~lies & Services 1985-86 $17 ,515 1986-87 Description $17,130 Monthly expense allowance $11,100 (Mayor $225/Month, Council- persons $175/Month) League of California Cities 2,000 Annual Meeting Monthly OC League Meetings 360 Host Mayor's Breakfast 165 Membership/Subscriptions 105 TOTAL $13,730 Account 32 DEPARTMENT : DIVISION: lEGISLATION CITY ClERK The City Clerk's office maintains official documents, contracts, agreements and records of the City. In coordination with all departments, the City Clerk's office prepares the City Council and Redevelopment Agency meeting agendas and coordinates follow-up of Council and Agency actions. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. B. 9. Provide administrative di recti on to all division functions. Develop and administer the department's annual budget. Evaluate, train and supervise division personnel. Coordinate division activities with other departments. Prepare the City Council and Redevelopment Agency Agenda, Action Agenda, Minu~es and coordinate all City Council and Redevelopment Agency follow-up and the retention of Council and Agency related records (resolutions, ordinances and agreements). Prepare for printing all amendments to the Municipal Code, distribute printed amendments and main- tain copies of the Code. Administer the telephone system including the switchboard operation. Administer all incoming and outgoing mail for City Hall and Police. Oversee ordering all supplies for and maintenance of the Xerox 8200 and Savin 770 reproduction machines and provide staff for City duplicating. 33 (City Clerk Tasks - Continued) 10. Act as Filing Officer for Conflict of Interest forms for all members of the City Council. Redevelop- ment Agency. Planning Commission, and all designated employees, notifying all affected persons of due dates, providing forms, and coordinating all follow-up for the timely filing of all reports. Conducts the City of Tustin General Municipal Elections in April of even numbered years and any Special Electins that might be called. 11. DIVISION BUDGET: Personne 1 Operations Capital Outlay TOTAl $129,000 18,096 400 $141,496 34 DEPARTMENT: lEGISLATION DIVISION: CITY Q.ERK PERSONNEL DETAIL City Clerk Chief Deputy City Clerk Deputy City Clerk Reproduction Operator Switchboard Operator ACCOUNTING DETAIL Personne 1 Sa lari es Retirement & Insurance Total Personnel Supplies & Services Contractual Services Office Expense Departmental E){pense Transportation Expense Training & Development Other E){penses (Election) Total Supplies & Services Capital Outlay Office Equipment Total Capital Outlay DIVISION TOTAL: 1986-81 BUDGET DETAIL 1984-85 1985-86 1986-81 ACTUAl BUOGET PROJECTED ADOPTED $150-150 $150-150 $150-150 $150-150 1 $2.610-2,636 1 $2,755-2,975 1 $2,755-2,975 1 $2,755-2,975 1 $1.480-1,799 1 $1,951-2.184 1 $1,951-2,184 1 $1,951-2.184 1 $1,076-1,309 l' $1,403-1,554 1 $1,403-1,554 1 $1,403-1,554 1 $I ,076-1 ,309 1 $1,403-1.554 1 $1,403-1,554 1 $1,403-1.554 4" 4" 4" 4" $ 89,733 $ 96,478 $ 96,478 $103,000 22,514 27,783 27,783 26,000 $112,247 $124,261 $124,261 $129,000 $ 2,400 $ 2,420 $ 2,420 $ 2,541 1,550 4,136 4,136 2,150 9,975 10,045 10,045 10,546 1,260 1.800 1,800 1,800 983 1.018 1,018 1,059 --. 15,000 15,000 -- $ 16,168 $ 34,419 $ 34.419 $ 18,096 $ -- $ 600 $ 600 $ 400 $ -- $ 600 $ 600 $ 400 $128,415 $159.280 $159.280 $141.496 35 DESCRIPTION (F ACCOUNTS $10.000 OR tlJRE DEPARTMENT: LEGISlATION DIVISION - City Clerk Account 1985-86 $10,045 Departmental Supplies Printing E){penses Advertising Expenses 1986-87 $10,546 Description Depi!,,-tl1lenta L!1<J!ense Capital outlay $ 600 $ 400 Accoustical divider with window glass for Micom desk. 36 $1,151 575 8,820 $1 õ";51b DEPARlMEIIT : DIVISION: lEGISlATION CITY ATTORNEY DE SCRI PTIOII: The City Attorney's office provides l~gal advice and services pertaining to City affairs to the City Council, City Manager and other City officials. T~SKS: 1. Attend City Council, Redevelopment Agency and Planning Commission meetings for the purpose of pro- viding 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. 4. 5. Review and monitor general liability and worker's compensation claims processed by the City's claims administrator. DIVISION BUDGET: Personne 1 Operations Capi ta lOut 1 ay TOTAl $ 34,666 81,737 $116,403 37 1986-81 BUDGET DETAIL DEPARTMENT: LEGISlATION DIVISION: CITY ATIORNEY 1984-85 1985-86 1986-81 ACTUAl BUDGET PROJECTED ADOPTED PERSONNEL DETAIL . City Attorney 1 $2,400-3.000 1 $2,400-3,000 1 $2,400-3.000 1 $2.400-3,000 ACCOUNTING DETAIL Personnel Sa 1 ari es $28,800 $28,800 $ 28,800 $ 28.800 Retirement & Insurance 5,882 5,866 5,866 5,866 Total Personnel $34,682 $34,666 $ 34.666 $ 34,666 Supplies & Services Contractual Services $80,000 $80,000 $ 80,000 $ 80,000 Departmental E){pense 105 110 110 115 Training & Development 1,507 1,545 1,545 1,622 Total Supplies & Services $81,612 $81,655 $ 81,655 $ 81,737 Capital Outlaf¡ Office Equ pment Total Capital Outlay DIVISION TOTAL: $116.294 $116.321 $116.321 $116,403 38 DEPa1MENT: lEGiSlATION Ð( 'VISION - City Attorney Account ~lies & Services Contractual Services DESCRIPTION (F ACCOUNTS $10,000 OR DE 1985-86 1986-87 Description $80,000 Contractual Services of $80,000 James G. Rourke TOTAL $80,000 $80,000 39 II) .... u ... :Þ II) a: z .... e II) aI: C,Ø :II .... C C :Þ aI: ... aI: ... CIo I- .... l- e -C,Ø e .... aI: e a: aI: I- :II I- = II) e .... II) I- ... Z u ... ... :11 :11 :11 = ... ~ e ... :II Z t- :II Z .... = ... ... = CIo e u ¡.., e )Ie .... I- I- :II :II .... .... :II Z Z C I- I- ... aI: aI: II) e e ... CIo CIo :Þ .... .... ... = = = CITY MANAGER'S OFFICE CITY MANAGER EXEC. DIRECTOR REDEV. AGENCY ADMINISTRATIVE CONTRACT SECRETARY SERVICES DIRECTOR DIRECTOR CHIEF DIRECTOR CHIEF DEP. COMM/ADMIN FINANCE POLICE PUBLIC WORK CITY CLERK SERVICES , ' -40- DEPARTMENT: ADMINISTRATION PERSONNEL DETAIL Full-time staff ACCOUNTING DETAIL Personnel Salaries Retirement & Insurance Total Personnel su~plies & Services Contractual Services Facilities [){pense Office E){pense Departmental E){pense Transportation E){pense Training & Development Total Suppl i es & Servi ces Capi tal Outlay Office Equipment Computer Equipment Total Capital Outlay DEPARTMENT TOTAL 1986-81 BUDGET REQUEST DEPARTMENT SUMMARY 1986-87 Ado~ted 1984-85 Actual 1985-86 Budget Projection 11 11 $ 319,725 77,552 $ 397,277 $ 374,474 85,094 $ 459,568 30,829 79 5,502 50,233 6,310 18,193 $ 111.146 42,051 200 4',575 66,850 8,180 19,525 $ 141,381 $ $ $ 1,264 ..L- 1,264 3,250 0 $ 3,250 $ 604,199 $ $ $ 509.687 4? 11 11 $ 347,250 78,690 $ 425,940 $ 386,633 85,572 $ 472 ,205 43,051 50 4,425 63,900 6,180 15,529 $ 133,135 44,004 200 4,675 69,795 9,728 21,109 $ 149,511 $ $ $ 23,490 0 $ 2,600 15,150 18,350 $ 23,490 $ $ 58Z ,565 $ 640.066 DEPARTMENT: ADMINISTRATION DIVISION: CITY MANAGER DESCRIPTION: Under policy direction of the City Council the City Manager's office is responsible for planning, organizing and evaluating municipal services. and providing management direction to all City departments through the department heads. TASKS: 1. Keep the City Council constantly apprised as to the status of City programs and activities. 2. 3. Prepare and present the proposed 1987-88 budget to the City Council. 4. Respond to and resolve citizen complaints. Serve as [)(ecutive Director of the Tustin Community Redevelopment Agency. 5. Secure the final agreement for the e){ tension of Myford Road through the Marine Corps Air Station, Tustin. 6. Provide administrative direction. to the preparation of the East Tustin Development Agreement. 7. Provide administrative direction to staff participation in the Eastern Corridor/I-5 interchange alignment study and locatiod agreement. 8. Provide administrative direction to the Management Information System. DIVISION BUDGET: Personnel $ 116,582 Operations 14,691 Ca pi tal Outlay 600 TOTAL $ 131.813 43 1986-87 BUDGET DETAIL DEPARTMENT: ADMINISTRATION DIVISION: CITY MANAGER 1984-85 1985-86 1986-81 Actual Budget Projected Adopted PERSONNEL DETAIL Ci ty Manager 1 $ 5,785-5,785 1 $ 5,785-5,785 1 $ 6,136-6,136 1 $ 6,136-6,136 Administrative Secretary 1 1,670-2,031 1 1,849-2,249 1 1,849-2,249 1 1,849-2,249 2 2 Z Z ACCOUNTING DETAIL Per sonne 1 Sal aries $ 87,523 $ 104,840 $ 104,840 $ 96,398 Retirement & Insurance 19,437 17,100 17,100 20,184 Total' Personnel $ 106,960 $ 121,940 $ 121,940 $ 116,582 Supplies & Services Office E){pense $ 2,294 2,525 $ 2,525 $ 2,540 Departmental E){pense 1,110 1,230 1,230 1,275 Transportation E){penses 3,125 2,610 2,610 4,158 Meetings, Training & Development 6,420 6,300 6,300 6,718 Total Supplies & Services $ 12 ,949 $ 12,665 $ 12 ,665 $ 14,691 Capi tal Outl ay Offi ce Equi pment $ 1,264 $ 0 $ 0 $ 600 Total Capital Outlay $ 1,264 $ 0 $ 0 $ 600 DIVISION TOTAL: $ 121.173 $ 134,605 $ 134.605 $ 131.813 44 DESCRIPTION OF ACCOUNTS $10~OOO OR MORE DEPARTMENT: ADMINISTRATION DIVISION - CITY MANAGER 1985-86 Capital Outlay $ 0 1986-87 $ 600 45 DESCRIPTION Replace horizontal file. SECRETARY (1. SENIOR ACCOUNT CLERK DIRECTOR OF FINANCE ----------.1 O.C.c.R.M.A.** I ASSIST ANT FINANCE DIRECTOR ** ORANGE COUNTY CITIES RISK MANAGEMENT AUTHORITY ACCOUNT CLERK (5) DEPARTMEIIT: DIVISION: ADMINISTRATION FINANCE DESCRIPTION : The Finance Division 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. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. óeposit and record all revenues of the.City. Administer the purchasing ordinance of the City at the direction of the purchasing Officer. Maintain an aggressive idyll funds investment program. Process water utility billings. Prepare quarterly financial reports. Prepare monthly management information reports (e){pense ledgers by account and vendor, construction ledgers. etc.) Complete Annual Report of Operations for the State Controller, Office of Revenue Sharing reports. State Street Report and other reports as r~quired by other agencies. Prepare comprehensive annual financial report. Maintain fi){ed asset records. Administer the payroll and accounts payable functions. Administer the self-insured risk management program which includes health, long term disability. worker's compensation and general liability. 4ï (Finance tasks continued) 12. 13. 14. Assemble the 1987-88 operating and capital improvement budget. . Provide the treasury function for outstanding bond issues. Represent the City as member of the Board of Directors of the Orange County Cities Risk Management Authority. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $ 223,000 $ 80,500 $ 15,000 $ 318,500 48 1986-81 BUDGET REQUEST DEPARTMENT SUMMARY DEPARTMENT: ADMINISTRATION DIVISION: FINANCE 1984-85 1985-86 1986-87 Actual Budget Projection Adopted PERSONNEL DETAIL Finance Director 1 $3,980-3,980 1 $4,269-4,269 1 $4,269-4,269 1 $4,269-4,269 Assistant Finance Director 1 2,249-2,734 1 2,485-3,021 1 2,485-3,021 1 2,485-3,021 Sr.Account Clerk 1 1,477-1,795 1 1,634-1,986 1 1,634-1,986 1 1,634-1,986 Secretary 1 1,391-1,690 1 1,540-1,871 1 1,540-1,871 1 1,540-1,871 Account Cl erk 2 1,283-1,559 2 1,419-1,724 2 1,419-1,724 2 1,419-1,724 6" b b 0" ACCOUIITING DETAIL Personnel Salaries $ 149,792 $168,264 $ 143,950 $ 182 ,000 Retirement & Insurance 36,432 42,156 36,050 41,000 Total Personnel $ 186,224 $210,420 $ 180,000 $ 223,000 Supplies & Services Contractual Services $ 12,813 $ 13,000 $ 21,000 $ 14,000 Offi ce E){pense 2,720 1,350 1,400 1,400 Departmental E){pense 41,566 58,220 51,270 58,500 Transportation E){pense 1,535 2,000 1,800 2,000 Training & Development 3,437 3,900 3,000 4,600 Total Supplies & Services $ 62 ,071 $ 78,410 $ 78,470 $ 80,500 Capital outlaf Office Equ pment $ 0 $ 3,250 $ 3,490 $ 0 Computer Equipment 0 0 0 15,000 Total Capital Outlay $ 0 $ 3,250 $ 3,490 $ 15,000 DIVISION TOTAl $ 248.295 $292 ,140 $ 261.960 $ 318,500 ''° DESCRIPTION OF ACCOUNTS $10.000 OR MORE DEPARTMENT: FINANCE Contractual Services 1985-86 1986-87 $ 13,000 $ 14,000 $ 58,220 $ 58,500 Departmental E){penses Office Equipment $ 3,250. $ 15,000 50 DESCRIPTION General funds proportionate share of annual auditing e){- penses. Major costs include computer op- erations $35,000; computer main- tenance $12,500; computer supplies and forms $11,000. Replace (2) CRT's $3,000; micro-processor with printer $8,000; and software enhancements $4,000. ... > a: ~ III a: t) III I CO III I > ¡: <C a: ~ 110l1li °ZIIII a:-III Oat) ~o> t)<Ca: 111):111 !!!::1111 Oz ~ a a 0 (,) I .,,;: 111- z~ gCO ~ a:< 1112 110< DEPARTMENT: DIVISION: AIJIIINISTRATION ADMINISTRATIVE SERVICES 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 followup, press and public relations, and special studies and projects for the City Manager. DESCRIPTION: TASKS: 1. 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. 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. 2. 3. Recruit and select all employees; develop testing materials and procedures. 4. Monitor employee benefits programs. such as medical and dental insurance. life insurance, long term disability and educational benefits. 5. 6. Develop and coordinate employee training and staff development programs. Coordinate employee safety activities, including the Safety Committee, in-house safety inspections and safety awareness and training activities. 7. 8. Monitor compliance with Affirmative Action guidelines and other state and federal law. Manage worker compensation caseload and coordinate same with CDS. 53 (Administrative Services tasks continued) 9. 10. 11. 12. 13. 14. 15. 16. Maintain compensation plan: review and recommend salary levels for all city classes. Maintain position classification plan. Monitor employee relations activities: coordinate employee relations committee, monitor compliance with Personnel Rules and Regulations, and work with departments to resolve employee relations problems. Work with community agencies, institutions, organizations, and individuals to foster and maintain a positive image for the City. 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 Tustin Area Senior Center fundraising and construction tasks. DIVISION BUDGET: Personnel Operations Capital Outlay $ 132,623 $ 54,320 $ 2,750 S 189.693. TOTAL 54 DEPARTMENT: ADMINISTRATION 1986-81 BUDGET DETAIL ADMINISTRATIYE SERVICES DIVISION: PERSONNEL DETAIL Director of Community/ Administrative Services Personnel Analyst Secretary ACCOUNTING DETAIL Personnel Salaries Retirement + Insurance Total Personnel Supplies + Services Contractual services Facfl ities E){pense Office e){penses Departmentale){pense Transportation e){pense Training & Development Total Supplies & Services Capital Outlay Offi ce equi pment Computer Equipment Total Capital Outlay DIVISION TOTAL 1984-85 1985-86 1986-87 Actual Budget Projected Adopted 1 $3,834-3,834 1 $3,834-3,834 1 $3,834-4,225 1 $4,225-4,225 1 2,214-2,274 1 2,274-2,524 1 2,274-2,524 1 2,274-2,524 1 1,690-1,690 1 1,871-1,871 1 1,871-1,871 1 1,871-1,871 ,- T ,- .,- $ 82 ,410 $101,370 $ 98,460 $108,235 21,683 25,838 25,540 24,388 $104,093 $127,208 $124,000 $132,623 $ 18,016 $ 29,051 $ 22,051 $ 30,004 79 200 50 200 488 700 500 135 1,557 7,400 11,400 10,020 1,650 3,570 1,770 3,570 8,336 9,325 6,229 9,791 $ 36,126 ' $ 50,246 $ 42 ,000 $ 54,320 $ 0 $ 0 $ 0 $ 2,000 0 0 20,000 750 $ 0 0 $ 20,000 $ 2,750 $140,219 $111.454 $186.000 $189.693 55 DIVISION: DIVISION ACCOUNT CONTRACTURAl SERVICES DEPARTMENTAL EXPENSE OFFICE EQUIPMENT COMPUTER EQUIPMENT DESCRIPTION OF ACCOUNTS OF $10,000 OR MORE ADMINISTRATIVE SERVICES 1985-86 29,051 1986-81 30,004 11 ,400 10,020 0 2,000 20,000 750 56 DESCRIPTION Provides for $5,250. for medical services; $3,150. for psychological services; $11,604. for staff development; and $10,000. for annual physicals for Police personnel. Provides $2,520. for printing and departmental supplies; and $7,500. for advertising. Prov i des for fil e cabi nets to replace unsafe equipment. Provides for computer software to enhance HR/2000 system. ~ :8 I.lol lit Z Z Q. < = c:-= ~ c.ø I.lol = > c:-= I.lol Q. = I.lol '>00, c:-= ~ c.ø c.ø = - :8 :8 ~ :8 - - - = :8 = = Z :8 ~ :8 Z < - I.lol = ~ = Q. U Q. 8- M I.lol ~ ~ :8 :8 I.lol I.lol :8 Z Z = ~ ~ - c:-= c:-= lit < < - Q. Q. > I.lol I.lol - = = = PLANNING SENIOR PLANNER (11 ASSOCIATE PLANNER (2) DIRECTOR OF COMMUNITY DEVELOPMENT CITY PLANNER INSPECTOR (3) I I I I ,...-_.J L__, . , , I . ASSISTANT PLANNER HEALTH SERVICES PLANNING COMMISSION BUILDING FIRE MARSHAL PLAN CHECKER (1) PLAN CHECKING CONTRACTORS BUilDING PLANNING AIDE 1986-81 BUDGET REQUEST Depar1:lllent S..-ry DEPARTMENT: COIIIJNITY DEYElOPMENT 1984-85 1985-86 1986-87 PERSONNEL DETAIL ACTUAL BUDGET PROJECTION ADOPTED Full-time staff 12 12 12 15 ACCOUNTING DETAIL Personnel Salaries $ 286,857 $ 373,150 $ 331,079 $ 476,800 Retirement & Insurance 67,116 88,224 85,075 103,434 Total Personnel 354,033 461,974 416,154 580,234 ~lies & Services ontractual services $ 103,146 $ 48,570 $ 76,822 $ 70,500 Office expenses 868 100 100 3,210 Departmental expense 11,640 10,636 10,631 10,200 Transportation e){pense 9,195 11,655 11,655 14,239 Training & Development 6,324 5,785 5,836 10,090 Total Supplies & Services $ 131,113 $ 76,146 $ 105,044 $ 108,239 Capital Outlay. Office equipment $ 3,114 $ 3,000 $ 3,000 $ 5,450 Total Capital Outlay $ 3,1,14 $ 3,000 $ 3,000 $ 5,450 DEPARTMENTAl TOTAl $ 488.320 $ 541.720 $ 524.198 $ 693.923 58 DEPARTMENT: DIVISION: COMMUNITY DEYElOPMENT PLANNING The Planning Division includes current and advanced planning and Redevelopment Agency functions. Current Planning provides for the review of proposed development to ensure conformance to City Zoning and development standards. 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 statutes. The Redevelopment Agency monitors and reviews proposed developments and public improvements to ensure the revitalization of the Town Center Area as set forth in the redevelopment plan. The Planning Division provides required staff support to the City Council, Planning Commission and Redevelopment Agency. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. 8. Process applications for zoning and subdivision permits. Coordinate local land use policies and plans with regional planning agencies. Coordinate zoning and business license enforcement. Prepare reports to the Planning Commission, City Council and Redevelopment Agency concerning zoning. sign and subdivision regulations. Prepare reports to the Planning Commission or City Council concerning review of the Tustin Area General Plan. Prepare land use studies as directed by the City Council. On-going evaluation of City's specific plans to ensure conformance with stated goals and objectives. Maintain statistical data concerning population and land use (housing, commercial and industrial) wi thi n the City. 59 (Planning tasks continued) 9. 10. Assist the Executive Director of the Redevelopment Agency as directed, to prepare graphics, reports or studies with regard to the Town Center and South Central Project Areas. Review planning studies and environmental impact reports prepared by other agencies which affect the City of Tus.tin. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAL $ 359,556 $ 37,157 $ 3,150 $ 399.263 60 DEPARTMENT: COMMUNITY DEVELOPMENT DIVISION: PLANNING PERSONNEL DETAIL Community Dev. Director City Planner Senior Planner Associate Planner Assistant Planner Administrative Secretary Clerk Typist ACCOUNTING DETAIL Personnel 'SãTãrf e s Retirement & Insurance Total Personnel ~lies & Services . ontractua 1 . Servi ces Office Expense Departmental Expense Transportation Expense Training & Development Total Supplies & Services Capital Outlay Office Equfpment Total Capital Outlay DIVISION TOTAl 1 0 1 2 1 1 1.5 n 1986-81 BUDGET DETAIL 1984-85 ACTUAL 1985-86 1986-81 ADOPTED PROJECTED BUDGET $ 3,948-3,948 1 $ 4,239-4,239 1 0 0 0 0 2,371-2,882 1 2,620-3,185 1 2,071-2,519 2 2,358-2,867 2 1,871-2,273 1 2,129-2,587 1 1,670-2,031 1 1,849-2,248 1 1,154-1,403 1.5 1,277-1,553 1.5 $ 4,239-4,239 0 2,620-3,185 2,358-2,867 2,129-2,587 1,849-2,248 1,277-1,553 1 $ 4,239-4,239 1 2,962-3,600 1 2,620-3,185 2 2,358-2,867 1 2,129-2,587 1 1,849-2,248 2 1,271-1,553 "9 n n $ 183,899 $ 224,862 $ 201,753 $ 296,164 41,354 51,478 49,904 63,392 $ 225,253 $ 276,340 $ 251,657 $ 359,556 $ 26,840 $ 22,000 $ 25,246 $ 17 , 500 868 100 100 1,355 6,681 7,110 6,434 5,700 5,955 6,605 6,605 6,802 5,225 4,250 4,263 5,800 $ 45,569 $ 40,665 $ 42,648 $ 37,157 $ 3,114 $ 3,000 $ 3,000 $ 3,150 $ 3,114 $ 3,000 $ 3,000 $ 3,150 $ 213,936 $ 320.005 $ 291,305 $ 399,863 F;1 DEPARTMENT: DIVISION: COMMUNITY DEVELOPMENT BUILDING DIVISION DESCRIPTION: TASKS: 1. 2. 3. 4. 5. The Building Division provides for the establishment and enforcement of building regulations to ensure that new and e){isting buildings are safe and suitable for their intended use. Receive and plan check applications for permits to ensure compliance with State and City building 'code requirements. Issue building. plumbing. electrical, mechanical, grading and sign permits. Make daily inspections of residential, commercial and industrial construction to ensure compliance with the approved plans. Review and make recommendations for the adoption of all uniform codes. Assist the public with technical information regarding City and State codes. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAL $ 220,678 $ 71.082 $ 2,300 $ 294.060 62 DIVISION: BUILDING DEPARTMENT: COMMUNITY DEVELOPMENT PERSONNEL DETAIL Building Official Plan Checker Building Inspector Building Technician ACCOUITING DETAIL Personnel Salaries Retirement & Insurance Total Personnel ~lies & Services ontractual Services Office E){penses Departmental Expense Transportati.on Expense Training & Development Total Supplies & Services Capital Outla,t Offi ce Equi pment Total Capital Outlay DIVISION TOTAL 1 1 2 1 ~ 1986-81 BUDGET DETAIL 1984-85 ACTUAL 1985-86 1986-81 ADOPTED BUDGET PROJECTED $ 2,550-3,100 2,245-2,728 1,990-2,418 1,500-1,823 1 $ 2,703-3,286 1 2,469-3,001 2 2,181-2,651 1 1,590-1,933 ~ 1 $ 2,703-3,286 1 2,469-3,001 2 2,181-2,651 1 1,590-1,933 ~ 1 $ 2,703-3,286 1 2,469-3,001 3 2,181-2,651 1 1,590-1,933 0 $ 102,958 $ 148,888 $ 129,326 $ 180,636 25,822 36,146 35,171 40,042 $ 128,780 $ 185,634 $ 164,497 $ 220,678 $ 76,306 $ 26,570 $ 51,576 $ 53,000 0 0 0 1,855 4,959 2,926 4,197 4,500 3,240 5,050 5,050 7,437 1,099 1,535 1,573 4,290 $ 85,604 $ 36,081 $ 62,396 $ 71,082 $ 0 $ 0 $ 0 $ 2,300 $ 0 $ 0 $ 0 2,300 $ 214,384 $ 221,115 $ 226,893 $ 294,060 63 DEPARTMENT: COMMUNITY DEVELOPMENT DIVISION ACCOUNT BUILDING CONTRACTUAL SERVICES CAPITAL OUTLAY PLANNING CONTRACTUAL SERVICES CAP ITAl OUTLAY DESCRIPTION OF ACCOUNTS $10,000 OR MORE 1985-86 $ 26.570 $ 22,000 $ 3,000 64 1986-87 $ 50,000 $ 2,300 $ 17 ,500 $ 3,150 DESCRIPTION Provides $50,000 for plan check of construction documents by consultant under contract. The account is directly offset by fees. charged (65% of plan check fee covers the cost of the plan check consultant. The balance of 35% is General Fund Revenue) and is controlled by applicant submittals. Provides for the purchase of office furniture, including a plan check table, cabinets and plan storage holder. Provides $8,500 for consultant services to the City, $8,500 for Planning Commission salaries and $500 for weed abatement. Provides for the purchase of office furniture, including a desk, cabinets and book cases. Additionally. the purchase of audio-visual equipment is included. W, u z c '" z z W, C I- a: z ("I z - = = c a: '" ... Z Ao W I- ("I a: c z '" W, = a: ... W, a: 2 I- a: ... '" = '" W, '" I- W, I- U ... W, I- ... ..,¡ W, ... ... Z Z W, '" '" ..,¡ U '" = ..,¡ ... ... W, W W, ... ... = Z liD Z ("I ell: ell: W, U = "'" W, = = z I- C a: C W, W, Ao Ao C W, '" Ao I- "'" =- a: M W, I- I- Z Z W, W, Z Z Z = I- I- ... a: a: '" c c ... Ao Ao =- W, W, ... = = = DIRECTOR OF PUBLIC WORKS I CITY ENGINEER ADMINISTRATIVE SECRETARY I (1) ASSISTANT (1t I I ENGINEERING DIVISION . WATER SERVICE DIVISION MAINTENANCE DIVISION ASST. CITY ENGINEER (1) WATER SERVo MANAGER (1) CONSULTING TRAFFIC ENGINEER (1) WATER CONST. SUPER. {1t ASST. CIVIL ENGINEER (4) WATER SERVo TECH. (1) JR. CIVIL ENGINEER (1) EQUIPMENT OPERATOR (1) PUBLIC WORKS INSP. (2) I--- INTERMEDIATE MAINTENANCE WORKER (9) ENGINEERING AIDE (1) CLERK TYPIST (1) I STREET/PARKlTREE DIVISION VEHICLE/FACILITY/REFUSE DIVISION MAINTENANCE SUPERINTENDENT (1) MAINTENANCE SUPERINTENDENT (1) STREET FOREMAN (1) MECHANIC FOREMAN (1) EQUIPMENT OPERATOR (2) EQUIPMENT MECHANIC (2) MAINTENANCE WORKER (8) MECHANIC HELPER (1) PARK AND TREE FOREMAN (1) BUILDING FACILITIES LEAD PERSON (1) CUSTODIAN (1) TREE TRIMMER (1) MAINTENANCE WORKER (1) MAINTENANCE WORKER (8) 1986-81 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS 1984-85 1985-86 1986-81 ACTUAL BUOGET PROJECTED ADOPTED PERSONNEL DETAIL Full-time Staff 41 42 42 45 ACCOUNTING DETAIL Personne 1 Salaries $ 961,638 $1,009,558 $ 972 ,296 $1,214,413 Retirement & Insurance 282,527 397,741 396,062 334,328 Total Personnel $1,250,165 $1,407,299 $1,368,358 $1,548,741 ~plies & Services Contractual services $ 566,183 $ 745,725 $ 746,851 $ 761,630 Office e){pense 2,017 . 2,300 2,545 2,675 Facilities e){pense 256,321 211,900 245,557 268,062 Departmental expense 134,453 155,485 157,177 167,329 Transportation e){penses 420,268 451,385 462,878 439,500 Training & Development 2,759 5,625 5,160 7,755 Total Supplies & Services $1,382,001 $1,632,420 $1,620,168 $1 ,646 ,951 Capital outlaf¡ Offi ce equ pment $ - $ - $ - $ - Departmental equipment 700 64,000 63,410 28,675 Total Capital Outlay $ 700 $ 64,000 $ 63,410 $ 28,675 OIVISION TOTAL: $2,632.866 $3.103,119 $3,051.936 $3.224.361 66 DEPARTMENT: DIVISION: PlillIC WORKS ADMINISTRATION DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. 8. 9. The Administration Division coordinates and provides direction to all Public Works divisions and Water Department field operations. It provides research for and analysis of current/proposed public works projects in order to ensure their usefulness. safety and convenience to the public. Investigate the feasibility of the City's assumption and administration of the existing County street lighting program. Implement an Emergency Services Program. Prepare a management audit of the Water Service operation. Maintain a fleet vehicle maintenance/purchase program with computerization capability. . , Review the departmental space needs study. inclusive of the Water Service operations. Prepare a departmental productivity study. Search for and promotion of any County, State, or Federal grants for cooperative Capital Improvement projects. . Develop and administer the Department's annual budget and the City-wide capital improvements plan. Administer contracts and franchises. DIVISION BUDGET: Personnel Operations Capital Outlay $254,583 32,189 16,950 $303.122 TOTAl 67 1986-81 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: ADMINISTRATION } 984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Director of Public Works 1 $4,579-4,741 1 $4,741-5,025 1 $4,741-5,025 1 $5,025-5,025 Maintenance Superintendent 2 $2,409-2,969 2 $2,409-3,141 2 $2,409-3,141 2 $2,583-3,141 Administrative Assistant 1 $1,994-2,424 1 $1,994-2,582 1 $1,994-2,583 1 $2,141-2,582 Secretary 1 $1,390-1,690 1 $1,390-1,870 1 $1,390-1,870 1 $1,539-1,870 Department Clerk 1 $1,320-1,604 -! $1,320-1,776 -! $I ,320-1,776 1 $I ,461-1,776 6 6 6 6 ACCOUNTING DETAIL Personne 1 Sa lari es $ 187,574 $ 201,154 $ 201,154 $ 210,031 Retirement & Insurance 42,814 47,991 47,991 44,552 Total Personnel $ 230,388 $ 249,145 $ 249,145 $ 254,583 Supplies & Services Contractual services $ 188 $ 500 $ 500 $ 500 Offi ce expense 2,017 2,300 2,545 2,675 Departmental expense 7,693 12,875 12,875 14,470 Transportation e){penses 5,504 6,205 6,205 6,789 Training & Development 2,759 5,625 5,160 7,755 Total Supplies & Services $ 18,161 $ 27,505 $ 27,285 $ 32,189 Capital Outlay Office equipment $ - $ - $ - $ 3,450 Departmental equipment - 9,500 9,500 13,500 Total Capital Outlay $ - $ 9,500 $ 9,500 $ 16,950 DIVISION TOTAl: $ 248.549 $ 286,150 $ 285.930 $ 303,722 68 DESCRIPTION OF ACCOUNTS $10.000 OR MORE DEPARTMENT: ADMINISTRATION DIVISION: 401 DIVtSION ACCOUNT 1985-86 1986-81 DESCRIPTION Capital Outlay 9,500 16,950 File cabinets, micom printer, 'HP150 to interface with fuel monitoring system. micro software, emergency services rations. 69 DEPARTMENT: DIVISION: PIIIlIC WRKS ENGINEERING The Engineering Division designs and prepares plans for the City's annual Capital Improvement program. Engineering inspects all projects within the public right of way and maintains records to promote the general safety and well-being of the community. It also coordinates all inter/intra-community and related regional traffic pertinent to pedestrian/vehicular safety and flow. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 1. 8. 9. Prepare plans, cost estimates. and reports for Capital Improvement projects. Plan check all subdivision/parcel maps and perform construction inspections involving public improvements. Perform warrant studies for various stop sign, tfaffic signal, and crossing guard requests throughout the City. Coordinate the City-wide traffic study, inclusive of the arterial highway classification review, impact of new development within the City and the modification, and synchronization of all of the traffic signal systems. Monitor the City's traffic safety program through collision report evaluation. Perform the on-going traffic count program to provide data for traffic studies. marketing studies, etc. Maintain maps, records, and reports for all public improvements. Provide assistance to the public by responding to engineering related complaints, inquiries, and concerns. Provide technical assistance and contract administration to all City departments. 70 (Engineering tasks continued) DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $358,202 212,161 6,500 $636.863 71 1986-87 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: ENGINEERING 1984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Assistant City Engineer 1 $2,894-3,156 1 $2,894-3,728 1 $2,894-3,728 1 $3.067-3,728 Assistant Civil Engineer 2 $2,338-2,842 2 $2,338-3,112 2 $2,338-3,112 4 $2,560-3,112 Junior Civil Engineer 1 $2,120-2,526 1 $2,120-2,821 1 $2,120-2,821 1 $2,391-2,821 Public Works Inspector 1 $1,990-2,419 2 $1,990-2,775 2 $1.990-2,775 1 $2,283-2,775 Engineering Aide 1 $1,629-1,980 1 $1,629-2,168 1 $1 ,629-2,168 1 $1,784-2,168 Sr. Public Works Inspector 1 $2,485-3,021 6" I 7 9 ACCOUNTING DETAIL Personnel Salarles $ 168,886 $ 194,108 $ 191,591 $ 289,691 Retirement & Insurance 38,876 47,748 47,738 68,511 Total Rersonnel $ 207,762 $ 241,856 $ 239,329 $ 358,202 Supplies & Services Contractual services $ 210,751 $ 226,200 $ 252,063 $ 258,360 Departmental expense 2,733 2,925 2,030 3,070 Transportation expense 4,825 6,410 6,410 10,731 Total Supplies & Services $ 218,309 $ 235,535 $ 260,503 $ 272,161 Capital Outlay Departmental equlpment $ - $ 11,200 $ 9,975 $ 6,500 Total Capital Outlay $ - $ 11 ,200 $ 9,975 $ 6,500 DIVISION TOTAL: $ 426,011 $ 488.591 $ 509,801 $ 636.863 72 DESCRIPTION OF ACCOUNTS $10,000 OR MORE DEPARTMENT: PUBLIC WORKS DIVISION: 402 ENGINEERING DIVISION ACCOUNT 1985-86 Personnel Services $ 28,000 Street Light Energy 26.875 Signal Energy 75,200 Signal Maintenance Routine 59,875 Signal Maintenance Damage 27,200 Vehicle Lease 6,410 Capital Outlay 9.975 1986-81 $ 49,760 22,650 79,400 62,900 28,650 10,731 6,500 73 DESCRIPTION Traffic Engineering Consultant. This position takes the place of a full time Traffic Engineer, which was eliminated in the 1983/84 Fiscal Budget. The cost increase is due to the consultant's time changing from 8 hrs./week to 12 hrs./week plus utilizes a traffic technician and supplement for special projects. Provides for electrical energy to street lights. Based on previous year's consumption and multiplied by proposed Edison Company rates at an increase of 5.5 percent. Provides electrical energy for traffic signals. Based on previous year's consumption and multiplied by proposed Edison Company rates at an increase of 5.5 percent. Provides for contractual and routine maintenance of traffic signals. Cost for routine repairs are based on the previous year's e){perience plus projected increase of 5 percent. This figure is based on experienced costs over the past several years. Some of this e){pense is recovered through insurance cla i ms and is refl ected in a revenue account. This rate increased because of the addition of one (1) vehicle to accommodate an additional Public Works Inspector. Traffic loop detector; furniture/equipment for two additional engineers. DEPARTMENT: DIVISION: pœuc WRIeS STREETS The Street Division maintains in good repair all streets, 'sidewalks, bike trails medians, parkways, storm drains. and catch basins within the public right of way. It also provides street sweeping throughout the community to promote a desired aesthetic image and hazard-free environment. The Street Division is responsible for the upkeep of signing and striping for the safety and smooth flow of vehicular/pedestrian traffic. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. Maintain the paving within public streets. parking lots, and bike trails through administration of a contractual service and minor in-house repairs. Remove all debris from and maintain all storm drains, catch basins, and surface drainage facilities. , Mow and edge all turf, fertilize lawns, and spray foilage within the street medians. parkways, and Maintenance Facility grounds on a scheduled basis. Maintain a weed abatement and litter control program for all areas within the public street rights of way. Administrate the annual street striping contract and repaint all crosswalks, stop bars and legends on an as-needed basis. Replace all traffic signing as required and install all new signing as directed by the Traffic Engineer. Provide street, bike trail, and parking lot sweeping throughout the City on a scheduled weekly basis. 74 (Street tasks continued) DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $ 394,902 681,615 3.825 $1.080.342 75 1986-87 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: STREETS 1984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Maintenance Foreman 1 $1,894-2,302 1 $1,894-2,469 1 $1,894-2,469 1 $2,031-2,469 Equipment Operator 2 $1,570-1,909 2 $1,570-2,073 2 $1,570-2,073 2 $1,704-2.073 Maintenance Worker 9 $1,331-1,784 10 $1,331-1,937 10 $1,331-1,937 10 $1,445-1,937 12 13 13 13 ACCOUNTING DETAIL Personnel Sa 1 art es $ 240,868 $ 299,332 $ 282,217 $ 302,036 Retirement & Insurance 77 ,893 94,759 94,180 92,866 Total Personnel $ 318,761 $ 394,091 $ 376,976 $ 394,902 ~lies & Services ontractual services $ 318,414 $ 347,000 $ 362,540 $ 391,860 Facilities e){pense 16,412 16,225 16,225 16,400 Departmental e){pense 77,902 83,100 85,150 89,410 Transportation expenses 166,878 157,065 157,065 183,945 Total Supplies & Services $ 579,606 $ 603,390 $ 620,980 $ 681,615 Capital Outlay Departmental equipment $ 700 $ 25,900 $ 25,900 $ 3,825 Total Capital Outlay $ 700 $ 25,900 $ 25,900 $ 3,825 DIVISION TOTAL: $ 899.061 $ 1.023.381 $ 1.023,856 $ 1,080.342 76 DESCRIPTION OF ACCOUNTS $10.000 OR tlJRE DEPARTMENT: PUBLIC WRKS DIVISION: 403 STREETS DIVISION ACCOUNT 1985-86 1986-81 $ 57,500 $ 60,375 100,000 105,000 180,000 189,000 15,540 27,985 13,000 13,000 Sign Maintenance and Striping Sidewalk Construction Street and Alley Repair landscape Contract Water Traffic Signs and Paint 32,150 33,750 Center Island Supplies 21,900 23,050 Vehicle Equipment Leasing 157,605 183,945 Capita lOut 1 ay 25,900 5,825 77 DESCRIPTION . Annual contractual service for street striping and specialty painting. Annual contract for sidewalk installation. Includes asphalt removal and replacement, heater remix treatment and slurry seal. Annual contract for landscape maintenance in the Civic Center Comple){. Supplies water for medians, parkways and public grounds. Based on previous year's consumption and fixed charges. Includes all materials for curb painting, legend markings, traffic signs, street name signs and special signing. Includes fertilizers, ground coverings and sprinkler repair and parts for center islands. Represents the lease rates for: 3 mowers, 1 skip loader, 6 pick ups, 3 sweepers, 1 10-wheeler, 1 dump truck, 1 mack truck and 1 stencil truck. The cost increase reflects the required early replacement of a street sweeper. . Replace: 4 hand mowers, 2 edgers, 2 back pack blowers, 1 weed eater. PUBLIC WRKS DEPARTMENT: DIVISION: DESCRIPTION: PARKS TASKS: 1. 2. 3. 4. 5. 6. 1. The Parks Division provides for the maintenance of all City parks in order to provide the desired aesthetic image of the community and to help insure the general well being of the citizenry. Mow and edge lawn areas on a scheduled basis. Inspect and repair irrigation system to ensure proper watering. Fertilize lawns and spray foliage as required. Remove and replace foliage when necessary. Prune, shape and ground trim trees as needed. Remove litter and other foreign/hazardous matter from parks and Tustin Civic Center daily. Inspect play equipment regularly and repair as needed. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $234,535 164,608 1,400 $400.543 78 1986-81 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: PARKS 1984-85 1985-86 1986-81 ACTUAl BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Foreman 1 $1,894-2,302 1 $1,984-2,469 1 $1,894-2,469 1 $2,031-2,469 Maintenance Worker 6 $1,331-1,784 7 $1,331-1,937 7 $1,331-1,937 7 $1,445-1,937 Custodian 1 $1,250-1,519 $ - $ - $ - 8 8 8 8 ACCOUNTING DETAIL Personnel Salaries $ 172,179 $ 149,287 $ 149,287 $ 174,609 Retirement & Insurance 59,642 51,045 51,045 59,926 Total Personnel $ 231,821 $ 200,332 $ 200,332 $ 234,535 ~lies & Services $ $ $ ontractual expense - 18,000 $ 7,763 12,600 Facilities e){pense 64,012 78,875 69,638 81,500 Departmental e){pense 32,053 31,215 31,215 32,791 Transportation e){penses 53,395 36,435 36,435 37,717 Total Supplies & Services $ 149,460 $ 164,525 $ 145,051 $ 164,608 Capital Outlay Departmental equipment $ - $ 2,500 $ 2,800 $ 1,400 Total Capital Outlay $ - $ 2,500 $ 2,800 $ 1,400 DIVISION TOTAl: $ 381.281 $ 361.351 $ 348.183 $ 400,543 79 DESCRIPTION OF ACCOUNTS $10.000 OR MORE DEPARTMENT: PUBLIC WRKS DIVISION: 404 PARKS DIVISION ACCOUNT 1985-86 1986-81 $ 18,000 $ 12,600 17 ,000 11,500 Janitorial Contract Electric Sports Lf ght i ng 26,875 45,000 Water 35,000 35,000 Park Supplies 26.125 27.450 Vehicle Leasing 36,435 37,717 Capital Outlay 2,800 1.400 80 DESCRIPTION Janitorial services for all park rest rooms seven days per week. Includes park lights. time clock and automatic sprinkling system. Based on previous year's consumption and multiplied by proposed Edison Company rates at an increase of 5.5 percent. Includes lighting for ball fields, tennis courts and demand charges. Based on previous year's consumption and multiplied by proposed Edison Company rates at an increase of 5.5 percent. Includes $20,000 for additional lights at Columbus Tustin. Water for all parks. Based on previous year's consumption and fixed rates. Includes sprays, fertilizers, insecticides, custodi a 1 supplf es forrestrooms, repai rs and parts for plumbing, sprinklers and play equipment. lease rate for 2 large mowers. 1 scooter and 4 pick ups. Replace: 1 hand'mower, 1 push mower, 1 weed eater, 1 back pack blower. DEPARTMENT: DIVISION: PUBLIC WRitS TREES DESCRIPTION: The Tree Division maintains trees located in the public right of way and public properties for the preservation of environmental quality and aesthetic imagery. TASKS: 1. Trimming. lifting, and general health care of all publicly owned trees. " , Planting of public trees as required by new developments. Removal and/or replacement of publicly owned trees when deemed necessary by the City Council. 2. 3. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl: $ 85,467 59,804 $145,271 81 1986-87 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: TREES 1984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Maintenance Leadman 1 $1,594-1,937 1 $1,594-2,105 1 $1,594-2,105 1 $1,731-2,105 Tree Trimmer 1 $1,544-1,877 1 $1,594-2,038 1 $1,544-2,038 1 $1,677-2,038 Maintenance Worker 1 $1 ,331-1,784 1 $1,331-1,937 1 $1,331-1,937 1 $1,445-1,937 3" "3 "3 "3 ACCOUNTING DETAIL Personnel Salaries $ 55,591 $ 83,907 $ 83,907 $ 63,850 Retirement & Insurance 21,281 31,087 31,807 21,617 Tota 1 Personnel $ 76,872 $ 114,994 $ 114,994 $ 85,467 ~lies & Services ontractual services $ 25,082 $ 21,425 $ 21,245 $ 22,500 Departmental e){pense 10,902 21,415 21,415 22,497 Transportation e){penses 21,880 , 46,390 46,390 14,807 Total Supplies & Services $ 57,864 $ 89,230 $ 89,230 $ 59,804 Capital Outlay Departmental equipment $ - $ - $ - $ Total Capital Outlay $ - $ - $ - $ DIVISION TOTAl: $ 134.736 $ 204.224 $ 204.224 $ 145,211 82 DESCRIPTION OF ACCOUNTS $10.000 OR MORE DEPARTMEIIT: PUBLIC WRKS DIVISION: 405 TREES DIVISION ACCOUNT 1985-86 Tree Maintenance $ 21,425 Trees 14,950 46,390 Vehicle leasing 1986-87 $ 22,500 15,700 I 14.801 83 DESCRIPTION Contractual services for tree spraying, stump removal. and deep root planting containers. Purchase of trees. lease rate for 2 dump trucks, 2 aerial trucks, 1 tract~r and 1 chipper. DEPARlMEHT: DIVISION: PUBLIC WORKS EQUIPMENT/VEHICLES The Equipment/Vehicle Maintenance Division provides for the general repair and preventative maintenance of all City vehicles and other equipment. It also maintains a vehicular/equipment history so that replacements and/or new purchases can be made in a timely, cost-effective manner. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. Perform major and minor repairs on vehicular and other equipment. Perform preventative maintenance on vehicles and other equipment. Coordinate major mechanical repairs with repair garages. Provide fuel and fuel usage reports for City and school district vehicles. Provide for licensing and inspection of vehicles as required by the State Department of Motor Vehi cles. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAL $133,851 192,751 0 $326.602 84 1986-81 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: EQUIPMENT/VEHICLES 1984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Foreman 1 $1,893-2,302 1 $1,894-2,469 1 $1,984-2,469 1 $2,031-2,469 Equipment Mechanic 2 $1,680-2,042 2 $1,680-2,228 2 $1,680-2,228 2 $1.833-2,228 Mechanic Helper 1 $1,357-1,649 3" 3" 3" ,. ACCOUNTING DETAIL Personne 1 Salaries $ 75,650 $ 79,629 $ 79,629 $ 101,049 Retirement & Insurance 24,202 26,543 26,543 32,802 Total Personnel $ 99,852 $ 106,172 $ 106,172 $ 133,851 ~lies & Services $ $ ontractual expense - - $ - $ 5,000 Departmental e){pense 1,413 2,735 3,072 3,225 Transportation expenses 166,744 187,440 199,166 184,526 Total ~upplies & Services $ 168,157 $ 190,175 $ 202,238 $ 192,751 Capital Outlay Departmental equipment $ - $ 14,900 $ 15,235 $ Total Capital Outlay $ - $ 14,900 $ 15,235 $ DIVISION TOTAL: $ 268.009 $ 311,247 $ 323,645 $ 326.602 85 DEPARTMENT: PIilUC WORKS DIVISION: 406 VEHICLE MAINTENANCE DIVISION ACCOUNT Vehicle Operations Vehicle Repairs DESCRIPTION OF ACCOUNTS $10.000 OR DE 1985-86 $ 101,365 7,300 1986-87 $ 99,500 76.650 86 DESCRIPTION Purchased fuel and oil. Repairs for all general service and police vehicles. This now includes previous line item for sweeper repairs. DEPARTMEIIT: DIVISION: PUBLIC WRKS FACILITY MAINTENANCE' DESCRIPTION: The Facility Maintenance Division performs custodial services in order to provide a clean and healthy environment for all employees and the public; performs minor building maintenance and repairs to provide for the safety of employees and the general public in all public facilities. This division is also responsible for the security of all public buildings. TASKS: 1. Perform custodial tasks in the City Hall, Community Center, Police, Maintenance and Water facilities. 2. Perform minor building repair (structural, plumbing, electrical. painting, etc.) in all public facilities. 3. Perform maintenance tasks (building security. furniture moving. set-up for special functions. etc.) in all public facilities. Supervise and assist in major building repairs performed under contract. 4. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $ 87,201 243,448 $330.649 87 DEPARTMENT: PUBLIC WRKS FACILITIES MAINTENANCE DIVISION: PERSONNEL DETAIL Maintenance Worker Custodian ACCOUNTING DETAil Personnel Sa lari es Retirement & Insurance Total Personnel ~lies & Services ontractua 1. services Facilities e){pense Departmental expense Transportation e){pense Total Supplies & Services Capital Outlay Departmental equipment Total Capital Outlay DIVISION TOTAL: 1 1 -"2 $1,331-1,784 1 $1,331-1,937 1 $1,250-1,517 1 $1,259-1,649 1 -"2 2 $ 79,268 $ 85,638 18,707 15,071 $ 98,335 $ 100,709 $ 40,000 $ 72,600 163,700 176,800 1,375 1,220 1,100 11,440 $ 206,175 $ 262,060 $ - ~ $ - $ $ 304.510 $ 362.169 1986-87 BUDGET DETAil 1984-85 ACTUAL BUDGET 88 1985-86 1986-81 ADOPTED PROJECTED $1,331-1,937 1 $1,259-1,649 1 -"2 $1,445-1,937 $1,357-1,649 $ 68,008 $ 73,147 13,402 14,054 $ 81,410 $ 87,201 $ 44,000 $ 70,810 159,694 170,162 1,420 1,491 11,207 985 $ 216,321 $ 243,448 $ - $, $ - $ $ 291.131 $ 330.649 DEPARTMENT: PUBLIC WRKS DIVISION: 407 BUILDING FACILITIES DIVISION ACCOUNT Janitorial Contract Air Conditioning Contract Building Maintenance and Repair El ectri c Telephone DESCRIPTION OF ACCOUNTS $10.000 OR MORE 1985-86 $ 40,000 32,600 21,950 93,000 44,850 1986-87 $ 35,910 34,900 23,050 84,800 47,100 89 , DESCRIPTIOII Contractual services for the Civic Center Complex seven days per week and the Maintenance and Water Yard five days per week. Computerized HVAC Maintenance Contract for the Civic Center Complex and Maintenance Facility. Includes all repairs ~ painting, electrical, and plumbing within the Civic Center Complex and Corporation ,Yards. Electricity for the Civic Center Comple){and Corporation Yard. Based on previous year's cQnsumption and multiplied by proposed Edison Company rates at an increase of 5.5 percent. Telephone service for the city, and based on previous year's costs plus proposed 18 percent increase. 1986-81 BUDGET DETAIL DEPARTMENT: PUBLIC WRKS DIVISION: REFUSE BUDGET PROJECTED 1986-81 ADOPTED 1984-85 ACTUAL 1985-86 PERSONNEL DETAIL ACCOUNTING DETAIL Personnel Supplies & Services Contractual Services $ 308,028 $ 60,000 $ 58,560 ! Total Supplies & Services $ 308,028 $ 60,000 $ 58,560 $ Capital Outlay DIVISION TOTAL: $ 308.028 $ 60.000 $ 58.560 $ 90 c c c ... "" "" < "'0 "'0 ... ~ ~ CII ;II: ;II: ... -t -t CI :8 :8 :8 "" "" :8 :8 -t -t "" >C CII ... ..., ~ "'0 "'0 "" :8 ... C CI "" ;II: < "" :8 r- :8 < "" r- ... ... c ... CII C :8 n ... n -t ... "" -t "" ... CI CII c:: CII '" "'0 -t ;II: ~ "" ;II: "" -t :II' ~ ... ~ -t "'0 CI -t ... :II' :8 ... CI CI CII CI :8 '" :8 ;II: CII ~ :8 CII CONSULTANT RESERVES 5 OFFICERS 1 PCO 1 PIT CLERK 17 XlGUARDS COMMUNICATIONS 7 COMM. OFFICERS CHIEF OF POLICE 1 SGT. SPECIAL INVESTIGATION SUPERVISOR 1 AGENT GENERAL SUPERVISOR RESERVE UNIT 25 OFFICERS! 2 INVESTIGA. TORS VlCEIINTEll NARCO ECONOMIC CRIME CRT lIA/WARR 5 INVESTIGA. TORS CRIMESIPERS CRIMESIPROP JUVENilE MISC FOllOW. UP 1 DEPT CLERK 8 CLERKS 2CSO RECORDS STATS EDP WORD PROC DUPLICATION WARRANTS TECH.SERV. SGT. FISCAL MGMT: PLANNING I RESEARCH 10FC 1 DEPT CLERK 1 PROP OFC 1 FIT AIDE 1 PIT AIDE PERSITRAIN. PROP/EVID EQUIP/BlDG MAINTENANCE PURCHASING 1986-81 BUDGET REQUEST DEPARTMENT SUll4ARY DEPARlMENT: POLICE Total Full-time Staff 1984-85 1985-86 1986-87 ACTUAL BUDGET PROJECTION ADOPTED 57 61 61 61 24 26 26 28 81 87 87 89 PERSONNEL DETAIL Sworn Officers Support Personnel ACCOUNTING DETAIL Personnel 'SãTãñ e s Retirement & Insurance Total Personnel 2,492,288 2,813,189 2,767,272 3,131,126 751,559 876,379 859,977 872,769 3,243,847 3,689,568 3,627,249 4,003,895 7,164 20,297 20,297 23,814 - 250 250 1,652 27,125 28,804 28,804 30,419 104,708 145,441 145,441 159,274 272,786 184,473 184,473 172,683 80,326 96,700 96,700 100,537 492,109 475,965 475,965 488,379 8,969 17 ,225 17 ,225 38,855 - 7,000 7,000 30,037 - 8,969 24,225 24,225 68,892 3.144.925 4.189.158 4,121.439 4,561,166 93 Supplies & Services Contractual Services Facilities Expense Office Expense Departmental E){pense Transportation E){pense Training & Development Total Supplies & Services Capital Outlay Office Equipment Department Equipment Total Capital Outlay DEPARTMENT TOTAl POliCE DEPARTMENT: DIVISION: ADMINISTRATION/CRIME PREVENTION The Administration/Crime Prevention 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 Crime Prevention Division is also responsible for maintaining open lines of communication between the Police Department and the Community. Crime prevention is achieved through educating the community about safety awareness. Crime statistics are maintained and research projects conducted to assist all Department Division in achieving the Police Department's goal of reducing crime. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. 8. Provide administrative leadership to the entire Department. Provide budget direction and control. Review and implement new programs to enhance effectiveness of Department. Provide supervision and direction to the Crime Prevention Unit. Ensure free flow of internal and e){ternal information. Participate in citywide team management concepts. Provide training and learning opportunities to all police personnel as it relates to their individual task assignments. Provide direction and analysis to staff projects. 94 (Administration tasks continued) 9. Coordinate with other law enforcement agencies, local, state and federal. Coordinate Police Department activities with other City Departments. 10. DIVISION BUDGET: Personnel $ 368,422 Operations $ 43,008 Capi ta 1 Outlay $ 0 TOTAL $ 411,430 95 1984-85 1985-86 ACTUAL BUDGET PROJECTION PERSONNEL DETAIL Police Chief 1 $4557-4557 1 $4557-4557 1 $4960-4960 Captain 2 3254-3956 2 3254-3956 2 3672-4464 Police Officer 1 2071-2518 1 2071-2518 1 2259-2747 Office Coordinator 1 1662-2022 1 1662-2022 1 1840-2234 Division Secretary 1 1447-1760 1 1447-1760 1 1602-1937 Comm. Services Officer 1 1424-1731 1 1424-1731 1 1574-1912 I I I DEPARTMENT: POlICE DIVISION: ADMINISTRATION ACCOONTING DETAIL Personnel - - SãTãffes Retirement & Insurance Total Personnel Supplies & Services Contractual Services Facilities E){pense Offi ce E){pense Departmental Expense Transportation Expense Training & Development Total Supplies & Services Capital Outlay Off1ce Equ1pment Departmental Equipment Total Capital Outlay DIVISION TOTAL: 1986-81 BUDGET DETAIL 1986-87 ADOPTED 1 $4960-4960 2 3672-4464 1 2259-2747 1 1840-2234 1 1602-1947 1 1574-1912 I $ 233,020 75,729 $ 308,749 $ 267,198 $ 250,399 $ 284,590 87,827 84,861 83,832 $ 355,025 . $ 335,260 $ 368,422 $ 800 $ 800 $ 800 - - - 1,662 1,662 1,662 8,719 8,719 10,040 9,600 9,600 10,631 18,170 18,170 19,875 $ 38,951 $ 38,951 $ 43,008 $ 9,932 26,385 16,582 $ 52,899 $ 361.648 $ 393,916 $ 314.211 $ 411.430 96 DEPARTMENT: POLICE DIVISION: ADMINISTRATION - 501 85/86 Account Transportation E){pense $ 9,600 Training & Development $18,170 DESCRIPTION OF ~COUNTS $10,000 OR MORE 86/87 $10,631 Description Provides $10,631 for future replacement of 4 administrative vehicles into the vehicle replacement fund. $19,875 Includes $6,520 for meetings, $11,055 for training expense, and $2,300 for memberships and subscriptions. $2,273 of the training e){pense is reimbursable by POST. 97 DEPARTMENT: DIVISION: POLICE FIELD OPERATIONS The Field 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. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. Respond to calls for emergency police service with a goal of a 3 minute response time. Respond to non-emergency (report) calls ~or service with a goal of a 10 minute response time. Maintain an average patrol time availability of 25% per Officer. Write and/or record all police reports. Crime suppression through specific crime analysis and a high degree of visibility of patrol units in the high crime areas. Crime suppression through deployment of special enforcement units. 98 (Field Operations tasks continued) 7. 8. 9. 10. 11. 12. 13. 14. 15. 16. 17. Reduce traffic accidents through a traffic analysis program coupled with comprehensive selective . enforcement program. Cross-train all patrol officers in traffic matters. Apprehension. transportation and booking of offenders. Document and evaluate job performance of all assigned pe~sonnel. Conduct presentations before public and private groups including Community Watch Programs. Receiving, interpreting, recording and transmitting information appropriately 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 number 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. DIVISION BUDGET: Personnel Operations Capital Outlay $ 2,570,885 $ 252,529 $ 40,383 $ 2,863.197 TOTAL 99 DEPARTMENT: POLICE DIVISION: OPERATIONS PERSONNEL DETAIL lieutenants Sergeants Police Officer Parking Control Officer Communications Officer ACCOUNTING DETAIL Personnel Salar1es Ret1rement & Insurance Tota 1 Personnel Supplies & Services Contractual serv1ces Facilities Expense Departmental Expense Transportation Expense Training & Development Total Supplies & Services Capital Outlay Off1ce Equ1pment Departmental Equipment Total Capital Outlay DIVISION TOTAL: 1986-81 BUDGET DETAIL 1984-85 ACTUAL 3 $2891-3514 6 2481-3016 34 2071-2518 1 1302-1583 6 1529-1858 50 $1,683,917 503,610 $2,187,527 $ 4,908 42,838 177 ,101 36,183 '$ 261,030 $2.448.551 1985-86 BUDGET PROJECTION 1986-87 ADOPTED 3 $2891-3514 6 2481-3016 38 2071-2518 1 1302-1583 7 1529-1858 ;r $1,863,813 586,091 $2,449,904 $ 16,549 250 61,271 133,823 41,704 $ 253,597 $ 17 ,225 $ 17 ,225 $2.720.126 100 4 $3192-3881 6 2725-3313 35 2259-2747 1 1434-1743 7 1695-2060 IT"" 4 $3192-3881 6 2725-3313 35 2259-2747 1 1434-1743 7 1695-2060 "53 $1 ,816,773 564,203 $2,380,976 $2,003,545 567,340 $2,570,885 $ 16,549 250 61,271 133,823 41,704 $ 253,597 $ 16,436 1,440 61,036 129,928 43,689 $ 252,529 $ 17 ,225 $ 11,560 28,823 $ 17,225 $ ~ $2.651.798 $2,863.191 OPERATIONS - 502 85/86 DEPARTMENT: POLICE DIVISION: Account Contract Services Departmental Expense Transportation E){pense Training and Development Capital Outlay $16,549 $61,271 $133.823 $41,704 $11 .225 DESCRIPTION OF ACCOUNTS $10.000 OR II)RE 86/87 Description $16,436 Provides $6,300 for medical services (rape kit, etc.) and $9,786 for the purchase of a new County repeater communications tower. Provides $12,890 for departmental supplies, $24.100 for uniforms, $15,886 for special equipment maintenance, $3,300 for computer operations, and $4.860 for the canine program. $61,036 $129,928 Provides for replacement costs of 12 patrol vehicles, 3 canine vehicles, an administrative vehicle, and 5 motorcycles into the vehicle replacement fund. Provides $2,157 for meetings, $40,416 for training, and $1,116 for memberships and subscriptions. $33.525 is reimbursable from POST for training e){pense. $43,689 $40,383 Includes $10,797 for the continued replacement of Motorola packsets, $6,179 for purchse of Uniden packsets. $763 for the replacement of tape recorders. $4,214 for the replacement of light bars, and $18,430 for the purchase of one additional marked unit. 101 DESCRIPTION OF ACCOUNTS $10,000 OR t()RE DEPARlMENT: POLICE DIVISION: INYESTIGATION - 503 Account 85/86 86/87 Departmental Expense $14,170 $16,745 Description Transportation E){pense $25,750 $26,908 Includes $2,518 for departmental supplies, $77 for uniforms, $535 for special equipment mantenance, $6,570 for special equipment rental, $975 for printing e){penses and $6,070 investigative expense. This 21~ increase is due to the reallocation of departmental supplies to each respective division. Provides for replacement costs of 6 detective vehicles into the vehicle replacement fund and $10,300 for monthly rental of 2 undercover operations vehicles. Training & Development $12,327 $13,386 Capital Outlay $ 1,214 Provides $2,292 for meetings, $9,708 for training and $1,386 for memberships and subscriptions. $7,732 is reimbursable by POST. The 9~ increase is due to training cost created by the transfer of 2 officers to investigation. Provides $1,214 for the replacement of an auto-intelligence device. 104 DEPARTMENT: DIVISION: POLICE SERVICES The Services Division provides support assistance to 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. DESCRIPTION: TASKS: 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. Provide planning and research for various Police Department functions. Investigate businesses requiring city permits and/or licenses. Coordinate and monitor the Departments' fiscal activities on a daily basis. Provide copies of police reports, statistics. etc. to the public in accordance with State guidelines. Maintain' 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. Maintain 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. 105 (Services tasks continued) 12. 13. 14. 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. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $ 463,459 $ 128,963 $ 27,295 $ 619,117 106 1986-87 BUDGET DETAIL DEPARTMENT: POlICE DIVISION: SERVICES 1984-85 1985-86 1986-87 ACTUAL BUDGET PROJECTION ADOPTED PERSONNEL DETAIL Sergeants 1 $2481-3016 1 $2481-3016 1 $2725-3313 1 $2725-3313 Police Officer 1 2071-2518 1 2071-2518 1 2259-2747 1 2259-2747 Records Supervisor 1 1755-2133 1 1755-2133 1 1888-2296 1 1888-2296 Property Offi cer 1 1534-1864 1 15~4-1864 1 1721-2091 1 1721-2091 Non-Sworn Invest. 1 1424-1131 1 1424-1731 1 1574-1912 2 1574-1912 Department Clerk 1 1320-1604 1 1320-1604 1 1461-1776 1 1461-1776 Records Clerks 7 1263-1535 8 1263-1535 8 1399-1700 8 1399-1700 Property Ai de 0 - 0 - 0 - 1 1301-1581 1r 14 14 10 ACCOUIITING DETAIL Personnel salar1es $243,299 $317 ,012 $300,897 $374,327 Retirement & Insurance 65,813 86,541 82,207 89,132 Totðl Personnel $309,112 $403,553 $383,104 $463,459 Supplies & Services Contractual serv1ces Fa~ilities E){pense Office E){pense $ 26,696 $ 26,742 $ 26,742 $ 28,707 Departmental Expense 39,371 61,281 61,281 71,453 Transportation E){pense 12,375 15,300 15,300 5,216 Training & Development 19,001 24,499 24,499 23,587 Total Supplies & Services $ 97,443 $127,822 $127,822 $128,963 Capital Outlay Offl ce Equ1 pment $ 6,620 - - $ 27,295 Departmental Equipment - $ 7,000 $ 7,000 - Total Capital Outlay $ 6,620 $ 7,000 $ 7,000 $ 27,295 DIVISION TOTAL: $413,175 $538,375 $517 ,926 $619.717 107 DEPARTMEt.:T: DIVISION: POLICE SERVICES - 504 Account Office E){pense Departmeantal E){pense Transportation E){pense Training & Development Capital Outlay 85/86 $26,742 $61,281 $15,300 $24,499 $ 7,000 DESCRIPTION OF ACCOUNTS $10,000 OR tlJRE 86/87 Description $28,707 Includes $8,483 for office operating supplies, $6,540 for duplication e){pense, $10,662 for microfilm/microfiche e){pense, $1,372 for word processing e){pense, and $1,650 for office equipment maintenance. Includes $34,705 for department supplies, $2,350 for uniforms, $2,970 for special equipment maintenance, $9,000 for printing expense, and $21,876 for computer maintenance. The 1St increase is largely due to the increased cost of supplies. $71,453 $ 5,216 Provides for replacement costs of 2 administrative vehicles into the vehicle replacement fund. This 66t decrease represents the return to the norm. Last year we had to purchase a $10,000 vehicle out of sequence of the normal replacement schedule. Includes $2,524 for meetings, $20,016 for training and $1,047 for memberships and subscriptions. $8,610 of this e){pense is reimbursable by POST for training. $23,587 $27,295 Includes $3,382 for a viewer printer for microfiche, $5,193 for a microfiche developer (both replacements), $6,000 for a computer controller and $12,000 for an additional disc drive. 108 CI CI ", ", ~ ~ >0 >0 :lID :lID -I -I z: z: ", ", IE IE -I -I ", :Ie .., ~ - ", :lID 8: ", CI - >0 -I CI = z: :lID - ", 8: - ~ VI :lID -I CI :lID In >0 :lID -I >0 - z: CI VI 8: -------- - --------- - - CI CI ,., ,., ~ ~ > > :l1l:I :l1l:I -4 -4 Z Z ,., ,., Z Z -4 -4 ,., >C .., ~ ... ,., :l1l:I Z ,., CI ... > -4 CI = Z :l1l:I ... ,." Z ... ~ VI :l1l:I -4 = :l1l:I ~ > :l1l:I -4 > ... Z = VI Z DIVISION: FIRE DESCRIPTION: Since January of 1978 the City of Tustin has contracted with the County of Orange for fire protection services. The contractual amount is adjusted annually by the County Fire Agency based on a cost allocation plan developed by the County and the cities that are participants in the Structural Fire Fund. DEPARl'MENT BUDGET: Personnel $ Operations 2,050,000 Ca pi ta 1 Outlay TOTAL $2 ,050.000 111 DEPARTMENT: FIRE ADMINISTRATION PERSONNEL DETAIL N/A ACCOUNTING DETAIL Personnel N/A Supplies & Services Contractual Services Tota 1 Suppl i es & Servi ces Capital Outl~y N/A DEPARTMENT TOTAL 1986-81 BUDGET DETAIL 1984-85 Actual $1,861,000 $1,861,000 $1.861.000 1985-86 Budget Projecti on $1,953~732 $1,953,732 $1.953.132 112 $1,953,732 $1,953,732 $1.953.132 1986-87 Ado Jted $2,050,000 $2,050,000 $2 ,050,000 DEPARTMEIIT EXPEIIDITURE PROGRAMS DEPARTMENT: DIVISIOII: COHHUIiITY SERVICES ADMUII STRATI ON SPORTS CLASSES/CULTURAL ARTS YOUTH SERVICES HUMAN SERVICES/SENIOR CITIIEIIS DIRECTOR OF COMMUNITY I ADMINISTRA TIVE SERVICES I RECREATION SUPERINTENDENT SECRETARY (U INTERMEDIATE (1) TYPIST CLERK RECREATION SUPERVISOR (CLASSES, CULTURAL ARTS SENIOR CITIZENS BROCHURE) (1) RECREATION COORDINATOR (1) CONTRACT EMPLOYEES RECREATION SPECIALISTS VOLUNTEERS CONTRACT EMPLOYEES CONTRACT INSTRUCTORS VOLUNTEERS RECREATION SUPERVISOR (1) PLAYGROUNDS, TINY TOTS. PUBLICITY, SPECIAL EVENTS RECREATION SUPERVISOR (1) ADULT YOUTH SPORTS FACILITIES. FIELDS SPECIAL EVENTS CONTRACT EMPLOYEES VOLUNTEERS, PARK MONITORS CONTRACT EMPLOYEES, SPORTS OFFICIALS, COACHES,VOLUNTEERS 1986-87 RUDGET REQUEST DEPARTMENT SUMMARY DEPARTMENT: COMMUNITY SERVICES 1984-85 1985-86 1986-81 ACTUAL BUDGET PROJECTION ADOPTED PERSONNEl DETAIL Full-time Staff 7 7 7 7 ACCOUNTING DETAIL Personnel Salaries $166,842 $180,816 $163,422 $180,848 Retirement + Insurance 41,024 44,986 39,094 40,267 Total Personnel $207,866 $225,802 $202,516 $221,115 ~lies & Services ontractual Services $203,547 $228,787 $21A,589 $257,403 Facilities Expense 17,750 18,700 18,450 19,600 Office E){pense 1,098 1,510 1,510 1,640 Departmental E){pense 55,047 72,512 74,786 78,295 Transportation E){pense 14,479 14,719 14,098 21.214 Training + Development 5,958 7,103 5,771 7,261 Total Supplies + Services $297,849 $343,331 $333,204 $385,413 Capital Outlat Mobile Equ pment '- - - - Offf ce Equi pment - - - $ 1,000 Departmental Equipment (Other) $ 3,430 $ 12,292 $ 12,292 15,414 Total Capital Outlay $ 3,430 $ 12,292 S 12,292 $ 16,414 DEPARTMENT TOTAL: $509.145 $581.425 $548.012 $622.942 115 DEPARTMEIIT: DIVISION: CCIIIJIIITY SERVICES AIIt 1111 STRATI ON DESCRIPTICII: TASKS: 1. 2. 3. 4. 5. 6. 7. 8. Administration is responsible for overseeing the entire Department, including personnel management, fiscal policy. long-range planning, training, and operational policies. The COMmUnity Services Department plans. organizes, and manages recreation and community services programs which will enable Tustin residents of all ages, interests, and capabilities to experience self- satisfaction, personal growth, and fulfillment through participation in leisure activities. Allocate the necessary resources including labor, .finances, equipment, and facilities for the provision of leisure services. Ensure effective management by setting standards, evaluating, and controlling the performance of staff. Evaluate programs. areas, facilities. and make necessary changes to ensure that participant expectations are being met. Secure appropriate fees and charges in sup~ort of programs and services. Attract participants to leisure activity programs; to maintain a positive public image. Work with community agencies. institutions. organizations, and individuals by making staff available for consultation services. Design and establish public facilities. parks. and open space which meet the needs and interests of the community. Develop meaningful long-range plans and strategies for future open space. 116 (Administration tasks continued) 9. 10. 11. 12. Maintain contact with the legislative network and professional lobbyists which serve the interests of the recreation and parks movement. Schedule and rent Clifton C. Miller Community Center, Council Chambers. and other public facilities. Coordinate the construction of the Columbus Tustin site improvements and of the Tustin Area MultiService Senior Center with the consultants and citizen groups. Participate with consultants in the design and construction of park sites for East Tustin. DIYISION BUDGET: Personnel Operations Capital Outlay $ 92,220 $ 21,535 $ 1,000 $114.155 TOTAl -117- DEPARTMENT: COMMUNITY SERVICES DIVISION : AII4INISTRATION PERSONNEL DETAIL Recreation Superintendent Secretary - Job Share Intermediate Clerk Typist ACCOUNTING DETAIL Personnel šãTã"r1 e s Retirement + Insurance Total Personnel ~lies + Services Contractual Services Facilities Expense Offi ce E){pense Departmental E){pense Transportation Expense Training + Development Total Supplies + Services Capital outlaf Office Equ pment Department Equipment Total Capital Outlay DIVISION TOTAL: 1986-81 BUDGET DETAIL 1984-85 ACl1IAL 1985-86 1986-81 ADOPTED PROJECTED BUDGET 1 1 1 "J $2,510-3,651 1,390-1,690 1,174-1,428 1 $2,673-3,250 1 1,539-1,870 1 1,300-1,581 "J $2,673-3,250 1,539-1,870 1,300-1,581 $2,673-3,250 1,539-1,870 1,300-1,581 1 1 1 "J 1 1 1 "J $70,298 $76,241 $59,961 $74,892 18,489 19,589 13,779 17 , 328 $88,787 $95,830 $73,740 $92,220 $ 7,958 $ 3,500 $ 2,222 $ 3,600 0 1,000 300 1,000 311 550 550 570 12,556 11,360 10,577 11,040 2,250 1,800 2,100 1,800 3,300 3,505 2,312 3,525 $26,375 $21,715 $18,061 $21,535 $ - $ - $ - $ 1,000 - - - - $, - $ - $ - $ 1,000 $115.162 $111.545 $ 91.801 $ 114,755 -118- DEPARTMENT: COMMUNITY SERVICES DIVISION: AIJIII HI STRA 11 ON DIVISON ACCOUNT DEPARTMENTAL EXPENSE CAPITAL OUTLAY DESCRIPTION OF ACCOUNTS $10,000 OR MORE 1985-86 $ 10,577 1986-87 $ 11,040 $ $ 1,000 0 -119- DESCRIPTION Provides $7,500 for mailing of Tustin Today, $3,000 for special supplies, artwork and layout materials, and $540 for outside printing. $1,000 for replacement Type- writer: IBM Wheelwriter II }aiseywhel. OEPARlMEIIT: OIYISIIII: OESCRIPTIIII: Tasks: COMMUIiITY SERYICES SPORTS The Tustin Sports Division provides recreational sports programs for both youth and adults. It promotes and conducts one of the only youth track clinics in Orange County. last year's youth track meet had 220 Tustin area youth participate. This division is also one of the few sports divisions that conducts eleven months. of adult softball play each calendar year. It is also responsible for both park and athletic facility reservations. This division also served at committee head for our annual Tustin Tiller 5 and 10K in October. last (calendar) year. 360 teams participated in City softball leagues. The Sports Division is also responsible for the advanced scheduling and maintenance of all City athletic fields for usage by commercial users hosting weekend softball tournaments (averaging 45 weekends per year) at Columbus Tustin Park. 1. 2. Schedules over 1,800 adult softball game$ involving about 40.000 participants. Assigns field maintenance and game officials for softball leagues. 3. 4. Purchases awards and supplies necessary to maintain all City sports programs. Coordinates scheduled maintenance of athletic fields with City maintenance Department, Tustin Unified School District, and Community Services contracted field maintenance personnel. 5. Promotes and conducts youth sports activities; cross country meet. track clinic and meet; and basketball skills contest. Schedules field reservations for youth and adult soccer practice. -120- (Sports tasks continued) DIYISION BUDGET: Personnel Operations Capi ta 1 Outl ay $ 34.121 $ 82.962 $ 5.324 $122.407 TOTAL -121- DEPARlMEIIT: C(JllIIIIIITY SERVICES DIVISION : SPORTS PERSONNEL DETAIL Recreation Supervisor Recreation Coordinator ACCOUNTIIiG DETAIL Personnel 'šãl'ãrt e s Retirement + Insurance T ota 1 Personne 1 ~lies + Services ontractual Services Facilities Expense Office Expense Departmental Expense Transportation Expense Training + Development Total Supplies + Services CapitalOutla1i Office Equ pment Department Equipment Total Capital Outlay DIVISION TOTAL: 0 1 r 1986-81 BUDGET DETAIL 1984-85 ACTUAL 1985-86 1986-87 ADOPTED PROJECTED BUDGET $1,982-2,410 1 0 r $1,982-2,601 1 0 r $1,994-2,309 1 0 r $1,994-2,424 $27,371 $28,158 $27,044 $28,512 6,732 6,262 6.240 5,609 I $34,103 $34,420 $33,284 $34,121 . $38,716 $43,892 $43,892 $48,420 0 0 0 0 152 160 160 260 18,863 23,479 24,412 25.904 3,030 2,340 2,340 7,472 793 889 830 906 - $61,554 $70,760 $11.634 $82,962 $ - $ - $ - $ - - 9,292 9,292 5.324 $ . - $ 9,292 $ 9',292 $ 5,324 $95.657 $114.472 $114.210 $122.407 -122 - DEPARTMENT: COMMUNITY SERVICES DIVISION: SPORTS IHVISON ACCOUNT CONTRACTUAL SERVICES DEPARTMENTAL EXPENSES OESCRIPTION OF ACCOUNTS SI0.000 OR MORE 1985-86 1986-87 $ 49,420 $ 43,892 $ 24,412 $ 25,904 -123- DESCRIPTION Provides $30,000 for umpire services based upon 2,000 games at $15/game. Recreation assistant ($3,000) assists field maintenance person. Provides $320 for services of workers at track and cross country meets. Reimburses Jaycees ($350) 50S of total registration of City Track meet for purchase of medals. Provides $500 for gym supervisor of adult basketball program and $460 for officials services. Provides $1,500 for services of two instructors of adult ladies Day Tennis program. Provides $1,000 for Track Clinic coaching services. $11,790 for all field maintenance and evening supervision of City Softball program and weekend tournament play. $460 provides for printing of scorecards and line-up cards and payment for track and DEPARTIŒNT: DIVISION : DIVISON ACCOUNT CAPITAL OUTlAY COMMUNITY SERVICES SPORTS DESCRIPTION OF ACCOUNTS SIO.OOO OR MORE 1985-86 1986-87 $ 9.292 S 5.324 -124- DESCRIPTION cross country participants to advance to County Meets. $24.000 provides for purchasing of new softballs. home plates. bases, rakes, pitching rubbers. awards. drag, markers. chalk, hose. and brickdust to maintain softball program. Additional $1,444 provides for purchase of supplies for track, basketball and tennis programs. Two concrete slabs at S7 per souare foot; two gas-powered (portable) water pumps at S275 each; two sets of aluminum bleachers, 9' X 14'.5 row tiered at S1,295 each; and two aluminum 8' picnic tables at S210 each. DEPARlMEIIT: DIVlSIIII: DESCRIPTlOII: TASKS: 1. COMIIJIIITY SERVICES ClASSES/CULTURAl ARTS The Cultural Arts/Classes division promotes, coordinates. and supervises all recreation classes. play, dances. lectures. and special programs such as Carousel and Special Kids. 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~ide events such as Tiller Days. Fourth of July. and Concerts in the Park. 2. Provide 200-250 recreation classes per quarter in such areas as dance (for Tiny Tots through Seniors), music, drama, crafts. sports, exercise programs, tennis. gymnastics, bridge. lectures, speed reading, and more. Sponsor cultural activities such as Eventng of Dance, 8The Good Doctor8. 8Play It Again. Sam8, 8Catch Me If You Can8, and 8The Drunkard-. Support Dance Kaletdoscope Company. 3. Promote many special programs such as Youth Arts Carousel, a high quality fine arts program for children; Cheerleadtng Clinics; and Special Kids. a program for developmentally disabled youth. Offer lectures on subjects of interest to the community. Some topics have included: Program Yourself for Achievement, WOMen at Home, Estate Planning Seminar. Investment Seminar, Permanent Weight Control, and Stress and Your Health. 4. 5. Promote and develop special events such as Tiller Days, Concerts tn the Park. and 4th of July. -125- (Classes/Cultural Arts tasks continued) DIVISION BUDGET: Personnel Operations Capita 1 Outl ay $ 20,305 $155,294 $ 4,090 $179.689 TOTAL -126- DEPARTMENT: COMMUNITY SERVICES DIVISION : CLASSES/CULTURAL ARTS PERSONNEL DETAIL Recreation Supervisor Recreation Coordinator ACCOUNTING DETAIL Personnel 'šã'Tã'M e s Retirement + .Insurance Total Personnel ~lies + Services Contractual Services Facilities Expense Office Expense Departmental E){pense Transportation E){pense Training + Development Total Supplies + Services. Capita 1 outlat Office Equ pment Department Equipment Total Capital Outlay I)IVISION TOTAL: .5 1 TT 1986-87 BUDGET DETAIL 1984-85 ACTUAL 1985-86 1986-87 ADOPTED PROJECTED BUDGET $1,982-2,410.5 $1,982-2,424 .5 $1,994-2,424.5 0 0 0 :r :r T $1,994-2,424 $34,849 $15,035 $15,035 $14,543 11,591 6,666 6.666 5,762 , $46,440 $21,701 $21,701 $20,305 $105,306 $125,870 $113,558 $132.130 17,750 17.700 18,150 18,600 275 300 300 300 8,278 2,445 2,445 2,515 4,110 693 693 693 1,552 1,010 1,010 1,056 $137,271 $148,018 $136,156 $155,294 $ - $ - $ - $ - 3,430 - - 4,090 $ 3,430 $ - $ - $ 4,090 $181.141 $169.119 $157,857 $179.689 -121- DEPARTMENT: COMI4.INITY SERVICES DIVISION: CLASSES/CULTURAL ARTS OIVISON ACCOUNT CONTRACTUAL SERVICE FACILITIES EXPENSE CAP HAL OUTLAY DESCRIPTION OF ACCOUNTS $10,000 OR MORE 1985-86 $125,870 1986-87 $132,130 $ 17,700 $ 18,600 $ 0 $ 4,090 -128- DESCRIPTION Provides $132,130 for class instructors, a play in coop- eration with L.P. Repertory, Youth Arts Carousel, and other special programs. Provides $18,600 for lease of Lambert School, Building C. Computer Printer - $795 Mailing List and Label Interface Program - $375 Lotus I, 2, 3 Computer Software Program - $495 Wordstar Professional Software Program - $550 Four Mats - $1,400 Springboard - $475 DEPAR1MEIT: DIVISION: DESCRIPTION : TASKS: 1. COMMUIIITY SERVICES YOUTH SERVICES The division plans. organizes. promotes. coordinates. and'supervises youth services activities and spectal projects. These activities include recreation programs at Frontter, ,Magnolta Tree, and Centennta) Parks.,Summer, Easter, and Christmas Day Camp. Child Development program. teen programs, and volunteers. The division ts also responsible for spectal projects such as Halloween. Annual Tree Ltghttng Ceremony, spectal events, game basket. Santa suit. and excursions for youth and adults. The division assists tn events such as the El'CaminoReal Chilt Cook-off. 2. 3. Provide supervision for school-age chtldren at three parks. Manage Summer, Easter, and Christmas Day Camp. 4. Special programs (excurstons, Halloween, Tree Lighttng Ceremony, special events. volunteers. Santa suit, and game basket). Manage Child Development Program. 5. Community involvement: Cht1i Cook-off. 6. Provide teen programs. -129- (Youth Services tasks continued) DIVISION BUDGET: Personne1 Operations Capita1 Outlay TOTAL $ 33,503 $105,763 $ 6,000 $145.266 -138- 1986-87 BUDGET DETAIL DEPARlMENT: COMMUNITY SERVICES DIVISION: YOUTH SERVICES 1984-85 1985-86 1986-87 ACTUAL BUDGET PROJECTED ADOPTED PERSONNEL DETAIL Recreation Supervisor 1 $1,982-2,410 1 $1,982-2,410 1 $1,994-2,424 1 $1,994-2,424 Recreation Coordinator 0 0 0 0 r r r ï ACCOUNTIIiG DETAIL Personnel Salaries $2,725 $26,101 $26,101 $26,496 Retirement + In~urance 0 7,553 7,493 7,007 , Total Personnel $2,727 $33,654 $33,594 $33,503 ~lies + Services Contractual Services $17,192 $55,425 $58,817 $73,153 Facilities Expense 0 '0 0 0 Office Expense 190 300 300 300 Departmental Expense 4,999 21,563 23,279 21,163 Transportation Expense 4,359 8,893 7,972 10,256 Training + Development 118 849 769 891 Total Supplies + Services $26,858 $87,030 $91,131 $105,763 Capi tal outlai Office Equ pment $ - $ - $ - $ - Department Equipment - 3,000 3,000 6.0DO Total Capital Outlay $ - $ 3,000 $ 3,000 $ 6,000 DIVISION TOTAL: $29.583 $123,684 $127,731 $145.266 -131- DEPARlMENT: COMPIINITY SERVICES DIVISION : YOUTII SERVICES DIVISON ACCOUNT CONTRACTUAL SERVICE DEPARTMENTAL EXPENSE CAPITAL OUTLAY DESCRIPTION or ACCOUNTS $10,000 OR MORE 1985-86 $ 55,425 1986-87 $ 73,153 $ 21,563 $ 21,163 $ 3,000 $ 6,000 -132- DESCRIPTION Provides $73,553 for play- ground supervision, day camp staff, special program staff, youth and adult e){cursion, personnel, and child develop- ment instructors. Provides $8,275 for supplies for playground, day camp, and child development programs; $12,488 for admission tic- kets; and $400 for printing expenses. Climbinq complex to be placed at Lambert School for the City's Child Development Pro- qrams. Structure includes two 6" square steel platforms sur- rounded by 4X4 wood posts and connected by a steel frame wood bridge with safety chains. Additional items in- clude slide, fireman's pole, chain net, and fiberqlass canopy. DEPARlMENT: DIVISION : COMMUNITY SERVICES HUMAN SERYICES/SENIOR CITIZENS DESCRIPTlOII: The Senior Citizen/"uman Services division is responsible for all senior services including the Senior Citizen Club, liaison to Transportation, lunch, and Counseling (TlC). coordination with Assistance League and Tustin Community "ospital. excursions, tax preparation, speakers, and referral services. The division also provides information and referral service for the general colllllUni ty. TASKS: 1. Coordinate, provide, and promote senior citizen activities. Some areas include: a. publish monthly calendar b. blood pressure testing c. glaucoma testing d. flu clinics e. health screening f. e){cursions g. tax, assistance h. assistance to TLC i. senior discount program with local j. rereation and social programs k. organization of volunteers 1. distribute food from Food Bank m. peer counselling n. coordinate progams with Saddleback o. liaison to Senior Citizens Club p. information and referral Provide liaison and staff assistance to A.A.R.P., Tustin Senior Citizens Coordinating Council, as well as its Housing Subcommittee. merchants College 2. -133- (Human Services/Senior Citizens tasks continued) 3. Assist the Housing Subcommittee toward becoming a nonprofit organization, charged with actively pursuing innovative solutions to senior adult housing problems. Information and referral in such areas as youth sports, community organizations, school programs, county agencies, other City departments, child care. housing, etc. 4. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAL $40,966 $19,859 $ - $60,825 -134- 1986-87 BUDGET DETAIL DEPARTMEIIT: COMMUNITY SERVICES DIVISION : HOMA! SERYICES/SEIIIOR CITIZENS 1984-85 ACltJAl 1985-86 BtlJGET PROJECTED 1986-87 ADOPTED PERSONNEL DETAIL Recreation Supervisor Recreation Coordinator .5 1 U $1.982-2,410 .5 $1,982-2,410 .5 $1,994-2,424 .5 1,526-1,856 1 1,526-1,856 1,618-1,968 1 U U U $1,994-2.424 1,618-1,968 ACCOUNTING DETAIL Personnel Salaries Retirement + Insurance $31,599 $35,281 $35,281 $36,405 4,212 4.916 4,916 4,561 I $35,8i1 $40,197 $40,197 $40,966 $34,375 $ 100 $ 100 $ 100 0 0 0 0 170 200 200 210 10,351 13,665 14,073 11 ,613 730 993 993 993 195 850 850 883 $45,821 $15,808 $16,216 $19,859 $ - $ - $ - $ - - - - $ - $ - $ - $ $81.632 $56.005 $56.413 $60.825 ' Total Personnel ~lies + Services ontractual Services Facilities Expense Office Expense Departmental Expense Transportation Expense Training + Development Total Supplies + Services Capital Outlat Office EQu pment Department Equipment Total Capital Outlay DIYISIOII TOTAL: -135- DEPARTMENT: COMMUNITY SERVICES DESCRIPTION OF ACCOUNTS $10,000 OR MORE DIYISION: HUMAN SERVICES/SENioR CITIZENS DIVISON ACCOUNT DEPARTMENTAL EXPENSE 1985-86 $14,073 1986-87 $17,673 -136- DESCRIPTION Provides $328 for special program supplies and games and $17,345 for senior ex- cursions. II) 8: C ..I aI: C t,£ l- e :8 aI: ..... ~ 8: I- ..... II: aI: C = ~ I- ..... .... . ~ = :8 :8 ..... e ~ :8 M ..... I- I- :8 :8 ..... ..... 8: 8: I- I- aI: aI: C C ~ ~ ..... ..... Q Q 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 Supplies/Services Capital Outlay $ 308,000 TOTAl $308.000 -138- 1986-81 BUDGET DETAIL DEPARTMENT: NON-DEPARTMENTAL 1984-85 1985-86 1986-87 Actual Budget Projecti on MQ(lted PERSONNEL DETAIL N/A ACCOUNTING DETAIL Personnel N/A Supplies & Services Contractual Services $ 71 ,382 $100,000 $304,000 $200,000 Facll fties E){pense 4,051 0 4,600 0 Offi ce E){pense 54,039 55,000 52,000 50,000 Departmental E){pense 2,961 5,000 4,700 5,000 Training & Development 6,530 3,500 3,300 4,506 Other E){pense 207 ,072 44,500 41,645 45.000 TOTAL SUPPLIES & SERVICES $346,035 $208,000 $410,245 $304,500 Capital Outlay Department Equipment $ 0 $ 35,000 $ 35,000 $ 3,500 TOTAL CAPITAL OUTLAY $ 0 $ 35,000 $ 35,000 $ 3,500 DEPARTMENT TOTAL $346.035 $243.000 $445.245 $308.000 139 DESCRIPTION OF ACCOUNTS $lO~OOO OR "ORE DEPARTMENT: NON-DEPARTMENTAl 1985-86 1986-87 Contractual Services $300,000 $200,000 Offi ce E){penses 55,000 50,000 Other Expenses 44,500 45,000 Capital Outlay 35,000 3,500 -140- DESCR IPTION Premium for liability & property insurance coverage $200,000 Includes duplicating expenses $30,000 and postage $20,000 Includes such things as City memberships $6,000; Chamber of Commerce contribution $2,400; anne){ation e){penses $5,000; Tustin Jaycees $3,500; 4th of July celebration $15,000; holiday decorations $5,000; and community promotion $8,000 Replacement copier $3,500 = n n CA a > > ..., CA -,;¡ -,;¡ n n - - -4 = -4 "'1'1-4 - ..., > => c::> CI r- ar- a = CI r- - -- c ..., s as - CI -,;¡ en-,;¡ :=0 . -,;¡ c::> CAC::> :=0 C C::>C c::> ..., =..., en s .s :=0 ..., n..., > a ...,a s -4 -4 . a -,;¡ ...,." ..., . n. ..., c::> >c::> CI en ."en CA . :=0 > > S S CAPITAL IMPROYEMENT PROGRAM SUMMARY 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 Fund Budget Projection Budget Planned Planned Planned Planned General $1,283,250 $1,397,591 $ 1,203,100 $ 1.476,400 $ 719,100 $ 945,975 $1,086,800 Revenue Sharing 368.000 368,000 0 0 0 0 0 Gas Ta){ 769,400 1,354,864 3,876,500 3,600,500 1,103,200 567,400 0 Capital Improvements 210,000 210,000 0 0 0 0 0 Bea uti fi ca ti on 62,400 38,434 21.000 0 15,500 0 0 Park Development 0 0 15,10Ó 0 0 0 0 Assessment Dist. 85-1 3,655,700 3,655,7DO 15,366,900 12 ,034,700 0 0 0 $6,348.150 $1.OZ4.589 $20,482,600 $11,111.600 $1.831,800 $1,513.315 $1.086,800 CAPITAL IMPROYEMENT PROGRAM FUNDING SOURCE Source General $1,082 ,250 $1,196,591 $ 703,100 $ 1,069,500 $ 719,100 $ 945,975 $1.086,800 Revenue Sharing 368,000 368,000 0 0 0 0 0 Gas Tax 486,800 1,033,864 583,720 575,320 745,900 412,500 0 Capital Improvements 210,000 210,000 0 0 0 0 0 Beautification 62,400 38,434 21,000 0 15,500 0 0 Park Development' 0 0 15,100 0 0 0 0 Assessment Dist. 85-1 3,655,700 3,655,700 15,366,900 12,034,700 0 0 0 AHFP 67,500 67,500 180,000 80,000 357,300 154.900 0 FAU 201,200 100,600 2,238,990 2,138,390 0 0 0 OCUTT 0 0 159,000 92 ,000 0 0 0 HCDA 201,000 201,000 0 406,900 0 0 0 Ci ty of Irvine 0 0 498,790 498,790 0 0 0 Irvine Company 0 139,000 716,000 216,000 0 0 0 County of Orange 13,900 13.900 0 0 0 0 0 $6.348.150 $1.OZ4.589 $20.482.600 $11,111.600 $1.831 ,800 $1.513.315 $1,086.800 -142- CAPITAL IMPROVEMENT PROGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 FUND BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 10. PUBLIC FACILITIES 1. City Hall courtyard landscaping and irrigation modification B $15,000 $ 730 $ - $ - $ - $ - $ 2. Maintenance Facfl ity paint all metal trim. doors, drain pipes, etc. B - - 11 ,000 - TOTALS $15.000 $ 730 $11,000 $ - $ - $ - $ FUND RECAP B $15.000 $ 130 $11.000 $ - $ - $ - $ -143- 30. BEAUTIFICATION PROJECTS 1. General Street Light Program a. Easterly Side of Red Hill from Valencia Ave. to North Boundary of MCAS b. Andrews St. Lighting c. Easterly Side of Red Hill from Warner Ave. to Valencia Ave. d. Easterly side of Red Hill from Barranca Rd. to Warner Ave. 2. Renovate Turf on First St. Median I~ands and at Irvine ~vd. at Old Irvine 3. Planting of 16 trees (Olive) along Irvine Blvd. between Prospect Ave. and Hol t Ave. 4. Construct embossed concrete on medians at various locations. CAPITAL IMPROVEMENT PROGRAM 1985-86 FUND BUDGET 1985-86 1986-87 PROJECTION BUDGET B B GF $9,050 950 $ GF B 14,000 14,000 GF 8,000 7,630 B 23,400 23,400 a. Hall Circle at First St. ($3600) b. Fashion Islðnd at First St.($lBOO) c. Fashion Island at Irvine Blvd.($lBOO) d. Irvine Blvd. at Old Irvine ($1000) e. Bryan Ave. at Stonehenge ($15,200) Renovate turf on Red Hill median islands from Walnut to Sycamore. 5. 6. Renovate turf on Newport median islands from Irvine to McFadden. GF GF -144- $ 9,050 950 3,500 6,300 1987-88 PLANNED $ - 51,400 1988-89 PLANNED $ 51,400 1989-90 PLANNED 1990-91 PLANNED $ $ - CAPITAL IMPROVEMENT PROGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 FUND BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 30. BEAUTIFICATION PROJECTS 7. Newport Ave. center island from GT $ - $ - $ - $ - $138,700 $ - $ - McFadden Ave. to Sycamore Ave. B - - - - 15,500 - - - TOTALS $55.400 $45.030 $ 19.800 $51.400 $205.600 $ - $ - FUND RECAP B $47.400 $31.400 $ 10.000 $ - $ 15.500 $ - $ - GF 8.000 7.630 9,800 51.400 51,400 GT - - - - 138,100 40. COMMUNITY SERVICES FACILITIES 1. Replacement of wood play structure at Magnolia Tree Park GF $11,500 $11,500 $ - $ - $ - $ - $ - 2. Miscellaneous park improvements Res troom Renova tf on Peppertree ($1200), Pinetree ($51O0), Frontier ($5100), Magnolia ($1400), Columbus-Tustin ($2300) PD - - 15,100 Park Drainage Frontier Park ($4700) GF - - 4,700 Park Li~/Electrical Centennial $4700), Pepper tree ($2000), Magnolia Park Tennis Cour ts ($5000) GF - - 11,700 3. Neighborhood park construction - Tract No. 12345 TIC - - 500,000 -- -- TOTALS $11.500 $11 ,500 $531,500 $ - $ - $ - $ - FUND RECAP GF $11 ,500 $11,500 $ 16,400 $ - $ - $ - $ - PO - - 15,100 TIC - - 500,000 -145- 60. TRANSPORTATION FACilITIES 1. Major Maintenance Program CAPITAL IMPROYEMENT PROGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 FUND BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED RS $ 340,000 $ 340,000 $ - $ - $ - $ - $ GF - - 340,000 330,000 300,000 300,000 300,000 GT - 140,000 2. Myford Road construction from Michelle Rd. to A.T. & S.F. Railroad GT 3. Myford Road construction from Maul ton Parkway to Barranca Rd. EIR preparation Plan/spec. preparation Construction 4. Seventeenth St. widening and reconstruction between Costa Mesa Fwy. and Prospect Ave. 435,000 GT GF GT FAU IRV. TIC GF 183,400 AHFP 67,500 COUNTY 13,900 29,000 83,400 5. Laguna Rd. e){tension between CAPIMP 210,000 Auto Center and Myford Road Widening GF 160,000 RDA * Plan preparation (Carryover 84-85) GF 0 B 0 IRV.CO. * See Redevelopment Agency Capital Improvement Budget 790,300 41,000 60,000 23,400 233,320 2,138,390 498,190 216,000 233,320 2,138,390 498,790 216,000 183,400 67,500 13,900 210,000 301,000 37,816 304 139,000 -146- 60. TRANSPORTATION FACILITIES CAPITAL IMPROVEMENT PROGRAM 1985-86 FUND BUDGET 1985-86 1986-87 PROJECTION BUDGET 6. liB" Street widening and reconstruction Phase II from 400 ft. n/o McFadden to Mitchell HCDA $118,000 $118,000 7. Mitchell Ave. widening and reconstruction from Newport Ave. to "B" Street 8. Miscellaneous crossgutter and curb/gutter construction in Old Town Tustin 9. Warner Ave. railroad crossing improvements 10. Bryan/Myford intersection improvements (carryover 84/85) 11. Service Rd./School Rd. sidewalk (SB 821 fundi ng) 12. Red Hill Ave. widening from Walnut north and Walnut Ave. widening from Red Hill east right of way acquisition and construction 13. Main St. reconstruction from "C" Street to Rte. 55 Fwy. *SB 300 funds ($230.000) HCDA 83,000 83,000 GF 32 ,000 32 ,000 GF 5,150 5,150 , GT 0 13,264 GT 0 37,900 GT AUF > GT OCUTT -147- $ 180.000 180,000 159,000* 159,000 1987-88 PLANNED $ 80,000 80,000 92,000* 92,000 1988-89 PLANNED $ 1989-90 PLANNED 1990-91 PLANNED $ $ - 60. TRANSPORTATION FACILITIES 14. Bus benches 15. Utt Drive reconstruction from San Juan St. to lance Dr. 16. Green Valley Dr. reconstruction from San Juan to Lance Drive 17. IIC~' Street widening and reconstruction northerly of Mitchell Ave. 18. Orange Street Widening and Reconstruction between laguna Rd. and San Juan St. Water Main Replacement CAPITAL IMPROVEMENT PROGRAM 1985-86 FUND BUDGET GF $ GF GF HCDA HCDA HCDA 19. San Juan St. Widening and Reconstruction between Newport Ave. and Orange Street HCDA 20. Walnut St. Widening and Reconstruction between Newport Ave. and Orange Street HCDA Water Main Replacement HCDA 21. Alley between Walnut St. and San Juan St. Reconstruction from Newport Ave. to Orange St. HCDA (WS&D) - See Water Supply and Distribution Section 1985-86 1986-87 PROJECTION BUDGET 1987-88 PLANNED 1988-89 PLANNED $ - $ 4,200 $ 4,200 $ 100,600 129,400 72,100 168,800 (WS & D) 65,900 65,400 (WS & D) 34,700 -148- 1989-90 PLANNED 1990-91 PLANNED $ $ 60. TRANSPORTATION FACILITIES 22. Red Hill Avenue widening between Melvin Way and 200 ft. south 23. Yorba St. from 130' North of Laurie Lane to Leafwood Lane 24. First St. Widening from Costa Mesa Fwy to Westerly City limits. Traffic Signal Modification 25. Edinger St. Widening and Reconstruction, from Red Hill Ave. to Costa Mesa Fwy. 26. Tustin Meadows Area Pedestrian Lighting Kingboro Circle to Walnut Royal Oak Road to Green Meadow Greenmeadow to Braeburn Amherst to Emerywood Royal Oak to Fallenleaf 27. Williams St. Widening from McFadden Ave. to Main St. 28. Redhill Ave. Biketrail, Vicinity of Santa Ana Freeway 29. Newport Ave. Biketra11, Vicinity of Santa Ana Freeway (TC) - See Traffic Controls Section CAPITAL IMPROVEMENT PROGRAM 1985-86 1986-87 PROJECTION BUDGET 1985-86 FUND BUDGET GT $ - $ GT AA~ GT AHFP GT GT AAFP GF GF GF GF GF GT AHFP GF GF $ -149- 1987-88 PLANNED $ 1988-89 PLANNED $ 53,900 39,900 26,900 39,900 26,900 (TC) 303,500 303,500 1989-90 PLANNED $ 8,800 2,600 8,800 4,100 2,600 242,500 154,900 161,175 65,300 1990-91 PLANNED $ - 60. TRANSPORTATION FACILITIES 30. Stonehenge Dr. from Bryan Ave. to Cromwell Dr. Stonehenge storm drain 31. "Au St. from First St. to 250' S/O Irvine Blvd. 32. "B" St. from First St. to 250' S/O Irvine Blvd. 33. Alley Easterly of Yorba St. and Southerly of linda lane TOTALS FUND RECAP FUND GF $ GF GF GF GF RS GT GF AHFP COUNTY CAP IMP B HCDA OCUTT FAU IRY TIC (FCF) - See Flood Control Facil ities Section CAPITAL IMPROVEMENT PROGRAM 1987-88 PLANNED 1985-86 BUDGET 1985-86 1986-87 PROJECTION BUDGET $ $1.760.350 $2,613.594 $4.132.100 $4.401.600 $1.094.500 $ 340.000 $ 340.000 $ 464.000 1,022,464 463.950 619,426 61.500 61.500 13.900 13.900 210.000 210.000 - 304 201.000 201.000 $ $ 1988-89 PLANNED $ 1989-90 PLANNED 1990-91 PLANNED $ - $ 61,300 ( FCF) 135,900 135,900 31,700 $950.115 $664.800 $ - $ - $ - $- 512.320 405.320 431.200 242 .500 - 361.600 564.200 300.000 553.375 664,800 180.000 80.000 351.300 154.900 406.900 159.000 92.000 2.138.390 2.138.390 498.790 498.190 139.000 216.000 216,000 -150- CAPITAL IMPROVEMENT PROGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 ,FUND BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 10. FLOOD CONTROL FACILITIES 7. Venta Drain, from F-10 Channel to Sycamore Ave. GF $ - $ - $ - $297,900 $ - $ - $ Sycamore Ave. to Walnut GF - - - - 259,000 8. Yorba St. Drain between Seventeenth St. and Laurie Ln. Seventeenth St. to Medford GF - - - - 102 ,700 Medford to laurie In. GF - - - - - 109,100 9. Sb th St. Drain between "B" St. and Pacifi cSt. GF - - - - - 154,000 10. Pacific St. Drain between Si){th St. and Main St. GF - - - - - 123,500 11. Stonehenge Dr. Drain between Bryan Ave. and Cromwell Dr. GF - - - - - - 180,900 Stonehenge Roadway improvements GF - - - - - - (T.F.) 12. Utt Dr./Veeh Dr. Drain between Mitchell Ave. and Woodlawn Ave. GF - - - - - - 81,500 13. McFadden Ave. Drain between Myrtle Ave. and Pasadena Ave. RDA - - - - - - (RDA-SC) 14. Amagansett Way Drain between Prospect Ave. and Brookl ine Way GF - - - - - - 153,600 TOTALS $414.000 $433.235 $284,300 $453.900 $367.700 $392.600 $422.000 FUND RECAP GF $414.000 $433,235 $284,300 $453.900 $361.100 $392 ,600 $422 ,000 (T.F.) - See Transportation Facilities Section (RDA-SC) - See Redevelopment Agency Capital Improvement Budget -153- EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1 CAPITAL IMPROVEMENT PROGRAM 10. PUBLIC FACILITIES None 30. BEAUTIFICATION PROJECTS None 40. COMMUNITY SERVICES FACILITIES None 60. TRANSPORTATION FACILITIES 1. El Camino Real from Browning Ave. to east boundary of Auto Center Tustin Ranch Road from 1-5 Freeway to Bryan Avenue (City contract) 2. Easterly half of Browning Ave. between 1-5 Freeway and Bryan Ave. Southerly half of Bryan Ave. from Browning Ave. to 300 ft. easterly of Tustin Ranch Road. (City contract) 3. Bryan Ave. bridge at El Modena- Irvine Channel (TIC contract) 4. Tustin Ranch Rd. from Bryan Ave. to Irvine Blvd. inclusive of bridge over El Modena-Irvine Channel (City contract) 1985-86 BUDGET 1985-86 1986-87 PROJECTION BUDGET $2,208.500 $2,208,500 $ - 683,700 763,500 683,700 763,500 $2 ,158,500 -1~4- 1987-88 PLANNED $ 1988-89 PLANNED $ 1989-90 PLANNED $ 1990-91 PLANNED $ EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1 CAPITAL IMPROVEMENT PROGRAM 60. TRANSPORTATION FACILITIES 5. Southerly half of Irvine Blvd. from 800 ft. easterly of Browning Ave. to Myford Rd. (City contract) 6. Myford Rd. from 1-5 Freeway to Irvine Blvd. (City contract) 7. El Camino Real from easterly boundary of Auto Center to Myford Rd. (City contract) 8. Bryan Ave. from Browning Ave. to Myford Rd., except south-half between Browning Ave. and 300' easterly of Tustin Ranch Road (City contract) 9. Easterly half of Browning Ave. from Bryan Ave. tQ 1300 ft. northerly of Bryan Ave. (City contract) 10. Tustin Ranch Rd./I-5 Interchange (CalTrans contract) SUBTOTALS 65. TRAFFIC CONTROL FACILITIES 1. Tustin Ranch Rd. at El Camino Real (City contract) 2. Tustin Ranch Rd. at Bryan Avenue (Ci ty cont ract) 1985-86 BUDGET $ 1985-86 1986-87 PROJECTION BUDGET 1987-88 PLANNED 1988-89 PLANNED $3,655,700 $3,655,700 $6,037,700 $12,034,700 $ $ 1989-90 PLANNED 1990-91 PLANNED $ - $1,332,000 $ - $ - $ - $ 1,320,900 1,320,900 284,150 284,150 858,950 858,950 83,200 83,200 9,487,500 $ $ 121,000 $ 121,000 -155- $ $ $ $ $ EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1 CAPITAL IMPROVEMENT PItOGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 65. TRAFFIC CONTROl FACILITIES 3. El Camino Real at Browning Avenue (City contract) $ - $ - $121,000 $ - $ - $ - $ 4. Bryan Avenue at Browning Avenue (City contract) - - 121,000 5. Tustin Ranch Road at Auto Center Dr. (City contract) - - 121,000 6. Bryan Avenue at Myford Road (City contract) - - - 121,000 7. Irvine Blvd. at Myford Road (City contract) - - - 121,000 8. El Camino Real at Myford Road (City contract) - - - 121,000 9. Tustin Ranch Road at Irvine Blvd. (City contract) - - - 121.000 10. Tustin Ranch Rd. north at 1-5 interchange (City contract) (CalTrans contract) - - - 121,000 11. Tustin Ranch Rd. south at 1-5 interchange (City contract) (CalTrans contract) - - - 121,000 - SUBTOTALS $ - $ - $605,000 $ 726,000 $ - $ - $ -156- EAST TUSTIN ASSESSMENT DISTRICT NO. 85-1 CAPITAL IMPROVEMENT PROGRAM 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 10. FLOOD CONTROL FACILITIES 1. El Modena-Irvine Channel (F07) from 1-5 Freeway to Browning Ave. (Ci ty cont ract) $ - $ - $ 8,031,300 $ - $ - $ - $ 2. Ranchwood storm drain (F07P08) from Bryan Ave. to Ranchwood Dev. (City contract) - - 367,900 3. Unidentified drain (F07P35) from Bryan Avenue to Irvine Blvd. (City cont ract) - - 325,000 $ - $ - $ 8,724,200 $ - $ - $ - $ $ - $ SUBTOTAL TOTAL $3,655.100 $3.655.100$15.366.900 $12.160.100$ $31.783.300 * The majority of these cost estimates are preliminary and subject to change when the District is finalized. They should be used as preliminary amounts/information only. -157- 10. 30. 40. 60. 65. OTHER PROJECTS - UNSCHEDULED IN CITY OF TUSTIN FIVE YEAR PROGRAM PUBLIC FACILITIES (NONE) BEAUTIFICATION PROJECTS 1. 2. 3. 4. 5. Red Hill Avenue Center Islands from Santa Ana Freeway to lance Drive ....................... $ Red Hill Avenue Center Islands from Walnut to Santa Ana Freeway............................ Red Hill Avenue Center Islands from N/O First St. to Irvine Boulevard ...................... Red Hill Avenue Center Islands from Warner Avenue to A;T.&S.F. Railroad .................... Irvine Boulevard Center Islands from Old Irvine to Red Hill................................ PARK AND RECREATION FACILITIES 1. 2. 3. 4. 5. 6. 7. 8. Tustin Area Multiservice Senior Center ..................................................... East Tustin Neighborhood Parks ............................................................. East Tustin Community Parks ................................................................ Gymnasium and Athletic Complex ............................................................. Community and Arts Center .................................................................. Multipurpose Recreation Center ......~...................................................... Youth-Oriented Facility (Replace Lambert School) ........................................... Columbus Tustin Multipurpose Gymnasium Comple){ ............................................. TRANSPORTATION FACILITIES 1. 2. 3. 4. 5. 6. 7. "c" Street, First Northerly ................................................................ $ Mountain View, First Street to 250' S/O Irvine Boulevard ................................... Second Street, from "A" Street to "B" Street ............................................... California Street, from Main Street to Third Street ........................................ Main Street, from Pasadena Avenue to "c" Street (AHFP=86,320) (GT=129,480) ................. 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 .................... TRAFFIC CONTROlS 1. Red Hill Avenue, Irvine Boulevard to Barranca Road Computerization ......................... $ -158- 151,800 174,700 155,800 452,800 13,900 $1,516,616 625,000 3,515,000 2,195,000 1,740,000 1,599,000 2,500,000 975,000 82,400 127,400 24,700 33,200 258,600 18,900 10,700 838,700 OTHER PROJECTS - UNSCHEDUlED IN CITY OF TUSTIN FIVE YEAR PROGRAM ¡ 70. FLOOD CONTROL FACilITIES 1. Red Hill Avenue Drain, 400' Northerly of Industrial Way to Edinger Street .................... 2. Amaganset Way Drain. Brookline Way to Yorba Street ......~.................................... 3. First Baptist Church Drain, from Tract 10628 to Newport Avenue ............................... 4. Freeway Ramp Drain. Pasadena Avenue to Newport Avenue ........................................ 5. Mitchell Avenue'Drain, Browning to 1300'! Westerly........................................... 6. Tustin Meadows Area Nusiance Water Drains .................................................... 7. Holt Avenue Drain, Irvine Boulevard to lil1ian Way........................................... 8. Acacia Drive Drain. Jacaranda Avenue Southerly ............................................... 9. Laguna Road Drain, Red Hill Avenue to Tustin High School..................................... 10. Olwyn Drive Drain, Red Hill Avenue to Laburnum Drive ......................................... 11. Carfax Avenue Drain. Sycamore Avenue to Scherer .............................................. 12. Wi1deve Lane Drain, Walnut Avenue to Windemere Drive .......................................... 13. Mitchell Avenue Drain, Utt Drive to Del Amo Avenue ............................................ *14. laguna Road Drain, Browning Avenue to Red Hill Avenue ......................................... *15. Prospect Avenue Drain, Wellington Drive to Arbolada Lane ...................................... 16. NMP-7 Williams Street Drain - McFadden to Alliance .....'....................................... 80. WASTE DISPOSAl FACILITIES (NONE) *Denotes projects that are presently within county islands. -l1:;Q- $ 95,400 215,900 67,200 81,500 189,300 544,700 65,800 , 60,000' 185,600 71 ,800 143,700 107.800 153.400 462,500 104,300 127,000 n = -I Vt =- "'a = ", "'a ", Vt n - ,., -I -I -I =- - - =- -I Z = ~ - z = :II' - Z ", :II: Vt = "'a ", C :II' C - = ", - c ~ ", = :II: "'a ", :II: Z ", -I Z Vt -I =- In ", Z n oC TUSTIN COMMUNITY REDEVELOPMENT AGENCY REDEVELOPMENT AGENCY BOARD OF DIRECTORS CCITY COUNCIL) DEPARTMENT: TUSTIN COMMUNITY REDEYELOPMENT 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 e){penses include capital improvement projects and operating costs which include required staff support and consultant services. TASKS: 1. Complete capital improvement projects scheduled for 1986-87 and carry-over projects approved in 1985-86. 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 within the Agency s project areas. The plan will provide the basis upon which to consider the issuance of bonds to finance Agency projects. DIVISION BUDGET: TOTAL $ 3,600 $1,844,452 $ 929,100 $2 ,111.152 Personnel Opera tions Capital Improvements -162 - 1986-81 BUDGET DETAIL DEPARTMENT: TUSTIN COMflJNITY REDEVELOPMENT AGENCY PERSONNEL OETAIL Agency Members ACCOUNTING DETAIL Personnel Salaries Total Personnel Su~~lies & Services Contractual Services Facll ities E){pense Departmental E){penses Training and Development Other E){penses Total Supplies & Services Capi tal Outlay Departmental Equipment Land Acquisition Total Capital Outlay Capital Improvements TOTAl 1984-85 Actual 1985-86 Budg~~- _Projection 1986-87 Adopted 5 $60 - 60 5 $60 - 60 $60 - 60 $60 - 60 5 5 $ 21,503 $ 3,600 $ 128,000 $ 3,600 $ 21,503 $ 3,600 $ 128,000 $ 3,600 $ 100,180 $ 215,000 $ 180,000 $ 258,000 45,643 50,000 20,000 0 21,266 2,500 23,800 210,500 1,935 5,000 7,301 12 ,500 1,839,982 1,191,202 1,343,642 1,363,452 $2 ,009,006 $1,463,702 $1,574,743 $1,844,452 $ 0 $ 150,000 $ 120,000 $ 0 1,518,028 2,380,000 1,132 ,793 0 $1,518,028 $2,300,000 $1,252 ,793 $ 0 $ 482,160 $2 ,056,500 $1 ,246 ,292 $ 929,100 $4.030.697 $6,053.8OZ $4.201.828 $Z .711.152 163 DESCRIPTION OF ACCOUNTS $10~OOO OR MORE DEPARTMENT: TUSTIN COfIIJNITY REDEYELOPMENT AGENCY DIVISIOII ACCOUNT 1985-86 $ 215,000 1986-81 $ 258,000 Contractual Services Facil Hies E){pense $ 50,000 $ 0 $ 2,500 $ 210,000 $1,191,202 $1,363,452 Departmental E){penses Other E){penses 164 DESCRIPTION Includes professional archi- tectual, planning, economic, and appraisal services $80,000; audit services $8,000; legal services $55,000; Stevens Square Parking $5,000; and labor distribution $110,000. Management of acquired properties. Miscellaneous e){penses incurred by the Agency $10,000; general liability insurance $200,000. Annual bond debt service $892,452 and e){pense reimburse- ment to General Fund $390,000 from Town Center project area; fiscal agent e){pense $6,000; $15,000 to General Fund from South Central project area. 1986-81 TUSTIN COMMUNITY REDEVELOPMENT AGENCY CAPITAl IMPROVEMENT PROGRAM SIIItAR Y 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 Budget Projection Budget Planned Planned Planned Planned PUBLIC FACILITIES Town Center $ 0 $ 0 $ 81,400 $ 0 $ 0 $ 0 $ 0 South Central 0 0 0 0 0 0 0 BEAUTIFICATION Town Center 222,500 0 222,500 367,500 451,500 0 0 South Central 0 0 0 0 0 0 0 COMMUNITY SERVICES FACILITIES Town Center 314,000 308,500 0 0 0 0 0 South Central 0 0 0 0 0 0 0 TRANSPORTATION Town Center 970,000 526,000 444,000 403,200 33,000 0 0 South Central 310,000 275,700 0 0 0 0 0 TRAFFIC CONTROL Town Center 164,000 77,800 181,200 0 0 0 0 South Central 36,000 36,000 0 0 0 0 0 FLOOD CONTROl FACILITIES Town Center 0 0 0 96,800 0 0 0 South Cent ra 1 0 0 ' 0 0 0 56,400 0 WATER SUPPLY AND DISTRIBUTION Town Center 40,000 22,292 0 0 0 0 0 South Central 0 0 0 0 0 0 0 Sub Total: Town Center 1,710,500 934,592 929,100 867,500 484,500 0 0 Sout h Cent ra 1 346,000 311,700 0 0 0 56,400 0 GRAND TOTAl $2.056,500 $1.246,292 $ 929.100 $ 861.500 $ 484.500 $ 56.400 $ 0 165 REDEVELOPMENT AGENCY CAPITAL IMPROVEMENT PROGRAM Tmll CENTER (TC) - SOUTH CENTRAL (St) 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 10. PUBLIC FACILITIES 1. City Hall miscellaneous modifications/improvements (TC) $ - $ - $ 81,400 $ - $ - $ - $ - - SUBTOTALS $ - $ - $ 81,400 $ - $ - $ - $ - 30. BEAUTIFICATION PROJECTS 1. Holt Ave. Undergrounding and Street lighting between Newport Ave. and Irvine Blvd. (TC) Agency Obligation (Developer Obligation $65,000) $ 90,000 $ - $ 90,000 $ - $ - $ - $ - 2. Irvine Blvd. Undergrounding and Street lighting between Holt Ave. and Newport Ave. (TC) Agency Obligation (Developer Obligation $52,500) 82,500 - 82,500 3. Newport Ave. Undergrounding and Street lighting between Holt Ave. and 250 + ft. North of Holt Ave. (TC) - 50,000 - 50,000 4. Prospect Ave. Undergrounding and Street lighting between First St. and Beneta Way (TC) - - - 367,500 5. First St. Undergrounding and Street lighting between Prospect Ave. and Newport Ave. (TC) - - - - 451,500 SUBTOTALS $222,500 $ - $222,500 $367,500 $451,500 $ - $ - 166 REDEVELOPMENT AGENCY CAPITAl IMPROVEMEJIT PROGRAM TOWN CEIlTER Œ> - SOUTH CEmAl (SC) 1985-86 BUDGET 1985-86 1986-87 PROJECTION BUDGET 1987-88 PLANNED 1988;.89 PLANNED 1989-90 PLANNED 1990-91 PLANNED 40. COMMUNITY SERVICES FACilITIES 1. Columbus-Tustin Park Improvements (North Parcel) (TC) $152,000 $146,500 $ - $ - $ - $ - $ - 2. Columbus-Tustin Park Lighting Improvements (TC) 5,000 5,000 3. Columbus-Tustin Park Miscellaneous Improvements (TC) 7,000 1,000 4. Senior Citizen Center - Plan Preparation (TC) 150,000 150,000 SUBTOTALS $314,000 $308,500 $ - $ - $ - $ - $ - 60. TRANSPORTATION FACilITIES 1. Newport Ave. Extension (SC) EIR Preparation/PUt Application Plan/Specification Preparation $ 60,000 $ 25.700 $ - $ - $ - $ - $ - 2. Laguna Rd. Extension from Auto Center to Myford Rd. (See City Capital Budget for Supplemental Amount of $511,000)(TC) 30,000 30,000 3. Red Hill Ave. and Edinger St. Improvements at Northwesterly Corner (SC) 250,000 250,000 4. Newport Ave./Main St./Sixth St. improvements (TC) 440,000 440,000 5. Jamboree Rd./I-5 Interchange design/ environmental (TC) 500,000 56,000 444,000 167 REDEVELOPMENT AGENCY CAPITAL IMPROVEMENT PROGRAM TOWN CEIITER (TC) - SOUTH CENTRAL (SC) 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 60. TRANSPORTATION FACILITIES 5. Prospect Ave. Widening and Reconstruction between Main St. and First St. (TC) $ - $ - $ - $403,200 $ - $ - $ - 6. Reconstruction of Alley Southerly of Bonita St. between Newport Ave. and Orange St. (TC) - - - - 33,000 - - - SUBTOTAL $1,280,000 $801.700 $444,000 $403,200 $33,000 $ - $ - 65. TRAFFIC CONTROL FACILITIES 1. Irvine Blvd. and Old Irvine Blvd. (TC) $ 28.500 $ 28,500 $ - $ - $ - $ - $ - 2. Newport Ave. at Sixth St. (TC) 41,500 41,500 3. Red Hill Ave./Moulton Parkway/ 36,000 36,000 Edinger St. (SC) 4. Main St. at Pacific St. (TC) 4,000 4,000 95,000 5. Main St. at "B" St. (TC) 90,000 3,800 86,200 - SUBTOTAL $ 200,000 $113,800 $181,200 $ - $ - $ - $ - 70. FLOOD CONTROl FACILITIES 1. Prospect Ave. Relief Drain between First St. and Irvine Blvd. (TC) $ - $ - $ - $ 96,800 $ - $ - $ - 2. McFadden Ave. Drain between Myrtle Ave. and Pasadena Ave. (SC) - - - - - 56,400 - SU~TOTAl $ - 16~ - $ - $ 96,800 $ - $ 56,400 $ - 90. WATER SUPPLY All) DISTRIBUTIOII 1. Columbus-Tustin Water Well (TC) SUBTOTAL (TC) TOWII CENTER GRAft) TOTALS (SC) SOUTH;..CEIITER GRAfI) TOTALS REDEVELOPMENT AGENCY CAPITAL IMPROVEMENT PROGRAM TOWN CENTER (ID - SOUTH CENTRAL (St) 1985-86 1985-86 1986-81 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED $ 40,000 $ 22,292 $ - $ - $ - $ - $ - $ 40.000 $ 22,292 $ - $ - $ - $ - $ - $1.710.500 $934.592 $929.100 $867.500 $484.500 $ - $- $ 346.000 $311.700 $ - $ - $ - $ 56.400 $ - 169 .... ell -= ,., en n .... .... ... ... n = . = > "III . "III ,., C - :Ia > C .... > .... ... > .... ,., ... ,... ... :Ia ... = ... . en S en ,., "III :Ia :Ia C = ... c n ,., ,., s ,., . .... ell CITY OF TUSTIN WATER SERVICE CITY MANAGER PUBLIC WORKS: FINANCE: OPERATIONS SERVICE BILLING 1986-87 BUDGET REQUEST DEPARTMENT SUMMARY DEPARTMENT: WATER 1984-85 Actual 1985-86 Budget- ------ Projection 1986-87 Ado )ted PERSONNEL DETAIL Full-time staff 17 17 17 17 ACCOUNTING DETAIL Personnel - - Salaries Retirement & Insurance Total Personnel $ 388,079 $ 417,413 $ 457,464 $ 481,553 116,696 136,814 134,784 129,605 $ 504,775 $ 614,221 $ 592 ,248 $ 611,158 $ 15,518 $ 24,275 $ 29,000 $ 23,650 12,028 15,700 13,575 14,345 14,512 17,890 14,048 17 ,975 2,505,787 2,610,020 2,658,750 3,090,430 108,418 148,575 146,244 128,245 691 1,970 1,874 2,615 166,789 175,000 175,000 225,000 $2,823,743 $2,993,430 $3,038,491 $3,502,260 $ 0 $ 360 $ 360 $ 30,400 0 31,000 27,332 25,900 $ 0 $ 31,360 $ 27,692 $ 56,300 $3.328.518 $3,639.011 $3.658.431 $4,169,118 Su ) )lies & Services Contractual Services Facll i ties E){pense Office E){pense Departmental E){pense Transportation E){pense Training & Development Other E){penses Total Supplies & Services Ca )ital Outlay Office Equipment Department Equi pment Total Capi tal Outlay DEPARTMENT TOTAL 172 DEPARtMENT: WATER DIVISION: SERVICE BilLING DESCRIPTION: 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. TASKS: 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-payment. 4. 5. Prepare work orders for field operations concerning meter repair. turn-ons and turn-offs. Prepare and monitor water management reports. DIVISION BUDGET: Per'sonnel $ 142,625 Operations 475,050 Capital Outlay 30,400 TOTAL $ 648.015 -173- DEPARTMENT: WATER DIVISION: SERVICE BILLING PERSONNEL DETAIL Water Service Analyst Account Cl erk ACCOUNTING DETAIL Personnel -Salaries Retirement & Insurance Total Personnel Supplies & Servl£!! Contractual Services Office E){pense Departmental E){pense Transportation E){penses Training & Development Other E){penses Total Supplies & Services Capi tal Qutlay Office Equipment Total Capital Outlay DIVISION TOTAL 1986-81 BUOGET DETAIL 1984-85 Actual 1 $3,998-3,998 3 1,283-1,559 "{ $ 101,563 22,531 $ 124,094 $ 15,298 13,915 21,670 3,300 175 166,789 $ 221,14.7 ! $ 0 0 $ 345.241 174 1985-86 Budg~~--- Projection 1 3 "{ $3,998-3,998 1 $4,408-4,408 1,419-1,724 3 1,419-1,724 "{ $ 108,566 27,235 $ 135,801 $ 13 ,215 17 ,440 39,534 2,400 470 115,000 $ 248,119 ! $ 360 360 $ 384,280 $ 98,795 25,205 $ 124,000 $ 18,000 13,689 105,000 2,400 470 175,000 $ 314,559 ! $ 360 360 $ 438.919 1986-87 Ado )ted 1$4,408-4,408 3 1,419-1,724 "{ $ 116,000 26,625 $ 142,625 $ 12,650 17 ,500 217 ,000 2,400 500 225,000 $ 475,Q50 ! $ 30,400 30,400 $ 648.075 DEPARTMENT: WATER DIVISION: SERVICE BILLING DIVISION ACCOUNT Contractual Services Office Expenses Departmental Expenses Other E){penses Capita 1 Outl ay DESCRIPTION OF ACCOUNTS SI0.000 OR MORE 1985-86 1986-87 $ 13,275 $ 12,650 $ 17 ,000 $ 17,000 $ 39,534 $217 ,000 $175,000 $225,000 $ 360 $ 30,400 -175- OESCRIPTION Audit services $1,650; legal services $9,000; personnel ser- vices - other $2,000. Primarily postage for $17,000. Includes computer operations $10,000; computer maintenance $4,000; and computer paper forms and supplies $3,000; liability insurance premium $200,000. Expense reimbursement to General Fund. Utility billing system enhancements automated meter read and input device $20,000; replace (2) CRT's $3,000; file and other storage furniture $3,000; software enhancements $4,000 DEPARTMENT: I . DIVISION: WATER OPERATIONS The Water Operation Division supplies, without interruption. water which meets various Federal and State Safe Drinking Water Standards to the entire community and adjacent areas. This dfvi.sion also maintains water main lines, service laterals and meters; while performing meter reading for water billing purposes. DESCR I PTI ON : TASKS: 1. 2. 3. 4. 5. 6. 7. participate in the management audit of the Water Service operation. Prepare of a water management plan and complete engineering analysis of the system facilities. Develop a Divisional Operations Policy and Procedures Manual. Prepare an inventory control program to monitor all Water Service materials. Initiate a water meter review and replacement program to ensure accurate recordation of useage. Perform routine maintenance duties and emergency repairs of all system facilities. Review all water needs of new developments and coordinate the installation of all required facilities. DIVISION BUDGET: Personnel Operations Capital Outlay TOTAl $ 468,533 3,027,210 25,900 $3.521.643 -176- DEPARTMENT: WATER DIVISION: OPERATIONS PERSONNEL DETAIL Water Service Manager 1 Water Construction Superintendent 1 Foreman 1 Maintenance Worker 8 Meter Reader 2 13 ACCOUNTING DETAIL Personnel S'ãlã'M e s Retirement + Insurance Total Personnel ~lies + Services ontractual services Facilities e){pense Office e){pense Departmenta 1 expense Transportation e){penses Training + Development Total Supplies + Services Capital Outlay Mobile equipment Departmental equipment Total Capital Outlay DIVISION TOTAl: 1986-81 BUDGET DETAIL 1984-85 ACTUAL BUDGET PROJECTED $3,859-3,859 1 $4,052-4,255 1 $2,409-2,929 1 $2,409-3,141 1 $1,894-2,302 1 $1,984-2,469 1 $1,331-1,784 8 $1,331-1,937 8 $1,331-1,784 2 $1 ,331-1 ,937 2 13 13 $ 320,163 $ 368,847 83,655 109,579 $ 403,818 $ 478,426 $ 11,000 $ 11 ,000 14,700 15,700 425 450 2,844,505 . 2,570,486 102,630 146,175 1,500 1,500 $ 2,974,760 $ 2,745,311 $ - $ - 9,915 31.000 $ 9,915 $ 31,000 $ 3.388,493 $ 3.254.731 177 1985-86 1986-81 ADOPTED $4,214-4,214 $2,584-3,141 $2,031-2,469 $I ,445-1 ,937 $1,445-1,937 $4,052-4,255 $2,409-3,141 $1,984-2,469 $1,331-1,937 $1,331-1,937 1 1 1 8 2 13 $ 358,669 $ 365,553 109,579 102,980 $ 468,248 $ 468,533 $ 11,000 $ 11 ,000 13,575 14.345 359 475 2,553,750 2,873,430 143,844 125,845 1,404 2,115 $ 2,723,932 $ $3,027,210 $ - $ - 27,332 25,900 $ 27.332 $ 25,900 $ 3.219,513 $ 3,521,643 DESCRIPTION OF ACCOUNTS $10,000 OR MORE DEPARlMENT: PUBLIC WORKS DIVISION: 952 WATER DIVISION ACCOnNT 1985-86 1986-81 Architect-Engineering $ 10,000 $ 10,000 East Orange County Water District 1,708,866 2,021,400 Electric 363,000 403,000 Equipment Maintenance 21,950 23,050 Pump Tax 211,280 215,000 Property Tax 28,530 20,500 Water Quality Testing 13,715 10,500 Main line Maintenance 85,000 89,250 Service lateral Maintenance 32,000 33,600 -178- DESCRIPTION Engineering services of City staff and outside agencies. Purchase of water from E.O.C.W.O. Electricity used to pump water. Based on previous year's consumption and multiplied by established Edison Company rates. Maintenance and repair of well pumps. Ta){ paid to County for pumping water. Estimated by Finance. Testing of water Quality in accord with Health Department. All maintenance and repair to e){isting water main 11 nes. Maintenance and repair of services within the water system. DESCRIPTION OF ACCOUNTS $10,000 OR MORE DEPARTMENT: PUBLIC WORKS DIVISION: 952 HATER (Continued) DIVISION ACCOUNT 1985-86 1986-81 Vehicle Operations 15,700 15,750 Vehicle Repair 20,900 20,250 Vehicle Leasing 109,575 89,845 Capi ta 1 Outl ay 27,332 25,900 -179- DESCRIPTION Fuel and oil for Water Division's rolling vehicular equipment. Repairs to Water Division's rolling vehicular equipment. This account now includes special equipment repair. Lease rate for: 1 sedan, 8 pick ups, 2 dump trucks, 2 scooters, 2 back hoes, 2 trenchers, 2 compressers, 1 roller, 1 sprayer, 1 concrete saw. Replace bore motor, jack hammer, meters New: fork lift attachments; water main testing machine. 90. WATER SUPPLY AND DISTRIBUTION 1. Vanderlip Ave. water main replacement from Newport Ave. to Brenan Way (County Territory) 2. Main St. water main replacement from "c" St. to Costa Mesa Fwy. (City Territory) 3. Bell Ave./Warner Ave. loop Completion 4. Fairhaven water main replacement from Palomar Way to Prospect Ave. Fairhaven water main abandonment between Tustin Ave. and Costa Mesa Fwy. with new connection to E.O.C.D. Main at Yorba St. (County territory) 5. Beverly Glenn water main replacement from Skyline Dr. to Browning Ave. (County Territory) 6. Stratton Way water main replacement of 2", 3", 4" mat ns from Vanderl i p to Seventeenth St. (County territory) 7. Modify pressure zone within Winthrope- Ervin residential area (City territory) 8. C" St. water main replacement of 2" and 3" mains from First St. northerly (City territory) TUSTIN WATER SERVICE CAPITAL IMPROVEMENT PROGRAM 1985-86 BUDGET 1985-86 1986-87 PROJECTION BUDGET 1987-88 PLANNED $127,400 $127,400 $ - $ - 171,100 171,100 - 4,000 -0- 4,000 73,000 73,000 30,000 30,000 48,600 48,600 72,300 72,300 7,000 4,000 46,400 46,400 -180- 1988-89 PLANNED $ - 1989-90 PLANNED 1990-91 PLANNED $ - $ - 90. WATER SUPPLY AND DISTRIBUTION 9. Four deep well control valves at various water wells 10. Security fencing at Newport Ave. reservoir 11. Yorba St. water main replacement of 2" main from Fai rhaven to 870 ~ ft. southerly (County territory) 12. Newhaven Dr. replacement of 2" and 3" water main from Fairhaven to 650 ~ ft. southerly (County territory) 13. Tropic lane replacement of 2" and 4" water main from Newport Ave. easterly 600 ~ ft. (County territory) 14. "B" St. replacement of 2" and 3" water main from Main St. to Irvine Blvd. (City territory) 15. Adjust water valve boxes to grade at various locations 16. Second St. replacement of 2" water main from "A" St. to Pac1fi cSt. (City territory) 17. Third St. replacement of 3" water main westerly of "A" St. (City territory) TUSTIN WATER SERVICE CAPITAL IMPROVEMENT PROGRAM 1985-86 BUDGET 1985-86 1986-87 PROJECTION BUDGET $ 8,000 $ 8,000 $ 3,500 3,500 57,000 57,000 43,200 43,200 41,800 41,800 132,600 132,600 19,600 19,600 45,400 26,600 -181- 1987-88 PLANNED $ 1988-89 PLANNED $ 1989-90 PLANNED 1990-91 PLANNED $ $ TUSTIN WATER SERVICE CAPITAL IMPROVEMENT PROGRAM 1985-86 BUDGET go. WATER SUPPLY AND DISTRIBUTION 18. Kenneth Dr. replacement of steel water main between Red Hill Ave. and 100' westerly of Woodlawn Ave. Keith Pl. replace 4" steel main between Kenneth Dr. and 400' southerly (County territory) $ 19. Wass St. replacement of steel water main between Newport Ave. and Elizabeth Way (City and County territory) 20. Elizabeth Way replacement of 4" steel main between Irvine Blvd. and 650' north of Wass St. (City and County territory) 21. Alleman Pl. (private road) from Vanderlip southerly, replace 2" steel and plastic water main (County territory) 22. Oak lane (private road) from Dodge Ave. to 300 l.f. northerly, replace 2" steel pipe (County territory) 23. Arroyo Ave. from 195 ft. north of la loma to luna lane, replace 2" steel pipe (County territory) 24. Irvine Blvd. from Brittany Woods Dr. to 175 ft. westerly (County territory) 25. Replacement of obsolete production meters on wells with McCrometer flanged tube meters (multiple year program) 1985-86 1986-87 PROJECTION BUDGET $ $ 76,000 53,100 84,500 46,300 13,500 18,000 14,900 6,000 -182 - 1987-88 PLANNED $ 1988-89 PLANNED $ 1989-90 PLANNED 1990-91 PLANNED $ $ - 90. WATER SUPPLY AND DISTRIBUTION 26. "c" St., replacement of 4" water main between Main St. and First St. (City Territory) 27. Walnut St. replacement of 2" water main from Newport Ave. to Orange St. (City territory) 28. Orange St. water main installation from El Camino Real to San Juan St. (City territory) 29. Edinger St. westerly from Del Amo Ave. to Newport Ave. and Newport Ave. from Edinger St. to Walnut Ave. replacement of 6" steel main (City territory) 30. Bonita St. Replacement of Water Main from Newport Ave. to Orange St. (City Territory) HCDA Funding 31. Myrtle Ave. replacement of 4" Water Main from Main St. to First St. (City Territory) 32. lockwood Pl./Orangewood Ln. replacement of 4" water main from Prospect Ave. to Prospect Ave. (City territory) 33. Arroyo Ave. replacement of water main from Skyline dr. to La Loma (County territory) TUSTIN WATER SERVICE CAPITAL IHPROVEMENT PROGRAM 1985-86 BUDGET $ - 1985-86 1986-87 PROJECTION BUDGET 1987-88 PLANNED $ - $ - $ 87,200 $ 90,300 38,200 -183- 275,100 40,100 (TC) 87,500 1988-89 PLANNED 83,500 231,700 1989-90 PLANNED 1990-91 PLANNED $ $ TUSTIN WATER SERVICE CAPITAL IMPROVEMENT PROGRAM 1985-86 BUDGET 90. WATER SUPPLY AND DISTRIBUTION 34. Prospect Ave. ,'Replacement of 4" Water Main from Main St. to First St. (City Territory) $ - 35. Malta St. and Vale Ave., replacement of 4" water main westerly of Hewes Ave. (County territory) 36. Karen Way and Sierra Vista Dr., replacement of 4" water main westerly of Browning Ave. (County territory) 37. Eton Pl.. Sussex Pl., Grammercy Pl.. and Sandhurst Pl., Replacement of 4" Water Main Southerly of Dodge Ave. (County Territory) 38. Woodland Dr. Replacement of 4" Water Main Northerly of Bryan Ave. (County Territory) 39. Zig Zag Way Replacement of 4" Water Main Northerly of La Colina Dr. (County Territory) 40. Rebecca Ln., Gwen Ave., Lucinda Way, and Deborah Dr. replacement of 4" water mains westerly of Red Hill Ave. (County territory) 41. "B" St. southerly of Sixth St., replace 4" water main (City territory) 1985-86 1986-87 PROJECTION BUDGET $ $ -184- 1987-88 PLANNED $ 1988-89 PLANNED $ 90,500 45,400 50,800 1989-90 PLANNED $ 148,600 83,500 76,600 125,300 1990-91 PLANNED $ - 41,800 TUSTIN WATER SERVICE CAPITAL IMPROVEMENT PROGRAH 1985-86 1985-86 1986-87 1987-88 1988-89 1989-90 1990-91 BUDGET PROJECTION BUDGET PLANNED PLANNED PLANNED PLANNED 90. WATER SUPPLY AND DISTRIBUTION 42. Pasadena Ave. southerly of Second St.. replace 4" water main (City terri tory) $ - $ - $ - $ - $ - $ - $ 77 ,900 43. leon Way, replacement of 4" wate r main from Lillian Way to Holt Ave. - - - - - - 52,200 44. Romanza Pl. replacement of 4" water main northerly of lillian Way - - - - - - 27,800 45. Caned a Pl. replacement of 4" water main northerly of lillian Way - - - - - - 29,200 46. Thi rd St. replacement of 4" water main from Myrtle to 380 ft. + westerly of "A" St. (City territory) - - - - - - - 77,900 47. El Camino lane replacement of 4" main easterly of Newport Ave. (County territory) - - - - - - 38,300 48. Browning Avenue replacement of water main southerly of Beverly Glenn (County territory) - - - - - - 37,800 49. Warren Avenue replacement of 4" water main from Newport Ave. to Holt Ave. (County territory) - - - - - - 83,500 TOTALS $ 885,500 $ 818.500 $388.300 $618.400 $501,900 $434,000 $466.400 -185- OTHER PROJECTS - UNSCHEDUlED IN WATER SERVICE FIVE YEAR PROGRAM 1. Garland Ave., Wreath Pl., and Chaplet Pl., Replacement of 4" Water Main Easterly of Red Hill Ave. (County Territory) ----------------------------------------------------------- 2. Foothill Blvd., Replacement of 8" Water Màin from Newport Ave. to Arroyo Ave. (County Territory) ---------------------------------------- 3. Bikini Pl., Saigon In., lindale In., Replacement of 4" Water Main Easterly. of Hewes Ave. (County Territory) ------------------------------------------------------------------------- 4. la Bella Dr., Del Rey Dr., Catalina Ave., Replacement of 4" Water Main between La Colina Dr. and Windsor Ln. (County Territory) -------------------------------~------------------------- 5. Windsor Ln. Replacement of 4" Water Main from Red Hill Ave. to Sierra Alta Dr. (County Territory) ---------------------------------------- 6. Sierra Alta Dr., Replacement of 4" Water main from Red Hill Ave. to Windsor In. (County Territory) -------------------------------------------- 7. Ethelbee Way, Replacement of Water main Northerly of Santa Clara Ave. (County Territory) ----------------------------------------------------- 8. Whitney Dr., lassen Way, Lassen Dr., and Shasta Dr., Replacement of 4" Water Main from Prospect Ave. to Rainier Dr. (County Territory) --------------------------------------- 9. Rainer Dr., Replacement of 4" Water Main from Olympia Way to Prospect Ave. (County Territory) -------------------------------------------- 10. "A" Street, Replacement of Water Main from Main Street to First Street (City Territory) ----------------------------------------------- 11. "AN Street, Replacement of Wate~ Main from First Street to Irvine Blvd. (City Territory) ---------------------------------------------- -186- 96,100 71,100 198,400 99,500 135,900 145,900 35,200 112,700 89,500 86,200 59,700 OTHER PROJECTS - UNSCHEDULED IN WATER SERVICE FIVE YEAR PROGRAM 12. Enramada Dr., Replacement of 4" Water Main Southerly of Skyline Dr. (County Territory) ------------------------------------------------ 13. Country lane, Replacement of 4" Water Main Northerly of Skyline Dr. (County Territory) ------------------------------------------------ 14. Ranchview Dr., Replacement of 4" Water Main Northerly of La Colina Dr. (County Territory) ---------------------------------------------- 15. linda Ln.. Laurinda Way, laurie Ln., Replacement of 4" Water Main Westerly of Prospect Ave. (County Territory) ----------------------------- 16. Kirk Ave., Dall lane, Norwood Park Pl, Replacement of 4" Water Main Westerly of Holt Ave. (County Territory) -----------------------------------.------------------------------------ 17. Bigelow Park, Replacement of 4" Water Main from Prospect Ave. to Livingston St. (County Territory) ------------------------------------------------------------------------ 18. Clarissa lane, Replacement of 4" Water Main Northerly of Warren Ave. (County Territory) ----------------------------------------------- 19. Brenan Way, Replacement of 4" Water Main from Vanderlip St. to Seventeenth St. (County Territory) ------------------------------------------------------------------------ 20. Arbolada Way, Replacement of 4" Water Main Westerly of Prospect Ave. (County Territory) ---------------------------------------------- 21. Fiesta Way, Replacement of 4" Water Main Westerly of Prospect Ave. (County Territory) ---------------------------------------------- 22. Kenwood lane, Replacement of 4" Water Main from la Colina Dr. to Sierra Alta Dr. (County Territory) ------------------------------------------------------------------------ -187- 33,100 49,700 23,200 96,100 149,200 89,500 . 23,200 76.300 29,900 29,900 44,400 OTHER PROJECTS - UNSCHEDULED IN WATER SERVICE FIVE YEAR PROGRAM 23. lemona In., Replacement of 4" Water Main Southerly of La Colina Or. (County Territory) --------------------------------------------- 24. Windsor Pl., Replacement of 4" Water Main from Warren Ave. to Seventeenth St. (County Territory) ------------------------------------------'------------------------------ 25. Cameron In., Replacement of 4" Water Main Northerly of Vanderlip St. (County Territory) --------------------------------------------- 26. Ehlen Way, Brenan Way, Harp Ct., Manning Dr., Replacement of 4" Water Main Northerly of Warren Ave. (County Territory) ---------------------~-------------------------------------- -188- 39,800 66,300 56,400 99,500