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HomeMy WebLinkAbout1968-69FY BUDGET I, Ii Ii Ii II II II Ii i Ii Ii II 'I I' I' ,I I' :1 i; I,. i! il " . ANNUAL BUDGET A PROGRAM OF MUNICIPAL SERVICES FOR THE FISCAL YEAR July 1, 1968 - June 30, 1969 CITY OF TUSTIN, CALIFORNIA R E PO R T June 18, 1968 The following document is the Final Budget for the City of Tustin for the fiscal year beginning July 1,1968. The Preliminary Budget dated June 3,1968, as prepared in the Office of the City Administrator, contains revisions recommended by the Council and is adopted as the "1968-69 Annual Budget" for the City of Tustin by Resolution No. 946, dated June 17, 1968. Changes in the Final Budget from the Preliminary Budget are contained on those pages with Rev. (revised) following the page number. Total budgeted revenues and fund balances amount to $1,521,715. Total budgeted expenditures for all activities and departments amount to $1,268,605. Unappropriated funds (reserves) which are maintained for contingencies and unforeseen emergencies during the 1968-69 year, but not anticipated for disbursement, amount to $253,110. ~l:i.M Harry'. Gill City dministrator . THE CITY OF TUSTIN, CALIFORNIA CITYo¡ TUSTIN CALIFORNIA CITY HALL 135 WEST TH 1 RD STREET PHONE (714) 544-8890 June 3,1968 THE HONORABLE MAYOR ANV CITY COUNCIL OF THE CITY OF TUSTIN, CALIFORNIA GENTLEMEN: The Preliminary Budget for the fiscal year ending June 30, 1969, is hereby submitted for your review and consideration. The proposed program of municipal services includes all City departments and functions under the City Administrator, as well as those activities which are directly responsible to the City Council. COMMENTARY The 1968-69 Budget Request is presented to your Honorable Body during this Centennial Year, and continues the same basic philosophy regarding the expenditures of public funds as has been submitted during the past three years by your City Administrator - the Budget is again conservative in attitude. As the City has grown rapidly in its area, its population, and in new development, City activities must be so staffed and equipped, however, that the departments in their respective areas of responsibility, can continue to adequately serve the Tustin community. The penalties and rewards associated with growth and progress indicate that an emerging, modern municipal government can no longer afford the luxury of remaining static. The City as a society is viable, therefore its government must be able to respond and to change as necessary. Change is not an end unto itself, but the proper conditions must be created where the organ- ization has the tools and abilities to perform its job. The program for 1968-69 does not provide for all those expenditures which may be deemed desirable, however. A limitation in expenditures is required in order to include . a proper reserve fund to handle emergencies, contingencies, and possible losses in anticipated revenues. The Preliminary Budget is $321,228 below the total amount requested by the various departments. Nevertheless, it is felt that this Budget Request, as submitted, does provide a balanced pro- gram for the new fiscal year, and sufficient and adequate reserves have been maintained. REVENUES Revenues for the 1968-69 fiscal $l,053,670, which is 14.8% over but 5.4% below the current year year (1967-68) estimate is well for this year, due primarily to building permit revenues and to tax in October 1967. year are estimated at the current year budget, final estimate. The current above the original budget unanticipated increases in the adoption of the cigarette . The total revenue estimate for 1968-69 is down from final 1967-68 by $59,550. Most of the reduction is due to an anticipated reduction in building activity from the current year. 1967-68 revenues in building permits, engineering fees, and street permits were accelerated by the Tustin Meadows development. Sales tax is down somewhat due to a one month windfall in June 1968 caused by conversion of quarterly to monthly payments from the State. In other areas, certain revenues will increase because of increased population or assessed valuation. Cigarette taxes will be received for the full year in 1968-69. EXPENVITURES Total expenditures for 1968-69 are budgeted at $l,270,367, an increase of 23.3% over the current year budget compared to a revenue increase of 14.8% from budget 1967-68. Unanticipated additional revenues received in 1967-68 will be used to finance a portion of the 1968-69 program, as well as expendi- ture_savings in 1967-68 from the original budget. It should be noted, that although expenditures in the City of Tustin have increased each year over the past several years, and that the dollars expended per capita have fluctuated somewhat depending primarily on what major capital improvements are expended in anyone year, and the general price in the cost of labor and materials has increased annually, the number of employees per thousand population has decreased, as indicated below: Year Permanent Employees/l,OOO Pop. 1964-65 1965-66 1966-67 1967-68 1968-69 8.24 5.63 5.8l 5.7l 5.67 The appropriation request for 1968-69 is $238,688 over the current year adjusted budget, and this increase is explained below: 1. Personal Services - $129,094 Normal merit increases, salary increases based on the survey of Southern California cities and the Industrial Salary Survey, and twelve and one-half new positions as follows: a) One tree Maintenanceman, three Park Maintenancemen, and one City Engineer were authorized in 1967-68 subsequent to the adoption of the original 1967-68 budget, and compose five of the twelve and one-half positions increase. . b) One-half Intermediate Typist Clerk in the business office to assist in the public counter and tele- phone reception, and in Business License processing. c) One-half Intermediate Typist Clerk in the Police Department to assist in the Investigation Division on typing of reports and other police clerical matters. d) One Sergeant and one Policeman in the Patrol Division, Police Department, in order to field three units on eighteen of the twenty-one shifts per week. This is the completion of a staffing program begun three years ago, which will aid in reducing the number of back-up calls and assist in handling the heavy increases in Patrol Division workload experienced since 1965. e) Two Investigators in the Investigation Division, Police Department, to handle the increases in narcotic violations, theft, and forgery cases. f) One-half Fire Marshal is requested in the Fire Department in order to increase fire prevention activities to a full-time operation of the department. g) The employment of a Public Works Inspector and a Stenographer Clerk in Public Works Administration is budgeted to aid in performing the work of the Department which includes public works design and inspection, mapping, traffic and other engineering, City and State reports, and capital improvement programming. 2. Non-Personal E~enses - $38,302 Increased community promotion for the Centennial Year ($2,495), State Compensation Insurance increases ($8,500), retirement cost increases ($lO,500), Police Department supplies and vehicle maintenance increases ($3,447), additional rubbish collection services ($l3,800), park maintenance and park utilities increases ($7,495), and recreation transportation increases ($2,l70) account for a total increase of $48,407. However, a reduction in Street Maintenance contractual services and other Non-Personal reductions reduces the total increase to $38,302 for 1968-69 over 1967-68. 3. Equipment Outlay - $13,892 The purchase of a new vehicle for the Fire Marshal ($3,000), four traffic counters and other engineering equipment ($2,258), a tree trimming, truck mounted aerial tower ($ll,550), and a brush and tree limb chipper ($3,675) are increases in the requested appropriation. Decreases in other accounts reduce the amount of the total increase. 4. Capital Improvements - $57,400 Land acquisition is down $26,500 from the current year. A second parcel for the Fire Sub-Station and Corporation Yard is not budgeted in 1968-69. Street Construction is up $83,900 and most of the increases in this account will be financed from Gasoline Tax Funds. RESERVE FUNVS The total 1968-69 Budget, including reserve funds, amounts to $1,52l,715 which is slightly more than a quarter of a million dollars over 1967-68. As the total budget has increased since 1965, the City's reserve has also increased as follows: Total Budgeted Actual Year Budget Reserve Reserve 1965-66 $ 811,870 $162,442 $350,700 1966~67 1,084,333 221,540 408,045 1967-68 1,243,345 246,766 468,045 (est.) 1968-69 1,521,715 25l,348 Unknown Each year, General Fund Reserves have been budgeted at approximately $100,000, which is equivalent to one month's expenditures in 1968-69. The remainder of the Reserve is in other funds, primarily Sewer Main Trunk Fund and Gasoline Tax Funds. AVVITIONAL NEEVS Accomplishment of the proposed 1968-69 program will be a continuation in the development of City services, and as in prior years, is a program which will not exceed the ability of the City to adequately finance such operations. The requirement that expenditures do not exceed available revenues, and that a proper reserve be maintained, necessitates the. elimination of several desirable items of expenditure from the coming fiscal year's request. Major activities which may be desired, but deleted, include: 1. Development of at least two additional "parkettes" on small City owned sites, to be planted as green areas, with some play and picnic equipment. 2. Purchase of land for parks in the northern, central, and southern areas of the City. 3. Possible additional City landscaping projects including additional center island plantings. 4. Full-time Director of Parks and Recreation to provide added emphasis to the City's overall program of parks~beautification-recreation. 5. Improved Civil Disaster warning devices, emergency facilities, and a new power generator to provide public alert and improved disaster services coord- ination. 6. Additional street resurfacing, street construction, and storm drain improvements City-wide to provide improved public convenience and protection of property. 7. Budgeting of sufficient funds to study, recommend, and implement a program of action to enhance the City's overall economic development. 8. Purchase of a third Civic Center parcel, and a second Fire Sub-station and Corporation Yard parcel in order to further complete the purchases of these sites. 9. The employment of six additional Firemen to complete the staffing required for a two-company station, and provide the basic trained personnel for transfer to the new sub-station when constructed. 10. Additionalpersonnel, automotive and other equipment to better aid the departments in accomplishing their respective roles. Several of the above needs have been repeated each year as desirable, but have not been budgeted due to the lack of sufficient funds. The cost of the above composes the third of a million dollars difference between departmental requests and the final recommended appropriations for the new year. THE 1968-69 YEAR The program for the coming fiscal year will include new areas of activity as well as a continuation of certain programs begun in recent years. The 1968-69 year will see the accomplishment of the purchase of a second Civic Center site parcel; com- pletion of a long-range Capital Improvements Program; antici- pated completion of the Town Center and South Tustin precise general plans; .accelerated community promotion acti vi ties including Centennial Year celebrations; completion of a revision in the City's filing system; revision of the Zoning Ordinance and building codes; additional landscaping and beautification projects; improved recreation services activities; active pursuit of possible annexations to the City; increased maintenance services on City parks, parkways, and streets; a change in emphasis from Civil Defense to disaster service planning and coordination; increased enforcement in areas of narcotic violations, theft, and forgery; increased fire pre- vention activities; improved engineering map indexing, tra£fic data, and storm drain information; and the performance of the normal programs of fire, police, planning, public works, and other City activities. SUMMARY From the above, it is shown that the City is moving ahead in its governmental activities and in its services to the people. However, also described above are several areas where the needs are greater than can be presently financed. In the foreseeable future, these needs will increase, rather than decrease, such as constructing and equipping a Civic Center, Fire Sub-Station, and Public Works Yard; major storm drain improvements; and major park land purchases and park facilities. With the present financial structure of the City, it is anticipated that these needs will remain as needs, rather than these problems or projects being resolved and completed. In order to obtain the finances to resolve these and other needs, the City will have to consider an amplification in existing forms of revenue or by introducing new sources of revenue. Your City Administrator is not an advocate of increased taxation. However, your City Administrator does realize the . obligations of the government of Tustin to meet the necessary requirements of adequate service to the public. Only by the development of sufficient revenues to finance such services will this local government be able to fully perform its function. Whether new sources of revenue .are developed, assessment districts are created, general obligation bonds are issued, or an increase in the City property tax rate is imposed, additional funds are necessary to complete the optimum program of the City of Tustin. In the matter of the City tax rate, a realistic property tax should be established which would provide sufficient revenues to aid in financing the local government. A realistic rate may fall somewhere between those rates in Orange County where Tustin is low at 95Ç and Laguna Beach is high at $l.57. In Tustin, a penny on the tax rate amounts to a cost of about' fifty cents per year total per average family. Revenue to the City of one cent on the tax rate will amount to approximately $3,000 annually. Each city tax rate will vary depending on special districts and city policy. In many cities, financing of parks, retire- ment, planning, clvil defense, and storm drains is accomplished by an additional tax rate over the basic property tax rate of $1.00. In Tustin, all of these services are absorbed in the General Fund and other funds of the City. The lack of adquate revenues in Tustin is not unique to this City. Tustin, like other cities in Orange County, cannot continue for long to finance major items of capital expendi- tures from general purpose funds. Such funds are designed to provide revenues for normal maintenance and operations. As an example of the problem, in the 1968-69 Budget, a storm drain totaling $49,000 must be financed from general purpose . funds. It is felt that the City Council has the obligation to identify the needs of the community and to develop revenues which will provide funds to meet these needs. Certainly, criticism of Council action will be offered from those who do not realize the present needs of the City or do not understand the required progiams of the future. Criticism will also be received from those individuals who really do not care about the growth and development of this community and the requirement for adequate public services. However, your Honorable Body, as representa- tives of all the citizens in Tustin, has the unenviable responsibility to insure that adequate funds are made available to the government of the City, in order that the staff can accomplish that which is required. With such Council support, as has been admirably demonstrated in the past, members of the City staff are thereby committed to perform their municipal duties in a faithful, conscientious, and efficient manner. Respectfully submitted, (j;¡tt -Pd! City ~ministrator I I 1______----- ------ ---- ANNUAL BUDGET TABLE OF CONTENTS Page Section I - General Organization Chart Basic Data 1968 Basic Data Comparison Definition of Terms 1 2 3 4 Section II - Recapitulation Annual Budget Summary Fund Distribution and Encumbrances City Budget Dollar 6 7 8 Section III - Revenues Summary of Revenues Revenue Detail Fund Accounting Explanation Revenue Accounts Explanation 9 10 12 13 Section IV - Personnel Summary of Positions Salary by Classification Monthly Salary Schedule 17 18 20 Section V - Expenditures Summary of Expenditures Activity (Departmental) Structure Distribution by Activity: City Council City Administrator Office City Clerk Office Finance Office City Attorney Planning Government Buildings Community Promotion Elections Other Non-Departmental Disaster Services Building Regulation Police Fire Public Works Administration Waste Collection Sanitary Sewers Street Construction Street Maintenance Park Facilities Recreation 21 22 23 25 28 32 35 37 41 214 46 48 51 54 57 6l 65 69 71 73 77 8l 84 ---- CITY OF TUSTIN. CALIFORNIA ANNUAL BUDGET SECTION I GENERAL CiTY OF TUSTIN, CALIFORNIA ORGANIZATION - ELECTORATE - CITY .._~~~c~=cc~-~= =,c=~ ~~===c c==,,==~=-==c~~~=-===~~=~=c===,===~===~=~-=-~ o=~~======. OF TUSTIN CHART - LEGISLATIVE - MAYOR CITY COUNCIL - ADMINISTRATIVE AND ADVISORY - I I I I PARKS & RECREATION CITY CITY CITY PLANNING COMMISSION ATTORNEY ADMINISTRATOR CLERK COMMISSION þ> I "- () ::::¡ -< 0 'T1 - STAFF RESPONSIBILITY - -I C <.n :::J Z 0 > C 'T1 0 ;;u Z » ASSISTANT TO THE CITY ADMINISTRATOR PUBLIC WORKS COHMUNITY PROMOTION FINANCE POLICE RECREATION SERVICES STREET & PARKS - CONTRACTUAL SERVICES - DISTRICT ATTORNEY ANn-tAL CONTROL ASSESSOR HEALTH JAIL SPECIAL DISTRICTS PRIVATE UTILITIES Library Electricity Lighting Natural Gas Sewers Telephone -- =.ccc.~l~gcc;!.~~c:.g .nM~!_,,=.-~-_. ~,.~ =" -=c...=.=='c.- -~,~"~~c.="'c~,==~c,.~c==.~~.t~".=---c- -~,.,=~ ~C,_.-. .---...-- ..-..-.... .-------.--- - ------- -- --.--. z c: » PLANNING 0 (j) m -! 5!~ ANNUAL BUDGET BASIC DATA 1968 CITY OF TUSTIN GENERAL Area of City (square miles) Assessed Valuation Tax Rate per $100 assessed valuation Fire Insurance Classification Population (April 1,1968) Registered Voters (March 1968) Housing Units (Estimate) Retail and Trade Outlets (Taxable Sales) Miles of Sewer Lines Miles of City Streets (Total) Arterial Collèctor Local Miles of City Owned Alleys City Owned Buildings Parks Maintained Fire Vehicles Police Vehicles Signalized Intersections ZONING Acres zoned for: Commercial Industrial Residential COUNTY & OTHER LOCAL Library Newspaper Clubs & Organizations PUBLIC SCHOOLS Elementary Intermediate High - City - A General Law City - - Tustin Area Founded in 1868 - Incorporated on September 21, - Council/Administrator Form of Government - :::ITY OF TUSTIN, CALlFOR~11¡', 3.12 $27,Oll,500 $0.95 6 13,400 4,798 6,000 314 19.47 36.39 5.02 7.46 23.91 0.71 6 2 5 9 18 344.0 343.0 1,310.2 1927 - 1 1 33 4 1 1 2 Rev. ANNUAL BASI C OAT A BUD GET ==,==c~===-,=c=-===,=,,=c_=,=c=-"" ------- COMPARISON ASSESSED VALUATION (IN $ 1,000,000) POPULATION (IN 1,000) -t- -+- 28 ClN $ 10) DOLLARS PER CAPITA EXPENDITURE ------- 26 / ¡( o~)f ~")t ~¡< ~j( ø>¡( c!,~ '¡( If)t V¡( ¡( ¡(/ I l- f .¡ oj .¡ I / I I 'II ", II ",'\, / " "I>' - - ...PE!::,L;..~R..s.lCAPITA "'- ., ..~ --- --- ., ...""~ --.'-.:::---- .x 'v"""" '.-.. E~~,ooO oX"oX" oX" EMPLOYEES PER 1,000 POPULATION -..- 24 22 20 18 16 14 12 10 8 6 '4 2 0 61-62 62-63 63-64 64-65 65-66 66-67 67-68 ======~~--== CITY OF TUSTIN, CALIFORNIA =~-=------ 3 3. 4. 5. 6. 7. ANNUAL BUDGET PEFINITION OF TERMS 1. Budget: A comprehensive plan, expressed in financial terms by which an operating program is effective for a given period of time. A performanc~ budget is one which is based upon the work or service to be accomplished. An 2Qj~ct account budget is one in which funds are budgeted for specific items of expenditure. The budget ôf Tustin is basically an object account budget, but incorporating the principles of performance budgeting. A. Preliminary: The budget recommended to the City Council for their consideration by the City Administrator. B. Final: The budget which has been approved by the City Council for the financing of governmental operations for the ensuing fiscal year. 2. Fund: A sum of money set aside to carryon specific activities in accordance with special regulations or restrictions. A fund constitutes an inde- pendent accounting entity. A. General: A fund accounting for general government which is financed by revenues not other- wise restricted to special purposes. B. Special: Accounting of funds requiring expenditures for special purposes under existing regulations. Personnel: The number of paid employees. Personal Services: Salaries or wages of paid employees. Non-Personal Expenses: Expenditures for operations, supplies and services. Equipment Outlay: Equipment used in the operation of the City and of a non-expendable nature, i.e., with a useful life of several years. Capital Improvements: Major improvements including land and right-of- way acquisition, buildings, street construction, and related facilities. CITY OF TUSTIN, CALIFORNIA 4 I, I' II jl II Ii I' II I II II II 'I Ii II II Ii II Ii II 'I II II II II Ii Ii II 'i I, I' ,I II Ii II !I . Ii ii I: Ii Ii II i! II il II d 10. 11. 12. ANNUAL BUD GET ==-~~~~,==--,-"-------c------cc-,=c--~~~,==- 8. Salary Adjustment: Changes in Personal Services resulting from a change in salary rate or reclassification of positions. 9. Appropriation: Funds authorized to be expended. Revenue: Funds received to finance the City's expenditures. Account Series: An accounting level to record the costs of a specific function, department, or group of services. Activity: The title of a particular account series. - ------ ---- - - --------- ""-""- ..= CITY OF TUSTIN, CALIFORNIA 5 ------------_u_------- - .- ,-- ----- u .u--- . ANNUAL BUDGET SECTION II RECAPITULATION CITY OF TUSTIN, CALIFORNIA -- . - .__u-------_u-u------,--- - --...-.-.----- t t u. . I ¡ I ¡ Î II I , -===~C~~=, ~ --- --------~--~c-=== = GENERAL FUND fUND BALANCE, on :1 June 30, 1967 $ 238,426 $;STIMATED: ~967-68 Fiscal Year REVENUE EXPENDITURES RESERVE FOR Q ENCUMBRANCES =< FUND BALANCE on 6/30/68 809,320 777 ,420 $ 270,326 0 ï1 .ßUDGETED: ~968-69 Fiscal Year ::! REVENUE , ~ APPROPRIATIONS 0 FUND BALANCE >- on 6/30/69 c: ï1 0 :;;0 Z :; 732,720 899,115 $ l03,93l --------------- - ---------------- TRAFFIC SAFETY FUND $ 17,670 46,000 42,920 20,750 - $ 46,000 46,000 $ ANNUAL BUDGET SUMMARY STATE PURPOSE TAX FUND $ 15,000 ll8,100 133,100 $ 142,750 142,750 $ GASOLINE TAX FUNDS $ 30,723 109,300 6l,943 17,500 $ 60,580 110,200 168,740 $ 2,040 SEWER MAIN TRUNK FUND CITY BEAUTI- FICATION FUND $106,639 $ 26,500 4,000 $133,139 $ 4,000 14,000 8,000 12,000 $l47,139 $ * Includes $50,100 encumbered in 1966-67 for projects in 1967-68 APPROPRIATIONS, 1968-69 Personal Services Non-Personal Expenses Equipment Outlay Capital Improvements : TOTAL (Budgeted) i $UDGETED RESERVE 1968-69 0\ ~ CD <: TOTAL ----- RECAPITULATION OF 1968-69 BUDGET $ 636,344 342,290 39,l71 250,800 $1,268,605 253,110 $1,521,715 TOTAL ALL FUNDS $ 408,458~ 1,113,220 1,015,383 $ 38,250, > 468, 045Z Z c: > 1,053,670'- 1,268,605 ca c: 253,1100 (j) m ~ $ FUND BALANCES on June 30,1968 General Fund $ 270,326 Traffic Safety Fund State Purpose Tax Fund Gasoline Tax Funds Sewer Main Trunk Fund City Beautification Fund TOTAL (Estimated) $ ESTIMATED REVENUE 1968-69 TOTAL 60,580 l33,139 4,000 468,045 l,053,670 $1,52l,715 =~-=-~-~ cccc_--cc- _~2_C-"'""-C"C-=~===='-=~"C"=,"===-==~=~=C"""-"--,- Activity FUND DISTRIBUTION Q -i -< 0 ." All activities except the follmving: Police Fire Street Construction Street Maintenance Park Facilities General Fund $552,310 161,383 119,070 1,000 48,624 16,728 -i c: VI -i Z Total - Appropriations $899,115 0 Ë ENCUMBRANCES ." ~ liB" Street Z Reconstruction $ :> Traffic Signals Red Hill and Edinger Newport & Main Newport & McFadden Warner Avenue Land- scaping Total Encumbrances$ ~---,,-""-"""--_U__U"- -"-"-""-"---------------" -------- ----- --"------ "_d"- - - - -- ----"--""----------u----,- FUND DISTRIBUTION SUMMARY & ENCUMBRANCES FOR 1968-69 Traffic Safety Fund $ 3,000 40,000 3,000 $ 46,000 $ 20,750 $ 20,750 State Purpose Tax Fund $ 9l,750 l5,000 6,000 30,000 $142,750 $ $ Gasoline Tax Funds Sewer Main Trunk Fund City Beauti- fication Fund Total All Funds $ 552,310 256,133 134,070 > 187,300 Z Z c 110,064 > 28,728r- œ $1,268,605 C 0 (i) m -c $ 20,750 $ $ $ 1,400 9,100 4,000 3,000 $ 38,250 140,300 28,440 12,000 $168,740 $ $ l2,000 -..J GRAND TOTAL - anticipated expenditures during 1968-69 $899,ll5 $ 66,750 $142,750 $ $ $ $1,306,855 :>;: CD <: 1,400 9,lOO 4,000 3,000 $ 17,500 $ $ $186,240 $ $ 12,000 ANNUAL BUD GET 'c,'-""'~",.=-"=--==.=,,-'=,."-.. -""'--.' c~:::- CITY BUDGET DOLLAR: 1968 - 69 REVENUES STATE GRANTS a OTHER SUBVENTIONS' MISCELLANEOUS REVENUE I LICENSES a I PERMITS I II FINES a I FORFEITURES II I PROPERTY. SALES a OTHER TAXES EXPENDITURES NON-DEPARTMENTAL a COMMUNITY PROMOTION GENERAL GOVERNMENT a PROPERTY PARKS a RECREATION PUBLIC SAFETY a BUILDING REGULATION PUBLIC WORKS a WASTE COLLECTION 35.3 * 32;3 ~ CITY OF TUSTIN. CALIFORNIA,. 8 I I II II i 'I II I i I II I_~, ,="==-,~~="""'" . . ANNUAL BUDGET SECTION III REVENUES CITY OF TUSTIN. CALIFORNIA -.--..-.------....-- ..-q-.,----_._- - ..--------- -----------_..--. , ANNUAL BUDGET SUMMARY OF REVENUES 1966-67 1967-68 1967-68 1968-69 SOURCE Actual Budget Estimate Budget Property, Sales, and Other Taxes $ 537,150 $ 58l,925 $ 620,250 $ 632,650 Licenses & Permits 95,067 95,340 213,425 l38,400 Fines & Forfeitures 54,526 51,000 48,500 48,500 Use of Money & Property 18,805 12,610 17,710 l5,610 Current Service Charges 13,712 16,050 13,935 8,410 II 207,7001 Grants & Subventions 178,027 l59,500 194,800 Other Revenue 3,826 1,300 4,600 2,400 TOTAL $ 901,ll3 $ 917,725 $1,ll3,220 $1,053,670 CITY OF TUSTIN, CALIFORNIA 9 ANNUAL BUDGET REVENUE DETAIL SOURCE GENERAL FUND 9l0 Property Taxes - Secured 91l Property Taxes - Unsecured 9l2 Property Taxes - Delinquent Solvent Credit Taxes Trailer Coach Fees Sales & Use Taxes Franchise Taxes Business License Fees Bicycle License Fees Building Permits Street Permits Other Permits Non-Traffic Fines Interest-General Fund Other Interest Rents Planning Fees Sale of Publications Sundry Service Fees General Engineering Fees Street Construction Weed Abatement Recreation Fees Sale of Property Contributions Street Reimbursements Sundry Other Revenue Alcoholic Beverage Lic. County Grants 913 914 9l5 , 916 920 922 924 928 929 93l 1940 1942 1943 1950 951 953 955 956 957 958 971 973 974 975 980 1989 I TOTAL TRAFFIC SAFETY FUND 1930 Traffic Fines ¡STATE PURPOSE TAX FUND 1981 Motor Vehicle Lic. 11982 Cigarette Taxes TOTAL TOTAL GENERAL PURPOSE FUNDS 1966-67 Actual $ 202,935 19,999 6,375 49 3,687 283,791 20,3l3 41,400 30l 35,091 7,239 270 4,964 7,829 1,020 l,S03 1,700 228 4,102 l68 456 7,058 608 79l 2,428 5,917 8,483 $ 668,705 $ 49,561 1967-68 Budget $ 235,000 25,000 15,000 225 3,700 280,000 23,000 40,000 290 40,0"00 5,000 50 5,000 4,000 10 l,600 1,500 200 3,700 l50 500 lO,OOO 300 1,000 6,000 $ 701,225 $ 46,000 1967-68 Estimate $ 222,800 $ 74,672 $ 68,500 26,000 10,000 550 4,200 290,000 22,600 42,000 1,150 120,000 25,000 275 2,500 9,100 10 l,600 3,400 2l0 5,000 2,200 90 535 2,500 725 l75 3,700 10,000 $ 809,320 $ 74,672 $ 68,500 $ 46,000 $ 792,938 $ 815,725 $ 78,000 40,100 ll8,100 $ $ 973,420 --=== CITY OF TUSTIN, CALIFORNIA ---=~-- I I 1968-6 Bud et $ 232,80 26,10 'I I, 10,50~ ----J¡ 4'30~ 275,00, 23,70 42,50~ 80~ 75,00~ 10,000¡ 10Q! 2,501 7,00 1 1,60 1,70 21 4,50 50 $ I 50 I 1,00 40 I ---- I ;~õõol 10,0001 -----11 I: ,I 732,7201: I, 46,000', ì I I 90,5001 52,250 $ $ $ 142,750 $ - 92~::1 ANNUAL BUDGET 1966-67 1967-68 1967-68 1968-69 SOURCE Actual Budget Estimate Budget STATE GASOLINE TAX FUND 985 Section 2107 $ 40,591 $ 39,800 $ 53,000 $ 47,400 986 Section 2107.5 3,000 3,000 3,000 3,000 987 Section 2106-a 5,200 4,800 4,800 4,800 988 Section 2106-b 40,165 37,400 46,000 52,000 940 Interest-Gas Tax Funds 3,482 3,000 2,500 3,000 TOTAL $ 92,438 $ 88,000 $ l09,300 $ 110,200 SEWER MAIN TRUNK FUND '927 Sewer Connection Fees $ 10,765 $ 10,000 $ 22,000 $ 10,000 940 Interest-Sewer Funds 4,972 4,000 4,500 4,000 TOTAL $ 15,737 $ 14,000 $ 26,500 $ 14 ,000 CITY BEAUTIFICATION FUND 983 Real Property Transfer Tax $ $ $ 4,000 $ 8,000 I L II II ,\ II if ii II II II II ;1 II II ¡I I I I \ -~------""~=- . TOTAL SPECIAL PURPOSE FUNDS $ 108,175 $ l02,000 $ l39,800 $ 132,200 TOTAL ALL FUNDS $ 901,ll3 $ 917,725 $1,113,220 $l,053,670 CITY OF TUSTIN. CALIFORNIA - --,..- ---- ---- - -, -.--_. -. - --------." "'-.--'" 11 I II I I I I I ANNUAL BUD GET -""""=-,==:"===,~=~,=,,',="':"",,,,=,-,- FUND ACCOUNTING EXPLANATION GENERAL FUND Approximately seventy percent of all monies received by the City is deposited into the General Fund, and is used to finance general City operations. The major portion of General Fund monies is received from property and sales taxes. TRAFFIC SAFETY FUND Revenues derived from fines imposed upon conviction of misdemeanor violations of the Vehicle Code and from bail which has been forfeited by persons violating the Code, are deposited into the Traffic Safety Fund. State law prohibits the use of monies in this Fund for police officer compensation. STATE PURPOSE TAX FUND Motor vehicle license fees and cigarette tax revenues are deposited into the State Purpose Tax Fund. Monies received are required to be expended for law enforce- ment; regulation, control, and fire protection of highway traffic; or other purposes of general State- wide benefit. GASOLINE TAX FUNDS Funds collected under Sections 2106 and 2107 of the Streets and Highways Code are distributed to cities, primarily on the basis of population, and are deposited into the Gasoline Tax Fund. Monies so received must generally be expended for the maintenance or construction of the State approved "select aid system" of streets. SEWER MAIN TRUNK FUND Fees collected by the City from property owners for connections made to the City's sewer system are deposited into this Fund. Monies are distributed on the basis of 25% to the County Sanitation District No.7 for the construction and maintenance of City sewers, and 75% to the City for construction of new trunk sewers by City contract. CITY BEAUTIFICATION FUND Established by ordinance of the City Council, all monies received from Real Property Transfer Taxes are deposited into the Beautification Fund. The Fund is used to finance the construction and maintenance of beautification pro- jects of the City. CITY OF TUSTIN. CALIFORNIA ,-- - --_="=_n~__=n_=-_- 12 ----.---- -----.----------- ANNUAL BUDGET ----- REVENUE ACCOUNTS EXPLANATION Property Taxes (910,911 & 912): General law cities may set a one dollar tax rate on both secured and unsecured properties for General Fund purposes. However, additional property taxes may be established by cities for bonds, retirement plans, parks, and certain other special purposes. Solvent Credit Taxes (913): An intangible property tax on goods and services based on 1/10 of 1% of the difference bètween out- standing accounts receivable and accounts payable of various business firms, cancelled August 31,1967. Trailer Coach Fees (914): Is in lieu of property tax on trailers and is based on the location of registration of the trailer. Revenues are distributed one-third each to schools, counties, and cities. City Sales & Use Taxes (915): The City tax rate on all goods and services authorized under the Bradley-Burns Tax Law, is one percent and is State collected. Franchise Tax Fees (916): Franchises for operations within the City, for which a fee is charged, are presently held by the local natural gas, electric, and water companies. Business License Fees (920): The City's Business License Ordinance establishes the annual license fee charged to all categories of businesses operating within the City. Bicycle License Fees (922): , An annual bicycle license fee of $1.00 the first year, and $0.50 for each annual renewal of the license is imposed on all residents registering bicycles with the City. Building Permit Fees (924): I Fees for new building construction are based on local I . .. or..d i..n.an. ce .a..n d. include electrical, Plumb. ing, and O. ther . . .1\ related permits and fees. =~~~~~---~-=~=~ CITY OF TUSTIN, CALIFORNIA =~~~==~~~-, ._,_._-_._-~-_._-_.__. 1 ":\ Tlpu ANNUAL BUD GET ' o.'~,.c "".,.,"""===."".e;o=oo=",o=..,,,".'- Sewer Connection Fees (927): A connection fee is charged to property owners when sewers are installed and connected to the City's sewer system. Street Permits and Inspections (928): A permit fee is charged for the inspection of curbs, gutters, sidewalks, and other street work installed by property owners or developers. Other Permits (929): Permit fees are chargeq for a license to operate taxi cabs, provide entertainment in public estab- lishments, and for other purposes. Fines & Forfeitures (930 & 931): Includes vehicle code and non-traffic fines collected primarily by the Orange County Municipal Court. 85% of the amount received by the Court for offenses occurring within the City is returned to the City, with the exception of 50% returned to the City for arrests made by the California Highway Patrol. Interest on Investments (940): Interest received on invested surplus or inactive monies and deposited into the General, Gas Tax, and Sewer Trunk Funds. Other Interest (942): Primarily interest received on delinquent property tax payments. Civic Building Rents (943): Rent received for use of the Youth Center by various groups. Planning Fees (950t: Fees, for Use Permits, Variances, and Zone Changes are charged the property owners when applying for such actions from the City. - --------- -.----- --,- ----.- -----..---,,- -.-----, - CITY OF TUSTIN. CALIFORNIA ~- ------------, -----------,,- -______m-- ----..--_.__..--.._--- 14 i Ii II I. ii 11 11 II il II Ii Ii II Ii Ii II II :1 Ii Ii I I ,I 1, 11 II l' ANNUAL BUDGET Sale of Publications (95l): A charge is made for City maps and reproductions of documents distributed to private individuals. Sundry Service Fees (953): Charges made to the public for special services including police protection at special events and. required installation of street signs and trees in new developments. General Engineering Fees (955): Include subdivision map filing fees and are charged for engineering review and plan checking of such maps. Street Construction (956): Monies paid by property owners in lieu of required installation by owner of curbs, gutters, and paving when developing property. Weed Abatement (957): Assessment charge made against property owner when the City is required to clear weeds on private property. Recreation Fees (958): A fee for the Summer Recreation and extension program which is charged to non-City residents to partially off-set the cost of special programs and services. Sale of Property (971): Includes revenue received from the sale of surplus City or abandoned property. Contributions (973): Donations and contributions paid to the City by gratuities. public Street Reimbursement (974): Contributions from private property owners for curbs and gutters in connection with street improvement projects. CITY OF TUSTIN, CALIFORNIA = 15 ANNUAL BUD GET ="-=""==.0,,_==_,==--"-0;'=='=""'=" - ---...---.-.----- Sundry Other Revenue (975): Refunds, miscellaneous collections, and other revenues are included inthi:.: account. Alcoholic Beverage License ,oee~80): Fees paid annually to dnd distributed by the Alcoholic Beverage Control Board and are based on location of the licensed facility, 90% of which is returned to the City. Does not include the excise tax on sale of beverages collected by the Board of Equalization. Motor Vehicle License Fees (981): Is in lieu of local property tax on vehicles and is based on two percent of the market value of the vehicle. Fee is distributed on the basis of popu- lation and not the location of the vehicle's registration. Cigarette Taxes (982): A three cent tax per pack of cigarettes, established October 1,1967, is State collected, and is distributed to cities on the basis of taxable sales of all other products. Real Property Transfer Taxes (983): Established by Ordinance and effective January 1,1968, a twenty seven and one-half cent tax is applied to each five hundred dollars of sales of real property transacted within the City. This tax is County collected and returned to the City monthly. State Gasoline Taxes (985, 986, 987 & 988): State collected gas tax is apportioned to cities under various State laws and may be used for engineering, right-of-way construction and maintenance, primarily on non-local streets. County Grants (989): Contributions from County Gas Tax Funds to City pro- jects of County-wide benefit. CiTY OF TUSTIN, CALIFORNIA 16 - ANNUAL BUDGET SECTION IV PERSONNEL . -_.~---~_._- CITY OF TUSTIN, CALIFORNiA. . I ACTIVITY City Council City Administrator Office City Clerk Office ¡Finance Office City Attorney Planning Government Buildings Community Promotion Elections Other Non-Depart- mental Disaster Services Building Regulation Police Fire Public Works Administration IWaste Collection Isanitary Sewers Street Construction ¡Street Maintenance iParks Facilities ¡Recreation (Director 'I' Only) TOTAL Permanent positions per 1,000 Population ¡Temporary Recreation I Leaders, part- time TOTAL All Positions per 1,000 population City Population ANNUAL BUDGET 1968-69 Budget 5 3 4 1 1 3~ 2 2 5 28 13 5~ 8 3 1 85 5.67 13 98 6.53 15,000 (est.) 1968-69 Equivalent* 3.00 3.00 1.00 3.50 2.00 0.50 5.00 26.12 12.20 5.50 8.00 3.00 0.27 73.09 4.87 0.80 73.89 4.93 15,000 (est.) * Budgeted man-year equivalents of City positions, based on 1,808 work hours per year per position (other than Fire personnel on shifts). In- cludes all full-time and part-time, but excludes elective City Council and appointed City Attorney. City Clerk and Office Supervisor are com- bined positions and are shown as one man-year. ~~- CITY OF TUSTIN, CALIFORNIA -~-~- SUMMARY OF POSITIONS 1966-67 Actual 1967-68 Budget 1967-68 Estimate 5 5 5 2 3 2 1 3~ 1 2 3~ 2 1 3~ 1 2 3~ 2 1 3~ 1 2 5 23~ 12 2 5 23~ 12~ 2~ 2 5 23~ 12~ 3~ 3 5 1 1 7 1 8 3 1 1 70 72~ 76~ 5.81 5.71 5.80 29 22 22 99 94~ 98~ 8.22 7.56 7.35 12,050 12,500 13,400 --- 17 Rev. ANNUAL BUDGET SALARY BY CLASSIFICATION 1. CLASSIFIED SERIES Position Classification I I~==~_- 1965-66 Actual 20 21 20 20 19 17 15 Range Numbers 1966-67 Actual 15 16 l4 (P.T.) l5 16 16 15 15 15 15 13 14 13 14 12 12 12 12 14 6 5 5 7 7 2 1967-68 Actual 22 23 26 23 22 22 Director of Public Works City Engineer Police Chief Fire Chief Planning Director Assistant to the City Administrator (a) --' Chief Building Inspector Assistant Civil Engr. Police Lieutenant Police Sergeant Sergeant Investigator Fire Captain Fire Marshal (b) Plan Checker Assistant Planner Building Inspector Police Investigator Fire Engineer Policeman II Fireman II Public Works Insp. (b) Maintenance Foreman Policeman I Fireman I Administrative Secretary-- Draftsman Motor Sweeper Operator Tree Maintenanceman (b) Deputy City Clerk Senior Stenographer Clerk Account Clerk Dispatcher Clerk Maintenanceman Custodian (c) Stenographer Clerk Intermediate Typist Clerk Typist Clerk 22 21 21 19 20 20 17 17 16 20 18 18 17 17 17 (P.T.) l6 16 16 15 15 15 14 14 (p .T.) 13 11 II 13 13 13 10 11 9 6 10 10 9 9 8 8 8 7 7 5 5 8 6 6 4 --== CITY OF TUSTIN, CALIFORNIA - - 1968-69 Budget 27 27 24 23 23 23 21 19 19 18 18 18 18 17 l6 16 16 l6 15 15 15 l4 14 14 11 II II 11 10 10 9 9 9 8 7 6 4 ---- 18 ANNUAL BUDGET Range Numbers Position 1965-66 1966-67 1967-68 1968-69 Classification Actual Actual Actual Budget II. UNCLASSIFIED SERIES A. Monthly Salary City Administrator (d) 1,200 1,350 1,485 1,685 City Attorney (e) 200 200 200 200 City Clerk (f) 150 l50 l50 l50 Relief Commanding Officer 100 100 125 150 B. Honthly Range Coordinator of Disaster Services (b) 15~ 16~ 16~ 17~ Office Supervisor (f) 6 8 LI. 16 City Treasurer (f) C. Hourly Wage Special Activity Instructor (b) 5.00 Recreation Director 2.75 2.75 3.25 3.50 Recreation Specialist (b) 2.25 2.25 3.00 Senior Recreation Leader 2.25 2.25 2.50 2.50 Junior Recreation Leader 1. 50 1. 50 1. 75 1. 75 Crossing Guard 1. 65 1.65 1. 75 1. 75 (a) (b) (c) (d) (e) (f) Proposed reclassification from Finance Analyst. Change from 1968 Salary Survey dated April 29,1968. Additional 5% differential pay for night shift. As approved by the City Council. Plus legal fees. Combined position. --- i i i i I I I I I I I I "---~~~~-=~- CITY OF TUSTIN, CALIFORNIA 19 Rev. -.-.-..-------...----'. ANNUAL BUDGET MONTHLY SALARY SCHEDULE Range Steps * Step A Range A B C D E Hourly Number 1st 2nd 3rd 4th 5th Equivalent ** 35 l602 1682 1766 l854 1947 9.24 34 1526 1602 1682 1766 1854 8.80 33 1453 1526 1602 l682 1766 8.38 32 1384 l453 l526 1602 l682 7.98 31 1318 1384 1453 1526 1602 7.60 30 1255 1318 1384 1453 1526 7.24 29 1196 1255 1318 1384 1453 6.90 28 1139 1196 1255 1318 1384 6.57 27 1084 1139 1196 1255 1318 6.25 26 1033 1084 1139 1196 l255 5.96 25 984 1033 1084 1139 1196 5.68 24 937 984 1033 1084 1139 5.41 23 892 937 984 1033 1084 5.15 22 850 892 937 984 1033 4.90 21 809 850 892 937 984 4.67 20 771 809 850 892 937 4.45 19 734 771 809 850 892 4.23 18 699 734 771 809 850 4.03 17 666 699 734 771 809 3.84 16 634 666 699 734 771 3.66 15 604 634 666 699 734 3.48 14 575 604 634 666 699 3.32 13 548 575 604 634 666 3.16 12 522 548 575 604 634 3.01 11 497 522 548 575 604 2.87 10 473 497 522 548 575 2.73 9 451 473 497 522 548 2.60 8 429 451 473 497 522 2.48 7 409 429 451 473 497 2.36 6 389 409 429 451 473 2.24 5 371 389 409 429 451 2.14 4 353 371 389 409 429 2.04 3 336 353 371 389 409 1.94 2 320 336 353 371 389 1.85 1 305 320 336 353 371 1. 76 * 5% between full range numbers and range steps. ** Based on a 40-hour week, the monthly rate is divided by 173.33 and the result rounded off to the nearest whole cent. Increases t'1Ï thin Salary Range (Permanent Employees): Step A: Starting Salary Step B: After six months at A Step C: After one year at B Step D: After one year at C Step E: After one year at D ===c~===-"-= -- CITY OF TUSTIN, CALIFORNIA 20 -- ~ ------- .' . ---~--- - ANNUAL BUDGET =-~. SECTION V EXPENDITURES ¡ I I ~.~-~ ..~.~~~ - CITY OF TUSTIN, I I I I CALIFORNIA ---~~-~.===c=cC' ANNUAL BUDGET SUMMARY OF EXPENDITURES II 1966-67 1967-68 1967-68 1968-69 II Activity Actual Budget Estimate Budget City Council $ 10,230 $ 10,837 $ 10,825 $ I 10,8501 City Administrator Office 23,,400 24,673 25,964 41,7091 City Clerk Office 29,4l8 32,l94 33,243 36,490! Finance Office 15,944 18,961 19,Oll 8,431 City Attorney 11,924 l2,000 12,664 13,lOO I' Planning 30,892 42,040 34,237 39 ,82711 Government Buildings 3l,011 102,352 103,823 84,l631 Community Promotion 5,984 13,100 13,437 15 . 59 5 'I Elections 448 1,490 1,498 2,200 Other Non-Departmental 47,686 98,342 89,558 120,9451 Disaster Services 6,663 8,602 8,337 5, 8241[ Building Regulation 43,946 45,286 45,758 48,364 Police 174,322 211,124 223,584 256,133 Fire 88,192 110,643 llO, 162 134,070 Public Works Administration 35,5l6 33,377 40,593 64,712 Waste Collection 33,083 34,600 34,200 48,400 Sanitary Sewers Street Construction 139,902 103,400 78,200 187,300 Street Maintenance 87,200 95,754 97,610 llO,064 Park Facilities lO,796 15,199 l4,399 28,728 Recreation 16,799 17,705 18,280 11,700 TOTAL $843,356 $1,031,679* $1,015,383 $1,268,605 * By various Minute Orders of the City Council during 1967-68, $35,100 was added to the original budgeted appropriations. I~~~~c~=-=~~~~~ CITY OF TUSTIN, CALIFORNIA 21 Rev. BUDGET ~ - ._~~ . _n_~~---~ - ANN U A L ACTIVITY Ci ty of 'l'ustin (DEPARTMENTAL) STRUCTURE General Government 1000 HOD 1200 1300 1500 1600 1800 City Council City Administrator Office City Clerk Office Finance Office City Attorney Planning Government Buildings Non-Departmental 2000 2100 2300 Community Promotion Elections Other Non-Departmental Public Safety 3000 3200 3400 3500 Disaster Services Building Regulation Police Fire Public Works 4000 4200 4300 5000 5600 Public Works Administration Waste Collection Sanitary Sewers Street Construction Street Maintenance Parks and Recreation 8l00 8200 Park Facilities Recreation ==--~-~=~c~~cc====~=~=- CITY OF TUSTIN, CALIFORNIA -----~~-~---~-~=~- 22 ¡ I I II ii Ii I I :1 . ,~~~~c~--~ ~~~~_.. CITY ANNUAL BUDGET - DISTRIBUTION BY ACTIVITY OF TUSTIN, CALIFORNIA ._._... .--1 I I [ I I i I I i , I I I I I II~----~-- - ,~c==c===c= ANN U A L -----_.- - - - ._--~-~--~- -~-- il~ACTIVITY BUD GET ----c==.=..'-._~c-=,~----~~._- --_._~-----~-~--- ------ ACCOUNT SERIES 1000 City Council DESCRIPTION OF FUNCTIONS The City Council, elected by the people and composed of five members, is the legislative and policy-making body of the City. The Mayor is appointed as the presiding officer by a majority vote of the Council. The City Council also appoints all Commissioners and department heads.The Council is responsible for the appropriation of City funds and the authorization of expenditures. EXPENDITURES NON-PERSONAL EXPENSES. . l,230 1967-68 1967-68 1968-69 Budget Estimate Budget $ 9,000 $ 9,000 $ 9,000 1,837 1,825 1,850 Classification 1966-67 Actual PERSONAL SERVICES. . . . $ 9,000 EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $10,230 $10,837 $10,825 $10,850 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . . . . . . . $lO,850 TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . TOTAL FUNDS.... ....... ............$10,850 CITY OF TUSTIN, CALIFORNIA 23 ANNUAL BUD GET -"--c---,.., ----"--,'_cC=""="","7"- --'C-C-C-==C-" C"" ""- ,,-" ,,- """II I A~~&~Nf - 1000 -"-"-!! .. ---------,,-,," - -----"---------1 ACTIVITY City Council ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budg~ Estimate Budget PERSONNEL (& Monthly Rate): 1001 Councilmen 5(25) 5 (150) 5 (150) 5 (150) TOTAL POSITIONS 5 5 5 5 NON-PERSONAL EXPENSES: 1049 Sundry $ 17 $ ----- $ 10 $ 50 1051 Travel & Meeting Exp. 1,213 1,822 1,800 1,800 1073 Memberships 15 15 TOTAL EXPENSES $ 1,230 $ 1,837 $ 1,825 $ 1,850 EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- COMMENTARY 1001 Salaries and wages for the City Council as authorized under State law. 1049 Items not charged to other accounts. 1051 Attendance by the City Council at various local and out-of-town meetings and conferences in connection with City activities. 1073 Annual memberships in local organizations as required. CITY OF TUSTIN, CALIFORNli\ 24 c_=cc===c=cco=------- ANN U A L BUD GET ==-====c=-cc-c-~---c-----=-=--- --, -AcTIVITY Ci tYAd;;;i~;:;tt~t;~Office I A~~,g~SNT-ll 00 --II _--n ---------- DESCRIPTION OF FUNCTIONS The City Administrator is the chief administrative officer of the City and is responsible for municipal activities in accordance with Council policies and ordinances, State law and other regulations. He advises the Council on the financial conditions and needs of the City, makes recommendations to the Council on City affairs, and appoints all City employees, other than department heads. The City Administrator also serves as the Personnel Officer, Purchasing Agent, Finance Officer, and Director of Civil Defense. EXPENDITURES Classification 1966-67 Actual NON-PERSONAL EXPENSES. . 2,008 1967-68 1967-68 1968-69 Budget Estimate Budget $22,773 $23,944 $39,409 1,900 l,912 2,300 108 PERSONAL SERVICES. . . . $20,981 EQUIPMENT OUTLAY. . . 4ll CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $23,400 $24,673 $25,964 $41,709 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . . . .......$41,709 TRAFFIC SAFETY FUND. . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . I I II II TOTAL FU~~~~~~~--~_. . . . . . . . r. . . . . ~-~=------------ nnn CITY OF TUSTIN, \....ALlFORNIA . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND.. . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . . . $4l,709 25 Rev. " "-----"---"-" - "---""" "------ - ------ --- --- ANNUAL BUDGET 110l 1101 City Administrator Assistant to City Administrator Secretary Administrative Secretary T.OTAL POSITIONS 1 (1350) 1 (1350) --------~~--==~===~"=- "" I ACCOUNT-lioo ]111 ' SERIES --I II 1968-69 :1 Budget II II 1 (1685ì I 1 (23) 1967-68 Estimate -"--- ----"""" ----"------" ACTIVITY City Administrator Office ""--"""-----"-- ---- ---"------"-----"-- " ACCOUNT DISTRIBUTION 1967-68 Budget Description 1966-67 Actual PERSONNEL (& Range Number): 1101 llC1 1 (1485) 1(6) ll02 Overtime l(lO) 1 (10) 1 (ll) 2 2 2 3 $ ----- $ ----- $ 31 $ ----- NON-PERSONAL EXPENSES: 1149 Sundry $ 15 $ ----- $ 6 $ 25 ll51 Travel & Meeting Exp. l,932 l,830 1,756 2,lOO ll73 Memberships 61 70 150 175 TOTAL EXPENSES $ 2,008 $ 1,900 $ l,9l2 $ 2,300 EQUIPMENT OUTLAY: 1185 Office Equipment $ 411 $ ----- $ 108 $ CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ I===___-~-- CITY OF TUSTIN, CALIFORNIA 26 Rev. - ----_c=--- ----- ANNUAL BUDGET ===--===--~-==------.c.'1 !I II II II ii :1 'I I______=~ --~ ---- - ACTIVITY 1101 llOl ll02 1149 ll51 1173 1185 - ------- u_u -----~ City Administrator Office ACCOUNT SERIE$ 1100 ---------- ------ COMMENTARY During 1968-69, community promotion, economic develop- ment, and annexations to the City will continue to be areas of major concentration. Completion of a Capital Improvements Program and the Civic Center Project, the Fire Sub-Station, and a Public Works Corporation Yard will also be programs during the new fiscal year. The position of Finance Analyst is reclassified to Assistant to the City Administrator, and transferred to this activity from the Finance Office. Functions of the position remain essentially the same. Based on the salary survey of positions in Southern California cities, an increase in the ranges of Assistant to the City Administrator and Administrative Secretary is budgeted. Salary for the position of City Administrator is shown as approved by the City Council. Overtime for Administrative Secretary position to be credited by compensory time-off in 1968-69. Items not charged to other accounts. Provides for mileage reimbursement and attendance at various meetings and conferences throughout the year. Annual memberships in various professional and govern- mental organizations are included in this account. Office equipment; not budgeted in 1968-69. -----c= CITY OF TUSTIN, CALIFORNIA 27 Rev. ---- ------ ------- ---------------- ANNUAL BUD GET =-----=-- --I 1200 i I II II II II il ------------ _____n_-- --------- ----- -------- ACCOUNT SERIES ACTIVITY City Clerk Office DESCRIPTION OF FUNCTIONS The City Clerk is an elected position and is entrusted with the corporate seal, papers, records, and other' official City documents as required by law. The Clerk also acts as Secretary to the City Council, and keeps the proceedings of the Council, including all ordinances and resolutions. The City Clerk also serves as City Treasurer and Office Supervisor. EXPENDITURES Classification 1966-67 Actual NON-PERSONAL EXPENSES. . 15,505 1967-68 1967-68 1968-69 Budget Estimate Budget $17,775 $l7,690 $23,021 13,960 15,090 13,005 459 463 464 PERSONAL SERVICES. . . . $13,171 EQUIPMENT OUTLAY. . . . . 742 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $29,418 $32,194 $33,243 $36,490 FUND DISTRIBUTION Classification 1968-69 Budget GENERALFUND......................$36,490 TRAFFIC SAFETY FUND.................. . I Ii II II ,! 'I II II Ii I I STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . TOTALFUNDS.......................$36,490 ===,=~~==~-~=~==- CITY OF TUSTIN, CALIFORNIA 28 ANNUAL ~ - ~-- ~~- ---_u- ~._. . --~- ---_.~- --- - -~ - ----~- ~ ACTIVITY --- --~--~-~ -- ~--~~ ~~----- ~~~ -~--- ~ ~-~--- - ---~-~--- City Clerk Office BUDGET I I A~r3~sNT -12-00 -----I ACCOUNT DISTRIBUTION Description 1966-67 Actual PERSONNEL (& Range Number): 1201 City Clerk 1 (150) 120l Office Supervisor 1 (8) 1201 Deputy City Clerk 1 (6) 1201 Intermediate Typist TOTAL POSITIONS 3 1202 Overtime $ n--- NON-PERSONAL EXPENSES: 12ll 1212 1231 1232 1234 1235 1236 1241 1249 1251 l271 1272 1273 Salary Survey $ 1,400 Filing Consultant 1,328 Office Supplies 1,779 Postage 724 Office Equipment Maint. 123 Office Equip. Rental 3,476 Printing 537 Departmental Supplies 716 Sundry 729 Travel & Meeting Exp. 224 Legal Advertising 4,370 Recruitment Expense 75 Memberships 24 TOTAL EXPENSES $15,505 1285 EQUIPMENT OUTLAY: Office Equipment $ 742 CAPITAL IMPROVEMENTS: None $ ----- 1967-68 1967-68 1968-69 Budget Estimate Budget 1 (150) 1 (150) 1 (150) 1 (ll) 1 (ll) 1 (16) 1 (9) 1 (9) 1 (lO) ~ (6) ~(6) 1 (6) 3~ 3~ 4 $ 50 $ ----- $ 50 $ ----- $----- $ 1,050 2,356 800 1,600 1,764 1,700 650 984 1,000 50 50 lOO 5,150 4,886 4,250 700 300 300 200 90 150 200 130 200 250 245 170 4,000 4,020 4,000 75 250 300 35 15 35 $13,960 $l5,090 $ 13,005 $ 459 $ $ 464 463 $ _nn $ ----- $ ------ --~~== CITY OF TUSTIN, CALIFORNIA =-_c..c=c~'~~.._~C -,~--== c=-=.-- I I Ii II I I I II Ii I: II II Ii ~_I! 29 -~ ~-~--- ----- ---- ACTIVITY 1201 1201 1202 12ll 12l2 1231 1232 1234 1235 l236 1241 1249 1251 ~--- ANNUAL BUDGET - ------- -~---- - ---~------ City Clerk Office ACCOUNT SERIES --~~?_O --- ---- --~ --~- - ------ COMMENTARY During 1968-69, the City Clerk will continue to maintain responsibility for general clerical activities in City Hall, the maintenance of Council agenda and records, and the retention of legal pub- lications. The position of Intermediate Typist is budgeted full time in the City Clerk's Office. One-half of this position was previously budgeted in the Police Department. Based on the salary survey of positions in Southern California, an increase in the ranges for Office Supervisor and Deputy City Clerk is budgeted. Overtime for clerical positions in City Clerk's Office. Provides for salary survey and job classification study conducted through outside contract; not budgeted in 1968-69. A records and file system consultant is again budgeted to assist the City in a program for major revision of all departmental record keeping and retention procedures. General office and clerical supplies. Mail-out of general administrative and clerical matters. Provides funds for maintenance on typewriters and other equipment as may be required. ---~=~~ CITY OF TUSTIN, CALIFORNIA ~-- I I I I :1 II II II í --C ~-c_=--=~ ---==,c== I Annual rental for postage machine and duplicator. Printing of various forms and documents used in general administration. The purchase of special supplies including minute and resolution books and state publications as required. Supplies not budgeted in other expenditure accounts are classified as sundry. Provides for attendance of the City Clerk to represent the City at various meetings throughout the year. 30 ---------------------- ------------ ANNUAL BUDGET ACTIVITY -- - -------- ----- -- --- ----- ACCOUNT 1200 SERIES City Clerk Office 1271 1272 1273 1285 Legal publication of notices, ordinances, and other actions as required by law. Publication of advertisements for position vacancies which may occur in the City service. Annual memberships in certain professional organizations. Provides for purchase of an electric typewriter to replace a unit no longer economically repairable. CITY OF TUSTIN, CALIFORi'~IA 31 - -- -- --- - --- ------- ------------- -- ANNUAL BUDGET ----------- ---- -------- - - - ____nH --- u- -- ----~ ACCOUNT 1300 SERIES ---- H____I I I I 1 ! -~-------- ------- ACTIVITY Finance Office DESCRIPTION OF FUNCTIONS The Finance Officer (City Administrator) is the chief fiscal officer of the City, and is responsible for establishing accounting procedures, maintaining fiscal records, preparing revenue estimates, con- trolling expenditures, and performing related duties. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $13,055 $16,156 $l6,l56 $ 6,576 NON-PERSONAL EXPENSES . . 2,576 2,120 2,170 1,855 EQUIPMENT OUTLAY. . 313 685 685 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $15,944 $18,961 $19,Oll $ 8,431 FUND DISTRIBUTION Classification 1968-69 Budget . $ 8,43l GENERAL FUND.................. TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . TOTALFUNDS.......................$8,431 --------------- CITY OF TUSTIN, CALIFORNIA 32 ------- - -- ---- - ------------ --- ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 Description Actual Budget Estimate PERSONNEL (& Range Number) : 1301 Finance Analyst 1 (19) 1 (20) 1 (20) 1301 Account Clerk 1 (5) 1 (8) 1 (8) TOTAL POSITIONS 2 2 2 ACTIVITY ~-------------------- --I~~~f;gNT 13O0~ ---I I I I I ANNUAL BUDGET ----------------------- Finance Office 1968-69 Budget 1 (9) 1 NON-PERSONAL EXPENSES: 13ll 1313 1334 134l 1349 135l 1373 Financial Consultant $ Payroll Accounting Office Equip. Maint. Departmental Supplies Sundry Travel & Meeting Exp. Memberships 500 1,079 $----- $----- $ ----- 1,400 l,320 l,400 23 220 480 430 450 297 25 50 50 $2,120 $2,170 $ l,855 481 50 466 TOTAL EXPENSES $ 2,576 1385 EQUIPMENT OUTLAY: Office Equipment $ 313 $ 685 $ 685 $ ----- CAPITAL IMPROVEMENTS: 1301 1301 None $ ----- $----- $ ----- $ ----- COMMENTARY During 1968-69, the Finance Office will continue to maintain all fiscal and accounting records. Payroll and cost accounting systems will be maintained under contract for computer services. An increase in the range for Account Clerk is budgeted as a result of the salary survey of Southern California cities. The position of Finance Analyst is reclassified to Assistant to the City Administrator and transferred to the City Administrator's Office. -========_-=00=== CITY OF TUSTIN, CALIFORNIA 33 -.u -..,-.-- ---- ------ ------..- ANNUAL U"A:COUNT 1300--11 SERI~$____------.I I ACTIVITY BUDGET -- --- -------------- Finance Office -------- 13ll 1313 1334 1341 1349 135l 1373 Consultation regarding revised accounting procedures in connection with entry in Municipal Accounting Awards competition; not budgeted in 1968-69. Automatic machine processing of City payroll and depart- mental accounting systems by outside contract for the fiscal year. Maintenance or repair of office machines not anticipated in 1968-69. Includes the cost of special accounting forms and other supplies required in this activity. Items not charged to other accounts; not budgeted in 1968-69. Provides for mileage reimbursement of Account Clerk as necessary. Annual memberships in professional organizations; not budgeted in this activity in 1968-69. CITY OF TUSTIN, CALIFORNIA 34 __H__¡ A~r&M~T_- =-~~~----I ---.----- ------ -...- ------ -- -- ANNUAL BUDGET Cí£y Attorney --------- . ACTIVITY ._---~-_.. ._--_.__.__._~-----_._---- ---- DESCRIPTION OF FUNCTIONS The City Attorney is the legal counsel for the City and advises on contracts, legislation, and other City actions. The County District Attorney serves as City Prosecutor in the adjudication of violators of City ordinances. EXPENDITURES Classification 1966-67 Actual 1967-68 1967-68 1968-69 Budget Estimate Budget $ 2,400 $ 2,400 $ 2,400 9,600 10,264 10,700 PERSONAL SERVICES. . . . $ 2,400 NON-PERSONAL EXPENSES. . 9,524 EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $ll,924 $l2,000 $12,664 $13,100 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . . . . . . . $13,100 TRAFFIC SAFETY FUND. ............... STATE PURPOSE TAX FUND. . . . .......... GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . TOTALFUNDS.......................$13,100 ------ - CITY OF TUSTIN, CALIFORNIA =c=oc.===-o.-c=- o. ~-_.__..__.____..m._. I I i I I I I I I II I Ii .'1 35 I ..~c~~~~ A N ~U~ B:G E T ~.~- AC~OUNT-;':-=! I_ACTIVITY C~~~~torney ~--~~--~-~- S~RIES ~-----~- ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL (& Monthly Rate): 1501 City Attorney 1 (200) 1 (200) 1 (200) 1 (200) TOTAL POSITIONS 1 1 1 1 NON-PERSONAL EXPENSES: 15ll Legal Fees (City Attorney) $ 9,448 $ 9,000 $lO,OOO $10,000 l5l2 Legal Fees (Others) 5 82 100 1515 Codification 71 600 182 600 TOTAL EXPENSES $ 9,524 $ 9,600 $10,264 $10,700 EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- COMMENTARY 1501 Normal legal services of the C~ty Attorney. 15ll Extraordinary services by the City Attorney, including right-of-way condemnation proceedings, obtaining court orders, and representing the City in court. 1512 Legal services performed for the City by other than the City Attorney. 1515 Annual codification of the City's adopted ordinances is performed by outside contract. CITY OF TUSTIN, CALIFORNIA 36 ------- m - -- - -_.- -- ------------------- ANNUAL BUDGET -------------- ----------- -.---------------------- -----.- ----- ACCOUNT - l600 SERIES ----- ACTIVITY Planning ~------- DESCRIPTION OF FUNCTIONS The Planning Department is responsible for admin- istering the comprehensive General Plan, which describes projected long-range development of the City; processes variance and special use permit requests; and makes recommendations to the Planning Commission and City Council regarding other planning matters. EXPENDITURES Classification 1966-67 Actual NON-PERSONAL EXPENSES. . 8,985 1967-68 1967-68 1968-69 Budget Estimate Budget $28,370 $27,123 $30,353 13,128 6,600 9,288 542 514 186 PERSONAL SERVICES. . . . $21,553 EQUIPMENT OUTLAY. . . . . 354 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $30,892 $42,040 $34,237 $39,827 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND..................... .$39,827 TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND . . . . . . . TOTALFUNDS.......................$39,827 CITY OF TUSTIN, CALIFORNIA 37 ANNUAL BUDGET 11~;:~I1Y~ . Píanning --- I -----~----- - - ,------ -------- ------ '-J 1600 I ACCOUNT SERIES - ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL (& Range Number): 1601 Planning Director 1 (21) 1 (22) 1 (22) 1 (23) 1601 Assistant Planner 1 (15) 1 (16) 1 (16) 1 (16) 1601 Draftsman ~ (9) J:í(ll) J:í,(ll) ~ (ll) 1601 Secretary 1 (6) 1601 Sr. Stenographer Clerk 1 (9) 1 (9) 1 (lO) TOTAL POSITIONS 3~ 3~ 3~ 3~ 1602 Overtime $ 115 $ 300 $ 150 $ 250 NON-PERSONAL EXPENSES: 16ll 1631 1632 1634 1636 1641 1648 1649 1651 l673 1674 Planning Consultant Office Supplies Postage Office Equip. Maint. Printing Departmental Supplies Special Expense Reimb. Sundry Travel & Meeting Exp. Memberships Publications $ 3,737 405 119 55 806 360 l,885 $ 4,500 $ 1,700 $ 2,000 500 492 600 150 120 150 50 16 25 3,790 1,000 2,750 400 400 600 1,740 1,740 1,740 20 1,600 728 1,000 l80 l66 l80 218 218 243 $13,l28 $ 6,600 $ 9,288 1,329 157 132 TOTAL EXPENSES $ 8,985 EQUIPMENT OUTLAY: 1685 1686 Office Equipment Special Equipment TOTAL EQUIPMENT $ ----- 354 $ 312 230 542 $ 341 173 514 $ 186 $ $ 354 $ $ 186 CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- -==c==--- --~-== CITY OF TUSTIN, CALIFORNiA ====~===-====-- i i II Ii II 'I II II II II I' .Ii 38 -- ---- --------- n - ---------~------- ---- ANNUAL BUDGET - --- --_u- ---':COUNT 160 O~~ SERIES -------- ACTIVITY 1601 160l 1602 1611 1631 1632 1634 1636 1641 1648 1649 Planning ----- -- ------ COMMENTARY Planning projects during 1968-69 are expected to be similar in scope and volume to those of 1967-68. This will include such activities as zoning admin- istration and ordinance revisions. Advance planning projects will include the continuation of studies for the South Tustin Area and Town Center Area as part of the General Plan. In addition, the department antici- pates the completion of a revised Zoning Ordinance during the fiscal year. The revised Ordinance will result in more effective zoning administration through the simplification of many of the current provisions. Based on the salary survey of Southern California cities, an increase in the ranges for Planning Director and Senior Stenographer Clerk is budgeted. One position of Draftsman is budgeted half-time in this department and in Public Works Administration to develop graphic layouts, prepare maps, and perform other engineering and planning drafting. Overtime for all Planning positions. A consultant is employed to assist the Planning staff in the overall development of the General Plan. General office supplies and materials. Mail-out of Planning matters. Maintenance of office machines as required during 1968-69. Printing of the revised Zoning Ordinance, apartment survey, Town Center Plan and other publications is included in this account. Various supplies including lettering templates and other materials. Reimbursement of expenses incurred by members of the Planning Commission in conducting planning business and related matters. Items not specifically charged to other accounts; not budgeted in 1968-69. ---~=~ CITY OF TUSTIN, CALIFORNIA i 'I -=~c~"=_JI . ------- ---- 39 Ii il , it il II I I i ,I II II i I, '1 I, Ii II Ii II I: II Ii I' II II II 'I I, II I' I Ii Ii II II I II II II II II II II II II I' Ii II II II :1 " II Ii ACTIVITY 165l 1673 1674 1685 1686 ß,NNUAL BUD GET "',""". -----~~'='C'==='C=--~'.'.'="-'-'---"=C" !/ II \ ACCOUNT - -------q - __~E_RIEL_- 1600 I Planning Provides for mileage reimbursement and the attendance of the Planning Commission and Planning staff to represent the City at various meetings and conferences throughout the year. Annual memberships in various professional organizations. Paid subscriptions and publications related to Planning. Provides for the purchase of a Kardex file for the installation of a new filing system in the department. Special departmental equipment; not budgeted in 1968-69. CITY OF TUSTIN, CALIFORNIA :~, 40 Ii ,I II Ii ACTIVITY II Ii 'I II Ii ANNUAL BUDGET Government Buildings \Ä~~3gNT- 1800 -" - -----------"- ------------- DESCRIPTION OF FUNCTIONS The cost of operating the City Hall, and utilities, telephone, and custodial charges not distributed to other departments are incurred in this account series. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $ 5,775 $ 5,552 $ 5,192 $12,113 NON-PERSONAL EXPENSES . . 7,002 6,800 8,63l 8,550 EQUIPMENT OUTLAY. . . 658 CAPITAL IMPROVEMENTS. . . 17,576 65,000 90,000 63,500 TOTAL ACTIVITY. . . . . . $31,Oll $77,352 $103,823 $84,163 FUND DISTRIBUTION Classification 1968-69 Budget . . . . . . . . . . . . . . $84,163 GENERAL FUND. . . . . TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . .'. . . . GASOLINE TAX FUNDS. . . . . . .......... SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND . . . . TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . . $84,l63 -~"---="""-_."=c=."' CITY OF TUSTIN, CALIFORNIA i I I I i !I II II Ii II I II II I' II II II II II ___"ll 41 ANNUAL BUDGET C~.=C===~-~~==-~~=--==.=CC=-=-'~~--=~~-II \ ACCOUNT 1800 II SERI ES i -.- .-------- .-- --"'.-------11 I ACTIVITY Government Buildings ACCOUNT DISTRIBUTION Description 1966-67 Actual 1967-68 Budget 1967-68 Estimate 1968-69 Budget PERSONNEL ( & Range Number): l80l Custodian 1 (6) 1 (7) 1 (7) 2 (8) TOTAL POSITIONS 1 1 1 2 1802 Overtime $ 154 $ 360 $ ----- $ 400 NON-PERSONAL EXPENSES: 1821 Building Rental $ 75 $ 600 $ 600 $ 600 1823 Build. Repair & Maint. 1,543 800 2,367 2,000 1824 Utilities 1,280 1,250 768 850 1833 Telephone 3,386 3,500 3,840 4,000 1841 Departmental Supplies 718 650 1,056 l,100 TOTAL EXPENSES $ 7;002 $ 6,800 $ 8,631 $ 8,550 EQUIPMENT OUTLAY: 1886 Special Equipment $ 658 $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: 1881 Land Acquisition 1882 Buildings TOTAL IMPROVEMENTS $ 2,529 15,047 $17,576 $65,000 $90,000 $ 61,500 2,000 $ 63,500 $65,000 $90,000 CITY OF TUSTIN, C"LlFORNI,A, 42 /\CT!Vi Tf 180l 1801 1821 1823 1824 1833 1841 1881 1882 1886 ANNUAL BUDGE! Government Buildings \ ACCOUNT I SERiES 1800 COMMENTARY The position of Maintenanceman formerly budgeted in the Park Facilities budget is transferred to this budget to indicate more accurately the use of the position. The position is also reclassified to Custodian in keeping with the actual duties. Based on the salary survey of Southern California cities, an increase in the range for Custodian is budgeted. Rental of building for City Council and various Commission meetings. Minor repairs and modifications to City buildings as may be required throughout the year. Cost of gas, water, and electric service at City Hall. Includes basic monthly charge and toll service of all departments on the City Hall telephone number. Purchase of janitorial and other miscellaneous supply items. Purchase of Parcel No.2 at the Civic Center site, as well as remaining option payments on the Civic Center parcels, are included in this account. Construction costs of additional office space for Building Regulation and Public Works Departments. Special equipment; not budgeted in 1968-69. ,;:¡Y OF TUSTI!\!, CALlFOR.Ni/' 43 ANNUAL BUDGE., f\CTiViTY Community Promotion I ACCOUNT i SERiES 2000 DESCRIPTION OF FUNCTIONS The promotion of the City is an important function of municipal government and the cost of publications, advertisements, and the support of civic organizations are included in this activity. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . $ ----- $ ----- $ ----- $ ----- NON-PERSONAL EXPENSES . . 5,744 13,100 13,437 15,595 EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. 240 TOTAL ACTIVITY. . . . . . $ 5,984 $13, lOO $13,437 $15,595 FUND DISTRIBUTION Classification 1968-69 Budget ............$15,595 GENERAL FUND. TRAFFIC SAFETY FUND.................. . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND .......... TOTALFUNDS.......................$15,595 CiTY OF TUSTiN, CALIFORNiA 44 ¡\CTIVlfY ANNUAL BUDGET Community Promotion I ACCOUNT SERiES 2000 ACCOUNT DISTRIBUTION Description 1966-67 Actual 1968-69 Budget 1967-68 Budget 1967-68 Estimate PERSONNEL: None NON-PERSONAL EXPENSES: 2073 2074 2075 2076 2079 Memberships Publications Contributions Community Advertising Sundry Activities $ $ 670 $ 667 $ 865 80 80 12,000 12,450 14,150 250 250 100 320 250 $13,100 $13,437 $15,595 667 5 3,932 641 499 TOTAL EXPENSES $ 5,744 EQUIPMENT OUTLAY: $ ----- $ ----- None $ ----- $ ----- 2083 CAPITAL IMPROVEMENTS: 2073 2074 2075 2076 2079 2083 Entrance Signs $ 240 $ ----- $ ----- $ ----- COMMENTARY Community promotion during 1968-69 will include advertising in publications and financial support of the Tustin Chamber of Commerce. In addition, the City will participate in organizations such as the League of California Cities and the Orange County branch of the League. City membership in various governmental organizations including the League of California Cities. Various paid subscriptions for publications of City interest. Contributions to civic organizations of City-wide benefit, which may be made throughout the year. Advertising in various publications of City-wide benefit. Special meetings to be conducted throughout the County during 1968-69. Expenditure in 1966-67 for City entrance signs on Fourth and Seventeenth Streets. :~:TY OF TUSTIN, CALIFORNI,P, 45 ANNUAL BUDGE1 I\CTIVIT Y Elections i ÀCCOUNT I . SEBI~~- 2100 DESCRIPTION OF FUNCTIONS The cost of conducting a special municipal election including City elective offices, annexation elections, and ballot propositions on State-wide primary or general elections is included in this account series. EXPENDITURES Classification 1966-67 Actual 1967-68 1967-68 1968-69 Budget Estimate Budget $ ----- $ ----- $ ----- 1,490 1,498 2,200 PERSONAL SERVICES. . $ ----- NON-PERSONAL EXPENSES. . 448 EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $ 448 $ 1,490 $ 1,498 $ 2,200 FUND DISTRIBUTION Classification 1968-69 Budget . . . . . . $ 2,200 GENERAL FUND. . . . . . . . . . TRAFFIC SAFETY FUND. . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND ............. TOTAL FUNDS...................... .$2,200 ::'TY OF TUSTiN, CALIFORNi¡\ i I, - 'I II Ii 1 I i I I II II 'I " iI 'I I' II ~ I :1 II II II !I ~ I 'I II ,I ,I II II II II II Ii II II I' I I' ! 46 ¡,\CTIVITY ANNUAL BUDGET Elections I ACCOUNT SERIES -- -- -- -------- 2ioo ACCOUNT DISTRIBUTION Description 1966-67 Actual 1968-69 Budget 1967-68 Budget 1967-68 Estimate PERSONNEL: None NON-PERSONAL EXPENSES: 21ll 2112 2121 2132 2141 Registrar of voters Election officials Polling place rent Postage Departmental supplies $ $ 12 114 30 44 248 448 $ 60 525 75 130 700 $ 1,490 60 594 $ 50 700 250 200 l,OOO $ 2,200 173 671 $ l,498 II II II !I II II II II I, 'I Ii iI II ii Ii Payments to County Registrar of Voters for preparation of II indices and mail out of sample ballots. i Polling place officials paid for their services during election. Ii Rental for polling places in private homes or búildings. I! II II Ii " Election supplies including ballots, keys, flags, polling place Ii cards and tally sheets. II II II " " I' !I I, TOTAL EXPENSES $ EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: 2ll1 2112 2121 2132 2149 None $ ----- $ ----- $ ----- $ ----- COMMENTARY Postage for mailing sample ballots and notices. CiTY OF TUSTIN, CALIFORNIA 47 ANNUAL BUDGEl ACTIVITY Other Non-Departmental I ACCOUNT SERIES 2300 DESCRIPTION OF FUNCTIONS Expenditures under this account series apply to all City activities, and therefore are classified as "Non-Departmental". EXPENDITURES NON-PERSONAL EXPENSES. . 47,686 1967-68 1967-68 1968-69 Budget Estimate Budget $ ----- $ ----- $ ----- 98,342 89,558 120,945 Classification 1966-67 Actual PERSONAL SERVICES. . . . $ ----- EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $47,686 $98,342 $89,558 $120,945 FUND DISTRIBUTION GENERAL FUND. . . . . . . . . . . 1968-69 Budget . . $120,945 Classification TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . ......... TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . . $120,945 :iTY OF TUSTIN, CALIFORNI/\ 48 ACTIVITY ANN U A L BUD G E T---------I Other Non-DepartmentalW----n_---- \A<§~9PsNT---2300----1 ----- ------------------------1 ACCOUNT DISTRIBUTION Description 1966-67 Actual 1967-68 Budget 1967-68 Estimate 1968-69 Budget PERSONNEL: None NON-PERSONAL EXPENSES: 2311 Auditing $ 2,305 $ 2,500 $ 2,500 $ 5,000 2312 General Insurance 21,504 23,500 24,710 32,000 2313 Health Insurance 5,245 6,650 6,420 7,500 2314 Retirement 16,021 64,000 54,000 74,500 2315 Special Census 382 255 255 310 2316 Surety Bonds 125 637 273 135 2348 Tuition Reimbursement 2,104 800 1,400 1,500 TOTAL EXPENSES $47,686 $98,342 $89,558 $120,945 EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ -,.-=c.",==-,,====c===,,-=' CITY OF TUSTIN, CALIFORNli\ 49 -------- ANNUAL BUDGET I I~Ä~rn~NT--2J 0 0 -~I I Other Non-Ðepartmental- ~ ~ - -~~-~ ACTIVITY ~~ -~ m ~~~~~---- COMMENTARY While there are no major changes contemplated in this budget for 1968-69, there are increases in budgeted expenditures. In the retirement account, this results from salary increases and newly budgeted positions. Increased audit services are also included as well as provision for greater Workman's Compensation costs. At the present time, there are no changes anticipated in Social Security contribution rates. 2311 An independent audit of the City's financial records each quarter, and the preparation of certain State reports are included in this account. 23l2 General liability insurance, State Compensation, and employee life insurance coverage. 2313 Contribution by the City for health insurance coverage of employees, excluding dependents. 2314 Coverage of employees in the Social Security System, and the Public Employees' Retirement System. 23l5 State special census requested in the 1969 calendar year to permit the City to receive the maximum in State allocated funds which are based on population. 2316 Annual premium of surety bond covering the position of City Treasurer. 2348 Reimbursement of portion of tuition fees of employees for educational courses successfully completed, which relate to performance on the joB. CITY OF TUSTIN, CALIFORNiA 50 r'=-~~=~~-~~~-C=~~~==n=== ANN U A L I I I I ACTIVITY I I Ii I BUD GET ~ mnn -P~rggNTnn3000 -=-11 - --______m______-------~ 'I DESCRIPTION OF FUNCTIONS _n______-- ------ Disaster Services I I i II II II II 'I II I I I I i Ii II I' II Ii ,I I: Ii II Ii II I 'I II II 'i II II II II II II The function of this activity is to assist the Director of Civil Defense (City Administrator) in disaster planning, public information, and the coordination of emergency action in order to insure the welfare of the public in the event of natural or man-made disasters. EXPENDITURES 1966-67 Actual 1967-68 1967-68 1968-69 Budget Estimate Budget $ 5,982 $ 6,356 $ 3,374 2,620 1,981 2,450 Classification PERSONAL SERVICES. . . . $ 5,032 NON-PERSONAL EXPENSES. . 1,425 EQUIPMENT OUTLAY. . . 206 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $ 6,663 $ 8,602 $ 8,337 $ 5,824 FUND DISTRIBUTION Classification 1968-69 Budget . . . . . . . $ 5,824 GENERAL FUND. . . . . . TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . II II II II II II [I I II STATE PURPOSE TAX FUND. . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . TOTALFUNDS.......................$5,824 -------------~==c= CiTY OF TUSTIN, CALIFORNIA ='c.,.-."'====--,-_.,_.~-~=",,-===_.==cc~,=._c=.==,.1 51 Rev. ---c==== ANNUAL -~=I mm__-_mnlmA~~3PSNT --3000---: ____un_~__m --------------------------11 ACCOUNT DISTRIBUTION r===""'== I ACTIVITY I I I I I I I I II II I, II II I' II I I I ! Disaster Services BUDGET Description PERSONNEL (& Salary Rate): 3003 Coordinator of Disaster Services 3003 Director of Civil Defense 3003 Secretary C.D. 3003 Typist Clerk TOTAL POSITIONS NON-PERSONAL EXPENSES: 1966-67 Actual 1967-68 Budget 1967-68 Estimate 1968-69 Budget 1 (17) 1 (16) 1 (l6) 1 (16) 1 (1. 50) 1 (1.76) 1 (1. 76) 1 (4) 2 2 2 2 3011 Coordinator Consultant$----- 3024 utilities 149 3031 Office Supplies 390 3032 Postage 26 3036 Printing 104 3041 Departmental Supplies 52 3044 Special Equip. Maint. 305l Travel & Meeting Exp. 3073 Memberships TOTAL EXPENSES EQUIPMENT OUTLAY: i I I I II I II II I, I I I I I I I I II II 3085 Office Equipment CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ 1,000 270 140 200 500 399 150 300 150 50 350 100 lOO 400 420 200 500 750 750 200 50 22 50 $ 2,620 $ l,981 $ 2,450 682 22 $ 1,425 $ 206 $ ----- $ ----- $ ----- $ ----- $ ----- $ ----- $ ----- -----,--~------===-= CITY OF TUSTIN, CALIFORNIA 52 Rev. ANNUAL BUDGET ---I Di sa~-t:~~-Serv ic-es------~--------- -1- A~r3~~NT -3-0 0 0---1 ACTIVITY 3003 3003 3011 3024 3031 3032 3036 3041 3044 3051 3073 3085 COMMENTARY This activity, formerly Civil Defense, is now reorganized as Disaster Services to more accurately reflect the duties of the office. The City Administrator has been assigned the additional duty of Director of Civil Defense. The position of Coordinator of Disaster Services will assist and act as consultant to the City Administrator in disaster planning, development of emergency procedures, and dissem- ination of information to the public in order to provide more effective City services in the event of disaster. On or before January 1,1969, detail functions of the Disaster Office, including the preparation of forms and correspondence, and inventory responsibility, other than consulting services, will be added to the Fire Department. The position of Director of Civil Defense is deleted and the duties assigned to the City Administrator. The position of Coordinator of Disaster Services, primarily on a consulting basis, is established to assist the City Administrator in these activities. The part-time Secretary position is deleted and the position of Typist Clerk established at Range 4 (part-time) to January 1,1969. See 3003 above. Utilities budgeted for the Disaster Services office on "D" Street. General office supplies and materials. Mail-outs to the public and other organizations. Outside printing of various forms and stationery. Special supplies including maps, overlay paper, batteries, and medical supplies. Inspection and cleaning of warning siren above Fire Department. Provides for mileage reimbursement and the attendance at various meetings throughout the year. Annual memberships in various organizations. Purchase of office equipment; not budgeted in 1968-69. - ,.-cc..,=c,..c,~,.~c,="=-===~==='= CITY OF TUSTIN, CALIFORNIA 53 Rev. n - - --_____--mU -------------- ANNUAL BUDGET - I I ACTIVITY ---------- ---- A~r3~~T_- 3200_____- ------------------ Building Regulation DESCRIPTION OF FUNCTIONS Building regulation services are necessary to insure that all buildings and structures in the City, which exist or are constructed, comply with minimum standards of safety and sanitation. Such services include building, plumbing, and electrical inspection; issuing permits; plan checking; and the administration and enforcement of building, zoning, signs, and related codes and ordinances. EXPENDITURES NON-PERSONAL EXPENSES. . 4,22l' 1967-68 1967-68 1968-69 Budget Estimate Budget $41,274 $41,586 $43,855 3,655 3,8l5 4,356 115 357 l53 Classification 1966-67 Actual. PERSONAL SERVICES. . . . $39,624 EQUIPMENT OUTLAY. . . . 101 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $43,946 $45,044 $45,758 $48,364 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . $48,364 TRAFFIC SAFETY FUND. . . . . . GASOLINE TAX FUNDS. . . . . . . . . . I I II Ii ï I I II CALIFORNIA o~~c-~=c==~~=====--- J 54 . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . TOTALFUNDS.......................$48,364 CITY OF TUSTIN, A!\'NlJ/\L nUDGE! \C:T!'/¡TY Building Regulation I .A.CCOU~H ! SERIES 3200 ACCOUNT DISTRIBUTION Description 1966-67 Actual 1967-68 Budget 1967-68 Estimate 1968-69 Budget PERSONNEL (& Range Number): 3201 Chief Building Inspector 1 (2l) 3201 Building Director 1 (20) 1 (20) 1 (20) 320l Plan Checker 1 (l6) 1 (16) 1 (16) 1 (17) 3201 Building Inspector 2 (15) 2 (15) 2 (15) 2 (l6) 3201 Secretary 1 (6) 3201 Stenographer Clerk 1 (7) 1 (7) 3201 Intermediate Typist Clerk 1 (6) TOTAL POSITIONS 5 5 5 5 NON-PERSONAL EXPENSES: 32ll Outside Plan Checking $ 383 $ 400 $ 400 $ 500 3212 Unsafe Building Demolition 603 3224 Utilities 242 220 290 250 3231 Office Supplies 250 200 200 190 3232 Postage 54 75 50 50 3234 Office Equip. Maint. 70 60 60 60 3236 Printing 146 l60 l60 671 3241 Departmental Supplies 77 90 60 70 3249 Sundry 54 60 60 3251 Travel & Meeting Exp. 2,138 2,225 2,275 2,300 3273 Memberships l20 115 ll5 125 3274 Publications 84 50 145 140 TOTAL EXPENSES $ 4,221 $ 3,655 $ 3,815 $ 4,356 EQUIPMENT OUTLAY: 3285 Office Equipment $ 101 $ 115 $ ll5 $ l53 3286 Special Equipment 242 TOTAL EQUIPMENT $ lOl $ ll5 $ 357 $ l53 CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- ::!T'( OF TUSTIN, CALIFORNL"'- 55 ACTIV!T't ,.iU"¡ N U Ie. l BUD~;,i::l ~uilding Regulation \ ACCOUNT , SERIES 3200 COMMENTARY Building Department activities showed a significant increase in 1967-68 over the previous year with estimated revenues of $l20,000 as compared to $35,091 for 1966-67. New construction for 1968-69 is not expected to reach the levels of 1967-68 although developments during the year could alter this condition significantly. 320l The position of Building Director is reclassified to Chief Building Inspector at Range 21. The position of Stenographer Clerk is deleted and the position of Intermediate Typist Clerk is established at Range 6. 320l 3211 3212 3224 3231 3232 3234 3236 3241 3249 3251 3273 3274 3285 3286 Based on the salary survey of Southern California cities, an increase is budgeted for the positions of Building Inspector and Plan Checker. Review and checking of major building plans by outside contract are included in this account. Removal of condemned building from site in 1966-67. expended by City was recovered from property owner. Amount Gas, electric, and water service. General office supplies. Mail-out of various building regulation matters. Repair and maintenance of office machines. Printing of permits and other forms. Special supplies include film, tracing paper, and other items. ' Items not covered by other specific accounts; not budgeted in 1968-69. Mileage reimbursement and attendance at various meetings of departmental personnel throughout the year. Annual memberships in various building professional organizations and associations. Purchase of building, electrical, plumbing, and heating codes and their supplements. One storage rack for filing project plans is budgeted. Special equipment; not budgeted in 1968-69. :::1' OF TUSm~, CALIFORNI!\ 56 ANNUAL BUDGET ==='C"C==~~==C'C"C='-C-II II \ -.------- -"-'-----------'-'-,'1 ACCOUNT 3400 I SERIES ¡ --------_._-,-------~._---- - ;1 ACTIVITY Police DESCRIPTION OF FUNCTIONS Police services provide protection to life and property and include traffic control, crime prevention and repression, criminal apprehension, crossing guards, and recovery of stolen and lost property. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $145,175 $l72,557 $l8l,000 $217,876 NON-PERSONAL EXPENSES . . 22,302 25,l03 28,025 28,550 EQUIPMENT OUTLAY. . . . 6,845 13,464 l4,559 9,707 CAPITAL IMPROVEMENTS. ' ----- TOTAL ACTIVITY. . . . . . $174,322 $2ll,124 $223,584 $256,133 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . ..............$161,383 TRAFFIC SAFETY FUND. . . . . . . . . . . . . 3,000 STATE PURPOSE TAX FUND. . . . . . . . . . . . . . 91,750 GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND . . . . ----- - TOTALFUNDS.......................$256,133 CITY OF TUSTIf--J, C,\UFORNi;\ 57 ACTIVITY Police ANN U A L BUD GET ==~==-=-=--==-===C====~II \ A~~&~~NT --34 Do-~-ii ACCOU:: 6 :~:RiB::~~-6~---:9:- 6 8 ---~:~-8-~6-9------- --II Actual Budget Estimate Budget Description PERSONNEL ( & Range Number): 3401 Police Chief 1 (22) 1 (23) 1 (23) 1 (24) 3401 Police Lieutenant 1 (17) 1 (18) 1 (18) 1 (19) 340l Police Sergeant 3 (l6) 3 (17) 3 (l7) 4 (l8) 3401 Sergeant Investigator 1 (17) 1 (17) 1 (18) 3401 Police Investigator 2 (14) 2 (15) 2 (15) 4 (16) 3401 Policeman 8 (12) 7 (14) 7 (14) 8 (15) 3401 Policewoman 1 (8) 3401 Secretary !:í(6) 3401 Dispatcher Clerk 4 (5) 5 (8) 5 (8) 5 (9) 3401 Intermediate Typist Clerk !:í (6) !:í (6) 1 (6) 3403 Crossing Guard 3 (1. 65) 3 (1. 75) 3 (1. 75) 3 (1. 75) TOTAL POSITIONS 23!:í 23~ 23~ 28 3402 Overtime $12,58l $ 9,000 $14,542 $ 9,000 3404 Reserves 3,948 6,000 8,052 5,000 NON-PERSONAL EXPENSES: 34ll County Jail $ $ 300 $ 300 $ 300 3412 Medical Examinations 600 800 800 400 3424 Utilities 1,278 1,300 1,300 l,300 3431 Office Supplies 1,369 l,400 1,400 1,400 3432 Postage 147 200 200 200 3433 Telephone 2,068 2,220 2,220 2,220 3434 Office Equip. Maint. 164 250. 230 250 3436 Printing 648 500 1,180 900 3441 Departmental Supplies 1,822 2,000 2,339 3,000 3443 Uniforms 2,124 l,970 l,670 1,800 3444 Special Equip. Maint. 226 370 370 350 3445 Special Equip. Rental 330 372 372 1,760 3449 Sundry 867 465 1,688 300 3451 Travel & Meeting Exp. 236 650 650 650 3454 Vehicle Operation 4,815 5,340 5,340 5,200 3455 Vehicle Maintenance 5,305 6,500 7,500 7,500 3473 Memberships 303 466 466 520 3474 Publications 500 TOTAL EXPENSES $22,302 $25,l03 $28,025 $28,550 EQUIPMENT OUTLAY: 3484 Motor Vehicles $ 6,129 $11,000 $12,588 $ 5,730 3485 Office Equipment 233 700 482 1,477 3486 Special Equipment 483 1,764 1,489 2,500 TOTAL EQUIPMENT $ 6,845 $13,464 $14,559 $ 9,707 CAPITAL IMPROVEMENTS: None $ ----- $ n_n $ ----- $ --_n ",..,c~=,=,,~-,-~,,~,=. CITY OF TUSTIN, CALIFORNIA 58 ACTIVITY 3401 3402 3404 3411 34l2 3424 3431 3432 3433 3434 3436 3441 - -"--_.~-----."'-----"--,-C',,.-=c,-==co ANN U A L BUD GET =------------------=~==-=~I .______n ---._u_----..------ -----------...- I I ACCOUNT 3400 --I .._____m____--___nSERI~ ----------1, II I Police COMMENTARY Major changes in the 1968-69 budget include the addition of 4.5 positions including one Sergeant, two Investigators, one Policeman, and full year budgeting for the Intermediate Typist Clerk position. The additional Sergeant and Policeman positions will allow a four man City-wide patrol on most shifts. This will in part meet the 10.4% increase in criminal activity during 1967-68. The two Investigator positions are re- quired to meet the rapid increase in narcotics, theft, and forgery cases. In 1966, there were three narcotics arrests in Tustin. In 1967, this number had increased to 37, and the projected arrests for 1968 should exceed 160. The Intermediate Typist Clerk position is budgeted full time to meet reporting and transcript requirements associated with increased arrests and caseloads. As a result of the salary survey of Southern California cities, increases are budgeted for all positions in the Department with the exceptions of Intermediate Typist Clerk and Crossing Guard. Overtime for regular personnel over normal duty hours. Utilization of Police Reserves as required during the year. Detention of persons violating City ordinances in the Orange County Jail until sentenced by the courts. City-wide (all departments) medical examinations for new personnel. Electric service for police and fire facilities. General office supplies. Mail-out of police matters. Includes basic monthly charge and toll services. Maintenance of a photo-copier, mimeograph machine, and typewriters. Printing of various forms and other records. Special supplies include ammunition, badges, helmets, flares, film, and other items. -,,===~==.===== CITY OF TUSTIN, CALIFORNIA 59 ACTIVITY 3443 3444 3445 3449 345l 3454 3455 3473 3474 3484 3485 3486 =11 ----=[ ~~~9~~~~==-~~~~-----~-11 I ANNUAL BUD GET ==-~-==~~-='- Police ---------------------- Uniform replacement as required throughout the year. Radio and radar maintenance costs. Rental of a two-way teletype receiver with direct wire to the Orange County Communications Center, and connecting systems to other cities throughout the State. Items not budgeted in other accounts. Provides for attendance of departmental personnel at various meetings throughout the year and other expenses in connection with court appearances and extradition. Gasoline, oil, and lubrication of the nine budgeted assigned vehicles. Non-routine maintenance and upkeep of the assigned vehicles. Annual memberships in various police organizations, including annual firing range membership costs for each employee. Publications, films, and data available through national police organizations and the F.B.I. Purchase of two new patrol vehicles to replace two units currently in use. One electric typewriter, one filing cabinet, and dictation equipment to be used primarily for Investigator's reports. Special equipment includes replacement of one mobil radio unit, replacement of the main console transmitter and receiver and miscellaneous minor equipment items. ._CC_".-'___===n===== CITY OF TUSTIN. CALIFORNif\ 60 ANNUAL BUD GET ========~====_c . - II I A~~9gNT;~~~ - - ---! I . -------------- ,-------! I ACTIVITY Fire DESCRIPTION OF FUNCTIONS The Fire Department protects the public safety by fire prevention inspections, public education, extinguishing fires, and investigating fire causes. The program of fire defense for the City is designed to provide sufficient apparatus and trained personnel so distributed as to insure both quick and effective response to a fire alarm in order to reduce the loss of life and property. Detail activities of Disaster Services (Civil Defense) have been added as a function of this department, beginning with the 1968-69 fiscal year. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $71,405 $ 9l,887 $ 91,570 $ll2,161 NON-PERSONAL EXPENSES . . 9,004 11,268 11,622 11,631 EQUIPMENT OUTLAY. . . . . 7,783 7,488 6,970 lO,278 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $88,192 $110,643 $110,162 $134,070 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. ...... . . . . . . . . . $ll9,070 TRAFFIC SAFETY FUND. . . . . . . . . . STATE PURPOSE TAX FUND. . . . . ......... lS,OOO GASOLINE TAX FUNDS. . . . . . . . . . . . . SEWER MAIN TRUNK FUND. ........... CITY BEAUTIFICATION FUND. . . . . . . . . . . . . TOTALFUNDS....................... $134,070 ....-... - -----------.-. ..-.---- --. .--------,------. . CITY OF TUSTIN, CALIFORNIA ~.... . . - .- _.___n_._U__-----"--- 61 Rev. ACTIVITY Fire ANNUAL BUDGET -_u- ---- ACCOUNT DISTRIBUTION Description 1966-67 Actual PERSONNEL (& Range Number): 3501 350l 3501 350l 3501 3501 3501 3501 3501 Fire Chief Asst. Fire Chief Relief Commanding Fire Captain Fire Engineer Fireman Secretary Dispatcher Clerk Fire Marshal TOTAL POSITIONS 3502 Overtime 3504 Volunteer Firemen NON-PERSONAL EXPENSES: 3511 3524 3531 3532 3533 3534 3536 3541 3542 3543 3544 3549 355l 3554 3555 3573 3574 Hydrant Rental Utilities Office Supplies Postage Telephone Office Equip. Maint. Printing Departmental Supplies Small Tools Uniforms Special Equip. Maint. Sundry Travel & Meeting Exp. Vehicle Operation Vehicle Maintenance Memberships Publications TOTAL EXPENSES EQUIPMENT OUTLAY: 3584 3586 Motor Vehicles Special Equipment TOTAL EQUIPMENT CAPITAL IMPROVEMENTS: None 1 (21) 1 (100) Ofc.----- 2 (l6) 2 (14) 4 (12) 1 (6) 1 (15) 12 $ 1,233 2,000 $ 3,048 384 456 18 685 7 4 1,780 98 603 103 102 228 608 714 57 109 $ 9,004 $ 7,050 733 $ 7,783 $ ----- 1967-68 Budget 1 (22) 1 (125) 2 (17) 2 (15) 4~(14) 1 (8) 1 (l6) 12~ $ 1,500 2,500 $ 3,408 400 650 75 850 15 175 1,600 100 1,453 500 100 230 800 700 62 150 $ll,268 $ 7,358 130 $ 7,488 $ ----- -~=~==== II \ A~r3~sNT --350-0---1 ------- - - -- --------.---n_~-- I 1967-68 Estimate 1 (22) 1 (125) 2 (17) 2 (15) 4~(14) 1 (8) 1 (16) 12~ $ 2,000 2,500 $ 4,000 400 576 75 750 l5 100 1,600 100 1,453 500 100 300 600 700 62 291 $ll,622 $ 6,840 130 $ 6,970 $ ----- -----------______nn_,,=o= CITY OF TUSTIN, CALIFORNIA 1968-69 Budget 1 (23) 1 (150) 2 (l8) 2 (16) 5 (15) 1 (9) 1 (18) 13 $ 2,750 2,750 $ 4,400 350 500 50 850 25 275 1,500 100 716 500 100 450 600 1,000 65 150 $ll,631 $ 9,630 648 $10,278 $ ----- 62 ACTIVITY 3501 3502 3504 3511 3524 3531 3532 3533 3534 3536 3541 ANNUAL BUDGET ------~----______I' \ - ACCOUNT SERIES ---------- ------~---------- Fire 3500 COMMENTARY For 1968-69, the services of a Fire Marshal are budgeted full-time. As the City's population and number of structures have increased, the need for fire prevention activities has grown also. While the number of alarms in 1967-68 decreased 6.1% from the previous year, the potential fire loss as indicated by assessed valuation of structures increased lO.8%. In addition, the Fireman position budgeted for half of 1967-68 is budgeted for the full year 1968-69. Major equipment expenditures include the fourth pay- ment on Fire Pumper No.2 and the purchase of a new vehicle to be used primarily in fire prevention activities. As a result of the survey of salaries in Southern California cities, increases are budgeted for all positions in this department. Overtime for regular personnel on special call-out. Estimated costs of volunteer fireman call-outs during 1968-69. Rental charges on 332 fire hydrants within the City during the year. Gas, water and electric service in the fire station, including gas and water service in the police building. General office supplies. Mail-out of departmental matters. Includes basic monthly charge and toll calls during the year. Maintenance of office equipment. Stationery and special stencil reproductions used in fire prevention activities. The purchase of badges, oxygen, gloves, canvas, batteries, and other special fire supplies. - - - ------ ..----- - CITY OF TUSTIN, CALIFORNIA 63 ACTIVITY 3542 3543 3544 3549 3551 3554 3555 3573 3574 3584 3586 ANNUAL BUDGET , I Fire .TACCOÙNT I . . SERIES 3500 - -----. Additional and replacement tools for the rescue unit are included in this account. Uniform replacement as required throughout the year. Radio, resuscitator, projector, and tape recorder maintenance costs. Miscellaneous items not included in other object accounts. Provides for the attendance of departmental personnel at various meetings and conferences throughout the year. Gasoline, oil, and lubrication for the five assigned fire vehicles. Non-routine maintenance and upkeep of fire units. Memberships in various fire associations. Subscriptions and publications relating to fire activities. Fourth payment of Fire Pumper No.2 and purchase of a new vehicle to replace the pickup purchased in 1947. The pickup will be transferred to Park Facilities. This account includes miscellaneous rescue equipment items. c,-_._.,--=====.~.,~....~=,c CITY OF TUSTIN, CALIFORNIA ==c==.~,==,====="==,.="======= 64 ANNUAL BUDGET ACTIVITY Public Works Administ~aÚo~ ----~-TÃ~<€3~NT ---- ------------------------ 4000 DESCRIPTION OF FUNCTIONS Administration and supervision of public works activities, including engineering, waste collection, sewers, street construction and maintenance, signals and lighting, trees, parks, and parkways, and sidewalks and alleys are the functions of this account series. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $24,238 $26,292 $31,028 $57,5l4 NON-PERSONAL EXPENSES . . 10,810 6,475 8,560 4,310 EQUIPMENT OUTLAY. . . . . 468 610 1,005 2,888 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $35,5l6 $33,377 $40,593 $64,712 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. $64,712 . . . . . . . . . . . . TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND ........... GASOLINE TAX FUNDS. . .............. SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . !I II II II II II il I i I - - --______1 65 TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . . $64,7l2 CITY OF TUSTIN, CALIFORNIA = -------- - [I II \ AccouNT--4oo-o~uui'1 U --- ____5 ER lES~__~_----------i II II [I 'I I II I ANNUAL BUD GET ~~-,--~-,-,-----------=,~--_cc-=--,=,====c~=-="'c,'--- ACTIVITY Public Works Administration ACCOUNT DISTRIBUTION Description 1966-67 Actual 1968-69 Budget 1967-68 Budget 1967-68 Estimate PERSONNEL (& Range Number): 4001 Director of Public Works 1 (22) 4001 City Engineer 4001 Asst. Civil Engr. 1 (17) 400l Public Works Insp. 4001 Draftsman ~(9) 400l Stenographer Clerk 4001 Secretary ~(6) TOTAL POSITIONS 3 4002 Overtime $ ----- 1 (23) 1 (23) 1 (27) 1 {26) 1 (27) 1 (18) 1 (l8) 1 (19) 1 (l5) ~ (ll) ~ (ll) ~ (11) 1 (7) 2~ 3~ 5~ $ ----- $ ----- $ 200 NON-PERSONAL EXPENSES: 40ll City Engineer by contract $ 3,900 $ 3,600 $ 2,700 $ ----- 4012 Contractual Services 1,78l 500 3,500 l,500 4013 Storm Drain Plan 2,500 4024 Utilities 100 100 4031 Office Supplies 161 200 200 125 4032 Postage 29 50 lO 160 4034 Office Equip. Maint. 15 50 50 4036 Printing 970 700 700 800 404l Departmental Supplies 80 l50 l50 l50 4044 Special Equip. Maint. 233 4051 Travel & Meeting Exp. 1,OlO 1,200 l,200 1,400 4055 Vehicle Maintenance 85 4074 Publications 46 25 25 TOTAL EXPENSES $10,810 $ 6,475 $ 8,560 $ 4,3l0 EQUIPMENT OUTLAY: 4085 Office Equipment $ 468 $ 610 $ ----- $ 630 4086 Special Equipment l,005 2,258 TOTAL EQUIPMENT $ 468 $ 6l0 $ 1,005 $ 2,888 CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- CiTY OF TUSTIN, CALIFORNiA 66 ANNUAL BUD GET =""c==c"-c=.~=.=c.o,,.,._. ACTIVITY 4001 4002 40ll 4012 4013 4024 4031 4032 4034 4036 4041 4044 4051 Public Works AdI!l~~i_~_~~~-~~~-~---------- _J~Ã~r~~N~u_~_oo~--_u COMMENTARY Major changes in this department include full-year budgeting for the City Engineer and additional positions of Public Works Inspector and Stenographer Clerk to assist the City Engineer. Major projects to be undertaken include creation of basic index maps for sewer and drainage improvement, initiation of continuous traffic counting to be applied to a comprehensive traffic engineering program, preparation of flow diagrams for future storm drain designs and preparation of a street improvement program. An increase in the ranges of Director of Public Works, City Engineer, and Assistant Civil Engineer is budgeted as a result of the salary survey of Southern California cities. Overtime for departmental personnel. Part-time services of the City Engineer by contract, terminated in 1967-68. Anticipated soil testing and surveying which is not included in specific construction projects during the 1968-69 year. City-wide storm drain master plan completed in 1966-67. utility services for Public Works building. General office supplies. Mail-out of departmental matters. Maintenance of office equipment as required throughout the year. Outside blueprint and map reproduction services and supplies. The purchase of tracing cloth and paper,pens, and related items. Maintenance of the City's blueprint reproduction machine; not budgeted in 1968-69. Meeting expense and mileage reimbursement for employees in this account series. - -,------_cc_-~-,~ CiTY OF TUSTIN, CALIFORNIA 67 ANNUAL BUD GET =~,~-~~~=~~==,~-,~=_c,=--=c_-- !I \ ACCOUNT 4000 ---ri SERIES i¡ - ---- --- ----------------------'1 III II I I II II II I II I II II :1 I ACTIVITY Public Works Administration 4055 Non-routine maintenance and upkeep of the assigned vehicle, now appropriated in Street Maintenance Budget. 4074 4085 Various subscriptions and books for the department. Office equipment for Stenographer Clerk position. 4086 Purchase of four traffic counters and miscellaneous engineering drafting devices. il 'I II ,I 'I 'I i¡ i¡ [I Ii II II :1 :1 II ,I I ,I II I. :1 II I! ----------, . CITY OF TUSTIN, CALIFORNiA 68 (;.NNUAl BUDGET /\CTiVITY Waste Collection \ ACCOUr-H , SEF',IES 4200 DESCRIPTION OF FUNCTIONS The cost of the collection of rubbish +rom City residential units and the abatement of weeds is included in this account series. EXPENDITURES Classification 1966-67 Actual NON-PERSONAL EXPENSES. . 33,083 1967-68 1967-68 1968-69 Budget Estimate Budget $ ----- $ ----- $ ----- 34,600 34,200 48,400 PERSONAL SERVICES. . . . $ ----- EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $33,083 $34,600 $34,200 $48,400 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . . . . . . . . . . . . . $ 48,400 TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND ........... GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . ..... CITY BEAUTIFICATION FUND. . . . ...... TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . . $48,400 cn,;' or: TUSTíN, c.Þ,UFORNL\ 69 ANNUAL BUDGET /\CTiViTY Waste Collection 1 ACÇOUNT SeRIES -- -- -- 4200 ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL: None NON-PERSONAL EXPENSES: 42ll Rubbish Collection $32,413 $33,800 $33,800 $47,600 42l2 Weed abatement 670 800 400 800 TOTAL EXPENSES $33,083 $34,600 $34,200 $48,400 EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- COMMENTARY 42ll Rubbish collection of residential areas is performed by contract at City expense. 4212 Abatement of weeds on private property; performed by the City after notice to abate weeds has been issued and then becomes a tax assessment to the property owner. ',;iT: OF TUST:!'!, C}\UFORN!¡ó, 70 .ANNU,ú.L BUDGr.:l ACTiVITY Sanitary Sewers \ ACCOUN1 , SERIES 4300 DESCRIPTION OF FUNCTIONS The construction of new trunk sewers within the City is a function of this activity, and is financed from fees charged when connections are made to the City's sewer system. EXPENDITURES Classification 1966-67 Actual 1~67-68 Budget 1967-68 Estimate 1968-69 Budget PERSONAL SERVICES. . $ ----- $ ----- $ ----- $ ----- NON-PERSONAL EXPENSES EQUIPMENT OUTLAY. . . . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $ $ ----- $----- $ ----- FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. ...............$----- TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . TOTAL FUNDS....................... $ ----- ,:,:T'¡ OF TUSTiN, CAUFORJ¡L~, 71 ANNUAL BUD6E"ì f\CT!ViTY Sanitary Sewers \ ACCOUNT SERiES 4300 ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL: None NON-PERSONAL EXPENSES: None $ ----- $ ----- $ ----- $ ----- EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: 4383 Trunk Sewer Const. $ ----- $ ----- $ ----- $ ----- COMMENTARY 4383 Construction of new trunk sewers by the City is not anticipated in 1968-69. ~:;'/ OF TUSTi~t C,J\UFORNil\ 'I il ii Ii :1 ;! :i 'I :1 'I 'I II i !i II Ii II :1 Ii Ii II I: [I 72 ANNUAL BUDGET A,ClIVi ]y Street Construction \ ACCOUNT i SERiE:S 5000 DESCRIPTION OF FUNCTIONS Expenditures for the construction and improvements on major and local streets, including necessary right-of-way acquisition and project engineering, are included in this account. Construction may include traffic signals, signs, grading, paving, drainage structures, curbs, gutters, driveway aprons, street trees, and other capital improvements. EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . $ ----- $ ----- $ ----- $ ----- NON-PERSONAL EXPENSES EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. . . 139,902 103,400 78,200 187,300 TOTAL ACTIVITY. . . . . . $139,902 $103,400 $ 78,200 $l87,300 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . ..............$ TRAFFIC SAFETY FUND. . . . . . . . . . 1,000 40,000 STATE PURPOSE TAX FUND .............. 6,000 GASOLINE TAX FUNDS. . . . . . . . . . . . . l40,300 SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . . . TOTAL FUNDS....................... $l87,300 TV OF CALIFORNi,"-, 73 ANNUAL BUD GET =c,=","~~=,~~=,="-.,,,,-c., .".,-. ACTiViTY Street Construction I ACCOUNT SERIES 5000 ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL: None NON-PERSONAL EXPENSES: None $ ----- $ ----- $ ----- $ ----- EQUIPMENT OUTLAY: None $ ----- $ ----- $ ----- $ ----- CAPITAL IMPROVEMENTS: 5093 Street and Other Improvements $l39,902 $103,400 $ 78,200 $187,300 The following pages outline the budgeted Capital Improvement Program for the fiscal year 1968-69. Work will be performed under City contract or by agreement with other agencies. CiTY OF TUSTIN, C.A.LlFORNI¡\ 74 /\CTIVITY 1. BUDGET ANNUAL Street Construction \ ACCOUNT - S~~_IES CAPITAL IMPROVEMENT PROGRAM: 1968-69 Location STREET CONSTRUCTION 1. Walnut Avenue Red Hill Avenue to Railroad Easterly of Browning Avenue - Reconstruct South side. (1) 2. Walnut Avenue Browning Avenue to Railroad Easterly of Browning Avenue - New construction- North side. (l) 3. First Street Prospect Avenue to 200 ft. Easter1y- Widen South side 4. Laguna Road liD" Street to Newport Avenue - Widen and resurface 5. Laguna Road Tustin High School to Red Hill Avenue- curb on Freeway side 6. First Street Tustin Avenue to Prospect Avenue - Resurface 7. Main Street Pacific Street to Preble Drive - Resurface Type of Work Engineering Construction Total Engineering Construction Total Engineering Construction Total Engineering Construction Total Engineering Construction Total Engineering Construction Total Engineering Construction Total Total Street Construction CiTY OF Tl!STI~-!, CAUFOR~~¡f\ 5000 Budget Amount $ 2,000 18,000 $ 20,000 $ 1,400 14,000 15,400 $ $ $ 400 4,000 4,400 $ 400 4,000 4,400 $ $ 500 5,000 $ 5,500 $ $ 1,200 12,000 13,200 $ $ 900 9,000 9,900 $ 72,800 75 i\CTIViTY II. I"NNUAt eUD(~~! Street Construction 'I I\CCOUNT . SEl~IE<':' 5000 Location TRAFFIC SIGNALS 1. Red Hill Avenue at Sycamore Avenue (2) 2. Red Hill Avenue at Walnut Avenue (2) 3. McF adden Street at Newport Avenue(2) 4. McFadden Street at Pasadena Avenue 5. McFadden Street at Tustin Village Way (3) 6. McFadden Street at Williams Street Total Traffic Signals III. STORM DRAINS IV. v. 1. Myrtle Street Newport Avenue to McFadden Street (4) CENTER ISLANDS 1. First Street "H" Street to Newport Avenue 2. Sycamore Avenue On-ramp to Newport Freeway (5) Total Center Islands LANDSCAPING 1. Residential and Primary Street Tree Plánting 2. Tustin Area Youth Center (West end) Total Landscaping Budget Amount $ 7,500 5,000 8,000 * 10,000 5,000 10,000 $ 45,500 $ 49,000 $ 12,000 7,000 $ 19,000 $ 500 500 $ l,OOO GRAND TOTAL STREETS CAPITAL IMPROVEMENT PROGRAM $ 187,300 Joint Joint Joint Joint Joint project project project project project with with with with with private developers. County Road Department. State and City of Santa Ana. County Flood Control State. * Project budgeted in 1966-67 for $4,000 and is encumbered. Increased scope of project, including road work requires an additional $8,000 in 1968-69. Total project cost is $12,000. (1) (2) (3) (4) (5) c: C/.L:H.)R!').," 76 Þ" N N U .1;" L BUUGE1 /\C:T!ViT'f Street Maintenance \ ACCOUNT I StRiES 5600 DESCRIPTION OF FUNCTIONS The maintenance of streets, alleys, traffic signals, parkways, sidewalks, street trees, and other facilities in the public right-of- way is classified as "Street Maintenance". EXPENDITURES 1966-67 1967-68 1967-68 1968-69 Classification Actual Budget Estimate Budget PERSONAL SERVICES . . . . $33,784 $45,054 $49,732 $ 55,439 NON-PERSONAL EXPENSES . . 51,037 47,700 44,232 39,400 EQUIPMENT OUTLAY. . . . . 2,379 3,000 3,646 15,225 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $87,200 $95,754 $97,6l0 $llO,064 FUND DISTRIBUTION Classification 1968-69 Budget GENERAL FUND. . . . . . . . . . . . . $ 48,624 TRAFFIC SAFETY FUND. . . . . ........... 3,000 STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . 30,000 GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . 28,440 SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . . $110,064 ~'" OF CAU¡:()i\Hl, 77 ANNUAL BUDGE"! J\CTlViTY Street Maintenance \ ACCOUNT 5600 SERIES ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL (& Range Number): 560l Maintenance Foreman 1 (13) 1 (13) 1 (13) 1 (14) 5601 Senior Maintenanceman 1 (9) 5601 Motor Sweeper Operator 1 (10) 1 (10) 1 (ll) 560l Tree Maintenanceman 1 (10) 1 (ll) 5601 Maintenanceman 3 (8) 5 (8) 5 (8) 5 (9) TOTAL POSITIONS 5 7 8 8 5602 Overtime $ 1,145 $ 1,000 $ 1,000 $ 3,000 NON-PERSONAL EXPENSES: 5611 Signal Maintenance $ 2,100 $ 4,000 $ 4,000 $ 5,000 5612 Signal & Light Energy 3,225 3,500 3,500 4,300 56l3 Sign Maint.& Striping 3,850 3,000 5,000 4,000 5614 Sidewalk Construction 795 1,000 1,600 3,000 5615 Street Tree Maint. 9,574 7,200 5,600 4,000 5616 Street & Alley Repair l3,496 12,400 ll,OOO 5,000 5624 utilities 500 1,900 5641 Departmental Supplies 12,922 11,000 9,000 7,000 5642 Small Tools 42l 700 700 700 5643 Uniforms 357 100 332 300 5644 Special Equip. Maint. 208 300 300 200 5654 Vehicle Operation 1,716 1,000 700 1,000 5655 Vehicle Maintenance 2,373 3,500 2,000 3,000 TOTAL EXPENSES $51,037 $47,700 $44,232 $39,400 EQUIPMENT OUTLAY: 5684 Motor Vehicles $ ----- $ l,500 $ ----- $11,550 5686 Special Equipment 2,379 1,500 3,646 3,675 TOTAL EQUIPMENT $ 2,379 $ 3,000 $ 3,646 $15,225 CAPITAL IMPROVEMENTS: None $ n_n $ ----- $ ___n $ ----- c:n OF TUSTIN, CAUFORrj¡b, 78 ANNUAL BUD GET ==~""====-=====,==,===,~-"'---- ACTIVITY Street Maintenance I Ä~~&~NT 5600 - ------ ----~-------"---------------" COMMENTARY The Street Maintenance budget for 1968-69 includes full year budgeting for the Tree Maintenanceman position established in 1967-68. Also, a truck -- mounted aerial tower for tree trimming is budgeted for 1968-69 as well as a chipper for the reduction of brush and limbs to chips. Funds are provided for maintenance and operation of 18 signalized intersections and for continuing street and alley repairs. 5601 As a result of the salary survey of Southern California cities, increases are budgeted for all positions in the department. 5602 Overtime for emergency crew call-outs during the year. 5611 Maintenance by contract of all traffic signals within the City. 5612 Energy charges on traffic signals and safety lights. 5613 Maintenance and replacement of traffic signs and certain new striping by outside contract. 5614 Sidewalk and curb repair and construction when performed by other than City crews. 5615 Certain major maintenance and removal of street and parkway trees. 5616 General repairs,patching, and other maintenance of City streets and alleys by outside contract. 5624 Water and light charges for center islands. 564l Special supplies include sweeper brooms, street name signs, lumber, cement, and other related maintenance items. 5642 This is the final year of a four year program to purchase various small tools used in street maintenance activities. 5643 Uniforms for Street Maintenance crews. 5644 Maintenance of the traffic striping machine and skip loader. ---- --"--- "--- - --------"-"------- '::::IT'( OF TUSTIN, CALI FORN I ,A, 79 BUDGET =-=-'CC~CC__C_=7'-- '-'7~-===CC-_CC_- --Ii ACCOUNT-- ~56 0 o---~I SERIES I -- ---------[ I I II II II II I ---- - - - --- -~ - -~ - ~------ - ANNUAL -----Street-M~Ün tenance~--- ACTIVITY ---- -- _n ------ ---- n____n_- 5654 Gasoline, oil, and lubrication of assigned vehicles. 5655 Street sweeper and trucks non-routine maintenance as may be required throughout the year. 5684 For purchase of a truck mounted aerial tower to be used in tree trimming. 5686 Purchase of a 16" chipper to be used in the reduction of brush and tree limbs. CITY OF TUSTIN, CALIFORNIA 80 I I--ACTIVITY [--- .-Pã.r~ 11 ifies-- BUD GET =--~~-----II ---- ---- ACCOUNT 8100---1 ------ SERIES__~ ...- --- - --- ------- ANNUAL DESCRIPTION OF FUNCTIONS Expenditures of the Parks and Recreation Commission and the maintenance and improvements of the Tustin Area Youth Center and Centennial Park are the functions of this account series. EXPENDITURES Classification 1966-67 Actual NON-PERSONAL EXPENSES. . 3,975 1967-68 1967-68 1968-69 Budget Estimate Budget $ 7,648 $ 6,774 $l7,698 3,535 3,380 11,030 4,016 4,245 PERSONAL SERVICES. . . . $ 6,320 EQUIPMENT OUTLAY. . . 501 CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . $10,796 $15,199 $14,399 $28,728 FUND DISTRIBUTION Classification 1968-69 Budget ...................$16,728 GENERAL FUND. TRAFFIC SAFETY FUND. . . . . . CITY BEAUTIFICATION FUND. . . . . . . . . . . . . . l2,000 I I I I II II II II II !I I I - ____I --SI- . . . . . STATE PURPOSE TAX FUND ............ GASOLINE TAX FUNDS. . . . . . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . . TOTALFUNDS........................$28,728 =~__n____~== CITY OF TUSTIN, CALIFORNIA ===="._._.,,---=~==- ~ ~~~,_c- ~_c=-------~" ---- ANN U A L I - :I--ACT~ BUDGET -- ------- u .~- Pa.Lk Fcn.:ilitics------- ~-~------~ -_._~---~----~ ACCOUNT SERIES 8100-- -~--_.---~- ~ ACCOUNT DISTRIBUTION 1966-67 1967-68 1967-68 1968-69 Description Actual Budget Estimate Budget PERSONNEL (& Range Number): 8101 Senior Maintenance- man 1 (9) 8101 Maintenanceman 1 (8) 3 (8) 3 (9) TOTAL POSITIONS 1 1 3 3 8102 Overtime $ 56 $ 300 $ 150 $ --_._- NON-PERSONAL EXPENSES: 8123 Building Maintenance$ 1,028 $ 600 $ 300 $ 800 8124 Utilities 891 900 984 4,560 8132 Postage ll6 100 20 20 8133 Telephone 103 100 III 240 814l Departmental Supplies 179 200 250 3,000 8142 Small Tools 25 25 200 8144 Special Equip. Maint. 172 150 150 500 8l48 Special Exp. Reimb. 1,036 960 l,040 960 8149 Sundry 126 8l5l Travel & Meeting Exp. 324 500 500 750 TOTAL EXPENSES $ 3,975 $ 3,535 $ 3,380 $ll,030 EQUIPMENT OUTLAY: 8186 Special Equip. $ 501 $ 4,016 $ 4,245 $ ----- CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- CITY OF TUSTIN, CALIFORNIA .. . ~~~,-~~._--_.. ..... .-- ANN U A L II-~- . ....._~~--- r ACTIVITY -- P~rk Facilities Ii -------- r 8101 8101 8102 8l23 8124 8132 8133 8141 8142 8144 8148 i. II il 'I II II II 8149 8151 8l86 BUDGET ---- ..=="==-~===~_: ___II ! ACCOUNT--aîoo III ' SERIES . .----.----1 II I, íI q II I' Ii COMMENTARY Maintenance of the Tustin Area Youth Center, Centennial Park, and activities of the Parks and Recreation Commission are included in this budget, although custodial service for the Youth Center is budgeted in Department 1800, Government Buildings. Three Maintenanceman positions are budgeted to provide for the care of increased park facilities. The existing Maintenanceman position in this depart- ment is reclassified to Custodian and transferred to the Government Buildings budget. Three new Maintenance- man positions are budgeted for 1968-69. An increase for all Maintenanceman positions is budgeted as a result of the salary survey of Southern California cities. Overtime for occasional operation of the Tustin Area Youth Center after normal duty hours and on weekends; not budgeted in 1968-69. Routine maintenance and painting at the park sites. Gas, electric, and water services for the Youth Center and Centennial Park. Mail-out of Parks and Recreation Commission matters. Telephone service for the pay booths at the Tustin Area Youth Center and Centennial Park. Special supplies and items used at the park sites throughout the year. Miscellaneous small tools and equipment. Maintenance of lawnmowers and garden equipment. Reimbursement of expenses incurred by members of the Parks and Recreation Commission in conducting Commission business and related matters. Miscellaneous expenditures; not budgeted in 1968-69. Provides for reimbursement of expenses for various functions attended by members of the parks and Recreation Commission throughout the year. Special park equipment; not budgeted in 1968-69. -----~- CITY OF TUSTIN, CALIFORNIA 83 - ,.~_c~_c=-=-- -~=,=c,,=--- ANN U A L - ----------- --- -- ----- ACTIVITY Recreation ---~_.- --- BUD GET ==---'===--==cc-c-., -. - ---I -ÄCCbUNT.-~~-.---1 -- SERIES ---_____--1 1 I I I I II I DESCRIPTION OF FUNCTIONS Recreation includes programs, special events and related services at the Tustin Area Youth Center and other facilities during the year. EXPENDITURES Classification 1966-67 Actual PERSONAL SERVICES. . . . $12,985 NON-PERSONAL EXPENSES. . 3,814 EQUIPMENT OUTLAY. . . CAPITAL IMPROVEMENTS. 1967-68 1967-68 1968-69 Budget Estimate Budget $l4,000 $14,500 $ 5,555 3,705 3,780 5,875 270 $17,705 $18,280 $11,700 TOTAL ACTIVITY. . . . . . $16,799 FUND DISTRIBUTION Classification GENERAL FUND. 1968-69 Budget $11,700 ............... TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . STATE PURPOSE TAX FUND. . . . . . . . . . . . . . . . . GASOLINE TAX FUNDS. . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . . . CITY BEAUTIFICATION FUND . . . . TOTAL FUNDS....................... $11,700 CITY OF TUSTIN, I -_J CALIFORNIA ==-c=-=,=,~c=~=~~c~~~~c=-- 84 ~-- ~- ~-~~._._~~..~.... ,~c~~.._--- ..._.~----_._- -~- II II-ACTIVITY I II I I I I I ANN U A L BUD GET -~---~--===---=~CC~"~ ~.~. - ..- .. -~;~COONT--;200 -I; : SERIES ~ -----~--- ---- Recreation . .------- ACCOUNT DISTRIBUTION Description 1966-67 Actual 1968-69 Budget 1967-68 Budget 1967-68 Estimate PERSONNEL (& Hourly Rate): 8203 Recreation Director 1 (2.75) 1 (3.25) 1 (3.25) 1 (3.50) 8203 Special Activity Instructor 1 (5.00) 8203 Recreation Specialist 5 (2.25) 3 (3.00) 8203 Sr. Recreation Leader 7 (2.25) lO (2.50) lO (2.50) 4 (2.50) 8203 Jr. Recreation Ldr. 17 (1. 50) 12 (1.75) 12 (1. 75) 5 (1. 75) TOTAL POSITIONS 30 23 23 14 NON-PERSONAL EXPENSES: 82ll Security Officers $ ----- $ ----- $ ----- $ 640 8212 Band entertainment 1,600 822l Building Rental 500 8232 Postage 30 30 10 8241 Departmental Supplies l,464 l,lOO 1,300 500 8249 Sundry 184 325 170 100 8251 Travel & Meeting Exp. 122 l50 200 25 8256 Vehicle Rental 2,044 2,100 2,080 2,500 TOTAL EXPENSES $ 3,814 $ 3,705 $ 3,780 $ 5,875 EQUIPMENT OUTLAY: 8286 Special Equipment $ _nn $, ----- $ ----- $ 270 CAPITAL IMPROVEMENTS: None $ ----- $ ----- $ ----- $ ----- CITY OF TUSTIN, CALIFORNIA 85 --:~..=..,=c ANN U A L BUD GET ="=~ ... I' I "CTIV;,y- -. Rec~~---. -Ä~r3gNT. .2oo~1 8203 8203 82ll 8212 822l 8232 824l 8249 8251 8256 8286 :1 Ii Ii... COMMENTARY Recreation for 1968-69 is designed to offer those activities which will provide maximum benefit to the residents of the City, and yet at no fee. In- cluded this year are Teen Dances, Day Camps, Excursions, and other special events and programs. Funds are budgeted for instruction in band instruments for beginners. It is anticipated that this will result in the creation of an all-City children's band. The City will not conduct general recreation programs during 1968-69 at school sites. As a result of the salary survey of Southern California èities, increases are budgeted for the positions of Recreation Director and Recreation Specialist. The position of Special Activity Instructor is budgeted for instruction in band instruments. Police services at teen dances. Band entertainment for teen dances. Rental for band practice room during summer instruction ptrogram . Mail-out of recreational matters. Purchase of sports equipment, arts and crafts supplies, and special awards. Supplies not budgeted in other ~xpenditure accounts are classified as Sundry. Ii ,I II II II II Ii Ii Provides mileage reimbursement for the Recreation Director for travel between the various recreation sites. Rental of charter bus for scheduled daily excursion programs during the summer. Purchase of popcorn machine for teen dances. ---~, CITY OF TUSTIN, CALIFORNIA 86