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HomeMy WebLinkAbout1965-66FY BUDGET ANNUAL BUDGET A PROGRAM OF MUNICIPAL SERVICES FOR THE FISCAL YEAR July 1,1965 - June )0,1966 CITY OF TUSTIN, CALIFORNIA ANNUAL BUDGET TABLE OF CONTENTS Section I - General Letter of Transmittal Basic Data 1964-65 Definition of Terms Section II - Recapitulation City Budget Dollar Annual Budget SUmmary Section III - Revenues Summary of Revenues Revenue Detail Fund Accounting Explanation Revenue Accounts Explanation Section IV - Exyenditures Summary of Expenditures Monthly Salary Schedule Activity Structure Distribution of Activity: City Council City Administrator City Clerk Finance Officer City Treasurer City Attorney Planning Government Buildings Community Promotion Elections Other Non-Departmental Civil Defense Building Regulation Police Fire Public Works Administration Waste Collection Sanitary Sewers Street Construction Street Maintenance Park Facilities Recreation L CITY OF TUSTIN, CALIFORNIA pa¡;¡:e 1 g 7 8 9 10 12 13 16 17 18 19 21 23 26 28 30 32 35 38 40 42 45 48 51 54 57 60 62 64 67 70 73 ANNUAL BUDGET SECTION I GENERAL CITY OF TUSTIN, CALIFORNIA -8 CITY ø¿ TUSTIN INCORPORATED SEPTEMBER 21st, 1927 CALIFORNIA CITY HALL 135 WEST 3.d STREET PHONE (714) 544-8890 June 7, 1965 THE HONORABLE MAYOR AND CITY COUNCIL OF THE CITY OF TUSTIN, CALIFORNIA GENTLEMEN: The Preliminary Budget for 1965-66 for the City of Tustin is hereby submitted for your review and consideration. This proposed program of Municipal services for the fiscal year ending June )0,1966 includes all City departments and functions, and those activities not under the direction of the City Administrator. A Conservative Budget In developing and preparing the preliminary budget, a policy of providing only minimum, basic City services was followed. No additional staff and virtually no new programs or increases in the level of present services were included in the proposed departmental expenditures. Although the population and area of the City continues to increase, and expanded City activities may be desirable, your City Administrator believes it vital that sufficient funds be maintained in reserve to cover "dry" revenue periods and to meet unanticipated emergencies or other financial demands which may occur. Revenues Revenues for 1965-66 are estimated at $596,980, an increase of only 4.3% over estimated 1964-65. The major portion of this increase is in State Gasoline Tax Funds. 1964-65 revenues are anticipated to be 9.9 % below the revenue previously budgeted for that year. 1 From the 1~65-66 revenues, in addition to financing the 1965-66 program, funds must be reserved to compensate for the 1964-65 revenue decrease and the portion of prior year general purpose funds used to finance the budgeted expenditure program of the fiscal year ending June )0, 1965. No significant increase in the amount to be received in 1965-66 from City property tax is anticipated. However, if a major adjustment in assessed valuations by the County Assessor is made, then a change in property tax revenues may occur. There is no basis of fact at this time to believe that any other source of revenue will substantially increase in 1965-66 over the current year. An increase in City population would increase the amounts received in Gasoline Taxes and Motor Vehicle License Fees but the use of such funds are restricted by State law. No significant change in sales tax revenue is budgeted, although this source of money would be effected by changes in City area or development. Expenditures Total 1965-66 expenditures for the City of Tustin are budgeted at $601,448, a decrease of 9.1% from the 1964-65 budget, and a decrease of 4.4% from the 1964-65 estimated expenditures. A reduction in programmed expenditures for 1965-66 from prior year is necessitated by the decrease in available funds. The total 1965-66 budget for the City of Tustin, including unappropriated reserve funds, amounts to $76),890, or 4.1% below the program for 1964-65. In programming the new City budget, first consideration has been given to continuing necessary staff and services, authorized in 1964-65 and in prior years. Included in the new program of expenditures are: necessary salary adjustments to compensate employees commensurate with the duties of their position and in line with the prevailing wage scale in the Southern California community; funds for committed or contracted equipment and capital projects, authorized prior to July 1, 1965; and increased "fixed" charges that are not subject to budgetary adjustment, including a rate increase on social security payments, a municipal election in April, 1966, and additional residential rubbish collection services resulting from new construction. 2 Present Needs Accomplishment of the 1965-66 program will b& a continuation in the development of the City and.in: proYlding necess3ry community services. However, as indicated above, the following document reflects a minimum budget for the City and invisions no new major programs or services to the people of Tustin. Without additional revenue sources, or a material increase in the present sources of revenue, desirable additional programs or an expansion of present activities will not be possible. Improved levels of service recommended for 1965-66 but not incorporated in the budget include (but not necessarily in order of priority): An improved street and parkway tree development and maintenance program. Several street improvement and resurfacing projects. Finaliz9tion of a storm drain master plan. Improved police staffing and necessary equipment replacement. Additional fire prevention and suppression emphasis and the purchase of new equipment to be used in fire fighting. An improved program of Civil Defense and purchase of desirable warning and communication devic~s. Additional community promotion activities. Reserve of funds for possible land and building acquisitions including Civic Center, Fire, Public Works, and Park sites. Other equipment and personnel to aid the City in better accomplishing its role in the community. Future Emphasis 1. 2. ). 4. 5. 6. 7. 8. 9. The future describes additional areas for City and community effort, in addition to the above, such as: possible revision in the method of financing street and related improvements; further expansion and the proper relationship of each, in the residential, commercial, 8nd industrial zones i implementation of a long-range capital improv9ments nrogram including streets, Darks and civic buildings construction; a related long-range ooerating program 3nd budget plan to permit the City to look to the future in providing municipal services; improving the revenue base of the City; and the implementation, once developed of the General Plan to improve the conditions for economic security and cultural growth of the community. Tustin is in a position to become one of the important Cities in Orange County. The climate of the City and it's central location contribute to the City's potential for growth and development. 3 Present business and residential activity gives evidence of dynamic community spirit. With further active citizen participation and interest, continued Council guidance and leadership, and proper employee dedication and support, the future can hold unlimited promise for the City of Tustin. ßReSDectfu lly .Sub.ffittted, -e,,~ . ¿:¿,¿¿¿.f'" (ó. ,:;/?t:( Harry;if. Gill' City Administrator 4 ANNUAL BUDGET BASIC DATA 1964-65 GENERAL Area of City (square miles) Assessed Valuation Population (est. on July 191965) Registered Voters (May 1965) Housing Units Retail & Trade Outlets (Taxable Sales) Miles of Sewer Lines Miles of City Streets (Total) Arterial Collector Local Miles of City Owned Alleys City Owned Buildings Parks Maintained Fire Vehicles Police Vehicles Signalized Intersections COUNTY & OTHER LOCAL Library Newspaper Clubs & Organizations PUBLIC SCHOOLS (Total) Elementary Intermediate High CITY OF TUSTIN, CALIFORNIA 2.69 $14,415,470 9,000 ) 9 151 ),706 197 15.94 25.49 3.46 6.29 15.74 0.71 5 1 5 6 ) 1 1 17 6 4 1 1 5 I II 1. ANNUAL BUDGET DEFINITION OF TERMS Budget: A comprehensive plan, expressed in financial terms, by which an operating program is effective for a given period of time. A performance budget is one which is based upon the work or service to be accomplished. An object account budget is one in . which funds are budgeted for specific items of expenditure. The budget of Tustin is a combination of the two basic types. A. Preliminary: The budget recommended to the City Council for their consideration by the City Administrator. B. ~: The budget which has been approved by the City Council for the financing of govern- mental operations for the ensuing fiscal year. 2. ~: A sum of money set aside to carryon specific activities in accordance with special regulations or restrictions. A fund constitutes an independent accounting entity. A. 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. 3. 4. Personnel: The number of paid employees. Personal Services: Salaries or wages of paid employees. 5. Non-Personal Expense: Expenditures for operations, supplies and services. EQuipment Outlay: Equipment used in the operation of the City and of a non-expendible nature, i.e., with a useful life of several years. 6. 7. Capital Improvements: Major improvements including land and right-of-way acquisition, buildings, street construction, and related facilities. CI TY OF TUSTIN, CALI FORNIA ANNUAL BUDGET 'i 8. 9. 10. 11. 12. Salary Adjustment: Changes in Personal Services resulting from a change in salary rate or reclassification of positions. Aoproprlation: 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 ANNUAL BUDGET CITY BUDGET DOLLAR: 196s-66 REVENUES -------------------------------------------------------------- ).lsi Miscellaneous Revenue 20.4si Grants and Subventions r \ \, " ) 50.8si Property Sales, and Other Taxes 7.9rf Fines and Forfeitures 17.8rf Licenses and Permits EXPENDITURE3~---------------------------------------------------------- 40.8rf Public Safety ).2rf Parks and Recreation 24.5si General Government - CITY OF TUSTIN, CALIFORNIA Jl.5sí Public vlorks 7 ANNUAL BUDGET SECTION II RECAPITULATION CITY OF TUSTIN, CALIFORNIA ANNUAL BUDGET ANNUAL BUDGET SUMMARY MOTOR GENERAL TRAFFIC VEHICLE GASOLINE SEWER TOTAL FUND S;>FETY LICENSE TAX TRUNK ALL FUND FUND FUNDS FUND ~ FUND BALANCE,on June )0, 1964 $1l),501 ;~ 13,8)) ;,' 2), )01 '~ 14,709 $ 58,104 '~22), 448 ESTIMATED ACTUAL 1964-65 Fiscal Year: REVENUE 418,720 4),000 40,000 57,460 1),310 572,490 EXPENDITURES 412.000 <;6.811 61.101 62.820 14.074 629.028 FUND BALANCE (estimated) on June )0, 1965$100,221 " 9,)49 " 57,)40 t~166, 910 ;r jj> BUDGE'l'ED - 1965-66 FISCAL YEAR REVENUE $441,200 45,000 40,000 65,780 5,000 596,980 EXPENDITURES 441,173 45.000 40.000 7).07) 601.448 BUDGETED FUND BALANCE on June )0, 1966 $100,048 ~ $ ~þ 54 $ 62,)40 :~162, 442 RECAPITULATION OF 196) - 1966 BUDGET EXPENDITURES, 1965 - 66: Personal Services 1)22,710 Non-Personal Expense 177,24) Equipment Outlay 11,420 Capital Improvements 90,075 FUND BALANCES on June General Fund Traffic Safety Fund Motor Vehicle License Gasoline Tax Funds Sewer Trunk Fund )0, 1965: :;:;100,221 Total $601,448 Total Fund - 9,)49 57,)40 $16,6,91q Total ~162.442 $76),890 ESTIMATED REVENUE 1965-66 BUDGETED SURPLUS 1965-66 Total :~ )96.980 1;76),890 CITY OF TUSTIN, CALIFORNIA 8 ANNUAL BUDGET SECTION III REVENUES CITY OF TUSTIN, CALIFORNIA ANNUAL BUDGET- SUMMARY OF REVENUES 196)-64 1964-65 1964-65 1965-66 SOURCE Actual Budget Estimate Budget Property, Sales, $239.698 ;~304, 250 ~~291. 955 :~)0),575 & Other Taxes Licenses & Permits 167,742 161,200 119,010 106,200 Fines and Forfeitures 33,)22 45.500 45,000 47,000 Use of Money & Property 2,5)0 2,800 4,800 5,)00 Current Service Charges 16,108 7,625 7,975 7.325 Grants & Subventions 42,599 113,698 101,450 121,780 Other Revenue 18,208 300 2,)00 5,800 . . ----- TOTAL ~520,207 $635,373 $572,490 $596,980 CITY OF TUSTIN, CALIFORNIA 9 ANNUAL BUDGET REVENUE DETAIL 1963-64 1964-65 1964-65 1965-66 SOURCE Actual Budget Estimate Budget GENERAL FUND 910 Property Taxes-Secured $ 87,0)0 $128,000 $1)3,000 $1)5,000 911 Property Taxes-Unsecured 9,451 10,000 9,500 9,500 912 Property Taxes-Delinquent 781 2,000 1,670 1,700 913 Solvent Credits Taxes 171 250 175 175 9l4 Trailer Coach Fees 462 1,000 2,120 2,200 915 Sales & Use Taxes lJ2,456 150,000 IJ2,600 140,000 916 Franchise Taxes 9,347 13,000 12,890 15,000 920 Business License Fees )4,578 )6,000 )6,000 )6,000 922 Bicycle License Fees 315 200 200 200 924 Building Permits 76,000 llO, 000 60,000 60,000 928 Street Permits & Inspection ll,926 15,000 9,500 5,000 929 Other Permits 8,987 931 Non-Traffic Fines 2,230 2,500 2,000 2,000 940 Interest on Investments 1,105 1,500 ),000 ),500 943 Rents 1 , 425 1,)00 1,800 1,800 950 Planning Fees 2,9)2 2,500 2,200 2,200 951 Sale of Publications 649 1,400 475 350 95) Sundry Service Fees 1,400 2,225 2,300 1,400 955 General Engineering Fees 9,05) )75 958 rlecreation Fees 2,074 1,500 ),000 ),000 971 Sale of Property 11 , )07 300 97) Contributions 4,500 975 Sundry Other Revenue 6,901 300 2,300 1,000 980 Alcoholic Beverage 3,169 License 3,000 3,990 4,000 989 County Grants 12,000 TOTAL $413,749 $481,675 $418,720 $441,200 TRAFFIC SAFETY FUND 9)0 Traffic Fines $ )1,092 $ 43,000 i~ 43,000 $ 45,000 MOTOR VEHICLE LICENSE FUND 981 Motor Vehicle Licenses $ 25,356 $ 45,875 .~ 40,000 fp 40,000 TOTAL GENERAL PURPOSE FUNDS $470,197 :~570,550 1;501,720 't526,200 CI TY OF TUSTIN, CALI FORNIA 10 ANNUAL BUDGET 1963-64 1964-65 1964-65 1965-66 SOURCE Actual Budget Estimate Budget STATE GASOLINE TAX FUND 985 Gasoline Tax-2107 $ 1,637 $ 38,623 $ 27,560 $ 35,880 986 Gasoline Tax-2107.5 2,000 2,000 2,000 3,000 987 Gasoline Tax-186.1 (a) 2,400 4,800 4,800 4,800 988 Gasoline Tax-186.1 (b) 8,037 19,400 23,100 22,100 TOTAL ~;, 14,074 $ 64,823 $ 57,460 $ 65,780 SEWER MAIN TRUNK FUND 927 Sewer Connection Fees $ 35,936 '~13,)10 $ 5,000 TOTAL SPECIAL PURPOSE FUNDS) 50,010 ,:h 64,82) $ 70,770 ,", 70,780 ';j> .iJ> TOTAL ALL FUNDS $520,207 $635,373 (~572,490 $596,980 I ,L~uuc",~~ CITY OF TUSTIN, CALIFORNIA 1 ANNUAL BUDGET FUND ACCOUNTING EXPLANATION GENERAL FUND Approximately seventy-five percent of all monies received by the City are deposited into the General Fund and. it is used to finance general City operations. The major portion of General Fund monies are received from ~roperty 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. MOTOR VEHICLE LICENSE FUND Motor vehicle license fees are deposited into the Motor Vehicle License Fund. Monies received are required to be expended for law enforcement; regulation, control, and fire protection of highway traffic; and other State purposes. GASOLINE TAX FUND Funds collected under Sections 186 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 so received 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 OF TUSTIN, CALIFORNIA 12 r ANNUAL BUDGET REVENUE ACCOUNTS EXPLANATION Property Taxes (910.911. & 912): General law Cities may set a one dollar maximum tax rate on both secured and unsecured properties for general fund purposes. However, an additional tax may be established by Cities for bonds, pension plans, parks, and certain other special purposes. Solvent Credits Taxes (911): An intangible property tax on goods and services baseå on 1/10 of 1% of the difference between outstanding accounts receivable and accounts payable of various business concerns. Trailer Coach Fees (914): Is in lieu of property tax on trailers and is based on location of registration of the trailer. Revenues are distributed one-third each to schools, counties, and cities. City S~les & 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, is presently held by the local gas, electric, and water companies. Business License Fees (920): The City's business license ordinance establishes the annual license fee charged to all catagories 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 .impòsed on all residents registering bicycles within the City. Building Permit Fees (92S): Fees for new building construction is based on local ordinance and includes electrical, plumbing, and other related permits and fees. 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 Ins ections permit fee is charged for sidewalks, and other street or developers. curbs, gutters, property owners CITY OF TUSTIN, CALIFORNIA 1) ANNUAL BUDGET r I I Fines & Forfitures (910 & 911): Includes court fines and vehicle code fines collected primarily by the Orange County Municipal Court. 85% of the amount received by the court for offenses occuring within the City is returned to the City, with the exception of 50% for arrests made by the California Highway Patrol. InteI~st on Investments (940): Interest received on invested surplus or inactive monies. Civic Buildings Rents (941): Rent received for use of the Youth Center by various groups. Planning Fees {~ Fees for Use Permits, Vgriances and Zone Changes are charged the vroperty owners when applying for such actions by the City. Sale of Publications (911): A charge is made for City maps and reproductions of documents distributed to private individuals. §undry S~rvice Fees (911): Charges made to the public for special services including police protection at special events. General Engineering Fees (911): Includes subdivision map filing fees and is charged for engineering review and plan checking of such maps. Re2reation Fees (918): A fee for the Summer Recreation and extension program is charged all participants to partially off-set the cost of special programs and services. 3ale of Property (971): Includes revenue received from the sale of surplus or abandoned City property. Contributions (973): Contributions from private property owners for curbs and gutters in connection with street improvement projects. Sundry Oth~r Revenue (971): Refunds, miscellaneous collections, and other revenues are included in this account. ~lcoholic Beverage License Fees (980): Fees paid annually to and distributed by the Alcoholic Beverage Control Board and is 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. - CITY OF TUSTIN, CALIFORNIA 14 ANNUAL BUDGET 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 population and not where the vehicle is registered. State Gasoline Taxes (98S.986.987. and 988): State collected gas tax is appcrtioned to cities under various State laws and may be used for engineering, right- of-way, construction, and maintenance, primarily on non- 11'.cal streets. County Grants (989): Contribution from Orange County for the improvements of Main Street, First Street, and Prospect Avenue will be received in 1965-66 (A.H.F.P. Funds). CI TY OF TUSTIN, CALI FORNIA 15 SECTION IV EXPENDITURES r ANNUAL BUDGET I SUMMARY OF EXPENDITURES 1963-64 1964-65 1964-65 1965-66 ACTIVITY Actual Budget Estimate Budget City Council $ 1,500 $ 1,500 /> 1,475 $ 2,615 oW City Administrator 6,500 4,705 12,914 City Clerk 24,099 )5,398 32,793 29,802 Finance Officer 6,218 City Treasurer 600 600 600 600 City Attorney 13,495 8,400 10,430 10,100 Planning 1),231 27,948 27,370 31 , 658 Government Buildings 29,796 50,960 64,900 20,370 Community Promotion 555 800 900 895 Elections 2,503 1,100 Other Non-Departmental 16,033 34,950 22,)90 31,1)5 Civil Defense 7,230 17,246 10,925 7,064 Building Regulation 26,540 43,034 )8,493 4),202 Police 72,297 109,650 1l0,290 U8, 408 Fire 43,4)0 78,800 61,610 76,844 Public Works Administration 28,164 37,148 35,252 )),756 Waste Collection 20,790 26,600 2),9)0 29,800 Sanitary Sewers 1,387 1,000 14,07l} Street Construction )3,860 105,700 88,250 80,075 Street Maintenance 34,168 55,740 59,102 45,521 Park Facilities 12,917 14,000 14,973 9,561 Recreation 7,937 5,926 6,566 9,810 TOTALS $390,532 $661,900 '$629,028 $601,448 CI TY OF TUSTIN, CALI FORNIA ANNUAL BUDGET MONTHLY SALARY SCHEDULE Range Steps * Step A Range A B C D E Hourly Number 1.§1 2nd 3rd 4th '5th Eoul val en t '¡H~. 30 1255 1318 1384 1453 1526 7.24 29 1196 1255 1318 1)84 145) 6.90 28 1139 1196 1255 1318 1)84 6.57 27 1084 1139 1196 1255 1318 6.25 26 1033 1084 1139 1196 1255 5.96 2.5 984 1033 1084 1139 1196 5.68 24 9)7 984 10)) 1084 1139 5.41 2) 892 937 984 10)) 1084 5.15 22 850 892 937 984 1033 4.90 21 809 850 892 937 984 4.67 20 771 809 850 892 9)7 4.4.5 19 734 771 809 8.50 892 4.23 18 699 7)4 771 809 850 4.0) l7 666 699 734 771 809 3.84 16 634 666 699 7)4 771 3.66 15 604 6)4 666 699 7)4 ).48 14 575 604 6)4 666 699 3.32 13 548 .575 604 634 666 3.16 12 522 .548 57.5 604 634 3.01 11 497 522 548 57.5 604 2.87 10 47) 497 522 548 575 2.73 9 451 47) 497 522 .548 2.60 8 429 451 473 497 522 2.48 7 409 429 4.51 47) 497 2.36 6 )89 409 429 451 473 2.24 .5 371 )89 409 429 451 2.14 4 35) )71 389 409 429 2.04 3 ))6 353 )71 )89 409 1.94 2 320 ))6 353 )71 )89 1.85 1 305 )20 ))6 )5) 371 1.76 01< 5% between full range numbers and range steps. -)H:- Based on a 40-hour week, the monthly rate is divided by 17).)3 and the result rounded off to the nearest whole cent. Increases Within Salary Range (Permanent Employees): Step A: Starting Salary Step B: After 6 months at A Step C: After 1 year at B Step D: After 1 year at C Step E: After 1 year at D -~ CITY OF TUSTIN, CALIFORNIA 17 ANNUAL BUDGET ACTIVITY City of Tustin (DEPARTMENTAL) STRUCTURE Administrative Services 1000 1100 1200 1)00 1400 1500 1600 1800 Ci ty Council City Administrator Ci ty Clerk Finance Officer City Treasurer City Attorney Planning Government Buildings Non-Departmental 2000 2100 2300 Community Promotion Elections Other Non-Departmental Public Safety )000 3200 3400 3500 Ci vil Defense Building Regulation Police Fire Public Works 4000 4200 4)00 5000 5600 Public Works Administration Waste Collection Sani tary Sewers Street Construction Street Maintenance Parks & Recreation 8l00 8200 Park Facilities Recreation CITY OF TUSTIN, CALIFORNIA 18 NOTE: DISTRIBUTION BY ACTIVITY Due to the revision in the pres'entat.ion and format of the Annual City Budget from previous years; the addition of several activities (account series) to properly identify the costs of municipal operations; and the change in the overall system of accounting in the City o~ Tustin effective July 1,1965; relationships between years in various individual revenue and exDenditure accounts may not be directly comparable. As an examnle, the cost of utilities formerly budgeted as a lump sum under administration is now included in several departments or activities, and appears as a new object of expenditure in these account series. ANNUAL BUDGET r 11 ACTIVITY 1--- I I --~ ~ ----. ¡ACCOUNT SE RI ES ('.1 ty Council . - 1000 DESCRIPTION OF FUNCTIONS The City Council, elected by the people and com- posed 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 ap- points all commissioners and City employees. The Council 1s responsible for the appropriation of City funds and the authorization of expenditures. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 C1as sification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ NON - PERSONAL EXPENSES. 1,500 1,500 1,475 2,615 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 1,500 $ 1,500 $ 1,475 $ 2,615 FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND........................ $ 2~6l5 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND.......,............ MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . . SEWERMAINTRUNKFUND................... l TOTAL FUNDS. . . . . . . . . . . . . , . . . . . . . , , . . $ 2,615 CITY OF TUSTIN, CALIFORNIA ì'9 ANNUAL BUDGET I' ACTIVITY I ACCOUNT 1000 SERIES City Coune.U ACCOUNT DISTRIBUTION - Description 196:3-64 Actual 1964-6,5 Budlil:et 1964-6,5 Estimate 1965-66 Budget, PERSONNELs None NON-PERSONAL EXPENSES: 1048 Special Expense Re- imbursement 1051 Travel & Meeting Expense TOTAL EXPENSES $1,.500 $1..500 ~.47.5 $1,.500 l.lli $2,7>15 - $1,500 - '1.500 - il.f.l.75 EQUIPMENT OUTLAYs None CAPITAL IMPROVEMENTS: None COMMENTARY 1048 Reimbursement of expenses incurred by members of the City Council in conduct1ng Council bus1ness and related public matters. 10.51 Attendance by the City Council at various local and out-or-town meetings and conferences in connection with City activities. CITY OF TUSTIN, CALIFORNIA 2iL ANNUAL BUDGET ACTIVITY City Administrator ¡ACCOUNT SERIES 1100 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 finan- cial conditions and needs of the City, and makes recommenda- tions to the Council on City affairs. The City Administrator also serves as the Personnel Officer, Purchasing Agent, and Finance Officer. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Clas sification Actual Budget Estimate B udg et PERSONAL SERVICES. $ $ 5,000 $ 4,682 $ 12,029 NON -PERSONAL EXPENSES. 1,500 2) 885 EQUIPMENT OUTLAY. CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ $ 6,500 $ 4,705 $ 12, 91L~ FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........................ $12,914 TRAFFIC SAFETY FUND ..,................. SPECIAL GAS TAX FUND.................". MOTOR VEHICLE LICENSE FUND. . . . . . . . , . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . TOT AL FUNDS. . . . . . . . . . . . . . . . . . . $ 12,914 CITY OF TUSTIN, CALIFORNIA 21 ANNUAL BUDGET ACTIVITY City Adm1n1st~tor II ACCOUNT 1100 SERIES ACÇOUNT DISTB~UTt9N Description 196)...64 Aotua1 1964-6; Budø:e~ 1964-65 Estimate 1965-66 Bud¡;z;et PERSONNEL (and Bange Number); 1101 City Administrator TOTAL POSITIONS -.. 1 (24) 1 1 (24) 1 + (24) 1 NON-PERSONAL EXPENSE~: 1151 Travel & Meeting f Expense 1173 Memberships TOTAL EXPENSES $ -- $1,500 $ 2' . 835 , 8~3 ..... 11-,500 . , -- 23 EQUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: None COMMENTAI1Y 1101 Services of the City Administrator were budgeted for five months in the 1964-65 fiscal year, beginning February 1965. 11;1 Provides for mileage reimbursement and the attendance of the City Administrator to represent the City at various meetings and conferences throughout the year. 1173 Annual memberships in various professional and governmental organizations are included in this account. CITY OF TUSTIN, CALIFORNIA 22 Ii ANNUAL BUDGET ¡ACCOUNT SERIES ACTIVITY City Clerk 1200 DESCRIPTION OF FUNCTIONS The City clerk is an elected position and is en- trusted with the corporate seal, papers, records, and other official City documents as required by law. The Clerk also aets as Secretary to the City Council and keeps the proceedings of the Council, including all ordinances and resolutions. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ 16,769 $ 23,048 $ 24,248 $ 21,502 NON-PERSONAL EXPENSES. 7,3" 12,'50 8,545 8,)00 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 24,099 $ 35,398 $ )2.79) $ 29,802 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........................ $ 29,802 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND....,..,.........,.. MOTOR VEHICLE LICENSE FUND. . . , , . . . . . . . . . . . SEWERMAINTRUNKFUND...............,... TOTAL FUNDS......................... $ 29,802 CITY OF TUSTIN, CALIFORNIA 23 ANNUAL BUDGET ACTIVITY City Clerk I ACCOUNT 1200 SERIES ACCOUNT DISTRIBUTION Description :pERSONNEL (and Range Number): 1201 City Clerk 1201 Office Supervisor 1201 Deputy City Clerk 1201 Secretary 1201 Senior Clerk 1201 Account-Clerk 1201 Typist-Clerk TOTAL POSITIONS NON-PERSONAL EXPENSES: 1211 Salary survey ---- Annexations 1231 Office Supplies 1232 postage 1234 Office Equipment Maintenance J.235 Office Equipment Rental 1236 Printing 1241 Department Supplies 1249 Sundry 1251 Travel & Meeting Expense 1271 Legal Advertising 1272 Recruitment Expense 1273 Memberships TOTAL EXPENSES EQUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: None 1963-64 Aotual 1 1 1 1 1 -5 t -- 2,035 1,621 80 2,894 -- 18 682 17,))0 1964-65 BudlZ:et 1 (500) 1 (6) 1 (5) 1 (5) 1 (1) 5 $ 850 2,500 2,400 200 4,000 500 1,900 112,350 1964-65 Estimate 1 (500) 1 (6) 1 (5) 1 (5) 1 (1) 5 $ 825 1,700 2,200 100 2,000 620 1,100 'B,5~5 1965-66 Budget 1 (150) 1 (6) 1 (6) 1 (6) 1 (2) 5 $ - - 2,340 600 150 1,240 300 250 600 200 2,500 100 20 $S,3cJÔ CITY OF TUSTIN, CALIFORNIA 24 ANNUAL BUDGET ACTIVITY City Clerk I ACCOUNT 1200 SERIES 1201 1201 1201 1211 1231 12)2 1234 12)5 1236 1241 1249 1251 1271 1272 1273 COMMENTARY Supplementary duties of the City Clerk are established in the position of Office Supervisor, to direct the staff of the de- partment in matters of record keeping, preparation of corres- pondence, business license processing, and other related activities. Based on assigned duties, the former position of Senior Clerk is reclassified to Secretary. The position of Account-Clerk is transferred to the Finance Account Series. To be performed by the City Administrator. Costs for legal advertising, attorney fees, etc. are dis- tributed to other, more appropriate accounts. General office and clerical supplies. Mail-out of general administrative matters, previously budgeted in other accounts. Provides funds for maintenance on typewriters and other equip- ment as may be required. For annual rental of a postage machine and a duplicator, pre- viously included in other accounts. Printing of various forms and documents used in general ad- ministration. The purchase of minute, ordinance, resolution books and other special supplies. 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. Legal publication of notices, ordinances, and other actions as required by law, previously included in other accounts. Publication of advertisements for position vacancies which may occur in the City service. Annual memberships in certain professional organizations. CITY OF TUSTIN, CALIFORNIA 25 ANNUAL BUDGET I ACTIVITY I Finance Officer IACCOUNT SERIES 1300 DESCRIPTION OF FUNCTIONS The Finance Officer (City Administrator) is the chief fiscal officer of the City and is respon- sible for establishing accounting procedures, maintaining fiscal records, preparing revenue estimates, controlling expenditures, and perform- ing related duties. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Clas sification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ 4,578 NON-PERSONAL EXPENSES. 1,640 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ $ $ $ 6,218 FUND DISTRIBUTION Classification 1965-66 Budget ~ 6,218 GENERAL FUND.........,.............. TRAFFIC SAFETY FUND ........,........... SPECIAL GAS TAX FUND.................... MOTOR VEHICLE LICENSE FUND. . . . , . . . . . . . , SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . TOTAL FUNDS. . . . . . . . . . . . . . . . $ 6,218 CITY OF TUSTIN, CALIFORNIA 2 ANNUAL BUDGET ACTIVITY Finance Officer I ACCOUNT lJOO SERIES ACCOUNT DISTRIBUTION Description PERSONNEL (andR9.nge Number) : 1963-64 Actual 1964-65 Buc:ùtet 1964-65 Estimate 1965-66 Buc:ùtet 1;01 Account Clerk TOTAL POSITIONS 1 (5) 1 NON-PERSONAL EXPENSES: 1311 Financial Consultant 1313 Payroll Accounting $ -- $ -- $ -- $ 600 840 1)41 Department Supplies TOTAL EXPENSES $ -- $ -- -- $ -- 200 $1,640 EQUIPMENT OUl'LAY: None CAPITAL IMPROVEMENTS: None COMMENTARY 1;01 The CityOs account-clerk was previously budgeted as a function of the office of City Clerk. 1311 Advisory service on municipal finance administration and pro- cedures that may be required during the year. 1313 Automatic machine processing of City payroll by outside con- tract, authorized in April 1965. 1)41 Includes the cost of special accounting forms and other supplies required in this aotivity~ CITY OF TUSTIN, CALIFORNIA 27 ANNUAL BUDGET I 1- A~~I~ITY I IACCOUNT SERIES 1400 City Treasurer DESCRIPTION OF FUNCTIONS The City Treasurer is responsible for the receipt and custody of City funds; together with the City Admin- istrator, the disbursement of funds; the .investment of surplus funds; and is designated to act as trustee for the bondholders of bonds issued in connection with special assessment projects. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ 600 $ 600 $ 600 $ 600 NON-PERSONAL EXPENSES. EQUIPMENT OUTLAY. CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ $ $ $ 600 FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND........................ TRAFFIC SAFETY FUND """""""""" $ 600 SPECIALGASTAXFUND.................... MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . , . . . TOTALFUNDS.............,........... $ 600 . CITY OF TUSTIN, CALIFORNIA 28 ANNUAL BUDGET ACTIVITY City Treasurer I ACCOUNT 1400 I SERIES ACCOtmT DISTRIBUTION Description 1963-64 Actual 1964-65 BudJte.t 1964~6S Estimate 1965-66 Budp.:et PERSONNEL (and Monthly Rate): 1401 City Treasurer TOTAL POSITIONS 1 -¡ 1.-'50> 1 1(50) 1 1 (50) 1 NON-PERSONAL EXPENSES: None EQUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: None COMMENTARY 1401 Services of the City Treasurer for the performance ot assigned dut 1es. CITY OF TUSTIN, CALIFORNIA 29 Ii ANNUAL BUDGET ACCOUNT SERIES 1500 City 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. EXPENDIT URES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ 2,400 $ 2,400 $ 2,400 $ 2,400 NON-PERSONAL EXPENSES. 11,095 6,000 8,0)0 7,700 EQUIPMENT OUTLAY. CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ 13,'+95 $ 8,400 $ 10,4)0 $ 10,100 FUND DISTRIB UTION Classification 1965-66 Budget $ 10,100 GENERALFUND.........,.............. TRAFFIC SAFETY FUND ........,........... SPECIAL GAS TAX FUND. . . . . . . . . . , . . . . . . MOTOR VEHICLE LICENSE FUND. . . . , . . . . . . . . . . . SEWERMAINTRUNKFUND....,......,.",... TOTAL FUNDS............. . . . . . , , . . $ 10,100 L CITY OF TUSTIN, CALIFORNIA 30 ANNUAL BUDGET ACTIVITY City Attorney I ACCOUNT .1500 SERIES ACCOUNT DISTRIBUTION Description 196)-64 Actual 1964-65 BudJl:et 1964-65 Estimate 1965-66 Budp;et PERSONNEL (and Monthly Rate): 1501 City Attorney TOTAL POSITIONS 1 ~ 1 (200) 1 1 (200) 1 Li200) 1 NON-PERSONAL EXPENSES: 1511 Legal Fees (City Attorney) 1515 Codification TOTAL EXPENSES $11,095 -- $11,095 $6,000 $6,000 $8,030 -- $8,030 $7,500 200 $7,700 EQUIPMENT OUTLAY: None CAPrrAL IMPROVEMENTS: None COMMENTARY 1501 Normal legal services of the City attorney. 1511 Extraordinary services by the City attorney including right- of-way condemnation proceedings to include suit preparations, obtaining court orders and representing the City in court. 1515 Annual codification of the City's adopted ordinances is per- formet1. by outside contract. CI TY OF TUSTIN, CALI FORNIA )1 F I ANNUAL BUDGET Planning IACCOUNT SERIES ACTIVITY 1600 DESCRIPTION OF FUNCTIONS The Planning Department is responsible for the preparation of a comprehensive General Plan for the long-range development of the City. variances and special use permits; and making recommendations to the Planning Commission and City Council regarding plan- ning matters. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Clas sification Actual Budget Estimate Budget PERSONAL SERVICES. $ 8,014 $ 9,288 $ 18,474 $ 21,978 NON-PERSONAL EXPENSES. 4,114 18,510 7,91:3 9,68J EQ UIPMENT OUT LAY. 1,10) 150 98) CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ $ 27,948 $ $ 31,658 13,231 27,:370 FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND........................ $ )1,658 TRAFFIC SAFETY FUND ..,.........,....... SPECIAL GAS TAX FUND. . . . . . . . . . . . . . , , . MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . SEWERMAINTRUNKFUND...........,....... TOTAL FUNDS. . . . . . , . . . , . . . . . . . , . . , $ 31,658 CITY OF TUSTIN, CALIFORNIA 32 ANNUAL BUDGET r 1- ACTIVITY Planning ¡ACCOUNT 1600 SERIES ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Description Actual Budp:et Estimate Budp:et PERSONNEL (and Range Number): 16m. Planning Director 1 1 (20) 1 (20) 1 (20) 1601 Planning Technician 1 (13) 1 (I) 1 (14) 1601 Secretary 1 (5) + (5) 1 (6) TOTAL POSITIONS 1 3 ) ) FOi'I-P~RSONAL EXPENSES: J.611 Planning Consultant $ -- $15,000 $3,800 $2,400 1624 Utilities -- 270 1631 Office Supplies 512 1,000 t.,200 1,350 J.6:32 Postage 75 1634 Office Equip.Maint. 100 15 15 1636 Printing. 2,100 1641 Departmental Supplies 1,260 310 1648 Special Expense Reimb. ),298 1,548 1,740 1649 Sundry 19 50 250 50 1651 Travel & Meet.Expense 285 1,100 1,100 1,195 1673 Memberships 125 1674 Publications $4,114 $18,510 $7,913 $9,6~% TOTAL EXPENSES EQUIPMENT OUTLAY: 1685 Office Equipment $1,10) $ 150 $ 98) $ -- CAPITAL IMPROVEMENTS: None CITY OF TUSTIN, CALIFORNIA 33 ACTIVITY 1601 1611 1624 1631 16)2 1634 16)6 1641 ANNUAL BUDGET P1.anning ¡ACCOUNT SERIES 1600 COMMENTARY Based on the salary survey of positions in Southern California, an increase in the ranges for Planning Technician and Secretary have been budgeted. A consultant is employed to assist the planning staff in the overall development of the proposed General Plan. Gas and electric service. General office supplies and materials. Mail-out of planning matter. Maintenance of one typewriter during 1965-66. Printing of the General Plan, revised zoning ordinance, and other publications are included in this account. Various supplies including a lettering set and mounting board material. 1648 Reimbursement of expenses incurred by members of the Planning Commission in conducting planning business and related matters. 1649 1651 167) 1674 Items not specifically charged to other accounts. Provides for mileage reimbursement and the attendance of the 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. CITY OF TUSTIN, CALIFORNIA )4 -------- ANNUAL BUDGET ACTIVITY Government Buildings - DESCRIPTION OF FUNCTIONS ACCOUNT SERIES The cost of operating the City Hall, and utilities, telephone, and custodial charges not distributed to other depart- ments are incurred in this account series. EXPENDITURES Classification 1963-64 Actual PERSONAL SERVICES. $ - NON-PERSONAL EXPENSES. 12,377 EQUIPMENT OUTLAY. - CAPITAL IMPROVEMENTS 17.419 29,796 TOTAL ACTIVITY. $ 1964-65 Budget $ - 18,560 - 12,40. $ 50,960 FUND DISTRIB UTION Classification GENERAL FUND TRAFFIC SAFETY FUND SPECIAL GAS TAX FUND MOTOR VEHICLE LICENSE FUND SEWER MAIN TRUNK FUND TOT AL FUNDS CITY OF TUSTIN, CALIFORNIA 1964-65 Estimate $ - Ii' 16,9Ot - 48.000 $ 64,900 1800 1965-66 Budget $ - 10,370 - $ 10,000 20,37C 1965-66 Budget $ 20,370 - - - - $ 20, :370 35 ANNUAL BUDGET r- I ACTIVITY Government Build~ngs lACCOUNT 1800 I SERIES ACCOUNT DISTRIBUTION Description 196)-64 Actual PERSONNEL: None NON-PERSONAL EXPENSES: 1811 Custodial Service 1821 Building Rental 1823 Build. Repair & Main. 1824 Utilities 1833 Telephone 1841 Departmental Supplies TOTAL EXPENSES $ 540 3,105 945 7,787 $12,377 ~QUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: 1882 Building Purchase TOTAL IMPROVEMENTS ftB19 7, 19 1964-65 Budp:et $ 1,540 4,450 2,570 10,000 $15,560 ß2.400 2,400 1964-65 1965-66 Estimate Budp:et $ 1,750 3,000 3,150 9,000 $16,900 ~8.000 8,000 $ ),600 1,920 500 1,250 3,000 100 $10,370 f/'OOO 10,000 CITY OF TUSTIN, CALIFORNIA 36 ' I ACTIVITY ANNUAL BUDGET 1811 1821 1823 1824 1833 1841 1882 ,Government Buildings I ACCOUNT1800 I SERIES COMMENTARY Custodial service on all City buildings, except fire, is per- formed by outside contract.. Rental of City Hall site under previous lease-rental agreementp dated December 14,1961. Minor repairs and modificatlops to City buildings as may be re- quired throughout the year. Cost of gasp water, and electric service at City Hall. Includes basic monthly charge and toll service of all depart- ments on the City Hall telephone number. Purchase of flags and other miscellaneous supply items. Purchase of final parcel (City Hall Site) under previous lease- rental agreement, in June 1966. CITY OF TUSTIN, CALIFORNIA )7 ANNUAL BUDGET r I I ACTIVITY I Community Prornot1o~ ¡ACCOUNT SERIES ? () or) DESCRIPTION OF FUNCTIONS The promotion of the City 1s an important function of municipal government and the cost of publications, advertisements, and the support of civio organizations are in- cluded in this activity. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ NON -PERSONAL EXPENSES. 555 800 895 900 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ $ $ $ 555 800 900 895 FUND DISTRIB UTION Clas sification 1965-66 Budget GENERAL FUND...........,............ $ 895 TRAFFIC SAFETY FUND ........,........... SPECIAL GAS TAX FUND.................." MOTOR VEHICLE LICENSE FUND. . . . , . . . . . . , . . . . SEWERMAINTRUNKFUND..............,.... TOTAL FUNDS.............,........... $ 895 CITY OF TUSTIN, CALIFORNIA 38 ANNUAL BUDGET ACTIVITY Community Promotion ACCOUNT 2000 SERIES ACCOUNT DISTRIBUTION Description 1963-64 Actual 1964-65 Bud~et 1964-65 Estimate 1965-66 Bud~et PERSONNEL: None NON-PERSONAL EXPENSES: -- $555 $800 $900 $570 75 ~ $ 95 2073 Membership 2074 Fublicat1ons 2079 Sundry Activities TOTAL EXPENSES $555 $800 $900 EQUIPMENT OtJl'LAY: None CAPITAL IMPROVEMENTS: None COMMENTARY 2073 city membership in various governmental organizations including the League of California Cities. 2074 Various paid subscriptions for publications of City interest. 2079 The City will host a general meeting of the Orange County League of Cities during 1965-66. CITY OF TUSTIN, CALIFORNIA 39 ANNUAL BUDGET -- I ACCOUNT SERIES ACTIVITY Elections 2100 DESCRIPTION OF FUNCTIONS The cost of conducting a special municipal election or including City elective offices and ballot propositions on State-wide pri- mary or general elections is included in this account series. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ NON-PERSONAL EXPENSES. 2,50) 1,100 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 2,50.3 $ $ $ 1,100 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........................ $ 1,100 TRAFFIC SAFETY FUND ......,............. SPECIAL GAS TAX FUND....,..,.........". MOTOR VEHICLE LICENSE FUND . . . . . . . . . . . . . SEWERMAINTRUNKFUND..............,.... TOTAL FUNDS. . . . . . . , . . . . . . . , $ 1,100 CITY OF TUSTIN, CALIFORNIA 40 ANNUAL BUDGET ACTIVITY Elections I ACCOUNT 2100 SERIES ACCOUNT DISTRIBUTION Description 196)-64 Actual 1964-65 Budp:et 1964-65 Estimate 1965-66 ~ PERSONNEL: None NON-PERSONAL EXPENSES: ,,> .¡¡> $ 150 300 30 120 $1,1gg 2111 Registrar of Voters 2112 Election Officials 2121 Polling Place Rent 21)2 Postage 2141 Department Supplies TOTAL EXPENSES $ $ 2.~03 $2, 0) $ $ EQUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: 2111 2112 2121 2132 2141 None COMMENT1JiY Addressing sample ballots and other election service charges of the County Registrar of Voters in connection with the municipal election to be held in April, 1966. Pay of precinct workers in four City precincts on the day of election. Rental of one polling place for one day. Cost of mailing sample ballots and other postage costs. Necessary supplies and forms for conducting the election. CI TY OF TUSTIN, CALI FORNIA 41 ANNUAL BUDGET !I ACTIVITY I I I ¡ACCOUNT SERIES Other Non-Departmental 2300 DESCRIPTION OF FUNCTIONS Expenditures under this account series apply to all City activities and there- fore are classified as "Non-Departmental." EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Clas sification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ NON-PERSONAL EXPENSES. 16,0)3 )4,950 22,390 31,135 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 16,033 $ 34,950 $ 22,)90 $ 31,135 FUND DISTRIBUTION 1965-66 Budget Clas sification GENERAL FUND........................ $ 31,135 TRAFFIC SAFETY FUND """""""""" SPECIAL GAS TAX FUND. . . . . . , , . . . . . . , , , MOTOR VEHICLE LICENSE FUND. . . , , . . . . . . . . . . . SEWERMAINTRUNKFUND.......,...,..,.... TOTAL FUNDS. . . . . . . . . . . . . . . . , . . . . . $ )1,135 - CITY OF TUSTIN, CALIFORNIA 42 ANNUAL BUDGET ACTIVITY other Non-Departmental I ACCOUNT 2300 I SERIES ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Description Actual Bud~et Estimate Bud~et PERSONNEL: None NON-PERSONAL EXPENSES: 2)09 Salary Reserve $ -- $15,000 $ -- $ -- 2311 Auditing 1,300 1,550 1,910 2,000 2312 General Insurance 9,789 12,000 12,)00 14,500 2313 Health Insurance -- 1,500 1,500 2314 Retirement 4,944 6,000 6,300 12,300 2)15 Special Census 400 380 210 2316 Surety Bonds 125 2348 Tuition Reimbursement -- iOO TOTAL EXPENSES $16,033 ~)4,950 $22,390 $31, 35 EQUIPMENT OUTLAY: None CAPrrAL IMPROVEMENTS: None CITY OF TUSTIN, CALIFORNIA 4) ANNUAL BUDGET ACTIVITY Other Non-Departmental 2309 2311 2312 2313 2314 2315 2316 2)48 ACCOUNT 2300 SERIES COMMENTARY Budgeted in prior year for salary increases, now distributed in departmental activity summaries. An independent audit of the City's financial records each quarter, and the preparation of certain state reports are in- cluded in this account. General liability insurance, state Compensation, and employee life insurance coverage. Contribution by the City for partial health insurance coverage of employees, excluding dependents. Coverage of employees in the Social Security System, based on rate increases effective January 1966. State special census requested in the 1966 calendar year to permit the City to receive the maximum in state allocated funds which are based on population. Annual premium of surety bond covering the position of City Treasurer. Bonds on all other employees pre-paid through 1966. Reimbursement of portion of tuition fees of employees for college courses successfully completed, which relate to per- formance on the job. CI TY OF TUSTIN, CALI FORNIA 44 ANNUAL BUDGET ACCOUNT SERIES 3000 ACTIVITY Ci vil Defense DESCRIPTION OF FUNCTIONS The functions of Civil Defense include disaster planning, public information, and the coordina- tion of emergency action in order to insure the welfare of the public in the event of natural or man-made disasters. EXPENDIT URES 1963-64 1964-65 1964-65 1965-66 C1as s ification Actual Budget Estimate Budget PERSONAL SERVICES. $ 1,559 $ 4,200 $ 4,200 $ 4,314 NON-PERSONAL EXPENSES. 1,110 2,400 1,725 2,750 EQUIPMENT OUTLAY. 4,561 10,646 5,000 CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ 7,2)0 $ 17,246 $ 10,925 $ 7,064 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........................ $ 7,064 TRAFFIC SAFETY FUND .......,............ SPECIAL GAS TAX FUND.......,......... MOTOR VEHICLE LICENSE FUND. . . . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . TOTALFUNDS.............,..... $ 7,064 CITY OF TUSTIN, CALIFORNIA 45 ANNUAL BUDGET I ACCOUNT 3000 SERIES ACTIVITY Civil Defense ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Description Actual Bud~et Estimate Bud~et PERSONNEL (& Salary Rate): 1503 Director Civil Defense 1 1 ()OO) 1 ()OO) 1 (15)* 1503 Secretary C.D. ----1 1 (1.25) 1 (1.25) + (1.50) TOTAL POSITIONS 2 2 2 2 *Range Number NON-PERSONAL EXPENSES: 30)1 Office Supplies $ 707 :$ 1,200 $ 650 $ 800 3032 Postage 300 )033 Telephone 350 30,6 Printing 100 30 1 Departmental Supplies 250 3051 Travel & Meet.Expense 403 1,200 1,075 925 3073 Memberships $1,110 $2,400 $1,725 iP~ TOTAL EXPENSES EQUIPMENT OUTLAY: 3085 Office Equipment $4,561 $10,646 $5,000 CAPITAL IMPROVENENTS: None CITY OF TUSTIN, CALIFORNIA 46 ANNUAL BUDGET ACTIVITY ACCOUNT SERIES 3000 Civil Defense 150) 150) 3031 30)2 303) 30)6 )041 )051 307) COMMENTARY The position of Director of Civil Defense is budgeted at one- half time in Range 15 instead of the present flat rate schedule. An increase in the salary of the part-time Secretary from $1.25 per hour to $1.50'per hour is included in Personal Services. General office supplies and materials. Mail-outs to the public, school district, and other organiza- tions. Two telephones, as presently budgeted, are included in this account. Outside printing of various forms and stationery. Special supplies including maps and overlay paper. Provides for mileage reimbursement and the attendance of the Director to represent the City at various meetings throughout the year. Annual membership in various Civil Defense organizations. CITY OF TUSTIN, CALIFORNIA 47 ANNUAL BUDGET II II 1- ACTI_VITY IACCOUNT SERIES ~uilding Regula~ 3200 DESCRIPTION OF FUNCTIONS Buildlng regulation services are necessary to insure that all buildings and structures in the City, which exist or are constructed, comply with minimum stan- dards of safety and sanitation. Such services in- clude building, plumbing and electrical inspection; issuing permits; plan checking; and building and zoning codes administration and enforcement. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Clas s ification Actual Budget Estimate Budget PERSONAL SERVICES. $ 16,865 $ 37,000 $ 34,973 $ 39,035 NON-PERSONAL EXPENSES. 6,676 5,525 3,420 4,167 EQUIPMENT OUTLAY. 2,999 509 100 CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ 26,540 $ 4.3,0.34 $ $ 43.202 .38,493 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........................ TRAFFIC SAFETY FUND .................... $ L~3,202 SPECIAL GAS TAX FUND.................... MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . . . . SEWERMAINTRUNKFUND................... TOTAL FUNDS......................... $ 43,202 l - CITY OF TUSTIN, CALIFORNIA 48 ANNUAL BUDGET ACTIVITY Building Regulation IACCOUNT . 3200 SERIES ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Description Actual Budp;et Estimate Budp;et PERSONNEL (& Range Number): 3201 Building Director 1 1 (20) 1 (20) 1 (19) 3201 Plan Checker 1 1 (16) 1 (16) ], (16) )201 Building Inspector 1 2 (15) 2 (15) 2 (15 } )201 Secretary 1 1 (5) 1 (5) + (6) TOTAL POSITIONS 4 5 5 5 NON-PERSONAL EXPENSE: 3211 outside Plan Checking $2,001 $2,000 $ )00 $ 500 )224 Utilities -- -- 220 32)1 Office Supplies 1,774 525 600 125 )2)2 Postage 200 3246 Printing 400 300 295 32 1 Departmental Supplies 80 3249 Sundry 1,984 20 72 3251 Travel & Meeting Expense 917 2,600 2,200 2,450 3273 Memberships 115 3274 Publications 110 TOTAL EXPENSES $6,676 $5,525 $3,420 :¡pt¡.,167 EQUIPMENT OUTLAY: 3285 Office Equipment $2,999 $ 509 $ 100 CAPITAL IMPROVEMENTS: None CITY OF TUSTIN, CALIFORNIA 49 ACTIVITY )201 3211 3224 )231 3232' 3236 3241 3249 3251 3273 3274 ANNUAL BUDGET I ACCOUNT SERIES )200 Building Re~lation COMMENTARY Based on the salary survey of positions in Southern California, a decrease in the range for Building Director and an increase in the range for Secretary is budgeted. Review and checking of major building plans by outside contract is included in this account. Gas, electric, and water service. General office supplies. Mail-out of various building regulation matters. Printing of permits and other forms. Special supplies include film, tracing paper, and other iteEs^ Items not covered by other specific accounts. Mileage reimbursement and attendance at various meetings of departmental personnel throughout the year. Annual memberships in various building organizations and associations. Purchase of building, electrical, plumbing, and heating codes. CITY OF TUSTIN, CALIFORNIA 50 ANNUAL BUDGET [ACCOUNT SERIES )400 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. EXPENDIT URES 1963-64 1964-65 1964-65 1965-66 Clas sification Actual Budget Estimate Budget PERSONAL SERVICES. $ .53,589 $ 90,)00 $ 93,700 $ 101,798 NON-PERSONAL EXPENSES. 12,376 13.350 13,215 16,610 EQUIPMENT OUTLAY. 6,332 6,000 3,375 CAPITAL IMPROVEMENTS TOTAL ACTIVITY. $ $ 109,650 $ $ 118,408 72,297 1l0,290 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND........... . . . . . . . . . . iÏ 74,929 ),479 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND. . """'" ... MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . . 40,000 SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . TOTALFUNDS............,... . . . . . . $ 118,.408 CITY OF TUSTIN, CALIFORNIA <;1 ANNUAL BUDGET I ACTIVITY Police ¡ACCOUNT SERIES 1400 ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Description Actual Budp:et Estimate Bud~et PERSONNEL (& Range Number): ,---, 3401 Police Chief 1 (20) 1 (20) \ 1 1 (21) \ , )401 Police Sergeant 2 2 ( 14) 2 (14) 2 (15) I ~ fJl,)v 3401 Police Investigator 1 2 (I) 2 (13) 2 (1) ( J 3401 Policeman II 4 4 (12) 4 (12) 4 (12)!ÇF 3401 Policeman I 1 1 (11) 1 (11) 1 (11) \5 -)'18 )401 Policewoman 1 (6) 1 (6) 1 (7) 3401 Dispatcher Clerk 2 ) (5) ) (5) 3 (5) 340) crossing Guard 2 2 (1.65) 2 (1.65) 2 (1.65~ TOTAL POSITIONS I) 16 16 16 34<?2 Overtime $ 8,000 NON-PERSONAL EXPENSES: 3411 County Jail $ 781 $ 1,200 $ 425 $ 600 )424 Utilities 780 3431 Office SUpplies 1,041 1,000 1,200 800 3432 Postage 120 34)~ Telephone 1,100 343 Office Equip.Maintenance 180 3436 Printing 400 3441 Departmental SUpplies 686 1,100 1,025 1,100 344~ Uniforms -- 2,200 344 Special Equip. Main. 2,977 2,200 2,400 600 )445 Special Equip. Rent 340 3449 Sundry 213 550 115 300 3451 Travel & Meeting Expense 107 500 50 250 ~ 3454 Vehicle Operation 3,500--- IYo '1 3455 Vehicle Maintenance 6,571 6,800 8,000 4 000'" 1;0< þ. 3473 Memberships - ~t40 TOTAL EXPENSES $12,)7ð $13,)50 :W13,215 ~16, 10 EQUIPMENT OUTLAY: )486 Special Equipment $6,))2 $ 6,000 $ ),375 $ -- CAPITAL IMPROVEMENTS: None CITY OF TUSTIN, CALIFORNIA 52 I ACTIVITY 3401 3411 )424 )1. .31 )432 343) )l¡'34 3436 3441 3443 3444 3445 )449 )451 3454 3455 347) ANNUAL BUDGET ¡ACCOUNT SERIES 31100 Pollc~ COMMENTARY An increase in the ranges for the positions of Police Chief, Police Sergeant, and Policewoman is budgeted, based on the salary survey of positions in Southern California. Detention of persons violating City ord~nances in the Orange County jail until sentenced by the courts. Eleotric service for police, fire, and civil defense facilities. General Office supplies. Mail-out of police matters. Includes basic monthly charge and toll services, previously budgeted in administration. Maintenance of a photo-copier, mimeograph and typewriters. Printing of various forms and other records. Special supplies include ammunition, badges, film,and etc. Uniform replacement as required throughout the year. Radio maintenance costs. Rental of a teletype receiver with direct wire to the Orange County Communications Center. Items not budgeted in other accounts. Provides for attendance of departmental personnel to represent the City at various meetings throughout the year, and other expenses in connection with court appearances and extradi~;'ion. Gasoline, oil, and lubrication of the six assigned vehicles. Non-routine maintenance and upkeep of the assigned vehicles. Annual memberships in various police organizations, includi~~ annual firing range membership costs for each employee. CITY OF TUSTIN, CALIFORNIA '51 ANNUAL BUDGET [ACCOUNT SERIES 3500 I ACTIVITY I I I I I I I I I I i I Ii I I I PERSONAL SERVICES. NON -PERSONAL EXPENSES. Fire DESCRIPTION OF FUNCTIONS The Fire Department protects the public safety by fire prevention inspections, public education, extinguish- ing fires, and investigating fire causes. The program of fire defense for the City is designed to provide sufficient apparatus and trained personnel so dis- tributed as to insure both quick and effective response to a fire alarm in order to reduce the loss of life and property, Classification EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Actual Budget Estimate Budget $ 25,987 $ 47,941 $ 48,647 $ 54,903 5,042 5,869 5,063 10,521 12,401 14,990 7,900 11 ,420 10,000 $ 43,4)0 $ 78,800 $ 61,610 $ 76,844 EQUIPMENT OUTLAY. . . . CAPITAL IMPROVEMENTS. TOTAL ACTIVITY. . . . . . FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND.........,.............. $ 76,844 TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . SPECIAL GAS TAX FUND. . . . . . . . . . . . . . . . . MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . . . . SEWERMAINTRUNKFUND.................,. TOTAL FUNDS. . . . . . . . . . . . . . . . . . . . . . $ 76,844 I L -- CITY OF TUSTIN, CALIFORNIA 54 ANNUAL BUDGET Fire ACCOUNT SERIES 3500 ACTIVITY ACCOUNT DISTRIBUTION 1963-64 1964-65 1964-65 1965-66 Desoription Aotual Budp;et Estimate .Jð1~~~ 3501 Fire Chief 1 1 (20) 1 (20) 1 (20) 3501 Asst. Fire Chief 1 1 (*) 1 (*) 1 (*) 3501 Fire Engineer 3 (13) 3 (13) 3 (13) 3501 Fireman II 1 1 (12) 1 (12) 3501 Fireman I 1 1 (11) 2 (11) 1 (ll) ¡tIc 3501 Dispatoher Clerk 1 (5) 1 (5) 1 (5) I 3503 Fire Marshall 1 1 (14) 1 (14) 1 ( 14 ). TOTAL POSITIONS 5 9 9 9 * Asst.Fire Chief (rate per month) ~ 50 ~ 50 ~ 50 ~ 100 3503 Volunteer Fireman 2,972 5,720 3,500 2950(; NON-PERSONAL EXPENSES: 3511 Hydrant Rental $1,974 $2,700 $2,088 $39120 3524 Utilities -- 34.0 3531 Office Supplies 881 750 575 750 3532 Postage 85 3534 Telephone 780 353 Office Equip. Main. ~-;o 3546 Printing 100 35 1 Departmental SUpplies' 711 1,219 800 19500 3542 Small Tools 120 3543 Uniforms 9L;-5 3544 Special Equip. Main. 565 3549 Sundry 254 100 100 3551 Travel & Meet. Expense' 31) 3554 Vehicle Operation 725 3555 Vehicle Maintenance 1,222 1,200 1,500 625 3573 Memberships 6-'. 3574 Publications -- J9-'J, TOTAL EXPENSES ~5,042 ~5,869 ~)5,063 ~10 ,52~L EQUIPMENT OUTLAY: 3586 Special Equipment $12,401 $14,990 $7,990 $11,420 CAPITAL IMPROVEMENTS: 3581 Fire Station Site $10,000 CITY OF TUSTIN, CALIFORNIA .,., ACTIVITY ANNUAL BUDGET ACCOUNT SERIES 3500 Fire 3501 3503 3511 3524 3531 3532 3533 3534 3536 3541 3542 3543 3544 3549 3551 3554 3555 3573 3574 3586 COMMENI'ARY An increase in the amount of the flat monthly reimbursement to the Assistant Fire Chief is budgeted¡ and approximates the amount now received in addittonal drill payments which would be deleted. A reduction in total murs of volunteer fireman assignments reduces the amount from 1964-65. Rental charges on 260 fire hydrants within the City during 1965-66. Gas, water, and electric service in the fire station, in- cluding gas and water service in the police building. General office supplies. Mai1-out of departmental matters. Includes basic monthly charge and toll calls during the year~ Maintenance of office tape recorder and other equipment. stationery and special stencil reproductions used in fire prevention activities. The purchase of badges, oxygen, gloves. canvas, one training film, and other special fire supplies. Additional tools for the rescue unit is included in this account. Uniform replacement as required throughout the year. Radio and resuscitator maintenance costs. Miscellaneous items not included in other object accounts. Provides for the attendance of the Fire Chief to represent the City at various meetings and conferences throughout the year. Gasoline, oil, and lubrication for the five assigned fire vehicles. Non-routine maintênance and upkeep of fire units. Memberships in various fire associations in the western states. Subscriptions and publications relating to fire activities. Equipment expenditures include final payment on the ti.re rescue truck and the initial payment on the new fire pumper. CITY OF TUSTIN, CALIFORNIA 56 II_~ ANNUAL BUDGET Pu bl ¡~-:~~~nJ,~tra U on--------¡ Aff~I~~ T ACTIVITY 4000 DESCRIPTION OF FUNCTIONS Administration and supervision of public works activities, including engineering, was~collec- tion, sewers, street construction and maintenance, signals and lighting, trees and parkways, and sidewalks and alleys is the function of this ac- count series. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget . PERSONAL SERVICES. $ 22,2)2 $ 26,000 $ 24,366 $ 26,881 NON-PERSONAL EXPENSES. 5,431 9,148 8,791 6,875 EQUIPMENT OUTLAY. 501 2,000 2,095 CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 28,164 $ )7,148 $ 35,252 $ 33,756 FUND DISTRIBUTION Classification 1965-66 Budget GENERALFUND................. . . . . $ )0,756 TRAFFIC SAFETY FUND. . . . . . . . . . . . . . SPECIALGASTAXFUND....,..,............ ),000 MOTOR VEHICLE LICENSE FUND. . . , , . . , . . . . . SEWER MAIN TRUNK FUND. . . . , . . . , . . . , TOTALFUNDS............ . . . . . . . . , . $ 33,756 CiTY OF TUSTIN, CALIFORNIA 57 Public Works Administration 4000 ACCOUNT DISTRIBUTION 196J-64 1964-65 1964-65 1965-66 Description Actual Budp;et Estimate Budp;et PERSONNEL (and Range Number): 4001 Director of Public Works 1 1 (20) 1 (20) 1 (20) 4001 Asst. Civil Engineer 1 (18) 1 (18) 1 (17) 4001 Principal Engineer. Aide 1 + (14) + (14) + (14 ) TOTAL POSITIONS ---2 J 3 J NON-PERSONNEL EXPENSES: 4011 City Engineer $ -- 4) -- $ -- $J,600 4012 Contractual Services 3,216 6,548 7,600 500 40)1 Office SUpplies 1,216 1,JOO 400 75 4032 Postage 7S 4034 Office Equip. Main. 100 181 50 4046 Printing 920 40 1 Departmental Supplies 280 4044 Special Equip.Main. 7S 4051 Travel & Meet.Expense 999 1,200 610 700 4054 Vehicle Operation 400 405~ Vehicle Maintenance -- 150 407 Publications ..... i6,8'~ TOTAL EXPENSES ~5,q.Jl ~9,1q.6 $6,791 E2!]IPMENT OUTLAY: 4086 Special Equipment $ 501 $2,000 $2,095 $ -- CAPITAL IMPROVEMENTS: None 58 ANNUAL BUDGET ACTIVITY ACCOUNT SERIES --- 4001 4011 4012 40:31 4032 4034 4000 Public Works Administration COMMENTARY No change in personnel is requested, although a reduction in the range for Assistant Civil Engineer is budgeted, based on the salary survey of positions in Southern California. Part-time services of the City Engineer by contract, previously included in 4012. Material testing and surveying which is not included in specific construction projects. General offi~e supplies. Mail-out of departmental matters. Maintenance of office equipment as required throughout the year. 4Q36 OUtside blueprint and map reproduction services and supplies. 4041 The purchase of tracing cloth and paper, pens, and related items. 4044 4051 4054 4055 4074 Maintenance of the City~s blueprint reproduction machine. Meeting expenses and mileage reimbursement for employees in this account series. Gasoline, oil, and lubrication of the assigned pick-up truck. Non-routine maintenance and upkeep of the assigned vehicle. Various subscriptions and books for the department. CITY OF TUSTIN, CALIFORNIA 59 ANNUAL BUDGET r- ! ACTIVITY ----:=-----=:J A~f~I~~T ------- u -----.-.----.-.----- --_.---- Waste Collection --------- 4200 DESCRIPTION OF FUNCTIONS The cost of the collection of rubbish from City residential units and the abatement of weeds is included in this account series, EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ $ $ $ NON-PERSONAL EXPENSES. 20,790 26,600 23,930 29,800 EQUIPMENT OUTLAY. CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 20,790 $ 26,600 $ 23,930 $ 29,800 FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND...................,.... $29,800 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND...........,........ MOTOR VEHICLE LICENSE FUND . . . . . , . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . . . . . TOTAL FUNDS. . . . . . . . . . . . . , . . . . . $ 29,800 !~!TY OF TUSTIN, CAliFORNIA 60 ANNUAL BUDGET ~ ii-- l-~~TIVITY I --------- ACCOUNT SERIES 4:300 Sanitary Sewers DESCRIPTION OF FUNCTIONS The construction of new trunk sewers within the City is a function of this activity and is fin- anced from fees charged when connections are made to the City's sewer system. Classification EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Actual Budget Estimate Budget $ $ $ $ 1,)87 1,000 14,074 $ 1,387 $ 1,000 $ 14,074 $ PERSONAL SERVICES. NON-PERSONAL EXPENSES. EQUIPMENT OUTLAY. . . CAPlT AL IMPROVEMENT S TOTAL ACTIVITY. . . . . FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND................"""" TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND. . . , , . . . . . . . . . . . . MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . SEWERMAINTRUNKFUND....,............,. TOTAL FUNDS.........,...,.. $ CITY OF TUSTIN, CALIFORNIA 62 ANNUAL BUDGET II I- i ACTIVITY sanitary Sewers I ACCOUNT4300 SERIES ACCOUNT DISTRIBUTION Description 1963-64 Actual 1964-65 Budp:et 1964-65 Estimate 1965-66 Bud¡;¡:et I:ERSONNEL None paN-PERSONAL EXPENSES: 4311 Sewer Maintenance ~1,387 $1,000 $ -- $ -- f;.9UIPMENT OUTLAY: None $ -- $ -- e -- $ -- CAP!TAL IMPROVEMENT: 438) Trunk Sewer Construction $ -- $ -- $14,074 $ COMMENTARY 4311 Maintenance of City sewers is now performed by Sanitation District No.7, under contract from the 7th Sewer Maintenance District. 438) Construction of new trunk sewers by the City is not anticipated for 1965-66. CITY OF TUSTIN, CALIFORNIA 63 ANNUAL BUDGET ¡ACCOUNT SERIES 5000 ACTIVITY Street Construction ~-~~ 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 series. Construction may include traffic signals, signs, grading, paving, drainage structures, curbs, gutters, driveway aprons, street trees, and related work. EXPENDIT URES Clas sification 1963-64 Actual 1964-65 Budget 1964-65 Estimate PERSONAL SERVICES. $ $ $ NON-PERSONAL EXPENSES. EQUIPMENT OUTLAY. . . . CAPIT AL IMPROVEMENT S . 33,860 $ 33,860 105,700 $ 105,700 88,250 $ 88,250 TOTAL ACTIVITY. . . . . . FUND DISTRIB UTION Classification GENERAL FUND...................,.... TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND. . . , , . . . . . . . . . , , . MOTOR VEHICLE LICENSE FUND. . . . . . . . . . SEWERMAINTRUNKFUND.............."... TOTAL FUNDS. . . . . . . . . . . . . . . . 1965-66 Budget $ 80,075 $ 80,075 1965-66 Budget $ 12,000 5,800 62,275 $ 80,075 CITY OF TUSTIN, CALIFORNIA 64 I 1- ACTIVITY ANNUAL BUDGET Street Construction PERSONNEL: None ACCOUNT DISTRIBUTION 196)-64 Aotual 1964-65 Budø:et NON-PERSONAL EXPENSE: None EQUIPMENT OUTLAY: None CAPITAL IMPROVEMENTS: 5093 street Improvements ~)3,860 $105,700 ACCOUNT 5000 SERIES 1964-65 Estimate $88,250 The following page outlines the budgeted Streets Capital Improvement Program for the fiscal year 19ô5-66. Work will be performed under City contract or by agreement with the County of Orange. CITY OF TUSTIN, CALIFORNIA 1965-66 Budø:et $80,075 65 ANNUAL BUDGET ACTIVITY Street Construction I ACCOUNT. 5000 SE RI ES STREETS cAPITAL IMÞllOVEMENT PROGRAM: 1965-66 Location I. MAJOR STREET CONSTRUCTION 1. Newport Avenue Santa Ana Freeway to Bryan Avenue- Widen to four lanes 2. First Street Prospeot Ave. to Newport Avenue - Widen to four lanes 3. Red Hill Avenue Red Hill Avenue at Bryan Avenue - Widen to four lanes II. TRAFFIC SIGNALS Type of Work Bud~et Amount Engineering Construction Total $ 5,250 '5V~.:.-.1 ~ 5i..i"r Engineering Construction Total $ 2,000 - So'... . ..1- 27.000 . sun. ')- ~29,000 Engineering Construction Total Total-Major Streets 200 - "'C1? ~ 1.800 . $,,13' '3 $ 2,000 Ç-r - D ')ïS $68,800' bU1/ - L:'5 J ..ç $ 1\1 ;; \.., ') ;;;, '?() '-' (,;tn/ 5 <{7 5. J 1. Fourth Street at Yorba Street $ 4,300 2. Fourth Street at Prospect Avenue 2,875 3. Newport Avenue at Main Street 4.100 Total-Traffic Signals $Ll,275 - Grand Total-- All Projects ~80,075 1,,3 't 3 (Note: All of the above are committed joint City- County projects or shared funds under A..H..F.P.. and other agreements)., CI TY OF TUSTIN, CALI FORNIA 66 ANNUAL BUDGET 'i I ACTIVITY I ACCOUNT SERIES 5600 Street Mainten~~ce DESCRIPTION OF FUNCTIONS The maintenance of streets, alleys, traffic signals, parkways, sidewalks, street trees, and other facilities in the public right-of- way are classified as OIStreet Naintenance. ¡¡ Classification EXPENDIT URES 1963-64 1964-65 1964-65 1965-66 Actual Budget Estimate Budget $ 9,976 $ 10,464 $ 9,860 $ 17,316 19,959 26,776 29,501 28,205 4,233 18,500 19,741 $ 34,168 $ 55,740 $ 59,102 $ 45,521 PERSONAL SERVICES. NON-PERSONAL EXPENSES. EQUIPMENT OUTLAY. . . . CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. . . . . . FUND DISTRIB UTlON 1965-66 Budget Classification GENERAL FUND........................ $ SPECIALGASTAXFUND.................", )5,721 9,800 TRAFFIC SAFETY FUND ..,................. MOTOR VEHICLE LICENSE FUND. . . . . . . , , . . . . SEWER MAIN TRUNK FUND. . . . . . . . . . . . , . . . TOTAL FUNDS. . . . . . . . . . . . . . . . . . . $ 45,521 CITY OF TUSTIN, CALIFORNIA 07 ANNUAL BUDGET I I I ACTIVITY street Maintenance ACCOUNT 5600 SERIES Description ACCOUNT DíSTRIBUTION 196).64 1964-65 AQtUalBud~et 1964-65 Estimate 1965-66 Budp;et PERSONNEL (& RANGE NUMBER): 5601 Senior Maintenanceman 5601 Maintenanceman TOTAL POSITIONS 1 .1 2 1 (8) 1 (6) 2 1 (8) 1 (6) 2 1 (8) 2 (7) 3 NON-PERSONAL EXPENSES: 5611 Signal Maintenance $ -- $ -- $ -- $ 1,175 5612 Signal & Light Energy 1,000 , ~ 561~ Signal Main.& Striping 1,580 - ¥CCJ. 561 Sidewalk Maintenance 5,582 5,000 4,200 2,000 5615 Street Tree Maintenance 2,000 'í 5616 Street & Alley Repairs 11,239 12,476 20,276 9,000- 5641 Departmental Supplies 2,5)4 4,000 ),200 8,000 5642 Small Tools -- 700 5644 Special Equip. Main. 614 5,)00 1,825 500 5654 Vehicle Operation 750 5655 Vehicle Maintenance $19,969 ~26,776 ~29,501 1.~00 $2H, 05 EQUIPMENT OUTLAY: 5686 Specia¡ Equipment $ 4,233 $18,500 $19,741 $ -- CAPrrAL IMPROVEMENTS: None CITY OF TUSTIN, CALIFORNIA 68 ANNUAL BUDGET ACTIVITY 5601 5611 5612 561) 5614 5615 5616 5641 5642 5644 5654 5655 Street Maintenance I ACCOUNT SERIES 5600 COMMENTARY One maintenanceman is transferred from the Parks Department to this series. Maintenance by contractvof all traffic signals within the City. Energy charges on traffic signals and safety lights. Maintenance and replacement of traffic signs and certain new striping by outside contract. Sidewalk and curb repair when performed by other than City crews. Certain major maintenance and removal of street and parkway trees. General repairs, patching, and other maintenance of City streets and alleys. Special supplies include sweeper brooms, street name signs, lumber, cement, and other related maintenance items. This is the first of a four year program to purchase various small tools used in street maintenance activities. Maintenance of the traffic striping machine and skip loader. Gasoline, oil, and lubrication of the five assigned vehicles. Street sweeper and trucks non-routine maintenance as may be required throughout the year. CITY OF TUSTIN, CALIFORNIA 69 ANNUAL BUDGET r= II I ACTIVITY --"" ¡ACCOUNT SERIES 8100 Park Facilities DESCRIPTION OF FUNCTIONS The maintenance and improvement of the Tustin Youth Center is the function of this account series. EXPENDITURES 1963-64 1964-65 1964-65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ 10,858 $ 10,JOO $ 11 , 568 $ 6,876 NON-PERSONAL EXPENSES. 1,571 2,200 2,405 2,685 EQUIPMENT OUTLAY. 488 1,500 1,000 CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 12,917 $ 14,000 $ 14,973 $ 9,561 FUND DISTRIB UTION 1965-66 Budget Classification GENERAL FUND.........,.............. $ 9,561 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND. . . , , . . . . . , . . , . . . MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . . . . SEWERMAINTRUNKFUND...........,....... TOTAL FUNDS. . . . . . . . . . . . . . . . . . . $ 9,561 CITY OF TUSTIN, CALIFORNIA 70 II ANNUAL BUDGET 1- Park Faoilitico ¡ACCOUNT 8100 ACTIVITY SERIES ACCOUNT DISTRIBUTION 196)-64 1964-65 1964-65 1965-66 Description Actual Budp;et Estimate Budp;et PERSONNEL (& Range :~umber): 8101 Senior Maintenanceman 1 1 (8) 1 (8) 1 (8) 8101 Maintenanceman ---l- 1 (6) 1 (6) TOTAL,. POSITIONS 2 2 2 1 8102 OVertime $ -- $ -- $ -- $1,200 NON-PERSONAL EXPENSES: 8123 Build. Maintenance $ 664 $ 300 $1,075 $ JOO 8124 Utilities 1,000 813) Telephone 160 8141 Departmental Supplies 907 1,100 1,100 500 8142 Small Tools 75 8144 Special Equip. Main. 150 811:9 Sundry -- 400 JO 8151 Travel & Meet.Expense 400 200 tOO TOTAL EXPENSES ~1,571 ~2,200 $2,405 $2, 85 EOUIPMENTOUTLAY: 8186 Special Equipment $ 448 $1,500 $1,000 $-- ~AL IMPROVEMENTS: 8183 Park Improvements CITY OF TUSTIN, CALIFORNIA 71 ACTIVITY 8101 8102 812) 8124 8133 8141 8142 8144 8151 818) ANNUAL BUDGET Park Facilities ACCOUNT SERIES 8100 COMMENTARY One maintenanceman is transferred to Street Maintenance. Overtime is budgeted for the operation of the Tustin Youth Center after normal duty hours and on weekends. Routine maintenance and painting of the park site. Gas, electric, and water. Phone service, both inside phone and pay booth at the Tustin Youth Center. Special supplies and items at the Youth Center throughout the year. Miscellaneous small tools and equipment. Maintenanoe of lawnmowers and garden equipment. Provides for reimbursement of expenses for various functions attended by members of the Parks & Recreation Commission dur- ing 1965-66. Although no funds are budgeted, the use of reserve fUnds will be necess?ry for park improvements if additional sites are acquired during the year. CITY OF TUSTIN, CALIFORNIA 72 ANNUAL BUDGET = :1 ACTIVITY I I i I I Recreation --. ---.----l A~f~I~~T 8200 DESCRIPTION OF FUNCTIONS Recreation includes programs, special events and related services at the Tustin Youth Center and certain school sites during the summer. EXPENDIT URES 1963-64 1964-65 1964- 65 1965-66 Classification Actual Budget Estimate Budget PERSONAL SERVICES. $ 5,520 $ 5,000 $ 5,400 $ 8,500 NON-PERSONAL EXPENSES. 1,576 726 1,166 1,310 EQUIPMENT OUTLAY. 841 200 CAPIT AL IMPROVEMENT S TOTAL ACTIVITY. $ 7,937 $ 5,926 $ 6,566 $ 9,810 FUND DISTRIB UTION Classification 1965-66 Budget GENERAL FUND...................,.... $ 9,810 TRAFFIC SAFETY FUND .................... SPECIAL GAS TAX FUND..................,. MOTOR VEHICLE LICENSE FUND. . . , . . . . . . . . . SEWERMAINTRUNKFUND....,........."... TOTAL FUNDS.................,....... $ 9,810 l'=== ..-~.".~=,=c_..c.,-,c_=.cc==,c.=,. CITY OF TUSTIN, CALIFORNIA 73 ANNUAL BUDGET ACTIVITY Recreation ACCOUNT 8200 SERIES ACCOUNT DISTRIBUTION 196)-64 1964-65 1964-65 1965-66 Description Actual Budp:et Estimate Budp:et PERSONNEL (and Hourly Rate): 8203 Recreation Director 1 (2.75) 820) Recreation Specialist .5 (2.25) 820) Sr. Recreation Leader 5 (2.25) 8203 Jr. Recreation Leader 1. 0 TOTAL POSITIONS NON-PERSONAL EXPENSES: 8241 Departmental Supplies $1,356 $ 0326 ~ 900 $ 700 8244 Spec. Equip. Main. 220 300 70 100 8249 Sundry 100 196 100 8251 Travel & Meet.Expense 50 8256 Vehicle Rental -- 0 360 TOTAL EXPENSES ~1,576 3 726 $1,166 ~1,3ïõ E2UIPMENT OUTLAY: 8286 Special Equipment ~ 841 ~ 200 $ -- $ -- .ÇJ2ITAL IMPROVEMENTS None CI TY OF TUSTIN, CALI FORNIA 74 I ACTIVITY ANNUAL BUDGET Recreation !ACCOUNT I SERIES 8200 8203 8241 8244 8249 8251 8256 COMMENTARY Reoreation personnel are employed part-time for the 1965 summer recreation program and June 1966 at three school sites and the Tustin Youth Center. Purchase of sporÅ“equipment, arts and crafts supplies, and special awards. Maintenanoe of various recreation equipment as required. Supplies not budgeted in other expenditure accounts are classified as Sundry. Provides mileage reimbursement for the Recreation Director for travel between the various recreation sites. Rental of charter bus for eight scheduled excursion programs during the summer. CITY OF TUSTIN, CALIFORNIA 75