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HomeMy WebLinkAboutR-11101 approving amendments to the 2019-20 budget allocation for the General, Water, Sewer, ParkingR 11001 RESOLUTION NO. 11101 (2020 SERIES) A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SAN LUIS OBISPO, CALIFORNIA, APPROVING AMENDMENTS TO THE 2019-20 BUDGET ALLOCATION FOR THE GENERAL, WATER, SEWER, PARKING, TRANSIT AND PUBLIC ART FUNDS WHEREAS, in accordance with the San Luis Obispo City Charter Section 802, the City Manager submitted the 2019-21 Financial Plan to City Council for its review and consideration on June 4, 2019; and WHEREAS, the City Council approved the 2019- 21 Financial Plan and appropriated the 2019-20 budget including operating expenditures, debt service, and capital improvement plan budget; and WHEREAS, in accordance with the San Luis Obispo City Charter Section 804, at any meeting after the adoption of the budget, the City Council may amend or supplement the budget by motion adopted by a majority vote of the City Council; and WHEREAS, audited financials show $6.1 million in unassigned general fund balance above required reserve levels from fiscal year 2018-19; and WHEREAS, the current required reserve levels include a 20% operating reserve, $1 million revenue stabilization reserve, and $1.4 million in restricted funding for the Section 115 Pension Trust Fund; and WHEREAS, as outlined in the 2019-21 Financial Plan, $4.2 million is recommended to fund an additional down payment to CalPERS against the oldest outstanding pension liability balances; and WHEREAS, the City Manager is recommending the approval of budget appropriations from the remaining unassigned fund balance for one-time funding as summarized in Exhibits A- F. NOW, THEREFORE, BE IT RESOLVED by the Council of the City of San Luis Obispo as follows: SECTION 1. The Finance Director is authorized to make a one-time payment of $4.2 million toward unfunded liabilities in Fiscal Year 2019-20. SECTION 2. The Finance Director is authorized to make a one-time payment of $1.4 million to fund a pension trust fund in Fiscal Year 2019-20. Resolution No. 11101 (2020 Series) Page 2 R 11101 SECTION 3. The 2019-20 budget is hereby amended to appropriate $1,100,304 of undesignated General Fund balance to budget, including $213,020 of additional funding to be allocated to Capital Reserve, as specified in Exhibit A. SECTION 4. The 2019-20 budget is hereby amended to appropriate $238,775 of undesignated Water Fund balance to operating budget, as specified in Exhibit B. SECTION 5. The 2019-20 budget is hereby amended to appropriate $13,775 of undesignated Sewer Fund balance to operating budget, as specified in Exhibit C. SECTION 6. The 2019-20 budget is hereby amended to appropriate $106,175 of undesignated Parking Fund balance to operating budget, as specified in Exhibit D. SECTION 7. The 2019-20 budget is hereby amended to appropriate $2,375 of undesignated Transit Fund balance to operating budget, as specified in Exhibit E. SECTION 8. The 2019-20 budget is hereby amended to appropriate $400,000 of undesignated Public Art Fund balance to CIP budget, as specified in Exhibit F. Resolution No. 11101 (2020 Series) Page 3 R 11101 SECTION 9. The 2019-21 Financial Plan is hereby amended to appropriate $885,270 of undesignated General Fund balance to be assigned for one-time budget adjustments during the adoption of the 2020-21 Supplemental Budget, as specified in Exhibit A. Upon motion of Council Member Pease, seconded by Vice Mayor Gomez, and on the following roll call vote: AYES: Council Member Christianson, Pease, Stewart, Vice Mayor Gomez and Mayor Harmon NOES: None ABSENT: None The foregoing resolution was adopted this 17th day of March 2020. ____________________________________ Mayor Heidi Harmon ATTEST: ____________________________________ Teresa Purrington City Clerk APPROVED AS TO FORM: _____________________________________ J. Christine Dietrick City Attorney IN WITNESS WHEREOF, I have hereunto set my hand and affixed the official seal of the City of San Luis Obispo, California, on ______________________. ____________________________________ Teresa Purrington City Clerk Resolution No. 11101 (2020 Series) Page 4 R 11101 Exhibits A-F: Budget Amendment Requests Exhibit A - General Fund Requests for Appropriation of FY 2018-19 One-Time Savings FY 19-20 Adoption FY20-21 Appropriation 1 Youth Services Staffing Crisis: Youth Services is facing a staffing recruitment and retention crisis. HR staff has conducted an updated compensation study for Youth Services positions. After analyzing the results of the compensation study, it was found that the San Luis Obispo Youth Services position salaries lag market competitors by roughly 29%. Parks and Rec and HR are proposing to make the 6 Youth Services Site Specialists contract, full-time positions with employee only benefits and increased wages over the next 15 months (for the remainder of the FY 19-21 Financial Plan) and monitor staffing challenges throughout this time. Concurrently, a childcare study will be completed which may contain program recommendations for City staff. This study is expected to be completed by June 30, 2021, which will allow us to take both aspects into consideration for the next Financial Plan. $17,000 $68,000 2 Police – Public Events/ Marches: Police is requesting to increase the Department overtime budget by $100,000 to help offset costs related to political marches, demonstrations (permitted and non- permitted events), Farmer's Market (two officers are required to work 5 hours each week), and Council Meetings (one officer is required to work 4 hours). Staff analyzed overtime data over the past five years and identified recurring events and other specific events (politically related) that have increased over the past three years. Since FY 2016-17, Women's marches and other demonstrations have collectively resulted in about 860 hours in overtime, which averages close to 300 hours annually. $100,000 $150,000 3 CDD Tech Support: Technical Support for builders of all-electric buildings (Clean Energy Choice Program Incentive) $50,000 4 Contract Legal Analyst/Office Manager: Request to add a Contract Legal Analyst/Law Office Manager to support ongoing operational needs, the implementation and support of new technologies and processes to increase office intake, efficiency, tracking and effectiveness, and to assist in development of long term structural sustainability plans for the office. Staff have analyzed existing City positions* (comparing the duties assigned to various levels of City staff and those intended to be assigned to a Legal Analyst/Law Office Manager) and have determined the new position proposed is most closely equivalent to a Senior Administrative/Financial Analyst or Human Resources Analyst II. $25,000 $102,000 5 Trash and Recycling Staff (Contract): The community continues to express a strong interest in the City to begin a formalized trash recycle program in the City's parks system. Currently the City services the parks system with trash service only and this is accomplished using 0.5 FTE. In order to not contaminate recycled material in the park system separate trash pickup and separate recycled pickup is required. The City can accomplish this need by $40,000 Resolution No. 11101 (2020 Series) Page 5 R 11101 increase an 0.5 FTE to 1 FTE - contract staff. Additionally, the resource would be able to help coordinate removal of discarded belongings in parks, creeks and open space areas. 6 2020 Election Costs: The City has been notified that the 2020 election will cost approximately 30% more than the 2018 election due to the increased number of registered voters in the City, new regulations related to mailing requirements and the increased cost of mailing. In addition, each ballot measure is expected to cost approximately $40,000. The current budget for the 2020 election is $56,504 and the new expected costs with the increase are $84,256.38. In addition, adding the cost of one ballot measure at $40,000 would bring the total election cost to $124,256. The requested funds would cover the difference between the budgeted and expected actual costs assuming the potential for one ballot measure pending City Council direction. $67,752 7 MOTION Project Funding: These funds are needed for the continued configuration, testing and implementation of the MOTION Project. Phases 1 and 2 of the project are live, however, there is additional investment needed beyond what was originally anticipated to troubleshoot issues remaining after go live. The City is working closely with the software provider (Oracle) and implementer (Sierra Cedar) to resolve these issues at their time and cost first, but through an analysis of root cause there may be a cost to the City for resolution of some of the issues. These funds will be used for additional as-needed services from Oracle and Sierra Cedar, continuation of a full-time Project Manager (currently expected to be reduced to half-time in July 2020) to manage the project and resolution of remaining issues and additional staffing costs (including overtime) associated with the project. The methodology for the General Fund and Enterprise split is based off the originally adopted SOBC in the 16-17 Supplement (Pg D-42). $58,900 $159,706 8 Communications & Engagement Manager (1.5 Year Contract): These funds are needed to hire a contract Communications & Engagement Manager through the end of the 19-21 Financial Plan to support the City's overall goals of transparency and engagement by serving as a centralized resource ensuring city communication is handled in the most professional, efficient manner possible. Specific duties would include producing written and visual information geared to the local community and other stakeholders, increasing city engagement on social media channels and supporting departments with their specific communication needs. This position would also work with local media to provide factual, timely information and assist city subject matter experts with responding to media inquiries. By bringing this expertise in house, the city is creating an advocate who will help all city staff keep the importance of effective, clear and proactive communication top of mind while partnering with staff on the execution of thoughtful, strategic communication programs. The first task for this position will be to develop and oversee implementation of an updated citywide communication plan that supports the city manager’s operational priorities and City Council’s policy direction and make $94,191 $144,854 Resolution No. 11101 (2020 Series) Page 6 R 11101 recommendations on the allocation of communication resources including the potential consolidation of existing contract services. This position will also provide direct support to the Office of Sustainability and assist in related communication efforts. The 2019-20 Request is $24,191 in staffing costs, $70,000 in Non- Staffing Cost. The non-staffing costs are for $50K related to the production of print and other materials to support the City’s sustainability work and other tasks outlined above. Additionally, this request includes $20k related to the costs associated with onboarding a new staff member including training and development, technology, office equipment, etc. through the duration of the contract. The 2020-21 request is $144,853.80 in staffing costs. 9 Additional Legal Support: This funding is needed to support the City's response the recent claims associated with the California Voting Rights Act against the City. This request includes costs related to legal services ($150,000) and staff support ($140,151) to ensure the City has adequate resources to respond to a significant and intense work effort related to the fundamental processes by which City Council Members are elected in the City. The amount of $150,000 was derived to backfill costs already incurred by the City for legal services related to this work effort and anticipates additional costs that the City will incur. Legal services are needed to provide guidance and subject matter expertise in a complex and evolving area of law as well as the potential use of demography experts. Staff support includes a Management/Administrative Analyst position to provide direct support to the Office of the City Attorney and Administration and IT Department who will be leading this effort with project management, public outreach, research and content development. The requested funding for the Management/Administrative Analyst is through June 2021 and the position would also be available to assist with City Council special projects and other initiatives as available. The 2019-20 request is $14,194 in staffing costs, $170,000 in Non- Staffing Cost. The non-staffing costs are for $150K related to legal services. Additionally, this request includes $20k related to the costs associated with onboarding a new staff member including training and development, technology, office equipment, etc. through the duration of the contract. The 2020-21 request is $102.957.40 in staffing costs. $187,194 $102,957 10 Property Tax Allocation Splitting Model: This funding is needed to provide the City’s share in the cost for a shared work effort between the cities of Paso Robles, Atascadero and the County of San Luis Obispo to develop a model for splitting property tax allocations to incentivize housing and economic development in the region. $25,000 11 Capital Reserve Replenishment for Security Improvements: As part of the FY 19-20 Mid-Year Review $380,000 of Capital Reserve funding was used for a mission-critical City Property $380,000 Resolution No. 11101 (2020 Series) Page 7 R 11101 Security project. Staff recommends using one-time savings from FY 18-19 to replenish the Capital Reserve. 12 Additional Capital Reserve Funding: Staff is recommending allocating the remaining undesignated fund balance to Capital Reserve. The 2019-20 Budget has $500,000 allocated for Capital Reserve. The additional amount will bring the allocation to $713,020. This funding can be used for unforeseen operating or capital needs. $213,020 TOTAL $1,100,304 $885,270 Exhibit B – Water Fund Requests for Appropriation of Undesignated Fund Balance FY 19-20 FY 20-21 1 Springbrook Software Version Update: The City has been using Springbrook for utility services billings since January 2010, and the software is configured to perform all of the City's utility billing processes and also communicate field service work orders through a CityWorks integration. Currently, Springbrook software is 2 versions behind, and this system also requires integration with Cityworks, which is also being upgraded. In order to continue optimal functionality and connectivity between the two systems, an upgrade is necessary to Springbrook while Cityworks is dually installing an upgrade at the same time. This is a one- time cost for the upgrade and will be funding will be from Water Fund balance. $25,000 2 Water Rights Attorney: Utilize on-call water rights attorney Brownstein Hyatt Farber Schreck to compile and submit water rights licensing documentation for Whale Rock Reservoir and Salinas Reservoir. For nearly 30 years the City has been discussing moving from permit to license for water rights within Salinas Reservoir and Whale Rock Reservoir. The City’s water rights attorney recommends completing the required paperwork and requesting water rights licenses for Whale Rock and Salinas prior to the completion of the city’s Sustainable Groundwater Management Plan in 2022. This process could take up to three years to complete and it is necessary to begin work immediately to work on securing groundwater resources and surface water resources concurrently. The current year expenses will be covered by Water Fund balance, and ongoing expected costs will be identified and included in the supplemental budget. $200,000 3 MOTION Project Funding: These funds are needed for the continued configuration, testing and implementation of the MOTION Project. Phases 1 and 2 of the project are live, however, there is additional investment needed beyond what was originally anticipated to troubleshoot issues remaining after go live. The City is working closely with the software provider (Oracle) and implementer (Sierra Cedar) to resolve these issues at their time and cost first, but through an analysis of root cause there may be a cost to the City for resolution of some of the issues. These funds will be used for additional as-needed services from Oracle and Sierra Cedar, continuation of a full-time Project Manager (currently expected to be reduced to half-time in July 2020) to manage the project and resolution of remaining issues and additional staffing costs (including $13,775 $37,351 Resolution No. 11101 (2020 Series) Page 8 R 11101 overtime) associated with the project. The methodology for the General Fund and Enterprise split is based on the originally adopted SOBC in the 16-17 Supplement (pg D-42). TOTAL $238,775 $37,351 Exhibit C - Sewer Fund Requests for Appropriation of Undesignated Fund Balance FY 19-20 FY 20-21 1 MOTION Project Funding: These funds are needed for the continued configuration, testing and implementation of the MOTION Project. Phases 1 and 2 of the project are live, however, there is additional investment needed beyond what was originally anticipated to troubleshoot issues remaining after go live. The City is working closely with the software provider (Oracle) and implementer (Sierra Cedar) to resolve these issues at their time and cost first, but through an analysis of root cause there may be a cost to the City for resolution of some of the issues. These funds will be used for additional as -needed services from Oracle and Sierra Cedar, continuation of a full-time Project Manager (currently expected to be reduced to half-time in July 2020) to manage the project and resolution of remaining issues and additional staffing costs (including overtime) associated with the project. The methodology for the General Fund and Enterprise split is based on the originally adopted SOBC in the 16-17 Supplement (pg D-42). $13,775 $37,351 TOTAL $13,775 $37,351 Exhibit D – Parking Fund Requests for Appropriation of Undesignated Fund Balance FY 19-20 FY 20-21 1 Parking and Access Management Plan Update $100,000 2 MOTION Project Funding: These funds are needed for the continued configuration, testing and implementation of the MOTION Project. Phases 1 and 2 of the projects are live, however, there is additional investment needed beyond what was originally anticipated to troubleshoot issues remaining after go live. The City is working closely with the software provider (Oracle) and implementer (Sierra Cedar) to resolve these issues at their time and cost first, but through an analysis of root cause there may be a cost to the City for resolution of some of the issues. These funds will be used for additional as-needed services from Oracle and Sierra Cedar, continuation of a full-time Project Manager (currently expected to be reduced to half-time in July 2020) to manage the project and resolution of remaining issues and additional staffing costs (including overtime) associated with the project. The methodology for the General Fund and Enterprise split is based on the originally adopted SOBC in the 16-17 Supplement (pg D-42). $6,175 $16,742 TOTAL $106,175 $16,742 Exhibit E – Transit Fund Resolution No. 11101 (2020 Series) Page 9 R 11101 Requests for Appropriation of Undesignated Fund Balance FY 19-20 FY 20-21 1 MOTION Project Funding: These funds are needed for the continued configuration, testing and implementation of the MOTION Project. Phases 1 and 2 of the projects are live, however, there is additional investment needed beyond what was originally anticipated to troubleshoot issues remaining after go live. The City is working closely with the software provider (Oracle) and implementer (Sierra Cedar) to resolve these issues at their time and cost first, but through an analysis of root cause there may be a cost to the City for resolution of some of the issues. These funds will be used for additional as-needed services from Oracle and Sierra Cedar, continuation of a full-time Project Manager (currently expected to be reduced to half-time in July 2020) to manage the project and resolution of remaining issues and additional staffing costs (including overtime) associated with the project. The methodology for the General Fund and Enterprise split is based on the originally adopted SOBC in the 16-17 Supplement (pg D-42). $2,375 $6,440 TOTAL $2,375 $6,440 Exhibit F – Public Art Fund Requests for Appropriation of Undesignated Fund Balance FY 19-20 FY 20-21 1 Public Art Allocation to Enhance Garden Alley: Garden Alley between Garden Street and Broad Street has recently been improvement with concrete pavers as well as adjacent hotel installation. This alley has historical been used as the "back of shop" for several business fronting along Higuera. This area can easily be transformed into a downtown feature or return to previous use patterns. This funding would be provided by the Public Art Fund to support improvements that could transform this area into a special downtown feature. $200,000 2 Public Art Allocation to Anholm Greenway: The Anholm Greenway Project is a current CIP Project to increase multimodal opportunity between the downtown and Foothill area of the City. During the design development of the project, increased emphasis is planned to be put on public art in order to create an environment where the community comfortable and happy (a sense of place). This request would provide $200,000 from the Public Art Fund to install placemaking enhancements as part of the project at the Chorro Street and US 101 undercrossing. $200,000 TOTAL $400,000