HomeMy WebLinkAboutR-10643 2015-17 Financial PlanRESOLUTION NO. 10643 (2015 Series)
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SAN LUIS
OBISPO, CALIFORNIA, APPROVING THE 2015 -17 FINANCIAL PLAN
AND 2015 -16 BUDGET
WHEREAS, in accordance with San Luis Obispo Charter Section 802, the City Manager
has submitted the 2015 -17 Financial Plan to the Council for its review and consideration
consistent with budget policies and objectives established by the Council; and
WHEREAS, the 2015 -17 Financial Plan is based upon extensive public comment and
direction of the Council after scheduled budget workshops and public hearings held on June 9th,
11 th, 16th and 23rd.
NOW, THEREFORE, BE IT RESOLVED, by the Council of the City of San Luis
Obispo as follows:
SECTION 1. The Preliminary 2015 -17 Financial Plan, amended for the items listed in
Exhibit A, which is incorporated by reference herein, is hereby approved and the operating, debt
service and capital improvement plan budget for the fiscal year beginning July 1, 2015 and
ending June 30, 2016 is hereby adopted.
SECTION 2. The Budget and Fiscal Policies included in the Preliminary 2015 -17
Financial Plan and amended as shown in Exhibit A are hereby approved.
SECTION 3. The 2014 -15 Water Fund and Sewer Fund projected amounts shown in the
Fund Review document of each fund are hereby approved as the 2014 -15 amended budget for
each fund.
SECTION 4. Where fund reserves are used as shown in the 2015 -17 Financial Plan,
restricted reserves shall be drawn down in advance of any draws from unrestricted reserves and
when unrestricted reserve amounts are drawn down, committed and assigned amounts shall be
used in advance of any draws from unassigned reserve amounts, whenever possible.
SECTION 5. The City Manager is delegated the authority to approve format and
typographical changes found within the Preliminary 2015 -17 Financial Plan as needed.
Upon motion of Vice Mayor Ashbaugh, seconded by Council Member Christianson, and
on the following roll call vote:
AYES: Council Members Carpenter, Christianson, and Rivoire,
Vice Mayor Ashbaugh, and Mayor Marx
NOES: None
ABSENT: None
R 10643
Resolution No. 10643 (2015 Series)
The foregoing resolution was adopted this 23`d day of June, 2015.
May an Marx
ATTEST:
4rtthony J. M MM
C
City Clerk
APPROVED AS TD-FORM:
T -Un— 'stine Dietrick-
City Attorney
Page 2
IN WITNESS WHEREOF, I have hereunto set my hand and affixed the official seal of the City
of San Luis Obispo, California, this Z ^3
day of _713 l �, Zo ► 5
�---Wthony J. ia3 -M
City Clerk
Resolution No. 10643 (2015 Series)
EXHIBIT A — CHANGES TO THE PRELIMINARY BUDGET
2015 -16
Increase CIP total for Jack House elevator repair
Increase CIP expenses in Facility Maintenance Fund $ 22,000
Increase CIP expenses in Local Revenue Measure Fund $ 22,000
Reflect Donation Amount of $22,000; Reflect use of Local
Revenue Measure in amount of $22,000
Increase CIP total for Octa on Barn contribution
Increase CIP expenses in Local Revenue Measure Fund $206,000
Increase CIP total for Ranger Vehicle
Increase CIP expenses in Local Revenue Measure Fund $ 35,000
Page 3
2016 -17
Increase Operating Costs for Ranger Protrani
Increase Ranger program staffing costs to reflect two 30 hr. /wk
employees (1.5 FTE), supported by General Fund $ 75,000 $ 75,000
La una Lake ADA 'frail
Reduce Local Revenue Measure funding for this project ($250,000)
Increase Parkland Development Fund CIP to support this project $250,000
Reduce Storm Drain Replacement CIP design costs
Reduce Local Revenue Measure CIP for Storm Drain Replacement ($ 13,000)
Reduce appropriation for employee leave payouts ($ 50,000)
Reduce salary ro'ections ($ 25,000)
Water Enterprise Fund
Increase operating costs for drought response strategy $179,000
Recognize debt proceeds for Reservoir #2 construction $5.0 million
Recognize debt service on above borrowing $367,909
Reflect new user fees resulting from Council action taken on June 16, 2015
Sewer Enterprise Fund
Reflect new user fees resulting from Council action taken on June 16, 2015
Parking Enterprise Fund
Reduce operating costs to reflect savings from lot closures
due to new Development ($ 40,800)
($ 50,000)
($ 25,000)
($ 41,700)
Resolution No. 10643 (2015 Series)
Policy Amendments
Page 4
• Page H27— Productivity. Add the following language which was overlooked for inclusion
in the Preliminary Financial Plan: "Maintaining City purchasing policies and procedures
that are as efficient and effective as possible."
• Page H15 -16 — Fund Balance and Reserves. Add the following language, which was
inadvertently omitted, should be included in the Financial Plan:
"The Infrastructure Investment Capital Fund has been created to help the City
realize the benefits of growth that is well - planned, and that would not occur in a
timely manner without City participation in the financing of supporting
infrastructure. With respect to resources that are expended from this fund:
1) The use of City funds shall not offset any cost that would be legally
required to be paid to meet the fair share obligation of the developer requesting
City investment in an infrastructure project.
2) The use of City funds shall not offset a private project's specific mitigation
cost identified through the environmental review process or under existing
regulations or policies.
3) The use of City funds shall support a project that would not otherwise be
feasible in a timely manner due to the economic environment, the timing of the
project, or other constraints outside the control of the project proponents or the
City.
4) The project proponents shall demonstrate a significant public benefit
associated with construction of the project that merits City participation.
5) Approved projects will have a measurable outcome that will be monitored
and reported to the Council and the public."
Revise the tic cle Transportation Plan Implementation CIP project to reflect the followin
allocation for a total nroicct cost of $400,000
1) BTP Prioritization, Education and Advocacy Program $ 5,000
2) Active Transportation, Education and Advocacy Program $ 10,000
3) Highland & Chorro Bicycle Improvements $ 20,000
4) Boysen & Santa Rosa Crossing Project Study Report deferred
5) Prado Road. Class I Connection Project $100,000
Development & Right -of -Way
6) Chorro & Foothill Bike Box $ 10,000
7) RRST Class I Connection Laurel & Orcutt $150,000
8) Bicycle & Pedestrian Grants Support $ 15,000
9) Broad Street Bike Boulevard Plan Development $ 90,000
Resolution No. 10643 (2015 Series)
Page 5
Revise the Neighborhood Compatibility Other Important Objective work program to
include a task to consider alternatives and develop a recommendation to implement Land
Use and Circulation Element Program 2.13 with a due date of June 30, 2016.
.Program Chantws
Shift responsibility for oversight of the Human Relations Commission program from Human
Resources to Community Development (this does not create a change in budgeted amounts)