Loading...
HomeMy WebLinkAbout01-Budget Deliberation Handouts >- U Z W Cl <l: 0 I- c 15'0 ::E :v 11. c g~ W C > .. ~VI u'O :E~ 00 z o U w I- W Cl C :J m 0:: <l: w >- -1 <l: U VI ii: <D q '" o o N " C ::J U. OJ C U; ::J o J: ClJ n; ; " o ::E ;i; o -1 - OIl ~E .. E E OJ E e ::Jll. "'- o C " .. ~O :E(ij E ; 0" u(f ~ ClJ ;:r U ClJ '0' n. 1: ClJ E c. o Qj > ClJ " ClJ 0:: '" q ... o o N il il , fl ., ~~ 1 ~ 0 "" o N <l:mo 8_8_18_ 00 0 00 0 tOO N 0- lO- ,....- N '" 8.8.~~t 00 ... 00 N "'''' ... a:f ..,f of ~ N 8g~~ "'~ ... l(f mh ,..: m", ~ tO~ '" a.an ('f)- N '" ~~ ~~ o~m ~ g en- 'f:t- '" ... ~ m 10- l()- OIl !: ;~ N N ClJ ::J C ClJ > ClJ ClJO:: ClJ E- c"Oo~ E ~ g cu f ~ ~ ;; ~~~C> "if!.O'i o 0 N<(I- Cl~ Cwu.Cl 0~01! ~_8_8_;~_ ~~~ ~ NlOM ,.... ~ to- (0- w- N mo"';'" ~8111 bl Ii)-I,rf w. I()- T"'"(')..q (") tDcom M ,....-w-f'i N ~ '" ~~ gg ~~ 88 00 ltf a. ... 0 tOO N ~ 11l8:B lXlom I{)- o. CD- ~tO... tO~m T""'-(()- OIl .!: -: en ~ ~ oS en f: ~ C G:i C ~ ~~V;~o .....l-c...JUJ c~fUs'i Q.l Q) t- C Qj E ~ G:i E c: l1J 0 .c (!) G.l bO:~~c) ..E-oV<1Jii ~~sj~~ I ; I ~ ~ ~ ~ ~ ~ 8 Iti ... to ~ p ... N lxl N- N ... cO p VI W :J Z W > w 0:: -1 <l: I- o I- j ;;:: u'i N tti m N cO ;;; Q) iii " .B " ClJ > "iij o ~ .c OIl .. o Q) > ., ";; o C. N lxl o N IF> " m to '" tti <0. '1 N '" m ...- <0_ ~ IF> .f 8- N m- ... N IF> C ~ OJ C '0; 11. ClJ OIl .. m " '" Q) --' ~ .2! OIl c ~ iii :J OIl 1:> OIl '" S! Itl OIl o Q) ~ C: o ~ Gi ~ f ~ . in- B 1.ri ~~ ~ en'~ ~ rJ~- ~~ ~ ~!ioll) -om:E m::>z; Q.) 0 Q) fI) I en m~ E ~;;~ ~(l)"5 ~6-i -o~ ~ .fag-~ ~o .! ~~ga. ].~ ~ .~-E,t;~ ~!J ~~~e~~_ g: :-o~~~:9~-~ NQ) oocnaa cn <Ii;o::: c'c en 80- gnJc:-8'-;!~ .0 Of~~~~....go_ S.~.g~E..c2:s~~ g-{g~ ~ ~"~ClJ8~-.g.g -g "U) Q) ::J (/}rp-gefg .2,:: ~ll(OQ.l.~5.gG:i~ o 0000-00>0 o"if!.~'~- 5N~~ coo~0J~.o-=t:5 ~-~::IJ)"Co';;~o ,....-~ ~:g~109g(!)~ ~""'_.!:"C~ "(5"alO Q)moEoC!)lo.oO:r: ~~~,g>- ~O._ e~~"O~~~~-m o Q) Q) Q) Q) E 0 ~ ......w ~5~~]o~N-a ~~O-O.....lU':::(1Jt{)~ -cooo_ _ .E~c~8"'Oo~V; ~tOo[::Jo'" - St{)~(I)~ .;," cEo l3 '" -g c - 0 "0 ro ~ > ~ C>--C0w-O.2:- ~ ~ .~ ": ~ ~ ~ ~ ~ e]~~'Ci)~":~~ o:EtUc~o~C)w E";i:eo_~z~(I)m~ > o....~OO .3Ei=z~t=O:I: aiuci uiU:<!i o o o ci o N IF> N "0 Q) '" '" 11. It) q ... o o N It) il <0 il , fl ., i ~; '" <> N 'E '" E Cl. o Qj > '" "U '" 0:: , I :r o o 10 ",- '" ....- _,:'::...J::;:Z 0 gO>!0>!8o~g 08080",8 '" ~ l{)~ ID~ l{)~ ci o~ LO~ N COIDU1100""'C") .q- N O)(()L()N co ltf N m~ ~ ~ 10 CD '" Ili '" ....- 08~~000~~ ~ aA ~ 8 g g ro m- lO I.O~ ("f OW OW l(f mW NN......q-O......(1) N ('I")~m,.....l{)N a lOW N 0- ~ N o 10 N ....- ... "'- 008"'008~'" ('1')0 moo N mON.....omo co -q- ltf o. o. 0- ~:f o. c...,r Nmm"l:to......'V M (") (")COL{)N lO ~f ('\1- ~ 8 Ill- CD ~ o 8 ...- III '" '" '" III CD- ... CD m08 ~80 r--.-..o o- m f:J 8818gO_ a-a. Ill~ 888 000 a-IC) OW N"'~ ~ N t::_ co CD ~08"'008~m ~gN~8~o ~ ,....- 0- o. o. o. or o. ..0 ~m~~~~N ~ -q- N CIJ- ~ ~ II> '" II> o (f) (/):.c: '" c Cl. V) 0 ~ ~ 8' 8.~ ~g o IV ..::;: ~L: .. 0 'c jij 'E ill "U '" <(Ir II> .I:: 0> :J o ~ II> II> II> '" IV ~~ "U C ~ E e-~ UJ 0 "UE c >< ~~ Iii c o 'iij II> '" '0 11. :;:, c ~ :; IV II> OIC '" 0 .....0 .!!J:!: ~z :J '" <( '" Q.l~Qj .!:! "E ~ 2: E 0 Q.l 0 !" (l)oQj ~ :3 ~ .~ ~ ~ ~ '-0'" ~ o ~ 0 0::0..'- lLlL 0008~0 8880 fil (D- ci ci o. r-: tnMOO 'V 0'" '" co. roW ......- ~ 8>!g:f:J~~ aomo N ufo.fif,....- m IllN~~ \g C"f Pl- oj ~ ~ N 8>!~:g~[O DOlOM v eD- 0......- L()- (D. lONLOM ..- mm 10 ('\1- M- 00- N~ '" .... N '" CD- III '" ~ 10- '" o Ili 0... 0'" OCD 0-......- OCD ....~ 10- m .... ... ,..: m CD OON g8~ (D- N- o. ~ ~ o ....- ~ ~~- ....- ~ 00 00 NO or of '" ~ ~;~ III 10 .... ... .....- .....- CD 0 .... ~ ro- OW ~ '" > fA en e Q.l C a. (/) (I) Q) E Q) > ~ E - CI) GJ a.Q)~:iiQ ~e-ge-~ a~e:~~ ._ CI) Q) C 0- C ~ E:t: Q,l e '" 'S ~ \I? E lL EUtn.f!oCl.'=' .g.oo~_~ ::Jc(D:'-~c. 0" "C e: Q) ru UJcaQ..OO ];~.~~~ ru.g~56.s~ o <((I):I;OO.... e 010 .... .... ~ ~ w. ex; .... .... o 0 N uf "'1'" .... .... CD CD ...f -q- m m N m .....- ..q-. N ;N III ~ m ~ r--.- ,..: ~ III CD .... ~ I{)- I~ '" III ~ 10- '" o Ili ... '" CD ,..: CD '" Ili N ~N III ~ m ~ ,....- .....- ~ III CD .... "...- lO- OJ 2: '" II> '" 1r"U '" C o :J 'i:~ ~ .~ :i :0::30 Q) 0 ~ I~i~ ~ ~ ~ '" 0.... 1n::E- c ~ tV l!oo ............. I I I ~ ~ ; ~ ; ~ p p (I) w 0:: ;:) .... e Z UJ lL X UJ ...J ...J <( ...J ~ o .... ;;; m <D '" ~ e '" II> IV e o ,!: ~ Ili '" '" CD- e f! '" > o ~ IV o II> "U '" '" o !:! iii a. '" "U :J C <If.~ ~ ~"'C in~ It)- E E .... 10 ~ ... C 0> '0 0 E c ~ ~ .2 0 0 g ~ .*" I ~~ Q. U) t-~ .E c .s E :8 ~~ ~ -~ ~~ .2 a. -5[ ?; ] g::"E ~ Q:i _~ N C1) U) "i) ..em E :J "'C g'CI) f1) 1i. m 0 _ ~ U) .;: 1: ~ 0) Qi . ... 0 ~ ~ ~ ~~:c t- ro~ a.-g ~ (u CD U) -~ s 0 ~ ~E _ s ~ ~~ ~ 8 .~g ~~ ~ g _ a C)~ "'C ~ ~~ .2g :~ w ~5 gg- ~ ~ It) :r; ~ -g .~ :I: ~~~~~ ~ -g .~ ~~c :2 co .~~~g ~~ ~ ~ :t::>mLLii<<JO) cf u)0~"'c.._II>_ 0 ~IDZ 0- 0 -Q(/)=lL 5 c c,m ClOt: 0< o.Q o~ roo :Ja..a::: c=~oCl o OZ;-w.-.... m ro)..-u-- c ro"'C me >LL,,-UoEI'U"i) "~O.=~I....U ....8-8= 00- mmO E.so-S It) ~o ex) a ..... S<: a .....~~ o~..q~(()] M~a o~ (()~ococo-~ ~8 ~ C") It) ~.[ C1) ~ U)~tot}tot}vt'uU)~ ~ O)ccc"'C~(Q N '~'>OOCLlc~~~ I'Uro~~Q:i~gro~ U) U) ::s ::s 0) ro'- ~ 1ii(i;"'C"'C"'C 0)10 o.s mm~~.5~cJ:l! ~~~q9~~~~ ooo8~ooo~ tttttttt.s :i...:-j:i.J~:zda: (I) Ir UJ lL N - o N " 0> 01 lL /' City of San Bernardino Cash Flow Analysis - Tax Increment Combined Project Areas As of May 1, 2005 Fund Balance Estimated Begin Debt Service Reserve July 1 Less/Add Estimated Fund Balance Fy Total Remaining Debt Service Reserve June 30 Estimated Debt Service Reserve July 1, 2005 c Less: Bond Payment Due September 1, 2005 Bond Payment Due October 1, 2005 Bond Payment Due December 1, 2005 Bond Payment Due December 15,2005 ERAF Repayment to Low/Mod Balance Remaining for Other Expenses For the Period of 7-1-05 to 12-31-05 Page 1 Fy 2005-061 Fy 2006-07 1 11.870.0001 2.0831 11.872.0831 11,870,000 -312,000 -5,704,400 -155,000 -637,000 -3.142,900 1.918,700 11,872,0831 2,375.7601 14.247.8431 .' San Bernardino Economic Development Agency Combined Tax Increment Fund Projections As of May 1, 2005 Projected Tax Inc 2005-06 Fiscal Year 20,695,800 2006-07 Fiscal Year 21,108,100 Expenditures Pledged TI: 20% Set-aside Bond Payments Bond Fees County Charges Pass-through Agree Total Pledged 4,139,160 12,351,200 65,000 55,700 924.498 17,535,558 4,221,620 12,351,200 65,000 56,200 1,104,200 17,798,220 Amt Avail Prior to Other Obligations 3,160,242 3,309,880 Other RDA Revenue Interest Earned Notes Receivable Rental/Lease Rev Other/Mise Income Total Other Revenue 1,090,500 369,628 1,826,872 411,000 3,698,000 1,100,500 619,628 1,826,872 241,000 3,788,000 Total Est Available 6,858,242 7,097,880 Other RDA Obligations Salaries/Benefits Agency Operations Contracts/Agreements Notes Payable Property Main/Oper Professional Services Research/Spec Events Legal PAC Total Other Expenses 681,712 266,651 1,760,796 235,000 1,294,500 219,500 90,000 380,000 68,000 (a) 4,996,159 682,300 267,300 1,393,310 345,000 1,294,500 219,710 90,000 380,000 50,000 4,722,120 Estimated Balance 1.862,083 2,375,760 ERAF (b) 1,860,000 , Q Estimated Balance 2,083 2,375,760 (a) Fy 05-06 Includes Estimated Election (b) Based upon $250 million Page 2 / "' o o N >. CIt ...: U I: >- I: 0" G1 ;:: ~.~.~ '0 'E"Ee~ Q.I~Q.- E...'tJUI g.~5~ "iicLLo it~'E~ C - E" ~ U 0 .. 'E>'~~ o:t::u_ &: 0 oS t'! o )(" ~ ~u: " ;; ~ o IL 0 0 .. CO Iii 0 0> I- ID 0 N 0 OJ 0 0 :'! Iii iii 0 C') ;; 0 ... 0 I: 8 0 E cD co " .... > ~ 0 z. 8 i3 " ,..: ~ti N I/) C .~ N " e on. 8 .<= q ,,- :; :;~ 0 VI > 0 0 I: 0 ~ ri 0 ;::: a. => 0 0 0 Z. N i3 C') "!. ~ - 0 - 0 " q " in ~ .<= ..... 1:: - 0 Z 0 - 0 " 0 ..x oi " ~ ... .<= .. 0> _n. ri "" o I: VI_ a - 0 " co - " ~ ~~ "'" 00 .<= 8 1:: 0 - 0 0 :!z 0 1j~ q - 00 0 " g 0 0 N 1V= C') _ 0 co VlO cD 00 0 0 coco IDa 0 0 0>1/) _ N 0 .... "'1/) en""': Iii Iii ~Ili C')I/) ID I/) coo> _C') ....C') -.iN No) - - 8 g. 08 o. 80 ;;; - N'-q-"' 1/)_ - ~g 0 0 coco 0 0 NN 0 I/) co I/) "':M ... N 0"': I/)ID IDCO _ N _It) 88 8 0 t!t! 0 ...- 0 0 _ID lli"": ,..: ,..: NN 00> - _C') It) I/) C')'" N ri ~g 8 8 N N 0 0 ON tON ... ri ria;; ....N N N -... ~.... 00 0 0 coco 00 0 0 C')C') IDa 0 0 IDN NO ri N COW ...0> It) 0> ~ N ... 88 0 0 ...... 0 0 C')C') ...0 0 0 0... cOlli ... Iii ,..:r-: COlD N co C') ~. N ..... ~ ~ 00 0 0 NN 00 0 0 NN NO 0 I/) ....... cia ... ... ..jri 1/)'" 0>0> C').... "'It!. ~ 00 8 8 00 00 :;;1:: coo 0 0 ait6 0 0 ..j cn~ CON ~ ~ I/) co ....1/) ....... N ri 0 0'" ... ID OC') 0> 0> N ~N ri NtO 88 0 8 C')C') 0 0>0> o ~ 0 0 ....co ON ... ri moo o~ ...ID NID ~O> 00 0 0 C')C') 00 0 0 0>0> ...0 0 I/) ~o uiri Iii ,..: oi"": ID... ~ ~ ...0> C').... ....co "":ri Iii U .E )( .. I- " " 1> " '0' D: .. .. U) U') a"O CI) CD C CD c( CD ~"O(I) ~..c:C) ::J~'~E (1)0)'0 - . iG:tj~c[ =g-g~D..LLZ.="jij Q.I~ "O"Ocu,C; ~~~555~'" WQ.NlIltOUn. o " - I: ~ 0 0'- .~ ~ Q..EI =:0 ~o <( ~ - " E;; <(0 o o o Iii OCONce ON""'oa lO(Ocoaa ciaiui"":aj O>CDN..-m aMCO~u) ....: ....: ri 8 o Iii o o o :3 g N o 8 N o agOg 0 8 N N I/) It) llill'illiairi NCOt'--MN N_M co o o o Iii ... 00 88 gg o o o o ... o o o o ... -, o 0 o 0 o 0 iii iii co co o 00 o 00 o 00 c:i arilli .... ....... ~N caoaa aaaao OUlUloa Iliaillittiui .... IDI/) ~ N o o I/) 8 It) gCONOa NLnOCO _cooo> ~~ricO~ ~ ~ aoaaa aoaaa aacaa cicicicici 'f'"'t()(f)..-Q M..-M co .. " " " I: I: .. " ~ ~ iU ~ iU GJ-g-gc::uO:: IX: c:.~ CD.!: Cii ct(ijB:3Of:; o UJ CD CD.!!! 0 ~1i)C::S~- Q;!~S;~ ;i.!C5;..c..- o.sza:o l:; co ... co C') .. 0) .. n. N..-woooaoS<,om ;::::ll~81il1il880 I/) ~~g~o{~ggg WNt-._N,,!N ("') ~;1; IDC') riLti NIt)O I/)IDO NIDI/) r-:ci"': N~ID g88 NIDO en ll'i coca acnae OCONO aiai"":ci ... 8gg~8g 000..-00 liilii...cDoo acoco CD...... ~~ID Nit) 0 :Glfl8 "':olfi N~O ~ NI/) I/)ID NID "':0 N~ ID ID ID NIDCO ~IDO> ION..j C')NO N IDIDO ~~g aOr-itti C')NC') N It) 0 0 1t)C')0 NC')O (0- ri iii C')I/)ID ~ ~g8~ C')01/) cti 0"': cD ....1/)0> 0> ... It) 0 NID COlD aici ....C') C')~ 8g88 OCONO ...fai"":ci C') Oal88 8IDNO uiai"":c;i C') coco awea DlOoe <DC'irici ~ N 00000 OCDOOO 011)000 cDC'iricicO ~ NID OO~O 8008 oi~cDg o o o N 8al88 0,....000 ~mrici ,....0>_0> cD 0> 0> ... co ... co ri C') .... o C') Iii ID ~ o o ~ ~ ~ l:; co ,..: co ~ co C') C') ... o C') N It) C') N o ... I/) 0> I/) ri ;1; o 8 Iii o o o ,..: g o ... o N 0>. ;::: It!. ~ I/) .... o Iii co .... " " C If) t/') CD ~ ~1i _~->i ~~ ~ E CD.2 ~ .Q'lCl'lO c..~LU CDe- ::CiC:O::~Q.)QCDO c..UJ O~l!o:c.=C/)x. J1iii ct CD [c( IU~~C/) o~ C~O:j!!i;'>-o:C .!!!O O::~>-ua..t::.V;!:! ~_ 1i.c:gjg~[.!:g(U ~~ =~~5oeE:gC)~=l- OVl<(OZn.n.a:.3n.O .. :0 .!! 'j; > <( - " UJ .. o I- .. U I: .. .. lD " 1J .. ~ " UJ , >- 11)"': u c '" co" QI ::::E OOu_ c:(.s.!!. 0 c"Ee~ 4.I~Q.,_ E'-"'C.... g.~5~ 'iicll.o ~cil'E::a ~ '0 E ~ 'E ~ ~ ~ gOgii o -; ~ ~ ~u: QI ;; ~ o u.. ;;;- o o '" ii o I- f--f- o o o. ~ Pi - QI ~ iil ;; o ... c o E QI > i o ~ g ~.l'Jr:: .. u 10 ~.~ N QI !! ua.. o o CD .l:tta5 :i-a> oCico Ul> c ~ o Q. ::> z. (3 i::. - .. QI ~ J:: t: o Z o o -;;; 0 tU.:It. cO ~~f:t ~"C... Ul.E o ';i~ -Qlo :!~N ~~. UU o :2 g~ ~~~ __0 i:e"": uu o ,,~~ ~~~ UlUcO o o cO o ~ ~ N l'l8888l'l <DNONNN - -lIiCD-~rO NlO(,DlilOm Nt") ......t--. ~N ...:,..: ~ OCONoe of\l......oa L{)(()a)oa ciciui"':<<f O....N...,.CO ..-co co N..... .,..: .,..: M- 0 0 0 0 0 0 iii iii 0 0 8 0 0 0 0 0 :3 N N ~ ~ 8Ol'l8l'l 0810010 llill"iuic:OM NCO,...,MN "'~M co 8 00 00 0 00 iii alii ... ~IO ~ ~ 0 0 0 0 0 0 ci ci ... ... 00 0 88 0 0 llio iii co 10 M N M 0 8 0 0 0 ci ci t-. t-. cacao 00000 Ol{)l{)oa It'iaittiuilli t-. CD 10 ~ N o o 10 g~~8~ a......room ~~E~~ 88888 00000 ciaocio Ntt)(f').......... r').....("') co " QI " " " " c u " 0 .. c " .E II) rn "tJ - C QI " > E > .. ~ 0 ~"C :c QI o " X .. " "E " <( " 0'- ..0:: uO:: .. ~ .. :2 Q) ~..c 0> "i: 10 a:E.~4>Ec; I- .. 0> "C a.. .!!' "C :3 i= :3 E U) .J::" Q) =:0 c:( co ~ :3 u -5 " ~ "'C..!. ~ at 020:: ~o c W CD Q).~ 0 ti ~41~o..lL z:J::- a::1iiO::s~- c.....s <( ~ '-Q)U)co1:::.f! QI "C) "0 "0 - " III ... (l) C ID 0 'e ~~~a5 :J ~ 0 o .. l- E;; ~.!!oc>>-5"'" a.. wo..",alCO o a.. <(0 o.Ezo::o o o N N CD 888 OON "":-.:jr--: MOl o o ": o co ~g888~ MOOtOOCO ciri-.:if'ic>>cO <0<0 co..... ~N 10 000000 NOOCON l{)......OOOCD lli"":"':"':NN ......C>>_ mN 1010 N N ri l'l8888l'l ....0000,.... mN-.:iriri"': f'-..N l{)(D ~... CD o o o ,..: N t-. 880888 ...0800... lliciM-C'iaiai ...,.0> .....LI) ~N ... o o o ci t-. ell. ~ 800000 00000 000000 -.:illi-.:i-nroio mID 0)(0 ("') "'"": <0. o o o cO co ": gogggg N80lO0t-. t..:ci<<i..f<<i"": It)''I:t LOW (f')...... M ~~ ~ 000000 000000 <00000(0 g~gg~~ co an ....."I:t N ri o 000 'V 00...,. a NN"=t ..f ..f 000000 000000 0,-000,- ..fc-iVMr-itri 0..... v(o NCD co 000088 0000 (0000 to M ri Itf cO 0 m m-q-..........o(O Mf'.,. NM ~ri lli o o 10 - .. w .ii o I- o ;:::: ri ... M ... " 0> .. a.. gg~og~8g80~ MM("')8ltl.....ooo c-i"":rilli'<imooo c-i cotOO)""t'O).....mCOI.() N tONMMNN M f'.,. ~ ~ ~ 00 00 t-.... rian ~ 000 000 Mt-.IO "':0"": N~CD 00 00 Mt-. "":0 N~ 00 00 Mt-. "":0 N~ 000 000 Nt-.IO anN"": MNCD ~ 888 Nt-.O anNci MNCD 000 000 M"'O cD M- Ul- MIOCD 88 00 o-~ COM M~ 000 0100 NCDO m an 0000 8lJll'l8 mm~ci ... 000080 888::08 :Hgiwgg ~CD 00000 oamoo OOt.ONO ci..fm"':ci M 8al88 OtONO cDm"":ci M 0000 OtOOO OUlOC cDNrici ~ N 8lil888 OUlOOO <<Dr-iricici ~ NIO 0000 8~00 000 mvwci ... M o 0 o 0 o 0 N iii ~~8~ MOUl,- cOci"":w t-.IOOl Ol ... 0000 0000 oocoo "":cirici ,....o,-m o Ol Ol ri M o Ol M iii CD ~ o ~ ~ ci CD o. ~ o Ol co N ~ o Ol co " co o CD Ol cO CD N o CD ... oj o N 8 o ,..: o o o ci ... o N Ol. ;:::: "l o o co iii co t-. .. .. c VI Ul Go) .2 'E ...:g'C :g~ ~ ~ E ~ .2 ~ ~ ~ gU).Q~ 8"~~ 8.$ .c~-:;;~~l:Ul" x~" Oc~OJ.a.__a. UJ ~~a.c:(~~~C/) o.c O!!?o]!.. 0:2 .!!lO 0:: ~ "'ua..~Ui ~ :E_ ~ .~ 0 e ~ ~ ~ ~ _ ~ ~ ~ ~ c_ Go) a...! CD cut) ~o :"itt ~5o e e:g OJ<:51- OtJ)<(OZ(La..o::~a..O QI :c .!! .; > <( " u C .. ii lD "C QI ... E ::: .. W >- U I: III , 030 <l:1: II) ..=c.,o ca..."o Ill:glll~ E...lllo D.IllU<,? .Qme= III I: Q. ... > tlI '0 ..9- 1llU)1:.... 0"'0'" uOmo E~ ~ 0- 1:0 8 w 0 <') 10 00 0 0 co co c:i ai ....: u> ii 0 0 ~ N '?, 01 V l') ~ 10 .0 .- N .- 01 N <') r- '3 .- N ~ 01 M v ~ 0 0 10 10 0 0 co co ~ c:i c:i ....: ....: .- ~ v v_ ::!: ~ ~ N N ~ ~ <')- M <') 00 ~ r- <') ~ ....: u> Pi > 10 01 10 ~ 01 ~ U) <') r-: ~ 00 v <') <') v 01 00 r- Ol ~ ~ cO cD cO 9- v r- N Il) r- <') ;:) r- 0 00 Il) 00 <') ~ N 0 01 01 01 00 r- ~ ai c:i 0 r- v N r:: N 0 I- 0 ai 0 <') <') r- N ~ <') N N r- "<I" co V ~ ai ....: u> 3: v <') 00 r- Il) N Z co 0 r-: v 01 <') ~ ~ ~ N M <0 0 00 r- 0 r- Q. ....: c:i ....: N N iii v v U) r- r- 01 01 V V r- 0 r- ~ 0 ~ <0 c:i ai z N N 0 0 0 0 0 0 ~ ~ ~ ~ co v 0 01 V v ai ....: cO 0 ~ v co <') ~ co U) 01 r- <6 <0 <') N 10 r- <') <')- v <( '" 10 .., 01 I: 01 0 ~ m ~ g c: 'i5 to I: N > ::J 0 .., (jj 0 ~ N '" 0:: <D '0 -g I: U ::J cu l!! > ..Q '" Ii cu :; <( ..!!! u u 0 0 I: . ... x 0 0:: Q. .., to I: :u I- ... 7i '0 <D ~ N > - I: 0 0 0 0 0 ~ I- m u. N ~ OlV ~oo cD<D r-Ol "<1"00 o~ ON N <') M o~ 0001 00-= ~r- 010 ~cO .- v "<I" ~o COv U><D r-Ol vv .0.0 ION v N ~ 00 cor- M""': 0<') 00 co" <6 ~ ~ . :D ..!! ii > ..,<l: Q) '" 1:'0 .. - C III to :J GlWu. :J~ 1:"'- Gl Q) '" >~o ~EI- 01 0 0 0 0 0 <') 0 0 co 00 co r- 0 0 0 0 0 10 0 0 V <') ~ <D c:i c:i c:i c:i c:i ....: c:i c:i u> ~ ~ v 0 0 0 0 0 r- 0 0 co <') N v ;:i 0 0 v ~ ~ 0 0 Il) 01 0 N .0 0 lO- a N 0 a" ~ 01- ai co N r- 10 00 0 N 0 r- <') 0 N 01 10 N l')N v ~ ~ <') v co N ~ ~ 0 0 0 0 co 00 v 0 0 0 ~ v <') 00 c:i c:i c:i 0 u> ~ <D 0 0 0 0 co <') 01 0 0 V 0 Il) 01 00 .0 0 10 0 ~ ai ~ r- 10 00 r- <') 0 N N<') ~ ~ <') <') N M ~ ~ 00 00 c:i c:i v v co. co_ ~ .- <') <') N N l') 0 l') co 0 co cD c:i cD 0) 0 01 N '?, N 0 Il) 10" N v co ~ ~ ~ 0 0 0; 0) 0 0 ai c:i c:i ai 01 0 0 01 <') ~ 0 ~ v r- 0 ~ N <0 0 ~ V ~ N 00 ~ .- co 0 co ~ 0 ~ N c:i N 0 0 0 10 0 10 <6 0 <6 01 0 01 co ~ r- N N 0 0 0 0 c:i c:i 0 0 ~ 0 0 0 Il) Il) ~ ~ 0 <') <') 0 10 10 c:i ....: ....: 0 r- r- 0 10 10 0 N N v N co 00 0 00 N 0 N u> c:i u> 0 0 0 co 0 co ai 0 0)- <0 0 00 V v 00 N N Q) E '" 0 (ij .., I: Q) Q. c: ::J to > ~ l!! u. (ij 0 g m ~ 0 tf ~ ::J E I: -0 .c .c E E Q) 2 :c to to '" ~ .s ..c: ..c: en to '" '" en Q) <D .::: ~ l!! Gl 0:: 0:: to g ::!: I: E :J Q. <D l!! 0 I: - ~ ... I: 0 "6 'i5 1:'- g 10 ~ 4; .. Gl~ Gi ~ '" Q) > a; cu 0 to :c 41 Gl ..c: ..c: 0:: ... ...J Q. 0 0 'c I-- I-- :E -0 0:: :J 0 Gi 10 (ij ... x - E to g <U to Gi I: .., W > ~ ::!: I: 'c 'c to I: I: B 01 0 Iii ... g .~ ...J <U ii ...J ~ E ~ IE 0 g a; ...J - <D 0 ~ 0 > E .., Q. (ij (ij '" > I-- x ::J 01 .., Gl :E w U) u:: <( 0 <( m 0 0 m ::!: 'i5 ~ <0 10 01 r- <0 <0 N N <0 CD <') I: C Ii E cu 0:: Gl U I: III Ii m o o c:i 0 0 0 0 0 0 c:i c:i c:i 0 0 0 0 0 0 0 0 0 0 10 10 0 "!. N N ~ M 0 0 0 0 ci ci 0 0 0 0 0 0 10 ~- "!. ~ ~ 0 0 0 0 c:i c:i 0 0 ~ 0 0 0 0 0 0 0 N N CD to q l!! 01 II) ::J .:J: g -0 Ig N 2 '0 en 'c Gl Ig I: ~ <U '0 a: Gl 32 '" '0 :u 0 ~ :J I~ m Q. i 0 I: 0 ... ~ .., Q. '" 0 <U Ii 8- c ,g - ~ 0 0 'm I- ... 0 Q. 00:: o ~ ~ <') v ~ N co Il) N co ci o 01 00 ~ Gl 0) to Q. III u I: <U Iii m '0 I: :J U. 0 M M 0 ,.. ,.. ,-.: M c::i 0 <ll 0 ~ ~ ~ ~ Il) <ll <ll <ll Il) Il) I~ 0 "'C CD I~ CD :0 c <ll Iii 1l! <ll uJ Iii <ll U; ~ ..... CD !!! Iii ::J CD <Jl E 0 .!!! I- Q. o o <Jl C o ~ o c~ C) c: .f: C - <<J -- L., a.. o~.c 0_0 O:::.!!! ::J ~~B .Q::JCD <<J"'C C OEO N Ql en <<J a.. 0 0 0 0 0 0 0 0 .0 c::i .0 c::i ,.. 0 CD <0 CD 0 <O_ Il) <0 N ..... 0 ..... <ll N M M ~ "'C C 0 0- 0 0 "'C 0 ~ C 0::: ~ g 0 <Jl 0 CD Iii Iii 'E ~ <Jl C in :2 :2 Iii ~ I~ CD a; a; a.. .g <Jl <Jl <Jl a; W C ::J ::J iii ~ 0 0 ~ Iii ~ Iii ...J ..... 0 X lU 0 W 0 0 Il) N I- / " Economic Development Agency City of San Bernardino Cash Flow Analysis Low and Moderate Income Housing Fund For Fiscal Year 2005-06 - As of May 1, 2005 Fiscal Year Cash Flow 20% Set-Aside Revenues: Projects 20% Set-Aside IVDA 20% Set-Aside Total 20% Set-Aside Other Low/Mod Revenues: Interest Earned Investments Notes Receivable: Rehab Loans/MAP CCN Loan for Property City SB New Pine Pioneer Park RDA Projects ERAF Loan 02-03 RDA Projects ERAF Loan 03-04 RDA Projects ERAF Loan 04-05 Total Other Revenues Other Sources: Carry-Over Funds Total Other Sources Total Estimated Available Expenditures: Bond Expenditures/Pass Through Bond Debt Service Payment Trustee Fees Reserve For ERAF Total Bond/Pass Through Exp Other Obligations: Salaries and Benefits Agency Operations Housing Contracts/Agreements: Carry-Over: , NHS Rehab Casa Ramona Grant SF Beautification Loan/Grant ANR SF Grant Oldtimers Fy 03-04 Old-Towne SFR Creative Solutions Meadowbrook Down Payment Assist Budget Linel 48011 4801 4011 :40191 4012 4012 ,. 4012 4012 4012 4012 4012 49001 6301 6306 6402 5010-5021 6001-6021 :7001 7201 7201 7201 7201 7201 7201 ' 7201 Page 1 Fy 2005-061 4,139,160 1,000,000 5,139,160 170,0001 250,000 50,000 25,000 11,546 35,193 108,210 185,800 835,749 12,675,000 12,675,000 18,649,9091 424,000 6,000 o 430,000 646,538 114,279 583,000 180,308 56,000 100,000 75,000 112,000 500,000 Low and Moderate Income Housing Fund Continued New Projects: Casa Ramona/Highland Stand-by Utility Rebate Program Consulting/Engineering Single Family Beaut Grant NHS Home Safe Lead Test City Wide MAP 49th St Dev/Acq/Relo 4 plexes Housing Auth Walnut proj Acq/Relo Meadowbrook Proj/Acq/Relo 4 plexes Mobile Home Inspection Program Downtown Acq 4th to 5th/6th to 7th Downtown Relo 4th to 5th/6th to 7th Property Maintenance/Operations: Gen Oper/Main/Acq/Disp Fees Weed Abatement Relocation/Rent Assistance Professional Services Research/MaUSpecial Events Legal Total Other Expenses Total Expenditures Carry Over Balance Projects For Prog rams/Develop/ Acq u isition/Reloc Fund Balance Estimated Begin Fund Balance July 1 Add Beginning Carry Over Balance Add Estimated Revenues Less Expenditures Estimated Fund Balance June 30 Estimated Revenues Does Not Include ERAF Note Repayments In Full ** Breakout of carry over Tax Increment $12,000,000 1999 Bond Proc 675,000 Total 12.675.000 7201 7201 7201 7201 7201 7201 7201 7201 7201 7201 7201 7201 7102:7402:7403 7403 7404 6600:6703:7305-6 6103 6500 72011 Page 2 230,000 65,000 50,000 1,280,000 20,000 500,000 1,150,000 700,000 2,500,000 33,000 7,875,784 1,000,000 24,000 5,000 250,000 45,000 5,000 120,000 18,219,909 18,649,9091 500,0001 12,675,0001 5,974,9091 18,649,9091 500,0001 3,142,900 01 " Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment State College Project A~ea As of May 1, 2005 Budget Linel Fiscal Year Cash Flow Tax Increment Revenues: Projected Tax Increment Expenditures Pledged Tax Incr: 20% Set-aside Bond Payments Bond Fees Trustee County Charges Pass-through Agreements Total Pledged Expenditures Amount Avail Prior to Other Exp Other RDA Revenues: Interest Earned Investments Notes Receivable: Verdemont Rental/Lease Revenue: Golf Course Other/Mise Revenues: Water Reim Golf Course Total Other Revenues Total Estimated Available \ Other RDA Obligations: Salaries and Benefits Agency Operations Property Maintenance/Operations: Shandin Hills Water Gen Oper/Main/Acq/Disp Fees Property Insurance Weed Abatement Professional Services Research/MaUSpecial Events Legal Total Other Expenses Estimated Balance Fiscal Year 940,9071 1,598,4001 4011 :40191 310,0001 320,0001 40121 150,0001 150,0001 42001 330,0001 330,0001 48101 10,000 10,000 800,000 810,000 45001 8003 6301 6306 6401 6402 5010-5021 6001-6021 :7001 7403 7102:7402 7403 7403 6600:6703:7305-6 6103-6104 6500 80021 Page 1 Fy 2005-061 Fy 2006-071 / 6,832,0001 6,968,0001 1,366,400 1,393,600 3,743,000 3,743,000 15,000 15,000 17,500 18,000 749,193 200,000 5,891,093 5,369,600 1,740,9071 2,408,4001 379,825 130,660 380,000 131,000 25,000 25,000 4,000 4,000 40,000 40,000 2,000 2,000 99,790 100,000 13,800 13,800 90,000 90,000 785,075 785,800 1,622.6001 955,8321 State College Project Area Fund Balance Est Begin Debt Service Reserve TI July 1 Less/Add Estimated Balance FY Total Remaining June 30 Estimated Debt Service Reserve July 1, 2005 Bond Payment Due October 1, 2005 ERAF Repayment to Low/Mod Balance Remaining for Other Expenses For the Period of1-1-05 to 12-31-05 Page 2 5,500,000 6,455,832 955,832 1,622,600 6,455,832 8,078,432 5,500,000 -2,200,100 -1.020.000 2.279.900 Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Central City North Project Area As of May 1, 2005 Cash Flow Fiscal Year Tax Increment Revenues: Projected Tax Increment Expenditures Pledged Tax Incr: 20% Set-aside Bond Payments Bond Fees Trustee County Charges Pass-through Agreements Total Pledged Expenditures Amount Avail Prior to Other Exp Other RDA Revenues: Interest Earned Investments Notes Receivable: Robbins Rental/Lease Revenue: California Theatre 4th & E Miller Cinema Star Other/Mise Revenues: Cinema Security Total Other Revenues Total Estimated Available Other RDA Obligations: Contracts/Agreements: Cinema Float Loan 2007 Cinema Section 108 Payment Center City 5th & E Parking Notes/Loans Payable: Low/Mod Land Note Property Maintenance/Operations: Cinema Landscape Cinema Security California Theatre Gen Oper/Main/Acq/Disp Fees 478-480 N D Landscape Budget Linel 45001 8003 6301 6306 6401 6402 4011 :40191 40121 4200 4200 4200 43001 7302 7302 7302 73021 7403 7403 7403 7102:7402 7403 Page 3 Fy 2005-061 Fy 2006-071 1,000,0001 1,020,0001 200,000 204,000 612,100 612,100 4,000 4,000 3,000 3,000 149,793 42,000 968,893 865,100 31,1071 154,9001 35,0001 35,0001 25,1281 25,1281 100,000 100,000 18,852 18,852 995,000 995,000 18,000 1,191,980 1,223,0871 18,000 1,191,980 1,346,8801 260,310 260,310 715,000 715,000 3,000 3,000 50,0001 50,0001 36,000 36,000 70,000 70,000 275,000 275,000 4,000 4,000 2,500 2,500 Central City North Project Area Property Insurance Weed AbatementlCt St Sq ProfeSsional Services Legal Total Other Expenses 7403 7403 6600:6703:7305-6 6500 100,000 100,000 10,000 10,000 6,110 6,110 40,000 40,000 1,571,920 1,571,920 Estimated Balance Fiscal Year 49001 -348,8331 -225,0401 Fund Balance Est Begin Debt Service Reserves TI July 1 Less/Add Estimated Balance FY Total Remaining June 30 450,000 101,167 -348,833 -225,040 101,167 -123,873 Estimated Debt Service Reserve July 1, 2005 Bond Payment Due October 1,2005 ERAF Repayment to Low/Mod 450,000 -376,000 -200.000 Balance Remaining for Other Expenses For the Period of 7-1-05 to 12-31-05 -126.000 Page 4 , Economic Development Agency . City of San Bernardino Cash Flow Analysis - Tax Increment Central City West Project Area As of May 1, 2005 Budget Linel Cash Flow Fiscal Year Tax Increment Revenues: Projected Tax Increment 45001 Expenditures Pledged Tax Incr: 20% Set-aside County Charges Pass-through Agreements Total Pledged Expenditures 8003 6401 6402 Amount Avail Prior to Other other RDA Revenues: Interest Earned Investments Total Other Revenues 4011 :40191 Total Estimated Available Other RDA Obligations: Property Maintenance/Operations: Property MaintlWeed Abatement Legal Total Other Expenses 740'1 6500 Estimated Balance Fiscal Year 80021 Fund Balance Est Begin Debt Service Reserves TI July 1 Less/Add Estimated Balance FY Total Remaining June 30 Estimated Debt Service Reserve July 1, 2005 ERAF Repayment to Low/Mod Balance Remaining for Other Expenses For the Period of 7-1-05 to 12-31-05 Page 5 Fy 2006-071 Fy 2005-061 19,8001 20,2001 3,960 4,040 200 200 2,134 200 6,294 4,440 15,7601 13,5061 5001 500 5001 500 16,2601 14,0061 2,000 2,000 5,000 5,000 7,000 7,000 7,0061 9,2601 20,000 27,006 7,006 9,260 27,006 36,266 20,000 -1.800 18.200 City of San Bernardino Cash Flow Analysis - Tax Increment Southeast Industrial Park Project Area As of May 1, 2005 Budget Linel Cash Flow Fiscal Year Tax Increment Revenues: Projected Tax Increment Expenditures Pledged Tax Incr: 20% Set-aside Bond Payments Bond Fees Trustee County Charges Pass-through Agreements Total Pledged Expenditures Amount Avail Prior to Other Other RDA Revenues: Interest Eamed Investments Notes Receivable: Subaru Rental/Lease Revenue: Lease ABC Rail Other/Mise Revenues: Hyundai Pass-through Total Other Revenues Total Estimated Available Other RDA Obligations: Salaries and Benefits Agency Operations Contracts/Agreements: Hyundai Pss-through Property Maintenance/Operations: Gen Oper/Main/Acq/Disp Fees Weed Abatement/Landscape Professional Services Research/Mat/Special Events Legal Total Other Expenses Estimated Balance Fiscal Year Fy 2005-061 Fy 2006-071 45001 3,949,0001 4,028,0001 8003 6301 6306 6401 6402 789,800 805,600 2,525,000 2,525,000 10,000 10,000 10,000 10,000 454,970 127,000 3,789,770 3,477,600 5010-5021 6001-6021 :7001 136,255 53,330 136,300 53,400 65,0001 7302L 65,0001 7102:7402 7403 6600:6703:7305-6 6103-6104 6500 4,000 4,000 5:000 5,000 44,010 44,010 6,000 6,000 30,000 30,000 343,595 343,710 461,6901 80021 70,6351 Page 6 Southeast Industrial Park Project Area Fund Balance Est Begin Debt Service Reserve TI July 1 Less/Add Estimated Balance FY Total Remaining June 30 1,800,000 1,870,635 70,635 461,690 1,870,635 2,332,325 Estimated Debt Service Reserve July 1, 2005 Bond Payment Due October 1, 2005 ERAF Repayment to Low/Mod 1,800,000 -1,550,000 -630,000 Balance Remaining for Other Expenses For the Period of 7-1-05 to 12-31-05 -380,000 Page 7 Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Northwest Project Area As of May 1, 2005 Budget Linel Cash Flow Fiscal Year Tax Increment Revenues: Projected Tax Increment Expenditures Pledged Tax Incr: 20% Set-aside Bond Payments Bond Fees Trustee County Charges Pass-through Agreements Total Pledged Expenditures Amount Avail Prior to Other Other RDA Revenues: Interest Earned Investments Other/Mise Revenues: Bio Mass Land Sale Total Other Revenues Total Estimated Available Other RDA Obligations: Salaries aM Benefits Agency Operations Contracts/Agreements: Bio Mass Land Sales Mapei Property Maintenance/Operations: Gen Oper/Main/AcqlDisp Fees Weed Abatement Professional Services Research/MaUSpecial Events Legal PAC Total Other Expenses Estimated Balance Fiscal Year 157,5781 324,3001 '- 4011:40191 70,0001 70,0001 49001 175,0001 70,00~1 245,000 402,5781 394,3001 45001 8003 6301 6306 6401 6402 5010-5021 6001-6021 :7001 73021 7302. 7102:7402 7403 6600:6703:7305-6 6103-6104 6500 6801 80021 Page 8 Fy 2005-061 Fy 2006-071 1,751,0001 1,786,0001 350,200 357,200 740,000 740,000 4,000 4,000 4,500 4,500 494,722 356,000 1,593,422 1,461,700 35,126 22,666 175,0001 60,000. 35,200 22,700 60,00~1 4,000 4,000 2,000 2,000 12,560 12,560 3,000 3,000 20,000 20,000 68,000 50,000 402,352 209,460 2261 184,8401 Northwest Project Area Fund Balance Est Begin Debt Service Reserve TI July 1 Less/Add Estimated Balance Fy Total Remaining June 30 Estimated Debt Service Reserve July 1, 2005 Bond Payment Due October 1, 2005 ERAF Repayment to Low/Mod Balance Remaining for Other Expenses For the Period of7 -1-05 to 12-31-05 Page 9 1,100,000 1,100,226 226 184,840 1,100,226 1,285,066 1,100,000 -377 ,300 -260.000 462.700 -" .. , f' .,.i:! \~ . .~'~' J . '..' t ,. I ,. , \. ,. , 1 I: ! ~ . i. r I: f f. t. Cash Flpw Fiscal Year Tax Inc'lment Revenues: Projecte~ Tax Increment r Expenditures Pledged Tax Incr: 20% se~aside Bond p~ments Bond FElrs Trustee County ~harges Pass-th~ugh Agreements Total ~Iedged Expenditures AmGUnfAva" PriG'to Oto., Other R~A Revenues: I Interest Eamed Investments Notes Rllceivable r. City SB Sams Club Estimate '" Totall'Other Revenues , Total EI~mated Avall.b'. Other R A Obligations: Salariestmd Benefits Agency bperations ~ Contracts/Agreements: l< BP Ca,!ifomia RancoJi. Lease PropertvJMaintenance/Operations: Gen oper/Main/Acq/DiSP Fees Weed ~batement ProfessiOnal Services '" Researcp/MaUSpecial Events Legal J' Total ~ther Expenses . ~ Estimat~d Balance Fiscal Year I r , Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Tri City Project Area As of May 1, 2005 ~. ~ 144,5661 310,0001 4011 :40191 85,0001 85,0001 40121 85,oo~1 .250,0001 335,000 229,5661 645,0001 Budget Linel 45001 8003 6301 \ 6306 6401 6402 5010-5021 6001-6021 :7001 73021 7302 7102:7402 7403 6600:6703:7305-6 6103-6104 6500 80021 Page 10 Fy 2005-061 Fy 2006-071 1,932,0001 1,970,0001 386,400 394,000 1,165,000 1,165,000 4,000 4,00.0 5,000 5,000 227,034 92,000 1,787,434 1,66Q,OOO 35,126 22,666 35,200 22,100 155,000 49,986 155,000 12,500 4,000 4,000 2,000 2;000 12,560 12,560 3,000 3,000 20,000 20,J)pO 304,338 266,960 -74,7721 378,0401 ! Tri City Project Area Fund Balance Est Begih Debt Service Reserve TI July 1 Less/Ada Estimated Balance FY II. Tota'lemaining June 30 Estimatt Debt Service Reserve July 1, 2005 ~ Bond Payment Due October 1, 2005 Ii ~RAF Rt,payment to Low/Mod . Balance(Remaining for Other Expenses For the period of 7-1-05 to 12-31-05 r r.. k ~ i' f \ ! ~ ; !I Page 11 400,000 325,~~ -74,772 378;040 325,228 703,268 400,000 -660,000 -280,000 -540,000 lOt Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Uptown Project Area As of May 1, 2005 ~ ~ ~ casti Fiw Fiscal Year Tax lncfment Revenues: projectt Tax Increment ,ExpendJ,tures Pledged Tax Incr: 29% s,eiaside : Bond Payments . , Bond FAs Trustee , countylharges '" . Pas:s-th~ugh Agreements Total redged Expenditures i Amounf'Avail Prior to other r other LA Revenues: In,tere~Jamed Investments , Total Other Revenues Total ELi mated Available ;"'er lA Obligation., salarieiand Benefits Agency perations Propert ,Maintenance/Operations: Gen per/MainlAcq/Disp Fees WeedlAbatement prPfessfnal Services ~esearC!:tl/MatlSpecial Events Le,gal t .. T""I her Expo_ ,Estimated Balance Fiscal Year !Cund l,anee '. -I! 'Est Be~n Debt Service Reserve TI July 1 Less/Add Estimated Balance FY Total ~emaining June 30 t l' ,1 ~ ~ ... ,~( Budget Linel ~ 45001 8003 6301 6306 6401 6402 4011 :40191 5010-5021 6001-6021 :7001 7102:7402 7403 6600:6703:7305-6 6103-6104 6500 49001 Page 12 '. . ~, .r ' J " -1' ;-"" .;'; ',,-- ;, ..~ " Fy 2095-061 ,. ..\........,)> Fy ~0.0.6~~L 713,0001 727;0001 142,600 " J4.~;~OO . 290,000 "29~iODP. , 3,OQO ,\:?'3).ot)Q , 2,000 "'~2'~Ope , 58,638 .. ,:'1~Ope 496,238 . . '459:"400, " '. . of,' , ' 2~7:1~~~'1,; 216,7621 40,000 40,000 256,7621 40.;lJOO : '<40:00~ ,- '.' , ~~}l~~OOI; . -;:" .~ 27,252 10,665 '0- "'.':.J.. '~'2.1f3I9O: " ' ~ ;" -"'~ ," h.l . : '.>..1:O.~7.0.O: j .; ....._~;. r~,.tft.::~;;.'1 . . ~;\~ 4,000 , ..4 ;P.0.l> '" 2,000, ,-- ~. ~2~D,fi)O ;;" 9,690 9"6~:': "',. ,.,.1 1,200 ,.'1!f2.0,Q ~, 30,000 ' "3lV:ODl!I If ~,~ , -- ,~-~ -. 84,807 ~;'!{90' .......", -"" . - ~~ j~ 222iV,im}': ,., [1.":9,'" II, 171,9551 ..... .. ,.....~y( .. 'i...!.:c.....: f',--=>..""'" " ~' 900,000 '.f01,"F!l5S' I ,t _._ 171,955 ;~'?:;7't1..Q 1 1,071,955 1 i29jf66"5 '. '.\- '. - -. '.,. ~ ' '. ~ . Uptown Project Area . ,.~~~trlat!d Debt Service Reserve July 1, 2005 . . 'Bqn~.:PlYment Due October 1, 2005 , ',EMF' lepayment to Low/Mod , . -I \.iStl.anc /' ,;"'Fpr,the ~:kr.' . ~. l; ;. ( I. " . . . '('\ ~.' "l.;' .' j ;+~ < '- ~., ,,' " ...,~ ~ .. " ;.~f/\.::' ' ,\ I.: ,{\_ ,I . ...> :"'1;t.../' \... ~~ 'r.., .:.,. ~ ,';-': ,- ri,::\;' I" .' C,. '. . :.j~,... 'I"."r ..... "4,. .J( , t . .:: ,~ i' > 'I: " .)," ..,;: ;'," ..' . , .'.... ..' ~ J .J, . ~ ./'. /. ~IJ 10.. t. :~~~~':" ..,~..tJ_f~: ,\;~:;. ~ ~,::~;t::J:";.t ",. . ''>l'.,Y''~'" '~(.;;~~{b~2 \:. .~.~~...;f-~t.~~.,.,.. .- :,d~r~f,~ :\,:~.. -) ,.,<,:'}.~- ' :' .~ "$~,~;'.;j ~ ~:'. J. "~>~~'~"ijJ.".'\ . I ~... .~~~Jt'~~~~. ~ ...' .. l"~ '~6~. ...; Remaining for Other Expenses eriod of 7-1-05 to 12-31-05 900,000 -173,500 -76.000 650.500 Page 13 ~,. ~~ '.... \ t 't. .~.~ (f:'.. .Jg: ,I.~... '~'. ~ .~I 1'- ~~~~~~~ 3:'~ ~~,~:,t~r~)"l~> . ~ If~-"4';/:~"',id/f{~.. ~ I " . . . \". ,.''''', """ ,,\.~.'~.J." ,\.':-~""\J'~'l~~' * ",' "I:~;;- '~""':'J'~'1jr~l)'~;"" . :/...- l)"'~n.~-~' ~oJj~" - ~(- , .~~';ft"!f-. tJI <fir',:;'" ~ ! ~';:~" ,I ,.. : ',..:~~~~\ '.!~i,.-,j'':''J . :/>~~\!t:JI~';"?,-' ~~~~}:. 1\ '....'?1~ ~'.:~~"', ~, '''to: _,.",",~);.~,;:l....., .;,.; )3-~-,.:; ..,J~lj,)'J.ft'..,- .1"" , . ;!>,\.~ t I ~t: -, ,... ';..... . ,~ ~ :~~'-1~ ~:l:'~'/ . ./. ~ '~. t ~?1( :;<';~..\~.~ ~, ~,. ~ ''':0,~S', 1-\: '.' ' .' ;. -r.J~ " :.' ~., , ' " \'.J..jo~ /:1('.<: \,1 '\" ,.' ~- i/ ~. -:t' : -, - ... ,f', ,- .j,.. ~..f i'!l'-, . ...., ., .', I jl "', :" ~:~:;': ~ " \ '. :,,-,~~~"'- ...' . '\'.' '-l ~/~ - 1p.,:? r " " ~ .' '. . '1~ 'I:/:~~ ~~\' t. ~ , , , ~ ""."~ ~ '.><'_c < . '.. \+.:~'~~fl'~"" ~ ,- \ .i.... J'-t ;:;ff;1;;~' < :?' -- ~.\....~'l:--,--./.., ....' f- ,~..~ ~J:~:i~~~y:,;'}'_~b ,..:';\:,~~ .' ',";:'\')':':;~:"I<o.........!. <'''',.- :J' f.:'~" . ...- -- , ;:~i;r(~i~;;: :~. -". .l.~_'~",,_] ~~, ~" .~, ':':r'> /'j~~~/: '.' .t~-"';l'~,.~rt>:~.. ;"'-0' '?::$~~~,i .' '~'.,J;"" ,'- ,'". " < ~: ''1::'lf;'',;~.,,::'J....:';.; '- ~\ . _....'...../~~-... '7.. ~. . .' ;. tf~.::-t~~l,t-.-;, ~. ''''''-'1P~'I;~'''' --, ..." ~~~~,:~~.;r":lf:....;'-y.~:< - ( "'J~.~ti'!fr..:-0:~/": ~ ...:...., l~I:........,_.}.";f1.~1'.,.,~". .,_., , " . '- I ~, \' $ , -~J. . , .~ J Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment South Valle Project Area As of May 1, 2005 I t f t .~ f ~ F=iscal Year mtiot Revenues: f:~ Increment ! I .1, .~ " , ~ , .. her Expenses Balance Fiscal Year Budget Linel 45001 8003 6301 6306 6401 6402 4011 :40191 49001 5010-5021 6001-6021 :7001 73021 7102:7402 6600:6703:7305-6 6103-6104 6500 49001 July 1 Page 14 ',. '" .. _d;~~~tl!l~rvice Reserve July 1, 2005 Y,n1!n~ Due,October 1, 2005 epayinent to Low/Mod , .i,O' South Valle Project Area l.,' lR'emaining for Other Expenses . eA'Q;d oi.i~1-05 to 12-31-05 .- 'J ~ . ,_ ..~ ~~~ <J_,J.. r:o( ., , ~-;.,':;/' ,",. ~- ...... 'C .:J.:- Page 15 Economic. Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Central City Projects Area As of May 1, 2005 . ~,. ::\ .' ... '. " . . ' .~~ '>,~ ~ ~,~~.,~ )'..'i :-\~ I .J"" -r.' ~l ',\ - ',:.; .':'" '.. \",~,;>~' .... ..." -'~ :"":,,,,~,:~;". :', .,.~~ '-~'" \\-'\. )N-w.!)(C!.al Year 6ie1i,i'ae~enues: _..s~_.,~,..~.:.,.. ,::1;a~'lncrement ~'/i.J':}sg'''' 'q ~'.'~f': t~! ' ,,', . ;"~""'" ' ''!I,edged Tax Incr: ~~l'" ,~. . .-' '~,: . :,-, ~ r ~"':1, ~. i.. '- '~{. ... ;;. ':{~~'r" . , 'H-Z i"v.. -, :~~/;," ~ Budget Line' 45001 8003 6301 6306 6401 , 6402 4011:40191 4012/ 4200 4200 4200 4200 4200 43001 4810 7302 7302 7302 73021 7403 7102:7402 7403 7403 7403 Page 16 \?r ,. ~~:./;;~ ;,'",r~~ ;' -:;::{ " .. Central City Projects Area 6600:6703:7305-6 6103-6104 6500 , , '. July 1 , - J' , ',1' . '~~1pr Other Expenses ,,7i;1~5 to 12-31-05 f ~.';'" ;, . . ';'~. ~ . .;':',)tj~y~ .. ).' -"~"~:' , ~t:~f: ,'~ lc..l..;r..~., :~~:' ~.'_......l ~'I: :{:J~" ;~~~";' ,.'~:~{;; , :G!~;:;:\' " '~''1;1:v':' Page 17 !,:;'~;~;, , 49001 Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment Mt. Vernon Project Area As of May 1, 2005 BUdget Linel .,. :~f:'" !~ ".~ .e.~' Tax Incr: .."-'" 45001 8003 6301 6306 6401 6402 4011:40191 42001 5010-5021 6001-6021 :7001 73021 7302 7102:7402 7403 6600:6703:7305-6 6103-6104 6500 80021 Page 18 .' Mt Vernon Project Area , ; r Fund B~lance Est Begi~ Debt Service Reserve TI July 1 Less/Ada Estimated Balance Fy Total ~emaining June 30 '. Estimat'd Debt Service Reserve JUly 1, 2005 Bond PiWment Due December 1, 2005 ~ ERAF R~payment to Low/Mod " Balanc~Remaining for Other Expenses For the Period of 7-1-05 to 12-31-05 " Page 19 600,000 735,165 135,165 219,470 735,165 954,635 600,000 -155,000 -110.000 335.000 191,0001 213,8001 4011 :40191 5,0001 5,0001 5,000 5,000 196,0001 218,8001 Economic Development Agency City of San Bernardino Cash Flow Analysis - Tax Increment 40th Street Project Area As of May 1, 2005 t r [ [ f. t Cash Flbw Fiscal Year It Tax Increment Revenues: I: projectlCl Tax Increment Expenditures Pledged Tax Incr: 20% Sei~aside Bond Plyments Bond Fles Trustee ii County (!;harges l Pass-th~ugh Agreements Total fledged Expenditures ( i AmountAvail Prior to Other r Other fiDA Revenues: ~: Interest Eamed Investments ... Total Other Revenues ~ Total Eltimated Available r ~ [ , l .t Other RpA Obli,gations: Salaries{and Benefits Agency Operations professifnal Services Marketil1g/Special Events ~ Legal , Total ~her Expenses Budget Linel 45001 8003 6301 6306 6401 6402 5010-5021 6001-6021 :7001 6600:6703:7305-6 6103-6104 6500 I Estimat~d Balance Fiscal Year 49001 . Fund Balance Est Begin Debt Service Reserve TI July 1 Less/Adi Estimated Balance FY ~ Total Re;lJ1aining June 30 Estimattd Debt Service Reserve July 1, 2005 ERAF Repayment to Low/Mod " i BalancefRemaining for Other Expenses For the Period of 7-1-05 to 12-31-05 ~ Page 20 . i Fy 2005-061 Fy 2006-011 305,0001 311,0001 61,000 62,200 - 1,000 1,000 52,000 34,000 114,000 97,200 13,624 13,700 5,334 ,'5,400 9,290 9,290 600 6~0 5,000 5,0QO 33,848 33,990 162,1521 184,8101, 400,000 56~,1 ~~ 162,152 ' 184,81 () 562,152 746,962 400,000 -20,000 380,000 ... ..,...=.~.._._~^'..~~~..- .....~.~ -~ ,..,.,"...."'-'''"..~. '---.~"."'.."-'-....''''._:''7V:'''''-~:_''f''',:.''f".'"f~':ft~'\~'l''!fr'". r . ~:. . City of San Bernardino ECONOMIC DEVELOPMENT AGENCY MEMORANDUM TO: Chairperson and Community Development Commission Members FROM: \".~ -, Z___ Barbara Lindseth, Administrative Services Director SUBJECT: PROPOSED ECONOMIC DEVELOPMENT AGENCY BUDGET DATE: May 25,2005 COPIES: Gary Van Osdel; Jorge Carlos Attached, for your review, you will find the Economic Development Agency's proposed budget for the period of July I, 2005 through June 30, 2006. Following is a brief overview of the budget cover letter and the nine (9) sections of the proposed budget. Budl!et Cover Letter · Transmitta1letter outlining significant numbers and changes proposed during the next fiscal year. Mission . Mission Statement of the Agency. Accomplishments · Major accomplishments achieved during the fiscal year 2004-05. Goals · Ongoing and new goals for the fiscal year 2005-06. Combined Budl!et . Chart of revenues and expenditures. · List of redevelopment project areas and federal programs (defines abbreviations used). .,.....&..,. ,... ... " . . "'I'Y""-'~"~'''-'.'' --...F....... .. ........F..l".~'_..~ ....,",.,...".,,,...,',.....,....M...'7 ' · Five (5) page proposed budget spreadsheet for redevelopment project areas (total all project areas), 20% Low- and Moderate Housing Fund, Community Development Block Grant (CDBG), Home Investment Partnership Act (HOME), and Emergency Shelter Grant Program (ESG) in column summary form by budget line number. Total individual revenues and expenditures as listed above, plus combined totals. Proposed budget spreadsheet also contains columns, in budget line numb'er form, for fiscal year 2005-06 proposed budget, fiscal year 2004-05 adopted budget, fiscal year 2004-05 estimated actuals, and, on page 5, there is a comparison of major changes between the fiscal year 2005-06 proposed budget and the fiscal year 2004-05 adopted budget. Redevelopment Proiect Area Spread~heets . Maps of the redevelopment project areas. . Four (4) page proposed redevelopment project area budget spreadsheet in column summary form for each redevelopment project area by budget line number. Total individual redevelopment project area revenues and expenditures, plus combined totals. Combined total is transferred to the Combined Budget spreadsheet. Personnel . Organizational chart. Administrative Budl!et . Three (3) page Agency proposed administration and operations spreadsheet for the fiscal year 2005-06 in column form by budget line number. Columns represent those redevelopment project areas charged with administrative overhead, along with 20% Low- and Moderate Income Housing Fund, CDBG, and HOME (ESG does not have administrative funding for fiscal year 2005- 06). The fiscal year 2005-06 proposed budget combined total and the fiscal year 2004-05 adopted budget are also shown. Page I is a brief summary, and pages 2 and 3 are the detailed budget line numbers. Any combined increase or decrease in these line items is shown, along with the percentage of change. Combined total is transferred to the Combined Budget spreadsheet. . List of administrative budget line detail pages and page numbers. . Complete detail of each budget line number, which makes up the administrative and operations section of the budget (also found. in the Budget Line Detain Section). ~''''';j,-V-''"''1f''t~.,-,~.,.~J\',~Ii'C';!;';--;'-'~:'';- .~ .........- "1 ",","."~..~~=".~~~-=.... - " Budl!et Line Detail . List of budget line detail pages and page numbers. . Complete detail by budget line number of each proposed revenue and expenditure for all redevelopment project areas, 20% Low- and Moderate Income Housing Fund, CDBG, HOME, and ESG. Cash Flows I Fund Balance . Four (4) page tax increment cash flow projections (on light blue paper) based upon proposed budget numbers for the fiscal years 2005-06 and 2006-07. Page I of the tax increment cash flow projection (light blue) is the combined fund balance for debt service reserves, plus projected revenues less projected expenditures for the fiscal year. Page 2 of the tax increment cash flow projection (light blue) is a combined total of all redevelopment project areas, and pages 3 and 4 are individual redevelopment project area projections (light blue). Also shown are bond payments due for the period of July I through December 15, 2005, and the funds remaining for other expenditures for that period of time. Debt service reserves are the required amount of fund balance debt reserves the Agency must have on hand as ofJuly I of each year in order to meet debt service and other payments during the period of July I to December when no tax increment revenues are received. . Two (2) page Low- and Moderate Income Housing Fund cash flow projection (light green)) based upon proposed budget numbers for the fiscal year 2005- 06. . Spreadsheet of Bond Proceeds revenues with actual and proposed expenditures (yellow). If you have any questions on any of the budget, please call me.