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HomeMy WebLinkAbout23-Code Compliance OR1C tw'AL CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION Date: February 14, 2001 Subject: Request for 2000/2001 Budget Amendment to transfer $20,000 from Code Compliance to Public Services to fund board-ups for City Abatement Crew. MICC Meeting Date: Feb. 20, 2001 From: Glenn Baude Dept: Code Compliance Synopsis of Previous Council Action: None. Recommended Motion: That the Director of Finance be authorized to amend the Fiscal Year 2000-2001 budget to transfer $20,000 from Code Compliance, Account Number 001-073-5505 (Contract Professional Services) to Public Services, Account Number 001-407-5111 (Materials and Supplies) to cover the cost of the in-house abatement program as discussed in the attached staff report. Contact person: GIAnn RandA Phone: 53G4 Supporting data attached: Staff Report Ward: Unknown at this time. FUNDING REQUIREMENTS: Amount: No cost to the General Fund; costs for abatements and demolitions are budgeted, and are CDBG reimbursable. Source: (Acct. No.) (A~d n~~~riptinn) Finance: Council Notes: :l/~JOJ JlJJ..:t3 CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION Staff Report SUBJECT: Request to amend 2000-2001 budget transferring $20,000 from Code Compliance account number 001-073-5505 (other professional services) to Public Services account number 001-407- 5111 (materials and supplies) to fund board-up supplies for the city abatement crew. BACKGROUND: In 1999, the City of San Bernardino started an abatement crew, housed in Public Services, to do code compliance board-ups and abatements. Prior to this, private contractors had done the work. This change has proved to be beneficial to the city by improving the quality of work and reducing the cost of abatements. As a result of an increase in board-ups by Code Compliance this year the abatement crew has exhausted its budget for materials to do board-ups. Money is available in Code Compliance's budget for demolition and abatements, which can be used for this purpose. Transfer of funds from this account to Public Services Department materials and supplies account would provide funding for board-up supplies for the remainder of this fiscal year. FINANCIAL IMPACT: As the identified funds are budgeted for demolitions and abatements and are Community Development Block Grant reimbursable there is no impact on the General Fund. MOTION: Authorize the Director of Finance to amend the Fiscal Year 2000-2001 adopted budget and transfer $20,000 from Code Compliance account number 001-073-5505 (contract professional services) to Public Services account number 001-407-5111 (materials and supplies) to cover the cost ofthe in-house abatement program as discussed in this staff report.