HomeMy WebLinkAbout01- Economic Development CITY OF SAN BERNARDINO FUND 129
1/2 CENT SALES AND ROAD TAX
Measure I is the San Bernardino County voter approved 1/2 cent sales tax. These funds are
restricted to the relief of traffic congestion through maintenance of streets and highways in our City.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 129-000
4505 Interest on Idle Cash 108,227 63,392 125,000 125,000
4613 1/2 Cent Sales Tax(Measure I) 2,658,927 3,219,945 3,200,000 3,200,000
4630 State Aid-Street Construction 301,500
4658 Federal Aid-Street Construction 670,000
4670 Economic Development Reimbursement 1,100,000
4695 Construction Project Reimbursement 111,549 200,000 59,800 600,000
TOTAL REVENUE 2,878,703 3,483,337 3,384,800 5,996,500
EXPENDITURE DETAIL 129-367- 213,907 218,167
5016 Labor (proposed included with construction)
5504 Construction 2,083,879 4,240,115 2,375,200 10,331,100
TOTAL EXPENDITURES 2,297,786 4,458,282 2,375,200 10,331,100
OTHER FINANCING SOURCES(USES)129-000-
6450 Transfer In
7451 Transfer Out (215,000) (215,000) (250,000) (250,000)
TOTAL OTHER FINANCING SOURCES(USES) (215,000) (215,000) (250,000) (250,000)
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) 4,721,536 5,087,453 3,897,508 4,657,108
AVAILABLE ENDING FUND BALANCE(DEFICIT) 5,087,453 3,897,508 4,657,108 72,508
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 129: 1/2 CENT SALES& ROAD TAX
Expenditures 129-367-5504
Continuing Projects
7121 Mt Vernon Bridge (SSO4-12) $ 149,100
7160 40th St Widening-Acre to Electric-Design (SSO4-14) 164,500
7200 9th St-"H"to Sierra Way(SSO4-15) 6,100
7201 Del Rosa Widening-6th to Baseline- Design (SSO4-17) 51,800
7202 Install Disabled Ramps (SS-B) 400,000
7236 Mountain Ave-Curb, Gutter&Sidewalk(SSO4-18) 97,800
7240 Preliminary Study- University Ave @ 1-215 Interchange(EDA Funded-$87,800) 299,700
(SS04-19)
7245 State Street Construction Phase 1B, 2, 3&4(SSO4-9,10& 11) 325,600
7319 Street Improvements-3rd St to 2nd St (SSO4-34) 15,900
7381 Rancho Ave Medians (SSO4-48) 36,400
7384 Bridge Railing Repairs- Baseline @ Warm Creek(SSO4-67) ($40,000 HBP) 62,800
7385 Bridge Railing Repairs-Rialto Ave @Lytle Creek(SS04-68) ($40,000 HBP) 150,000
7510 Waterman Ave @ 18th-Widen for Signal Relocation(SSO4-116) 7,100
7513 Highland Ave @ Del Rosa Channel-Widening (SSO4-131) 97,400
7517 Bridge on Alabama at City Creek South of 3rd-Design (County$25,000, 336,600
Highland$25,000-FEMA/OES$330,000) (SS05-17)
7519 Little Mtn Dr from 48th St to Bridge @ Devil's Canyon (SSO4-119) 9,500
7590 Cajon Blvd Rehab/Construction- Mt Vernon to California (SS07-13) 120,000
7671 Waterman Canyon Bridge-City's Share(SS07-14) 27,000
7732 New Road-Little League Dr to Devore Rd (SS07-29)(EDA Reimb$250,000) 297,700
7741 Viaduct Blvd between 2nd& 3rd (SS07-32) 80,000
7583 5th St Pavement Rehab-Waterman Ave to Tippecanoe Ave (SS06-38) 50,000
7541 Del Rosa Enhancements/Beautification Improvements(SS05-05) (Developer 400,000
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 129: 1/2 CENT SALES &ROAD TAX
Contribution-$200,000)
7670 Hunts Lane(SS06-102) 80,000
7681 Del Rosa-widen between 9th St&Warm Ck(SS07-15) 700,000
7682 Olive St Pavement Rehab-Western to Mt Vernon (SS07-12) 12,600
7683 Miscellaneous Street Repairs-Various Locations(SS07-25) 100,000
4,077,600
Proposed New Projects
7202 Construct Assessability Improvements-Various Locations(SS-B) ($99,000 599,000
Safe Routes to Schools)
7156 Street Safety Improvements-Various Locations(SS-C) 50,000
7375 Bus Stop Concrete Pads (SS-F) 50,000
7160 40th St widening-Acre Ln to Electric(S504-14) 300,000
7319 Street Improvements-3rd St to 2nd St(SSO4-34) 144,000
7240 University Parkway @1215 Interchange(SSO4-19) (EDA Funding$1,000,000) 1,200,000
7517 Alabama St Bridge @ City Creek So of 3rd(design) (SS05-17) (FEMA/OES 300,000
$290,000)
Widen Pine St- Belmont to Ohio (SS07-26) 140,000
7732 New Road-Little League Dr to Devore Rd (SS07-29) (Developer Contribution 200,000
$200,000)
3rd St-"I" St to"K" St-Pvmt Rehab(SS08-03) 87,000
"E"St-Oak St to 2nd St-Pvmt Rehab(SS08-05) 286,000
"H"-30th St to Edgehill Rd- Pvmt Rehab (SS08-07) 61,000
Various Streets-3rd Ward- Pvmt Rehab (SS08-08) 70,000
Grant Ave-Mt Vernon Ave to"I" St(SS08-13)Co-op with City of Colton 140,000
(City of Colton $50,000)
I-Bank Loan Repayment(SS08-23) 1,200,000
Thompson PI-Mt Vernon to Arrowhead Ave-Pvmt Rehab(SS08-26) 35,000
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 129: 1/2 CENT SALES& ROAD TAX
7580 Street Light Poles& Electric Systems Replacement(SS05-24) 100,000
"D" St-2nd St to Baseline St-Pvmt Rehab(SS08-15) 150,000
Sierra Way-Rialto Ave to 5ht ST-Pvmt Rehab(SS08-16) 194,000
Palm Ave-Kendall Dr to Irvington Ave-Pmvt Rehab(SS08-18) 107,500
Mt View Ave-40th St to 46th St- Pvmt Rehab (SS08-29) 125,000
Piedmont Dr-Palm Ave to Yuma Dr-Pvmt Rehab(SS08-31) 360,000
Medical Center Dr- Baseline St to 16th St- Pvmt Rehab(SS08-32) 205,000
7th St- Meridian Ave to Macy St- Pvmt Rehab (SS08-33) 150,000
6,253,500
$ 10,331,100
Attachment I
CITY OF SAN BERNARDINO
Law Enforcement Facilities,Vehicles and Equipment Fee FUND 261
This fund accounts for the Law Enforcement Facilities,Vehicles and Equipment impact fee imposed on new residential,
commercial and industrial development tafund the cost of facilities,vehicles and equipment described or identified in the
Law Enforcement Facilities Section the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 261-000-
4505 Interest on Idle Cash 957 4,000 5,000
4824 Impact Fee 73,704 205,400 124,200
TOTAL REVENUE - 74,661 209,400 129,200
EXPENDITURE DETAIL 261-481 -
Carryover Purchase Orders Total 39,000
5111 Materials and Supplies 4,500
5502 Other Professional Services 54,100 97,000
5703 Communications Equipment 42,500 10,000
5704 Miscellaneous Equipment 106,800 44,000
TOTAL EXPENDITURES - - 207,900 190,000
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 74,661 76,161
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 74,661 76,161 15,361
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 261: LAW ENFORCEMENT FACILITIES,VEHICLES,AND EQUIPMENT FEE
Expenditures
261-481-5XXX
Continuing Purchase Orders:
207470 Fisher Scientific-Gas Masks $ 2,500
207480 Adamson-Leather Gear 2,600
207274 Sun Badge Co-Dept. Badges 3,100
Subtotal for 261-481-5111 $ 8,200
301031 Unitrol Systems-Lightbars, etc. Subtotal for 261-481-5704 30,800
TOTAL $ 39,000
Proposed New Expenditures:
Other Professional Services: 261-481-5502
Tenant improvements for parking lot expansion: 288 Linear feet of wrought iron fencing, $ 97,000
$8,000; privacy slats for 150 linear feet of existing chain link fencing,$3,000; (4)additional -
double head light poles,$16,000; saw cut asphalt for fence/lighting poles and 8'of existing -
block wall to create entrances/exits, $6,500;trench/install power source for new light -
poles/cameras,$10,000; install(2)irrigation ditches under driveway, $8,000; cleanning/re- -
slurry seal existing ashpalt pavement, $5,000; expansion of camera surveillance system,
$40,000;Total$97,000.
Total Other Professional Services $ 97,000
Communication Equipment: 261-481-5703 $ 10,000
(20) EVDO wireless modem cards for additional police units, $10,000.
Total Communication Equipment $ 10,000
Miscellaneous Equipment: 261-481-5704 $ 44,000
(30) Preoforce tasers, holsters and accessories, $27,000; (30) Puma digital voice recorders,
$16,500;Total$44,000.
Total Miscellaneous Equipment $ 44,000
GRAND TOTAL EXPENDITURES $ 190,000
•
CITY OF SAN BERNARDINO
Fire Supression Facilities,Vehicles and Equipment Fee FUND 262
This fund accounts for the Fire Supression Facilities,Vehicle and Equipment fee imposed on new residential,commercial
and industrial development to fund the acquisition of new equipment and relocation,expansion and construction of fire protection
facilities described or identified in the Fire protection Facilities section of the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 262-000-
4505 Interest on Idle Cash 968 4,200 6,000
4824 Impact Fee 74,600 203,256 139,300
TOTAL REVENUE - 75,568 207,456 145,300
EXPENDITURE DETAIL 262-482-
5504 Projects
5701 Vehicles
5704 Miscellaneous Equipment
TOTAL EXPENDITURES - - - -
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 75,568 283,024
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 75,568 283,024 428,324
CITY OF SAN BERNARDINO
Local Circulation System Fee FUND 263
This fund accounts for the local circulation systems fee imposed on new residential,commercial and industrial development
to fund the cost of streets,signals and bridges described or identified in the Circulation System section of the Master Facility
Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 263-000-
4505 Interest on Idle Cash 806 5,000 10,000
4824 Impact Fee 62,168 344,868 365,000
TOTAL REVENUE - 62,974 349,868 375,000
EXPENDITURE DETAIL 263-483-
5504 Projects - 750,300
TOTAL EXPENDITURES - - - 750,300
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 62,974 412,842
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 62,974 412,842 37,542
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 263: LOCAL CIRCULATION SYSTEM FEE
Expenditures
263-483-5504
Continuing Projects
7486 Little Mountain and 48th Street Traffic Signal (TC04-31) $ 118,600
7487 Little Mountain and Northpark Blvd Traffic Signal (TC04-41) 125,200
243,800
Proposed New Projects
7653 Rialto Ave&Meridian Ave Traffic Signal (TC04-35) 140,000
7661 Palm Ave&Irvington Ave Traffic Signal TC06-06) 171,500
7716 Medical Ctr Dr&Magnoloa Traffic Signal (TC07-01) 165,000
Redlands Blvd&Gardena St Traffic Signal(TC08-04) 30,000
506,500
Total $ 750,300
•
CITY OF SAN BERNARDINO
Regional Circulation System Fee FUND 264
This fund accounts for the regional circulation systems fee imposed on new residential,commercial and industrial
development to fund the cost of freeway interchanges,railroad grade separations and regional arterial highways described
or identified in the Circulation System section of the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 264-000-
4505 Interest on Idle Cash 7,625 40,000 100,000
4824 Impact Fee 587,535 2,141,809 2,126,100
TOTAL REVENUE - 595,160 2,181,809 2,226,100
EXPENDITURE DETAIL 264-484-
5504 Projects - 240,800
TOTAL EXPENDITURES - - - 240,800
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 595,160 2,776,969
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 595,160 2,776,969 4,762,269
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 264: REGIONAL CIRCULATION SYSTEM FEE
Expenditures
264-484-5504
Continuing Projects
7655 Palm Ave and 1-215 ramps(TC04-05) $ 88,300
88,300
Proposed New Projects
7655 Palm Ave and 1-215 ramps(TC04-05) 152,500
152,500
Total $ 240,800
CITY OF SAN BERNARDINO
Library Facilities and Collection Fee FUND 265
This fund accounts for the Library Facility and Collection impact fee imposed on new residential development to finance
additions to the library collection described,or identified in the Library Facility and Collection section of the Master Facility
Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 265-000-
4505 Interest on Idle Cash 49 500 1,000
4824 Impact Fee 3,738 40,000 50,000
TOTAL REVENUE - 3,787 40,500 51,000
EXPENDITURE DETAIL 265-485-
5123 Library Books 95,000
TOTAL EXPENDITURES - - - 95,000
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 3,787 44,287
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 3,787 44,287 287
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 265: LIBRARY FACILITIES AND COLLECTION FEE
Expenditures
Library Books:265-485-5123
Continuing Projects
Library Books $ 44,000
44,000
Proposed New Projects
Library Books 51,000
51,000
Total $ 95,000
CITY OF SAN BERNARDINO
Public Meeting Facilities Fee FUND 266
This fund accounts for the Public Meeting Facilities impact fee imposed on new residential development to finance additions
to the public meeting facilities described or identified in the Community Public Use Facilities section of the Master Facility
Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 266-000-
4505 Interest on Idle Cash 61 600 3,000
4824 Impact Fee 4,690 50,484 75,200
TOTAL REVENUE - 4,751 51,084 78,200
EXPENDITURE DETAIL 266-486-
5504 Projects - -
TOTAL EXPENDITURES - - - -
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 4,751 55,835
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 4,751 55,835 134,035
CITY OF SAN BERNARDINO
Aquatics Facilities Fee FUND 267
This fund accounts for the Aquatics Facilities impact fee imposed on new residential development to finance additions to
community's aquatic facilities described or identified in the Aquatic Center Facilities section of the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 267-000-
4505 Interest on Idle Cash 25 250 500
4824 Impact Fee 1,911 19,569 25,500
TOTAL REVENUE - 1,936 19,819 26,000
EXPENDITURE DETAIL 267-487-
5504 Projects - -
TOTAL EXPENDITURES - - - -
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 1,936 21,755
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 1,936 21,755 47,755
CITY OF SAN BERNARDINO
AB 1600 Parkland and Open Space Acquisition and Park Improvement Fee FUND 268
This fund accounts for the AB 1600 Parkland and Open Space Acquisition and Park Improvement impact fee imposed on
new residential developement to finance the park and open space facilities described or identified in the Parkland and Open
Space Improvement section of the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 268-000-
4505 Interest on Idle Cash 304 3,500 5,000
4824 Impact Fee 23,408 381,692 592,400
TOTAL REVENUE - 23,712 385,192 597,400
EXPENDITURE DETAIL 268-488-
5504 Projects 10,690 888,000
TOTAL EXPENDITURES - - 10,690 888,000
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 23,712 398,214
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 23,712 398,214 107,614
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 268:AB2928 PARKLAND AND OPEN SPACE IMPROVEMENT FEE
Expenditures
Projects:268-488-5504
Continuing Projects
7341 Verdemont Master Park/Trail Plan(Design) (PR04-11) $ 10,000
7743 Select& Design Community Center-Verdemont(PR04-28) 25,000
7742 Recreation,Trail&Open Space Master Plan (PR07-01) 200,000
7744 Little Mountain Trail (PR07-13) 70,000
7499 Electric Ave Greenbelt/Historical Site(PR05-07) 125,000
430,000
Proposed New Projects
7341 Verdemont Master Park/Trail Plan(Design)(PR04-11) 90,000
7743 Select&Design Community Center-Verdemont(PR04-28) 138,000
Install Picnic Shelters @ Minor&Reagan Parks(PR08-02) 230,000
458,000
Total 888,000
CITY OF SAN BERNARDINO
Quimby Act Parkland and Open Space Acquisition and Park Improvement Fee FUND 269
This fund accounts for the Quimby Act Parkland and Open Space Acquisition and Park Improvement impact fee imposed on
new residential developement to finance the park and open space facilities described or identified in the Parkland and Open
Space Improvement section of the Master Facility Plan.
2004-05 2005-06 2006-07 2007-08
ACTUAL ACTUAL ESTIMATE PROPOSED
REVENUE DETAIL 269-000-
4505 Interest on Idle Cash 152 600 1,000
4824 Impact Fee 11,704 52,668 45,000
TOTAL REVENUE - 11,856 53,268 46,000
EXPENDITURE DETAIL 269-489-
5504 Projects - 50,000
TOTAL EXPENDITURES - - - 50,000
OTHER FINANCING SOURCES(USES)
6450 Transfers In
7451 Transfers Out
TOTAL OTHER FINANCING SOURCES(USES) - - - -
AVAILABLE BEGINNING FUND BALANCE(DEFICIT) - - 11,856 65,124
AVAILABLE ENDING FUND BALANCE(DEFICIT) - 11,856 65,124 61,124
CITY OF SAN BERNARDINO
BUDGET-JUSTIFICATION
FY 2007-08
FUND 269: QUIMBY ACT PARKLAND AND OPEN SPACE ACQUISTION AND PARK IMPROVEMENT FEE
Expenditures
269-489-5504
Proposed New Projects
Verdemont Regional Park(PR04-27) $ 50,000
50,000
Total $ 50,000