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CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION
From: BARBARA PACHON Subject: FY 1996/97 CONTINUING APPROPRIATIONS
DIRECTOR OF FINANCE AND ENCUMBRANCE CARRYOVERS
Dept: FINANCE DEPARTMENT r
Date: October 23, 1997 ORXINAI
Synopsis of Previous Council action:
Annual approval of carryovers from prior year's budget to current budget.
Recommended motion:
That the attached report of proposed FY 1996/97 Continuing Appropriation and Encumbrance
carryovers as submitted by the Director of Finance be approved.
Signature
Contact person: Barbara Pachon, Director of Finance Phone: x - 5242
Supporting data attached: Staff retort Ward:
FUNDING REQUIREMENTS: Amount:
Source:
Finance:
Council Notes:
Agenda Item No.
STAFF REPORT
INTRODUCTION
The purpose of this report is to submit for approval to Council the attached list of FY 1996-97
Continuing Appropriations and Encumbrances to carryover into FY 1997-98. The items listed
on the Continuing Appropriations and Encumbrances report were not actually expended during
FY 1996-97; therefore, the funds remain available but cannot be expended until they are moved
into the new fiscal year. Since the City receives and pays FY 1996-97 invoices through
September, the carryover report could not be prepared during the FY 1997-98 budget process.
Combined, total Continuing Appropriation and Encumbrance carryovers are approximately
$100,000 less than the previous year's amount.
BACKGROUND
Encumbrance Carryovers - An item is placed on the Encumbrance report if a purchase order
and/or contract has been issued to a specific vendor for the item. Usually, items on the
Encumbrance report are on back-order, or the service has been received but the department has
not submitted final approval to Finance for payment.
Continuing Appropriations - Typically, items are placed on the continuing appropriations list
when a purchase order or contract has not yet been issued, or the project covers multiple fiscal
years. (Purchase orders and contracts are only issued after the appropriate vendor has been
identified and the department is ready to begin the project.) When Council originally gives
approval for a project, all funds are budgeted; however the timeframe to complete the project
may extend into the next fiscal year so the remaining budgeted funds need to be carried over.
Funds requested for carryover are typically used for the same purpose as originally budgeted.
In order to meet specific departmental needs, some departments have requested to use carryover
funds for purposes different than originally budgeted, for example:
Public Works realized a savings in various maintenance and operation accounts (both
General Fund and AD994) and has requested to utilize these funds for the purchase of
800mhz radios.
The City Clerk's Office has requested that savings in election costs be utilized primarily
for the purchase of conference room chairs, a docking station for Council chambers
laptop computer, and staff training.
The City Attorney's Office realized savings in litigation expenses and professional
services. Use of these funds has been requested primarily for the purchase and
maintenance of a fax machine.
The amount of the vehicle replacement continuing appropriation has decreased significantly over
the previous year's amount(36% decrease). Of the $291,900 requested for carryover, $164,800
is for Non-General Fund departments. Approximately fifty-nine percent of the Non-General
Fund vehicle replacement carryover is for purchase of vehicles for the Sewer Fund.
page 1 of 2
FY97 to FY98 Carryovers
page 2 of 2
Approximately 38% of the General Fund portion of the vehicle replacement continuing
appropriation is for Facilities Management purchases. Facilities had originally planned to
expend these funds for the purchase of (3) three vehicles in March of last fiscal year. During
the same period of time however, reductions in staff and programs for the following fiscal year
were being considered that could impact the quantity and type of vehicles needed.
Consequently, the Council tabled the purchase of vehicles for Facilities Management, along with
vehicle purchases for Public Works, at the April 7, 1997 Council meeting.
Facilities Management has reviewed their vehicle needs in light of the reductions made during
the FY 1997-98 budget process and plans to use their carryover funds this fiscal year to replace
two vehicles: a 1983 compact vehicle, and a 1979 pick-up truck, both with extremely high
maintenance and operation costs due to age and wear and tear. The remaining General Fund
carryover amount consists mainly of balances for individual departments that are not sufficient
to pay for the cost of a vehicle. Departments pay annually into the vehicle replacement fund
4 until sufficient funding has been accumulated to purchase a vehicle(s). Smaller departments,
depending on the size of their contribution, may have to contribute over a longer period of time
before sufficient funding has been accumulated.
Consistent with last year's practice, estimates for capital project carryovers were included and
adopted in the FY 1997-98 budget. Although some of the final capital projects carryovers could
vary slightly from the estimates provided in the FY 1997-98 budget, they have not been listed
on this report. If the Council would like this information, a final list of adjustments to the
estimates can be provided.
RECOMMENDATION
That the attached listing of FY 1996-1997 Continuing Appropriations and Encumbrances be
approved.
ice•
City of San Bernardino
FY 97 TO FY 98 CONTINUING APPROPRIATIONS
Department Account# Description Amount
Mayor's Office 001-012-5133 Affirmative Action-ADA meeting 1,000
City Clerk 001-031-5702 Computer equipment 900
City Clerk 001-031-5133 Education &training 1,900
City Clerk 001-031-5704 Chairs -conf. rm/docking station for Council chb. laptop 3,500
11 City Attorney 001-051-5704 Office shelving; fax machine 5,700
fl
Facilities Management 001-322-5606 Electric-ENVEST payment 11,700
Parks & Recreation 001-381-5193 Grant-match carryover 82,800
Parks & Recreation 001-382-5506 Landscape Contracts 22,800
Public Services 001-406-5505 Contractual-sidewalk repairs-to be used w/CDBG funds 24,000
Public Works 001-304-5703 Communications equipment-800mhz radios 1,100
Public Works 001-301-5703 Communications equipment-800mhz radios 1,500
Public Works 001-308-5703 Communications equipment-800mhz radios 7,400
GENERAL FUND 164,300
Fleet 635-341-5701 Vehicle replacement carryover 291,900
Fleet 635-341-5704 Miscellaneous equipment-vehicle hoist 40,000
Fleet
FLEET FUND 331,900
Refuse 527-413-5502 Contractual-City Yard soil clean-up 123,000
Refuse 527-412-5502 Contractual-City Yard soil clean-up/Waterman LF engin. 166,000
Refuse 527-415-5505 Contractual-Refuse appraisal 22,800
REFUSE FUND 311,800
AD 994 257-604-5703 Communications Equipment-800mhz radios 5,500
AD 994 257-601-5703 Communications Equipment-800mhz radios 20,000
AD 994 FUND 25,500
Storm Drain Const. 248-368-5504 Storm drain construction (project#7022 21" Street) 19,800
STORM DRAIN FUND 19,800
TOTAL CONTINUING APPROPRIATIONS ALL FUNDS 853,300
City of San Bernardino
FY 97 TO FY 98 ENCUMBRANCE CARRYOVERS
Department Account# Description Amount
Code 001-071-5505 Demolition 2,200
'I Code 001-071-5111 Materials & Supplies-chairs 500
Code 001-073-5505 Demolitions, asbestos survey (EDA reimbursable) 52,600
Code 001-073-5174 Printing-forms 2,300
Facilities Management 001-322-5507 Carousel Mall-contractual services-glass repair 2,500
Facilities Management 001-325-5111 Materials & supplies-compressor parts,light covers 13,700
Facilities Management 001-322-5706 Carpet in City Clerk, Personnel, Civil Service, &Admin 18,300
Facilities Management 001-321-5702 Computer equipment-Parking Control software 2,100
Fire 001-203-5505 Contractual services-office remodel 2,000
General Government 001-092-5702 Computer equipment-Sierra, CCS, Imaging 110,600
Finance 001-121-5702 Computer equipment-Scanning & Imaging 1,200
Parks & Recreation 001-382-5111 Materials & supplies-padlocks, hydroscape materials 2,200
Planning 001-173-5704 Miscellaneous equipment-fax machine 500
Planning 001-174-5111 Materials & supplies (Building Services) 300
Planning 001-173-5111 Materials & supplies (Plan ning-Admin) 200
Police 001-213-5112 Patrol-small tools & equipment-gun locks 1,000
Police 001-216-5111 MET-materials &supplies-ballistic helmit refits 1,100
Police 001-216-5704 MET-miscellaneous equipment-rifles 18,400
Police 001-216-5112 MET-small tools & equipment-rifle laser lights 1,500
Police 001-217-5701 Traffic-motorcycles 16,100
Police 001-218-5702 Investigations-computer software 400
Police 001-221-5112 Dispatch-small tools &equipment-headsets 1,500
Public Works 001-305-5702 Public Works-traffic computer software 1,600
Public Works 001-302-5952 Construction-EDA billable(proj. #1408 & 1332) 8,000
GENERAL FUND 260,800
Parking District 110-352-5704 Downtown Parking District-Bike for parking control 700
Parking District 110-352-5111 Downtown Parking District-Printing of parking citations 900
DOWNTOWN PARKING DISTRICT FUND 1,600
Asset Forfeiture 108-271-5505 Contractual services-phone/mail survey development 3,500
Asset Forfeiture 108-271-5702 Computer software-for crime analysis 400
ASSET FORFEITURE FUND 3,900
Fleet 635-341-5701 Motor vehicles-Animal Control, Police, & Public Works 180,600
Fleet 635-341-5111 Materials &supplies 15 overhead doors for Central Garage 15,000
FLEET FUND 195,600
MIS 679-251-5133 DEC Unix utilites 1,000
MIS 679-251-5702 Computer equipment-imaging 9,100
MIS 679-251-5507 Completion of upgrade to P.D. "B" building 9,000
M.I.S. FUND 19,100
City of San Bernardino
FY 97 TO FY 98 ENCUMBRANCE CARRYOVERS
Refuse 527-412-5702 800 mhz radios 5,000
Refuse 527-413-5704 800 mhz radios 12,400
Refuse 527-415-5502 MRF/TS study 62,900
REFUSE FUND 80,300
Sewer Line Maint. 132-431-5704 Jet rodder sewer truck 117,400
SEWER FUND 117,400
AD 994 257-601-5111 Street light parts 2,600
AD 994 257-602-5703 800mhz radios 7,000
AD 994 257-604-5111 Traffic light parts 21,900
AD 994 FUND 31,500
Traffic Syst. Fund 250-370-5504 Traffic System construction 3,700
TRAFFIC SYSTEM FUND 3,700
TOTAL ENCUMBRANCE CARRYOVERS ALL FUNDS 713,900
CITY OF SAN BERNARDINO
INTEROFFICE MEMORANDUM
CITY CLERK'S OFFICE
RECORDS & INFORMATION MANAGEMENT (RIM) PROGRAM
DATE: October 2, 1998
TO: All Clients
FROM: City Clerk's Office
RE: SCANNING DOCUMENT PROBLEM NOTICE
MAYOR AND COMMON COUNCIL
MEETING DATE: November 3, 1997
ITEM #: #28
DESCRIPTION: Authorize FY 1996/1997 Continuing Appropriations and Encumbrance Carryovers.
ACTION: That the report of proposed FY 1996/1997 Continuing Appropriation and Encumbrance Carryovers as
submitted by the Director of Finance, be approved.
NOTICE OF:
Missing Document.
Exhibit/Attachment.
Public Works/Engineering Bound Contract.
Staff Report.
Bad Ouality Original.
X - Document.
Map.
Hand Written Original.
Ordinance - Legal Advertisement Proof of Publication Bad Quality.
Ordinance - No Staff Report.
Missing Signature -
FOR ASSISTANCE: Should you have any questions on this matter, please do not hesitate to contact either the records
management staff or the Administrative Operations Supervisor at (909) 384-5002.
Rachel Clark
City Clerk
RC:mam