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HomeMy WebLinkAbout03- Economic Development ECONOMIC DEVELOPMENT AGENCY OF THE CITY OF SAN BERNARDINO FROM: Gary Van Osdel, SUBJECT: ECONOMIC DEVELOPMENT Executive Director AGENCY FISCAL YEAR 1999-2000 BUDGET DATE: June 9, 1999 Synopsis of Previous Commission/Council/Committee Action(s): c c None -- c - ;v — co z! Recommended Motion(s): (Community Development Commission) MOTION: That the Community Development Commission adopt the Economic Development Agency's Fiscal Year 1999-2000 Budget. Contact Person(s): Gary Van Osdel/ Barbara Lindseth Phone: 5081 Project Area(s) All Ward(s): All Supporting Data Attached: ❑O Staff Report❑ Resolution(s) ❑ Agreement(s)/Contract(s) ❑ Map(s) ❑ Letter/Memo FUNDING REQUIREMENTS Amount: S 43,030,420 Source: All Budget Authority: Requested j SIGNATURE: yA Gary V sde , Executive D' ector Baz ara Lindseth, Director Ecop6mic Development A ncy Administrative Services Commission/Council Notes: -------------------------------------------------------------------------------------------------------------------------------------------- GVO:BJL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: -3 ECONOMIC DEVELOPMENT AGENCY STAFF REPORT --------------------------------------------------------------------------------------------------------------------- Economic Development Agency Fiscal Year 1999-2000 Budget The Economic Development Agency's proposed budget for fiscal year 1999-2000 is based upon projected revenues totaling $43,030,420. Of this total, $ 25,316,781 is anticipated project area tax increment, $2,934,871 is anticipated project area 20% set-aside (low-mod housing fund), $9,734,000 is Community Development Block Grant funds, $3,373,000 is HOME funds, $168,000 is Emergency Shelter grant funds and $1,503,768 will come from Agency reserves. Ninety-one percent (91%) of the proposed budget encompasses required expenditures based on previous actions of the City Council and /or Community Development Commission concerning Agency bond payments, contracts, agreements, projects and programs. Thus, only nine percent (9 %) of the Agency's proposed budget or $3,860,870 is discretionary and therefore available for Agency staffing, administration/operations and City budget requirements. The $3,860,870 discretionary budget amount referenced above includes $1,891,785 for Agency staffing and direct administration/operations costs, $769,860 in Agency costs associated with legal and consultant services, property maintenance/management and marketing, and $1,199,225 for City master service agreements/obligations. The $1,891,785 for Agency staffing et al, represents a $420,000 cut (18%) from the current fiscal year and is a result of the elimination from the budget of a Typist Clerk III, a Senior Account Clerk and a Development Specialist, plus reductions in travel, training, office supplies, printing, postage, telephone, liability insurance, utilities and equipment. In addition, reductions of $140,000 in marketing and legal are also proposed and the amount for City master service agreements/obligations reflects a $600,000 decrease. At a budget workshop on February 18, 1999, Agency staff presented to the Commission a tax increment/bond proceeds cash flow analysis wherein the estimated deficit for fiscal year 1999- 2000 was projected at $2,940,845. However, pursuant to the "compromise agreement" reached with the City and the resultant $600,000 reduction in City master service agreements/operations, together with Agency cost reductions totaling $837,077 the projected deficit has been reduced to $1,503,768. If the provisions of this same compromise agreement are carried out again next year and the year thereafter, the Agency can anticipate a deficit of less than $740,000 for fiscal .year 2000-2001 and positive tax increment cash flow for fiscal year 2001-2002. Based upon the foregoing, it is recommended that the Community Development Commission adopt the Agency's fiscal year 1999-2000 budget. Resolutions will be forthcoming for adoption at a fqLo Commis 'on meeting to reflect the changes in Agency staffing and to update the Ag s job de ptions ry Van Osdel, Executive Director -------------------------------------------------------------------------------------------------------------------------------------------- GVO:BJL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: _t ECONOMIC DEVELOPMENT AGENCY OF THE CITY OF SAN BERNARDINO FROM: Gary Van Osdel, SUBJECT: ECONOMIC DEVELOPMENT Executive Director AGENCY FISCAL YEAR 1999-2000 BUDGET DATE: June 9, 1999 T _ Synopsis of Previous Commission/Council/Committee Action(s): _ G None — 0 v - co - co z- Recommended Motion(s): (Community Development Commission) MOTION: That the Community Development Commission adopt the Economic Development Agency's Fiscal Year 1999-2000 Budget. Contact Person(s): Gary Van Osdel/ Barbara Lindseth Phone: 5081 Project Area(s) All Ward(s): All Supporting Data Attached: ❑O Staff Report❑ Resolution(s) ❑Agreement(s)/Contract(s) ❑ Map(s)❑ Letter/Memo FUNDING REQUIREMENTS Amount: $ 43,030,420 Source: All Budget Authority: Requested SIGNATURE: Z. Garry V 01 del, Executive D' ector B tbara Lindseth, Director Ecop6mic Development A ncy Administrative Services Commission/Council Notes: -------------------------------------------------------------------------------------------------------------------------------------------- GVO:BJL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: _,� ECONOMIC DEVELOPMENT AGENCY STAFF REPORT --------------------------------------------------------------------------------------------------------------------- Economic Development Agency Fiscal Year 1999-2000 Budget The Economic Development Agency's proposed budget for fiscal year 1999-2000 is based upon projected revenues totaling $43,030,420. Of this total, $ 25,316,781 is anticipated project area tax increment, $2,934,871 is anticipated project area 20% set-aside (low-mod housing fund), $9,734,000 is Community Development Block Grant funds, $3,373,000 is HOME funds, $168,000 is Emergency Shelter grant funds and $1,503,768 will come from Agency reserves. Ninety-one percent (91%) of the proposed budget encompasses required expenditures based on previous actions of the City Council and /or Community Development Commission concerning Agency bond payments, contracts, agreements, projects and programs. Thus, only nine percent (9 %) of the Agency's proposed budget or $3,860,870 is discretionary and therefore available for Agency staffing, administration/operations and City budget requirements. The $3,860,870 discretionary budget amount referenced above includes $1,891,785 for Agency staffing and direct administration/operations costs, $769,860 in Agency costs associated with legal and consultant services, property maintenance/management and marketing, and $1,199,225 for City master service agreements/obligations. The $1,891,785 for Agency staffing et al, represents a $420,000 cut (18%) from the current fiscal year and is a result of the elimination from the budget of a Typist Clerk I1I, a Senior Account Clerk and a Development Specialist, plus reductions in travel, training, office supplies, printing, postage, telephone, liability insurance, utilities and equipment. In addition, reductions of $140,000 in marketing and legal are also proposed and the amount for City master service agreements/obligations reflects a $600,000 decrease. At a budget workshop on February 18, 1999, Agency staff presented to the Commission a tax increment/bond proceeds cash flow analysis wherein the estimated deficit for fiscal year 1999- 2000 was projected at $2,940,845. However, pursuant to the "compromise agreement" reached with the City and the resultant $600,000 reduction in City master service agreements/operations, together with Agency cost reductions totaling $837,077 the projected deficit has been reduced to $1,503,768. If the provisions of this same compromise agreement are carved out again next year and the year thereafter, the Agency can anticipate a deficit of less than $740,000 for fiscal year 2000-2001 and positive tax increment cash flow for fiscal year 2001-2002. Based upon the foregoing, it is recommended that the Community Development Commission adopt the Agency's fiscal year 1999-2000 budget. Resolutions will be forthcoming for adoption at a foo Commis lon meeting to reflect the changes in Agency staffing and to update the Ag s job de ptions ry Van Osdel, Executive Director -------------------------------------------------------------------------------------------------------------------------------------------- GVO:BJL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: r Economic Development Agency A of the City of San Bernardino Tax Increment Projections For the Fiscal Year 1999-2000 As of January 1, 1999 Projected Tax Increment: $15,650,000 Expenditures: 20% Set-aside $2,666,871 Bond Payments 10,907,300 Bond Fees 90,000 Sumitomo 800,000 County Charges 53,200 Pass-Through 443,824 Sub-total Exp 14,961,195 Amt Avail Prior to Other Obligations: 688,805 Other Redevelopment Revenue Per Yr• Int Earned 250,000 Notes Rec 459,611 Rental/Lease Rev 531,496 Mall Sec Income 48,000 Est Avail 1,977,912 Other Redevelopment Obligations Per Yr: Salaries/Benefits 450,000 Agency Operations 662,000 Contracts/Agree 575,932 MSA/City Expenses 1,799,225 Prop Manage/Maint 641,000 Marketing/Special Events 254,000 Legal 443,600 Consulting 68,000 PAC 25,000 Est Expenses 4,918,757 Est Balance (2,940,845) Bond Proceeds Needed $1,112,000 Tax Increment Needed 1,828,845 - 1 - r Economic Development Agency Tax Increment Projections As of January 1, 1999 Based upon the estimated deficit of $2,940,845 Est Invest Funds 6-30-99: Bond Proceeds $3,312,390 Tax Increment 3.442 808 6,755,198 Est Invest Funds 6-30-2000: 3,814,353 Est Invest Funds 6-30-2001: 873,508 Will need approximately $7,500,000 in invested funds until receipt of taxes in December. 2536A 2 - Economic Development Agency 1 of the City of San Bernardino Tax Increment Projections For the Fiscal Year 1999-2000 As of January 1, 1999 Projected Tax Increment: $15,650,000 Expenditures: 20% Set-aside $2,666,871 Bond Payments 10,907,300 Bond Fees 90,000 Sumitomo 800,000 County Charges 53,200 Pass-Through 443,824 Sub-total Exp 14,961,195 Amt Avail Prior to Other Obligations: 688,805 Other Redevelopment Revenue Per Yr• Int Earned 250,000 Notes Rec 459,611 Rental/Lease Rev 531,496 Mall Sec Income 48.000 Est Avail 1,977,912 Other Redevelopment Obligations Per Yr: Salaries/Benefits 450,000 Agency Operations 662,000 Contracts/Agree 575,932 MSA/City Expenses 1,799,225 Prop Manage/Maint 641,000 Marketing/Special Events 254,000 Legal 443,600 Consulting 68,000 PAC 25.000. Est Expenses 4,918,757 Est Balance (2940.845) Bond Proceeds Needed $1,112,0001 . Tax Increment Needed 1,828,845 -ritered into Record at 614, �y 1.:w.,: uCmV0PVCmSMtg: F 4weno2 Item 3 _ City Clerks(;PC feet City of Sir, r, .loo, iinu '1 '1 Economic Development Agency Tax Increment Projections As of January 1, 1999 Based upon the estimated deficit of $2,940,845 Est Invest Funds 6-30-99: Bond Proceeds $3,312,390 Tax Increment 3.442,808 6,755,198 Est Invest Funds 6-30-2000: 3,814,353 Est Invest Funds 6-30-2001: 873,508 Will need approximately $7,500,000 in invested funds until receipt of taxes in December. 2536A 2 - s s dv h co 1V oo O 0 M o C�oO n W O Irnrn n O O O v oo oO N oo] V lN n n tN oo O o n oM V v 0�oo- N rn N o co V V (D N n cOo O n c O N t✓k c m N f(.n D 0- n NU .-N C y _ c U U Z — = O O w L, o O O d ` O O O t d 9 r (Op M H 0 L m N 3 w M th OOOOOq����� E O O O O O O O O W O V' O OD O O O (O (ay n N O M IO M U Z O 7 W C E C F c a Q w ° w m m . CL n °o oo °o °o m °o rn o0 Oy '0 c m on oo �n vcO 1n o J .,.. v oco o0o rn10 v a � W > O N r U m � Z « m Z `o > O m U W y LL E C O' N O . O O O O n D co O O O O m O O O N O O N n n V'T V r O> M O O n (P V th r O W V �O C (O O O O n N(D O 0 N O C O M n LL'J M N <O Itl O d cl (O N N O N N C V E n y O N n c cc Z E Z w E U � o N > m w y 1° c N m a = o E 3 uim UU m > .'. m nnQ00i m v v5 00 m d cn c c o a d J 6 m m `oF= 0 ,O � w y ,yaw 0 c a`' � w m w (U a a m C Y 'O xa— w ? u") Q 'y `? O w In > c o o m A a E c w p1 c o o E � a N m m 10 � C� lLiD IO win ¢ � mo � � c) a` a` °¢ inm0- F-- I° ECONOMIC DEVELOPMENT AGENCY of the City of San Bernardino Existing Obligations, Projects and Programs Bond Payments 13,532,300 Trustee 181,500 County Assessor 53,200 Pass-through Agreements 454,699 Low-moderate set-aside Projects/Programs 2,366,090 CDBG Projects/Programs 9,086,000 HOME Projects/Programs 3,213,000 ESG Projects/Programs 168,000 TI Contracts/Agree/Projects/Programs 6,749,993 Property Operations/Maintenance 544.800 Sub-total 36,349,582 Transfers/Low-moderate set-aside 1819.968 Total 39.169.550 Percentage of Total Budget 91% B ECONOMIC DEVELOPMENT AGENCY of the City of San Bernardino Discretionary Expenditures Agency Salaries/Benefits 1,467,875 Agency Operations/Administration 275,770 Marketing 53,000 Marketing Special Events 111,000 Legal 400,000 Consulting -General 48,000 Property Operation/Maintenance 306,000 City MSA/Obligations 1.199.225 Total 3.860.870 Percentage of Total Budget 9% C Economic Development Agency of the City of San Bernardino 1999-2000 Cash Flow Analysis Tax Increment/Bond Proceeds 2118/99 1999-2000 Workshop Current Projected Tax Increment: 15,650,000 15,728,000 Expenditures: 20% Set-aside 2,666,871 2,666,271 Bond Payments 10,907,300 10,907,300 Band Fees 90,000 90,000 Sumitomo Credit Lines 800,000 800,000 County Charges 53,200 53,200 Pass-through Agreements 443.824 454,699 Total Expenditures 14,961,195 14,971,470 Amount Available Prior to Other Obligations: 688,805 756,530 Other Redevelopment Revenues: Interest Earned 250,000 574,000 Notes/Int Receivable 459,611 673,034 Rental/Lease Revenue 531,496 532,996 Mall Security Income 48,000 40,000 Miscellaneous Q 110,000 Total Estimated Available: 1,977,912 2,686,560 Other Redevelopment Obligations: Salaries/Benefits 450,000 307,875 Agency Operations/Admin 547,000 332,729 Contracts/Agreements 1,019,532 1,434,099 MSA/City Expenses 1,799,225 1,199,225 Property Manage/Maint 756,000 699,400 Marketing/Special Events 254,000 164,000 Consulting 68,000 . 28,000 NW PAC 25,000 25 000 Total Expenses 4,918,757 4,190,328 Balance Available -2,940,845 -1,503,768 D n Economic Development Agency of the City of San Bernardino Changes in Line Items from February 18, 1999 Revenues: Increases: Net Tax Increment 67,725 Interest Earned 324,000 Notes/Int Receivable 213,423 Rental/Lease Revenue 1,500 Micellaneous 110,000 Reductions: Mall Security Income -8.000 Net Income Increase 708.648 Expenditures: Increases: Contracts/Agreements 464,567 Reductions: Salaries/Benefits -142,125 Agency Operations/Admin -214,271 Contract/Agree- Legal -50,000 MSA/City Expenses -600,000 Property Manage/Maint -56,600 Marketing/Special Events -90,000 Consultant- Lobbyist/General -40.000 Net Expenditure Reductions -728.429 Net Budget Reduction -1.437.077 Budget Deficit 2-28-99 -2,940,845 Less: Net Budget Reduction 1.437.077 Deficit FY 1999-2000 -1.503.768 E Economic Development Agency of the City of san Bernardino Three Year Projection Tax Increment/Bond Proceeds FY 99-00 FY 00-01 FY 01-02 Projected Tax Increment: 15,728,000 15,728,000 15,728,000 Expenditures: 20% Set-aside 2,666,271 2,666,271 2,666,271 Bond Payments 10,907,300 10,907,300 10,907,300 Bond Fees 90,000 90,000 90,000 Sumitomo Credit Line 800,000 800,000 800,000 County Charges 53,200 53,200 53,200 Pass-through Agreements 454.699 454.699 454.699 Total Expenses 14,971,470 14,971,470 14,971,470 Amount Available Prior to Other Obligations: 756,530 756,530 756,530 Other Redevelopment Revenues: Interest Earned 574,000 574,000 574,000 Notes/Int Receivable 673,034 568,786 432,028 Rental/Lease Revenue 532,996 682,996 832,996 Mall Security Income 40,000 0 0 Miscellaneous 110,000 110.000 110.000 Total Estimated Available: 2,686,560 2,692,312 2,705,554 Other Redevelopment Obligations: Salaries/Benefits 307,875 307,875 307,875 Agency Operations/Admin 332,729 332,720 332,729 Contracts/Agreements 1,434,099 1,276,099 1,096,099 MSA/City Expenses 1,199,225 599,225 0 Property Manage/Maint 699,400 699,400 699,400 Marketing/Spec Events 164,000 164,000 164,000 Consultants 28,000 28,000 28,000 NW PAC 25,000 25.000 25.000 Total Expenses 4,190,328 3,432,319 2,653,103 Balance Available -1.503.768 _740.007 52.451 F U) 001 O 0 O 0 O O O O O O M O O O O V N 1W�� O O O N n r M O V V O O O O N O O tq O M M Ip V O O V O ((fN�O M V (0 (p C O fffyyy N fo O O O O 0 U. M N O O (D 00 0 00 CD O EO V O co O O O (O _I y of pi U ,d W c W C a E c F C C Q W d W o M I'-- d n o 000 (Dorn o M m c a! on oo (n Vi (D O m w " (fin °orn oo ° (on °' � OV °m rn v v ro W O U m .O.( � � A Z p } O A U a d W LL E '7 4 G N N C' 0O 1 O O O O O (I�A m O O O OW W(MI,rn O 0 O 0 O O IN N n O O 0 O�N O V O M O O O O N > r M O O r rn � M 1� O N V (A (O O O O (O O M N L O O O M V .-- 1� N M N (O (A O y N (6 - (O N r R' N U d C O (� h e 2 E c w E U o (� m `umi : c m c rn m a o E 10 3 ' c m m � U N an d d C c 0 `� W Q rn 0 J O O. W N w ti d m 'a .g xx W y m d � Q 'n — "" "" W n c c m O N w c m O x m v 8 o W aO1i Q o 'o � a? 0 = w N m C W U( LL 'JH F- W U) < MFJUddQ <n 2doFF I- ECONOMIC DEVELOPMENT AGENCY of the City of San Bernardino Existing Obligations, Projects and Programs Bond Payments 13,532,300 Trustee 181,500 County Assessor 53,200 Pass-through Agreements 454,699 Low-moderate set-aside Projects/Programs 2,366,090 CDBG Projects/Programs 9,086,000 HOME Projects/Programs 3,213,000 ESG Projects/Programs 168,000 TI Contracts/Agree/Projects/Programs 6,749,993 Property Operations/Maintenance 544.800 Sub-total 36,349,582 Transfers/Low-moderate set-aside 2.819.968 Total 39.169.550 Percentage of Total Budget 91% B ECONOMIC DEVELOPMENT AGENCY of the City of San Bernardino Discretionary Expenditures Agency Salaries/Benefits 1,467,875 Agency Operations/Administration 275,770 Marketing 53,000 Marketing Special Events 111,000 Legal 400,000 Consulting -General 48,000 Property Operation/Maintenance 306,000 City MSA/Obligations 1.199.225 Total 3.860.870 Percentage of Total Budget 9% C Economic Development Agency of the City of San Bernardino 1999-2000 Cash Flow Analysis Tax IncrementlBond Proceeds 2/18/99 1999-2000 Workshop Current Projected Tax Increment: 15,650,000 15,728,000 Expenditures: 20% Set-aside 2,666,871 2,666,271 Bond Payments 10,907,300 10,907,300 Bond Fees 90,000 90,000 Sumitomo Credit Lines 800,000 800,000 County Charges 53,200 53,200 Pass-through Agreements 443,824 454.699 Total Expenditures 14,961,195 14,971,470 Amount Available Prior to Other Obligations: 688,805 756,530 Other Redevelopment Revenues: Interest Earned 250,000 574,000 Notes/Int Receivable 459,611 673,034 Rental/Lease Revenue 531,496 532,996 Mall Security Income 48,000 40,000 Miscellaneous 4 110.000 Total Estimated Available: 1,977,912 2,686,560 Other Redevelopment Obligations: Salaries/Benefits 450,000 307,875 Agency Operations/Admin 547,000 332,729 Contracts/Agreements 1,019,532 1,434,099 MSA/City Expenses 1,799,225 1,199,225 Property Manage/Maint 756,000 699,400 Marketing/Special Events 254,000 164,000 Consulting 68,000 28,000 NW PAC 25,000 25.000 Total Expenses 4,918,757 4,190,328 Balance Available -2.940.845 -1.503.768 D \ Economic Development Agency of the City of San Bernardino Changes in Line Items from February 18, 1999 Revenues• Increases: Net Tax Increment 67,725 Interest Earned 324,000 Notes/Int Receivable 213,423 Rental/Lease Revenue 1,500 Micellaneous 110,000 Reductions: Mall Security Income -8.000 Net Income Increase 708.648 Expenditures: Increases: Contracts/Agreements 464,567 Reductions: Salaries/Benefits -142,125 Agency Operations/Admin -214,271 Contract/Agree - Legal -50,000 MSA/City Expenses -600,000 Property Manage/Maint -56,600 Marketing/Special Events -90,000 Consultant- Lobbyist/General -40.000 Net Expenditure Reductions -728.429 Net Budget Reduction -1.437.077 Budget Deficit 2-28-99 -2,940,845 Less: Net Budget Reduction 1.437.077 Deficit FY 1999-2000 -1 503.768 E Economic Development Agency of the City of san Bernardino Three Year Projection Tax Increment/Bond Proceeds FY 99-00 FY 00-01 FY 01-02 Projected Tax Increment: 15,728,000 15,728,000 15,728,000 Expenditures: 20% Set-aside 2,666,271 2,666,271 2,666,271 Bond Payments 10,907,300 10,907,300 10,907,300 Bond Fees 90,000 90,000 90,000 Sumitomo Credit Line 800,000 800,000 800,000 County Charges 53,200 53,200 53,200 Pass-through Agreements 454,699 454699 454.699 Total Expenses 14,971,470 14,971,470 14,971,470 Amount Available Prior to Other Obligations: 756,530 756,530 756,530 Other Redevelopment Revenues: Interest Earned 574,000 574,000 574,000 Notesllnt Receivable 673,034 568,786 432,028 Rental/Lease Revenue 532,996 682,996 832,996 Mall Security Income 40,000 0 0 Miscellaneous 110.000 114,044 110.000 Total Estimated Available: 2,686,560 2,692,312 2,705,554 Other Redevelopment Obligations: Salaries/Benefits 307,875 307,875 307,875 Agency Operations/Admin 332,729 332,720 332,729 Contracts/Agreements 1,434,099 1,276,099 1,096,099 MSA/City Expenses 1,199,225 599,225 0 Property Manage/Maint 699,400 699,400 699,400 Marketing/Spec Events 164,000 164,000 164,000 Consultants 28,000 28,000 28,000 NW PAC 25.440 25,000 25,000 Total Expenses 4,190,328 3,432,319 2,653,103 Balance Available -1.503.768 -740,007 52,451 F I ' City of San Bernardino ECONOMIC DEVELOPMENT AGENCY MEMORANDUM TO: Lori Sassoon Assistant to the City Administrator FROM: Gary Van Osdel Executive Director SUBJECT: ALLOCATION OF BOND PROCEEDS FOR THE DEPOT DISTRICT DATE: February 15, 1999 COPIES: Mayor Valles; Fred Wilson; Barbara Pachon; Barbara Lindseth I have received your memorandum of February 10, 1999 and I understand your concerns. However, when on June 4, 1996, the Community Development Commission, at a bond proceeds priorities workshop, set-aside a total of$500,000 for capital improvements to Third Street, the Agency had just issued bonds in late 1995, and the Agency had approximately $49,000,000 in invested funds. Now, the Agency is experiencing a yearly deficit and a cash flow problem whereby the Agency must reserve enough cash for the semi-annual bond payments. The $492,000 in the Agency's 1998-99 budget for the Third Street improvements is shown only as an unspent item remaining from that June 4, 1996 workshop meeting. At this time, it is my recommendation that the Agency-must retain the $492,000 both for cash flow purposes and to offset Agency operations. If you have any questions, please call. j r� Gary V Osdel Exec tive Director GVO:bI #3 CITY OF SAN BERNARDINO CITY ADMINISTRATOR'S OFFICE INTEROFFICE MEMORANDUM TO: Gary Van Osdel, Executive Director Economic Development Agency FROM: Lori Sassoon City Administrator's Office SUBJECT: Allocation of Bond Proceeds for the Depot Project DATE: February 10, 1999 COPIES: Fred Wilson; Barbara Lindseth; Barbara Pachon Gary, the purpose of this memo is to update you on the plans for the Agency's funds set aside for the Depot project. As you know, the Agency has budgeted $492,000 in its FY 1998-99 budget for capital improvements related to the Santa Fe Depot. On February 15, we anticipate the Council and Commission will approve the amended agreement with SANBAG making the City the lead agency on the Depot restoration, and allocating $412,588 from these budgeted funds towards the local match for the TEA-21 grant already secured. The City (as lead on the project) will serve as trustee for all the project funds, including SANBAG's portion of the match, the TEA-21 funds, and the Agency portion. According to SANBAG staff, we can postpone invoicing the Agency until the funds are actually needed to pay consultant costs. Please let me know if you would like us to wait until that time; otherwise we will go ahead and prepare an invoice. Of the remaining bond proceeds available for this project ($79,412), we have proposed to allocate $75,000 as matching funds on another grant application, which would be used to complete a plan for the Depot area. At the March I Council meeting we will be asking for authorization to make the grant application and approval of the grant match. However, this grant has not yet been secured, so it is not certain that the funds will be used for this purpose. Thanks again for your willingness to help us complete this important project for the City. i OITY OF SAN BERNARi HMO - REQUEST FOR Ci JIMISSION ACTION -red Wilson, City Administrator Subject: Resolution authorizing an Amendment to the Cooperative Agreement with SANBAG relating to pt: City Administrator's Office the restoration of the Santa Fe Depot and maintenance of the Commuter Rail Station te: February 3, 1999 nopsis of Previous Commission action: 3y 1993 — Economic Development Agency enters into a Cooperative Agreement with SANBAG to provide for the design, construction, maintenance, and security of the Metrolink station adjacent to the Santa Fe Depot �bruary 1, 1999 - Mayor and Common Council and Community Development Commission approve the amendment in concept, and direct staff to work with SANBAG to finalize the amendment. !commended motion(s): :)tlon #1: and Common Council): Adopt resolution. ouon #2: ommunity Development Commission): Adopt resolution. PCY�II AIL n� l � 112 Signat e )ntact person: Fred Wilson Phone: 5122 apporting data attached: yes Ward: 1 iNDING REQUIREMENTS: Amount: Initial local matching funds of$412,588 Source: (acct. No.) EDA Bond Proceeds (Acct. Description) Finance: �11 Notes: Aaenda Item No. K�/�" i Prelminary 1 > SuuC i 1 ® 1 ' C..,d Gry Wm Se`d�am ' �(p.y Nwdws 1 T.:.Ciry ' 1/pmuw Soud�L;Jl. 1 1 1 City of San Bernardino ECONOMIC DEVELOPMENT AGENCY 1 1999-2000 Budget 1 6/ib/y5 City of San Bernardino ECONOMIC DEVELOPMENT AGENCY ' •Redevelopment •Community Development Housing •Business: ' TO: Honorable Chairman and Members of the -Recruitment Retention Development Commission -Revitalization •Main Street, Inc. FROM: Gary Van Osdel Executive Director L ' SUBJECT: ECONOMIC DEVELOPMENT AGENCY FISCAL YEAR 1999-2000 BUDGET ' DATE: June 10, 1999 The Economic Development Agency's proposed budget for fiscal year 1999-2000 is based upon projected ' revenues totaling $43,030,420. Of this total, $ 25,316,781 is anticipated project area tax increment, $2,934,871 is anticipated project area 20% set-aside (low-mod housing fund), $9,734,000 is Community Development Block Grant funds, $3,373,000 is HOME funds, $168,000 is Emergency Shelter grant ' funds and $1,503,768 will come from Agency reserves. Ninety-one percent (91%) of the proposed budget encompasses required expenditures based on previous actions of the City Council and /or Community Development Commission concerning Agency bond payments, contracts, agreements, ' projects and programs. Thus, only nine percent (9 %) of the Agency's proposed budget or $3,860,870 is discretionary and therefore available for Agency staffing, administration/operations and City budget requirements. ' The $3,860,870 discretionary budget amount referenced above includes $1,891,785 for Agency staffing and direct administration/operations costs, $769,860 in Agency costs associated with legal and consultant services, property maintenance/management and marketing, and $1,199,225 for City master service ' agreements/obligations. The $1,891,785 for Agency staffing et al, represents a $420,000 cut (18%) from the current fiscal year and is a result of the elimination from the budget of a Typist Clerk III, a Senior Account Clerk and a Development Specialist, plus reductions in travel, training, office supplies, printing, ' postage, telephone, liability insurance, utilities and equipment. In addition, reductions of $140,000 in marketing and legal are also proposed and the amount for City master service agreements/obligations reflects a$600,000 decrease. ' At a budget workshop on February 18, 1999, Agency staff presented to the Commission a tax increment(bond proceeds cash flow analysis wherein the estimated deficit for fiscal year 1999-2000 was projected at $2,940,845. However, pursuant to the "compromise agreement" reached with the City and the resultant $600,000 reduction in City master service agreements/operations, together with Agency cost reductions totaling $837,077 the projected deficit has been reduced to $1,503,768. If the provisions of ' this same compromise agreement are carried out again next year and the year thereafter, the Agency can anticipate a deficit of less than $740,000 for fiscal year 2000-2001 and positive tax increment cash flow for fiscal year 2001-2002. Based upon the foregoing, it is recommended that the Community Development Commission adopt the Agency's fiscal year 1999-2000 budget. Resolutions will be forthcoming for adoption at a future Commission meeting to reflect the changes in Agency staffing and to update the Agency's job tdescriptions. 201 North E Sheet,Suite 301•San Bernardino, California 9240 1-150 7•(909)384.5081•FAX(909)888-9413 1 1 1 1 \ ' City of San Bernardino ECONOMIC DEVELOPME TAGENCY ' 1999-2000 Budget COMMUNITY DEVELOPMENT COMMISSION ' Judith Valles,Chairperson Esther Estrada,Commission Member,Ward I Susan Lien,Commission Member,Ward 2 ' Gordon McGinnis,Commission Member,Ward 3 Frank E. Schnetz,Commission Member,Ward 4 Jerry M. Devlin,Commission Member,Ward 5 Betty Dean knderson,Commission Member,Ward 6 ' Norine Miller,Commission Member,Ward 7 1 ' City of San Bernardino ECONOMIC DEVELOPMENT AGENCY MISSION STATEMENT The City of San Bernardino Economic Development Agency is a focused, diversified organization whose mission is to enhance the quality of life for the citizens of San ' Bernardino by creating and retaining jobs, eliminating physical and social blight, supporting culture and the arts, developing a balanced mix of quality housing, along with attracting and assisting businesses both independently and through public-private ' partnerships. 1 1 1 ' City of San Bernardino ECONOMIC DEVELOPMENT AGENCY ' Accomplishments for Fiscal Year 1998-1999 1. JOBS: ' a. Assisted a new buyer and operator with the acquisition of the Main Street Car Wash— 30 jobs created.. b. Facilitated bringing the Internal Revenue Service to downtown, filling 41,000 square feet—200 jobs brought to the City of San Bernardino. C. Assisted G. E. Capital Mortgage Corp. to expand operations by providing $627,000 in CDBG assistance —total of 1,000 new and retained jobs of which there arel25 new, 14 transferred and 154 retained low-moderate income j obs. d. Financially assisted with Costco retention and development, completing 137,630 square feet, and increasing sales tax revenues for the City— 100 ' new jobs and 300 retained jobs. e. Cinema financing completed and construction initiated - 400 construction ' jobs. f. Joint partnerships with Acquisition,'Rehabilitation and Resale (ARR) Program Contractors - 100 construction and lending industry trade jobs. g. Recruited new operator, Carlos O'Brien's, for 440 West Court Street property, negotiated lease with tenant and owner, and negotiated to release Agency from $780,000 loan guarantee on property— 33 jobs. ' h. Facilitated the expansion of Prime-line from 100,000 square feet to 200,000 square feet— 150 new jobs and 150 retained jobs. 2. SAFETY: a. Allocated $131,000 in CDBG financial assistance in matching funds to the Police Department to help implement the COPS Universal Program placing 22 new additional officers in the community. b. Allocated $449,650 in CDBG financial assistance to the Fire Department ' to purchase fire equipment and ancillary items. 3. ROADS AND INFRASTRUCTURE: a. Allocated $709,000 in financial assistance to Public Services and Parks & Recreation Departments for the upgrading, renovation of restroom facilities, ADA improvements, streetscape improvements, and upgrades of City infrastructure. ' 4. BLIGHT ERADICATION & HOUSING PRESERVATION EFFORTS: a. Allocated $636,000 in financial assistant to Code Enforcement and Fire Departments for the implementation of a comprehensive anti-blight strategy designed to improve both residential and commercial ' neighborhoods experiencing severe deterioration. b. Allocated $250,000 in financial assistance to Code Enforcement Department to conduct demolitions of unsafe, substandard, or abandoned or vacant structures in low-moderate areas. ' C. Acquired 69 HUD blighted single family housing units, sold to ARR Contractors for rehabilitation and resale to 69 First Time Home Buyers; leveraged over $7 million in public/private resources. ' d. Assisted Pine Hills and Young Development with the development of 94 new single family housing units to be sold to First Time Home Buyers. e. Allocated $150,000 in financial assistance to the Westside CDC Handyworker Program to assist in the preservation of 30 single family residential units. f Allocated $100,000 in financial assistance to NHS to assist in the ' rehabilitation of 20 mobile home housing units; allocated $32,800 for mobile home inspection. g. Awarded the contract for demolition of 18 four-plex Agency properties in Arden-Guthrie area in the amount of$218,106. 1 ' h. Marketed Arrow Vista site for 62 lot single family residential development and selected Century Homes as the developer. ' i. Completed common area improvements to Glen Aire and Pacific Palms mobile home parks with HOME funds. ' j. Completed settlement agreement and purchase of Williams property in Arden-Guthrie area in the amount of$142,500. k. Initiated feasibility analysis of the proposed Redevelopment Plan adoption for 40th Street. 1. Allocated $120,000 to Los Padrinos for graffiti removal and neighborhodd cleanup. m. Developed new mobile home park ownership strategy and new financing plan, selected new property management, and restructured corporate board of directors. ' S. RECREATION AND COMMUNITY OUTREACH: a. Assisted several non-profit service providers including homeless assistance/prevention services, and emergency/transitional shelter to ' homeless and at-risk populations in the amount of$235,000. b. Assisted numerous non-profits to provide $552,000 in financial assistance ' to the community in the areas of job training, case management, emergency food provisions, crisis intervention, immigration/citizenship assistance, parenting/family programs, literacy services, head injury ' services, suicide prevention, gang intervention, sexual assault services, child advocacy program, senior nutrition program, etc. ' C. Completed lease-sale of Arden-Guthrie Community Center building to School District relieving Agency of financial obligation of$200,000 per year. d. Planned and implemented 130 events at Court Street Square and the California Theatre attracting 35,000 people to downtown. ' 6. OTHER AGENCY ACCOMPLISHMENTS: a. Developed and implemented reorganization of Agency resulting in a cost savings of$1,376,000 in personnel costs and $110,000 in administrative overhead costs; substantially reduced Agency loan guarantees. ' b. Planned, reconfigured and managed construction of the 201 North E Street building including the Agency office space; secured new tenants, made tenant improvements, performed deferred building maintenance and made changes to more efficiently operate the property while reducing operating expenses. C. INS lease signed, developer selected and Disposition and Development Agreements executed d. Facilitated the opening of Fiesta Market in the Westside Shopping Plaza e. Negotiated with Hatle to close cash sale of property at Hallmark Parkway. ' f. Marketed and sold 701 North"E" Street property at the purchase price of ' $780,000, and placed property back on the tax rolls. g. Coordinated, prepared and submitted the Federal empowerment Zone ' application. h. Attend and provide staff assistance for the Mobile Home Rent Control Board, the CDBG Committee, the Design and Review Committee, the Northwest Project Area Committee and the Mt. Vernon project Committee. i. Completed negotiation for the public use of the Caltrans Parking Structure. ' j. Reallocated $1,500,000 in 1996 through 1998 CDBG funds from old completed or cancelled projects to new projects to assist in expending federal resources in a timely manner. City of San Bernardino ECONOMIC DEVELOPMENT AGENCY Goals for Fiscal Year 1999-2000 1. JOBS: a. Through Agency assistance of developments, programs and projects facilitate the creation/retention of 1000 jobs within the City. ' b. Implement the BIG and BAC plans to assist with job creation/retention. ' 2. SAFETY: ' a. Continue to provide assistance to the Police Department for the COPS Universal Program and to the Fire Department to carry out their purchase of fire equipment and ancillary equipment. 3. ROADS AND INFRASTRUCTURE PRESERVATION: ' a. Continue to provide assistance to the City Public Services Department, Facilities Management, and Engineering to repave and resurface severely deteriorated residential roadways, ADA handicapped access ramps, and ' wheelchair ramps, upgrading of City Hall doors to meet ADA requirements, and improvement of City/Agency parking structure. 1 ' 4. BLIGHT ERADICATION AND HOUSING PRESERVATION: a. Continue to provide resources and assistance to homeless providers in the acquisition and rehabilitation of blighted complexes and conversion to high quality affordable housing for the City's homeless population. 1 b. Assist Community Housing Development Corporations (CHDO's) in the ' improvement and preservation of affordable multi-family and single family housing units. ' C. Continue to provide Mortgage Assistance to First Time Homebuyers in specific target areas or specific housing developments. ' d. Continue to establish partnerships with private housing developers to expand homeownership opportunities for City residents, such as the ARR program. ' e. Continue to provide resources to inspect and improve the City's inventory of mobile home park units. f. Continue to identify partnerships with local lenders or non-profits to deliver a battery of housing programs to the community. tg. Assist the City in the revision to the General Housing Plan element and Implementation of the Housing Strategy in the BIG Plan. ' h. Complete the 401h Street redevelopment plan adoption. ' i. Negotiate reuse of Harris' and State Office buildings. ' j. Prepare next 5 year redevelopment and housing implementation plan. ' 5. RECREATION AND COMMUNITY OUTREACH: ' a. Continue to assist a number of non-profits in providing direct assistance to the community in the areas of housing,job training, emergency shelter, ' parenting/family programs, literacy services, head injury services, suicide prevention, gang intervention, graffiti abatement, neighborhood beautification, and police and code enforcement. ' b. Assist the City in the Kids R Works of Art and library literacy services to provide opportunities for citizens to acquire literacy skills and give youth ' a sense of appreciation for fine art. C. Continue to provide special events and cultural activities and Court Street ' Square and the California Theatre. 1 i 1 6. OTHER AGENCY GOALS: 1 a. Initiate the small business loan program through the leveraging of Agency/CDBG funds. 1 b. Continue to be fiscally responsible to ensure the continued viability of the Agency. 1 C. Continue to provide support and guidance to the Northwest Project Area Committee, the CDBG Committee, the Design and Review Committee, the Mobile Home Park Rent Control Board, and the Mt. Vernon Project 1 Committee. d. Continue to market and sell Agency properties. 1 e. Allocate $75,000 for the General Plan Feasibility/Fiscal Analysis. 1 1 1 1 1 1 1 1 1 1 1 1999-2000 Budget Revenue and Reserves ' $43.0 Million Low/Mod 20%Set Aside Ta Increment/ — $2.9 ' Bond Proceeds Reserves -- Lines of Credit $1.6 $.6 Various Income $2.2 Federal Grams/Sect 108 $16.8 1 Tu Increment ' $15.7 Notes Receivable Lease Revenue/Mtg Rev Bonds Expenses $1.8 $43.0 Million Low/Mod Transfer 20%Set Aside t $2.9 Low/Mod 20% Housing Programs $2.4 RDA Capital Outlay Federal Gmnt Ptograrns/Projects $7.2 \ $12.5 1 ' — Nnonnel/Admin $1.5 ' Non-Personnel/Admin Bond Payments/Cosm $.4 $13.7 Non-Personnel/ — Projccts/Pmgrams $2.4 City of San Bernardino ECONOMIC DEVELOPMENT AGEN( 1 1 1 ECONOMIC DEVELOPMENT AGENCY OF THE CITY OF SAN BERNARDINO ' Project Area List Fiscal Year 1999-2000 Budget Redevelopment Project Areas: State College SC Central City North CCN ' Central City West CCW Southeast Industrial Park SEIP Northwest NW ' Tri City TC Uptown UPT South Valle SV Central City Projects CCP Mt. Vernon Corridor MTV ' Low-Moderate Housing Fund: ' 20% Set-Aside Low/Mod - LM Federal Programs: ' Community Development Block Grant CDBG Home Investment Partnership Act HOME ' Emergency Shelter Grant Program ESGP ' 1157A ' ° 0000000-0OC' O o o m o O o v O O O l N oo o rn ul o ooNOOO.[oo0r Qo r'I rn� oT ONOQNmO.i00Cn ~F N Q ] �N[ONFTOTmONN rnOON P ' d rmTr rn P roN m N N fl VI f! W C!P C! 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O b tO O o '� O N m � U � O cn W o rn o a fl N M 1 N a` a N H U N � N O 1 C y tl N 0 a m N O b m �] ' h City of San Bernardino College Redevelopment Project Areas Central City Projects Central City North Central City West State Southeast industrial Park Northwest Tri City South Valle ♦. Uptown Vernon do L IL.- UA �711i1F �■� i��: IE5; 19eE5�ri� ��R �� ■■11 Ir} r■l��7 RCIC ■e ' NORTH City of San Bemardno .� f J fEconomic Development Agency of the City of San Bernardino f1999-2000 Cash Flow Analysis Tax Increment/Bond Proceeds f 2/18199 1999-2000 Workshop Current Projected Tax Increment: 15,650,000 15,728,000 fExpenditures: 20% Set-aside 2,666,871 2,666,271 f Bond Payments 10,907,300 10,907,300 Bond Fees 90,000 90,000 Sumitomo Creidt Lines 800,000 800,000 ' County Charges 53,200 53,200 Pass-through Agreements 443.824 454.699 Total Expenditures 14,961,195 14,971,470 ' Amount Available Prior to Other Obligations: 688,805 756,530 Other Redevelopment Revenues: Interest Earned 250,000 574,000 Notes/Int Receivable 459,611 673,034 Rental/Lease Revenue 531,496 532,996 Mall Security Income 48,000 40,000 Miscellaneous Q 110.000 fTotal Estimated Available: 1,977,912 2,686,560 f Other Redevelopment Obligations: Salaries/Benefits 450,000 307,875 Agency Operations/Admin 547,000 332,729 Contracts/Agreements 1,019,532 1,434,099 MSA/City Expenses 1,799,225 1,199,225 Property Manage/Maint 756,000 699,400 ' Marketing/Special Events 254,000 164,000 Consulting 68,000 28,000 NW PAC 25.000 25.000 fTotal Expenses 4,918,757 4,190,328 fBalance Available -1940.845 -1.501768 ' A f f Economic Development Agency fof the City of san Bernardino Three Year Projection fTax Increment/Bond Proceeds FY 99-00 FY 00-01 FY 01-02 fProjected Tax Increment: 15,728,000 15,728,000 15,728,000 fExpenditures: 20% Set-aside 2,666,271 2,666,271 2,666,271 f Bond Payments 10,907,300 10,907,300 10,907,300 Bond Fees 90,000 90,000 90,000 Sumitomo Credit Line 800,000 800,000 800,000 ' County Charges 53,200 53,200 53,200 Pass-through Agreements 454.699 454.699 454.699 Total Expenses 14,971,470 14,971,470 14,971,470 f Amount Available Prior to Other Obligations: 756,530 756,530 756,530 f Other Redevelopment Revenues: Interest Earned 574,000 574,000 574,000 f Notes/Int Receivable 673,034 568,786 432,028 Rental/Lease Revenue 532,996 682,996 832,996 Mail Security Income 40,000 0 0 fMiscellaneous 110.000 110.000 110.000 Total Estimated Available: 2,686,560 2,692,312 2,705,554 fOther Redevelopment Obligations: Salaries/Benefits 307,875 307,875 307,875 Agency Operations/Admin 332,729 332,720 332,729 Contracts/Agreements 1,434,099 1,276,099 1,096,099 f MSA/City Expenses 1,199,225 599,225 0 Property Manage/Maint 699,400 699,400 699,400 Marketing/Spec Events 164,000 164,000 164,000 f Consultants 28,000 28,000 28,000 NW PAC 25.000 25,000 25.000 Total Expenses 4,190,328 3,432,319 2,653,103 fBalance Available -1.503.768 -740,007 52.451 B i Economic Development Agency of the City of San Bernardino Changes in Line Items from February 18, 1999 tRevenues: Increases: Net Tax Increment 67,725 Interest Earned 324,000 ' Notes/Int Receivable 213,423 Rental/Lease Revenue 1,500 Micellaneous 110,000 tReductions: Mall Security Income -8000 ' Net Income Increase 708.648 Expenditures: Increases: ' Contracts/Agreements 464,567 Reductions: Salaries/Benefits -142,125 Agency Operations/Admin -214,271 Contract/Agree- Legal -50,000 MSA/City Expenses -600,000 Property Manage/Maint -56,600 Maketing/Special Events -90,000 Consultant- Lobbyist/General -40.000 Net Expenditure Reductions -728.429 Net Budget Reduction -1.437.077 Budget Deficit 2-28-99 -2,940,845 Less: Net Budget Reduction 1.437.077 ' Deficit FY 1999-2000 _1,501768 C ' om000000 1 in 1 0o- lno oln rn -+ omom00000.+lom moom m oln oMOO OIn 1 m oo eooc �n n o•nc rnlno mlu r! 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Relocation/Rent Assistance 57 :.- 8002 Transfers Out Redevelopment Project Areas 58 8003 Transfers Out Low/Moderate Housing Fund 59-60 ' 2249A 1 Line 4011 Page 1 of 1 1 REVENUE DETAIL INTEREST EARNED INVESTMENT — BUDGET LINE 4011 1 Project Area Revenue Source Description of Activity Amount 1 All Proj Wells Fargo Estimated interest earned $440,000 LAIF on investments i Project Area Recap: 1 State College $235,000 Northwest 25,000 Tri City 155,000 1 South Valle 25,000 Total Line 4011 440,000 1 1 1 1 i i i - 1 - 1 ' Line 4012 Page 1 of 1 REVENUE DETAIL ' INTEREST EARNED/PRINCIPAL REPAYMENTS NOTES - BUDGET LINE 4012 ' Project Area Revenue Source Description of Activity Amount St College Shandin Hills Note rec and lease agree $360,000 CCNorth Skadron Loan receivable payoff 99-2000 80,000 Principal and Interest ' Northwest Townsend Loan receivable due May 2004 3,344 Uptown Galstian Family Loan Repayment for 37,243 Trust Smart and Final due Jan 2002 CCProjects Carousel Mall Loan repayment on carousel 145,488 ' due April 2001 Steward Best/Marshall due Sept 2002 46,959 Harris Section 108 pass-through 683,554 Low-Mod Rehab Loans Various - payable to CRF 7,800 City New Pine paid through dev balance due $441,777 CDBG Rehab Loans Various - payable to CRF 350,000 Project Area Recap: State College $360,000 ' Central City North 80,000 Northwest 3,344 ' Uptown 37,243 Central City Projects 876,001 Low-Moderate 7,800 CDBG 350.000 ' Total Line 4012 1,714,388 1 ' - 2 Line 4019 Page 1 of 1 ' REVENUE DETAIL INTEREST EARNED BONDS FISCAL AGENT - BUDGET LINE 4019 ' Proiect Area Revenue Source Description of Activity Amount All Proj US Bank Estimated interest earned $134,000 on investments held by fiscal agent for bond payments Project Area Recap: State College $50,000 Central City North 5,000 Southeast Industrial Park 10,000 Northwest 2,000 Tri City 5,000 Uptown 2,000 South Valle 10,000 Central City Projects 50,000 Total Line 4019 134,000 1 - 3 - r Line 4200 Page 1 of 1 r REVENUE DETAIL RENTAL INCOME — BUDGET LINE 4200 r Project Area Revenue Source Description of Activity Amount rSt College Various Lease payments 5055 Hallmark $37,000 r CC North California Lease of theater 85,000 Theater r Mexican Lease revenue 46,080 Consulate Miller Parking Lease 18,000 rCCWest Don's Drugs Lease payments 18,000 $1,500 per month r Northwest Various Lease agreements for the 22,000 PEC Building Tri City ABC Rail Parking lot lease 5,500 CCProjects RT Enterprises 275 So G 7,800 rVarious Leases .201 Building 250,000 Low—Mod Arrow Vista Lease purchase program 10,200 rRent on Agency property Project Area Recap: r State College $37,000 Central City North 149,080 Central City West 18,000 Northwest 22,000 r Tri City 5,500 Central City Projects 257,800 Low—Moderate 10,200 rTotal Line 4200 499,580 i 1 r - 4 r Line 4270 Page 1 of 1 ' REVENUE DETAIL MORTGAGE REVENUE INCOME — BUDGET LINE 4270 Proiect Area Revenue Source Description of Activity Amount St College First Trust Payment of mortgages $1,775,000 ' US Bank for bond payments- CMO Issue 1989 Interest Earnings ' Project Area Recap: State College $1.775.000 Total Line 4270 1,775,000 1 ' — 5 ' Line 4300 Page 1 of 1 ' REVENUE DETAIL MALL SECURITY INCOME - BUDGET LINE 4300 tProiect Area Revenue Source Description of Activity Amount CC Projects Central City Payment per agreement $40,000 Company for security guard services ' at Carousel Mall Project Area Recap: Central City Projects $40.000 Total Line 4300 40,000 - 6 - ' Line 4500 Page 1 of 1 REVENUE DETAIL TAX INCREMENT REVENUE - BUDGET LINE 4500 Project Area Revenue Source Description of Activity Amount St College County of San Tax Increment projected $5,233,000 Bernardino ' CCNorth County of San Tax Increment projected 652,000 Bernardino ' CCWest County of San Tax Increment projected 14,000 Bernardino SEIP County of San Tax Increment projected 3,313,000 ' Bernardino Northwest County of San Tax Increment projected 1,287,000 ' Bernardino Tri City County of San Tax Increment projected 1,551,000 Bernardino Uptown County of San Tax Increment projected 356,000 Bernardino South Valle County of San Tax Increment projected 584,000 Bernardino CC Projects County of San Tax Increment projected 2,478,000 Bernardino ' Mt' Vernon County of San Tax Increment projected 260,000' Bernardino ' Project Area Recap: State College $5,233,000 Central City North 652,000 ' Central City West 14,000 Southeast Industrial Park 3,313,000 Northwest 1,287,000 Tri City 1,551,000 Uptown 356,000 South Valle 584,000 ' Central City Projects 2,478,000 Mt Vernon 260,000 Total Line 4500 15,728,000 - 7 1 ' Line 4600 Page 1 of 1 REVENUE DETAIL LEASE REVENUE INCOME — BUDGET LINE 4600 Proiect Area Revenue Source Description of Activity Amount CCProjects City of San Repay Lease Revenue Bonds $946,500 Bernardino Public Facility Lease Issue ' 1989 — Pass through to Trustee r Project Area Recap: ' Central City Projects $946,500 Total Line 4600 946,500 1 1 — 8 — ' Line 4660 Page 1 of 1 ' REVENUE DETAIL PARKING INCOME — BUDGET LINE 4660 Project Area Revenue Source Description of Activitv Amount CCProjects Innova Parking Agree Andreson $38,000 ' CC Commerce J Building Rent 5,616 Center ' Project Area Recap: Central City Projects $43.616 Total Line 4660 43,616 1 — 9 — ' Line 4800 Page 1 of 1 t REVENUE DETAIL 20% SET-ASIDE - BUDGET LINE 4800 ' Project Area Revenue Source Description of Activity Amount Low-Mod State College 20% Set aside for $1,046,600 1999-2000 ' Central City 20% set aside for 130,400 North 1999-2000 Central City 20% set aside for 495,600 Projects 1999-2000 Central City 20% set aside for 2,800 West 1999-2000 Southeast 20% set aside for 647,000 ' Indust Park 1999-2000 Northwest 20% set aside for 101,607 1999-2000 ' Tri City 20% set aside for 125,654 1999-2000 ' Uptown 20% set aside for 18,410 1999-2000 ' South Valle 120% set aside for 46,800 1999-2000 Mt Vernon 20% set aside for 52;000 1999-2000 ' IVDA 20% set aside for 250,000 1999-2000 Project Area Recap: Low-Moderate $2.916,871 Total Line 4800 2.916,871 - 10 - 1 Line 4810 Page 1 of 1 ' REVENUE DETAIL OTHER MISCELLANEOUS INCOME - BUDGET LINE 4810 Project Area Revenue Source Description of Activity Amount St College Shandin Hills Payment per agreement $25,000 for water services for golf course SEIP/IDB Granada Hills Admin Fee Bond Issue 25,000 Hosp CCP Court Street Food Cart Vendors 60,000 ' Square Market Vendors Various Events Square Rentals Main St Equip Rentals ' Concession Sales Project Area Recap: State College $25,000 1 SEIP 25,000 Central City Project 60,000 Total Line 4810 110.000 1 ' Line 4900 Page 1 of 1 ' GENERAL FINANCING SOURCES DETAIL OPERATING/ BOND PROCEEDS/ TAX INCREMENT TRANSFERS IN - BUDGET LINE 4900 ' Project Area Revenue Source Description of Activity Amount CCNorth SC Tax Increment Oper transfer funds in $587,960 ' Bond Proceeds for Admin/Projects/Oper SEIP SEIP Bond Proceeds Oper transfer funds in 665,473 ' Tax Increment for Admin/Projects/Oper South Valle SV Bond Proceeds Oper transfer funds in 296,807 Tax Increment for Admin/Projects/Oper ' CCProjects SC Tax Increment Oper transfer funds in 107,225 Bond Proceeds for Admin/Projects/Oper 1 ' Project Area Recap: Central City North $587,960 Southeast Industrial Park 665,473 ' South Valle 296,807 Central City Projects 107,225 Total Line 4900 1.657,465 1 ' - 12 - ' Line 4940 Page 1 of 1 ' GENERAL FINANCING SOURCES DETAIL FEDERAL LINES OF CREDIT/GRANTS - BUDGET LINE 4940 Project Area Revenue Sources Description of Activities Amount HOME HUD Line of Credit - HOME 1,773,000 Program 1999-2000 ' Carry Over Prior Years 1,600,000 ' ESGP HUD Line of Credit - ESGP 138,000 Program 1999-2000 Carry Over Prior Years 30,000 ' CDBG HUD Line of Credit - Community 3,884,000 Development Block Grant ' 1999-2000 HUD Carry Over Prior Years 5,500,000 ' CCNorth HUD 108 Cinema Project Carry over 3,500,000 ' Project Area Recap: ' HOME $3,373,000 ESGP 168,000 CDBG 9,384,000 Central City North 3,500.000 ' Total Line 4940 16.425,000 - 13 - Line 4960 Page 1 of 1 ' GENERAL FINANCING SOURCES DETAIL ADVANCES FROM LINES OF CREDIT - BUDGET LINE 4960 t Project Area Revenue Source Description of Activity Amount CCNorth Sumitomo Line of Credit for Cinema $600,000 Carry Over ' Project Area Recap: Central City North $600.000 ' Total Line 4960 600.000 - 14 - 1 ' Line 5010- Line 5021 Page 1 of 1 ' EXPENDITURE DETAIL - PERSONNEL SERVICES SALARIES/EMPLOYER TAXES/BENEFITS- BUDGET LINES 5010-5021 Project ' Area Description of Activity -Division Amount All Proj Total Agency $1,460,801 ' Retired Health Benefits 7,074 ' Project Area Recap (Funding Sources): State College $121,810 ' Southeast Industrial Park 58,973 Northwest 27,294 Tri City 70,950 Uptown 16,348 ' South Valle 12,500 Low-Moderate 400,000 CDBG 600,000 ' HOME 160.000 Total Line 5010-5021 1,467,875 ' - 15 - ' Line 6001 Page 1 of 1 ' EXPENDITURE DETAIL — NONPERSONNEL SERVICES BOARD MEMBER COMPENSATION — BUDGET LINE 6001 Project Area Description Amount ' Admin Compensation for Community Development All Projects Commission Board Members — $75 per ' meeting, 4 meeting maximum per month $28,800 Project Area Recap: State College $12,180 Southeast Industrial Park 5,426 Northwest 1,371 ' Tri City 3,283 Uptown 570 South Valle 210 Low—Moderate 5.760 ' Total Line 6001 28.800 T ' — 16 — ' Line 6002 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES DATA INFORMATION SERVICES - BUDGET LINE 6002 ' Project Area Company Description Amount Admin. Internet Subscription to information ' All Proj Data Quick services plus $10,000 Dun and HUD on-line/Federal Wage Bradstreet Property information on line ' City MIS Project Area Recap: State College $4,229 Southeast Industrial Park 1,884 Northwest 476 Tri City 1,140 ' Uptown 198 South Valle 73 Low-Moderate 2,000 ' Total Line 6002 10.000 t ' - 17 - 1 ' Line 6003 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES TRAVEL/TRAINING - BUDGET LINE 6003 ' Project Area Division Type of Travel/Training Expenditures Tuition Reimbursement Admin All Reimbursement to various employees All Proj for school tuition per approved policy Travel Expenditures All Various seminars/training on development related issues - housing, redevelopment, Main Street, block grant, economic development, ' related issues Council Various seminars on redevelopment and Mayor community development related issues ' Total All $20,500 ' Project Area Recap: State College $6,555 Southeast Industrial Park 2,920 Northwest 738 ' Tri City 1,767 Uptown 307. South Valle 113 CDBG 5,000 Low-Moderate 3,100 Total Line 6003 20,500 1 ' - 18 - ' Line 6004 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES AUTOMOBILE - BUDGET LINE 6004 Project ' Area Organization Description Amount Admin Various/City Miscellaneous vehicle ' All Proj maintenance and repairs/gas $6,500 ' Project Area Recap: State College $2,749 Southeast Industrial Park 1,225 ' Northwest 309 Tri City 741 Uptown 129 South Valle 47 Low-Moderate 1,300 Total Line 6004 6,500 1 ' - 19 - ' Line 6005 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES MILEAGE REIMBURSEMENT - BUDGET LINE 6005 Project ' Area Division Description Amount f Admin All Mileage reimbursement to attend ' All Proj training classes, meetings, make deliveries, project areas $300 ' Project Area Recap: State College $127 ' Southeast Industrial Park 57 Northwest 14 Tri City 34 Uptown 6 ' South Valle 2 Low-Moderate 60 Total Line 6005 300 1 - 20 - ' Line 6007 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES GENERAL OFFICE SUPPLIES - BUDGET LINE 6007 Project Area Description Amount Admin General office supplies $30,000 ' All Proj Project Area Recap: ' State College $12,687 Southeast Industrial Park 5,652 Northwest 1,428 Tri City 3,420 Uptown 594 South Valle 219 Low-Moderate 6.000 Total Line 6007 30,000 1 - 21 - ' Line 6008 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES MEMBERSHIP DUES - BUDGET LINE 6008 Project Area Name of Organization Amount ' Admin California Association for Local All Projects Economic Development (CALED) $500 ' San Bernardino Chamber of Commerce 100 California Society of Municipal Finance Officers 50 ' Government Finance Officers Assoc 125 Community Redevelopment Association 7,100 Notary Public 250 National Community Development Assoc Community Development Block Grant 1,400 Contingency 200 Project Area Recap: State College . $3,525 ' Southeast Industrial Park 1,567 Northwest 396 Tri City 948 ' Uptown 165 South Valle 60 Low-Moderate 1,664 CDBG 1,400 ' Total Line 6008 9,725 S - 22 - ' Line 6009 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES MISCELLANEOUS COMMUNITY RELATIONS - BUDGET LINE 6009 Project Area Organization Description Amount Admin Various Special committee meetings, ' All Proj luncheons, and other miscellaneous business expenses $5,000 ' Project Area Recap: State College $2,115 Southeast Industrial Park 942 ' Northwest 238 Tri City 570 Uptown 99 South Valle 36 Low-Moderate 1,000 Total Line 6009 5.000 r t ' — 23 — ' Line 6010 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES PRINTING - BUDGET LINE 6010 Project ' Area Company Description Amount Admin City/Various Print shop - administrative $3,000 ' All Proj Various Business card reorders 500 ' Riccobon EDA check reorders 2,250 Business Forms/ W-2 and 1099 forms Columbia Busi 1098 forms others Project Area Recap: State College $2,432 Southeast Industrial Park 1,083 Northwest 274 Tri City 655 Uptown 114 South Valle 42 Low-Moderate 1,150 Total Line 6010 5,750 1 - 24 - Line 6011 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES ADVERTISEMENT - BUDGET LINE 6011 ' Project Area Company Description Amount Admin Various newspapers Advertisements for recruit- $3,000 ' All Proj newsletters and ments, consultants, legal other publications notices, proposals, bids, etc. administrative only ' Project Area Recap: State College $1,269 ' Southeast Industrial Park 565 Northwest 143 Tri City 342 Uptown 59 South Valle 22 Low-Moderate 600 Total Line 6011 3,000 1 1 ' - 25 - ' Line 6012 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES POSTAGE - BUDGET LINE 6012 Project Area Organization Description Amount Admin Post Office Postage/Bulk Mail $10,000 ' All Proj Various Express mail and delivery 2,000 Pitney Bowes Postage Meter Rental per quarter 1,000 ' Permit Fee Annual Business Reply Permit Fee 300 ' Project Area Recap: State College $5,625 Southeast Industrial Park 2,506 Northwest 633 Tri City 1,516 ' Uptown 263 South Valle 97 Low-Moderate 2,660 Total Line 6012 13.300 - 26 - 1 ' Line 6014 Page 1 of 1 ' EXPENDITURE DETAIL — NONPERSONNEL SERVICES SUBSCRIPTIONS AND PUBLICATIONS — BUDGET LINE 6014 ' Project Area List of Subscriptions Amount ' Admin The Sun $130 All Proj California Labor Code 45 ' Redevelopment Law Update 125 ' Federal Digest/Housing and Development Reporter 1,500 Fed List of Parties Excluded from Procurement 100 ' California Code 65 Business Press 30 ' Miscellaneous 100 Project Area Recap: State College $210 Southeast Industrial Park 93 Northwest 24 Tri City 56 Uptown 10 South Valle 3 Low—Moderate 99 CDBG 1,600 Total Line 6014 - 2,095 1 ' — 27 — ' Line 6015 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES PHOTOGRAPHY - BUDGET LINE 6015 Project ' Area Company Description Amount Admin Various General photographic $300 ' All Proj services/blueprint services/ photo development services as needed - administrative Project Area Recap: ' State College $127 Southeast Industrial Park 57 Northwest 14 Tri City 34 ' Uptown 6 South Valle 2 Low-Moderate 60 tTotal Line 6015 300 1 ' - 28 - ' Line 6016 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES TELEPHONE - BUDGET LINE 6016 ' Project Area Company Description Amount ' Admin City of San Bern Fixed charges/ $35,000 All Proj Long distance charges/ ' Debt Retirement Fixed Lines/operations Nova Quest/ATT Internet access/charges 8,000 Paging Network Pager services 1,000 ' Cellular Cellular Telephone Services 1,000 Council Offices Cellular phones and average ' monthly services for Commission Members 1,500 Project Area Recap: State College $19,665 Southeast Industrial Park 8,761 Northwest 2,213 Tri City 5,301 Uptown 921 South Valle 339 Low-Moderate 9,300 t Total Line 6016 46,500 - 29 - ' Line 6017 Page 1 of 1 ' EXPENDITURE DETAIL — NONPERSONNEL SERVICES INSURANCE — BUDGET LINE 6017 Project ' Area ' Organization Description Amount Admin City Comprehensive General Liability $25,000 ' All Proj City Agency contents 15,000 ' Robinson & Cooper Public Employer Fidelity Bond 500 Allocation City Real Property Insurance 150,000 ' Aon Risk Services Project Area Recap: ' State College $42,127 Central City North 25,000 Southeast Industrial Park 32,630 ' Northwest 26,928 Tri City 4,617 Uptown 802 South Valle 296 ' Central City Projects 25,000 Low—Moderate 33,100 Total Line 6017 190,500 1 1 1 ' — 30 — ' Line 6018 Page 1 of 1 ' EXPENDITURE DETAIL — NONPERSONNEL SERVICES ADMINISTRATIVE EQUIPMENT MAINTENANCE — BUDGET LINE 6018 ' Project Area Company Description Amount Current Equipment: ' Admin Kodak/Danka Copier main/usage charges $12,000 All Proj Ekta 90 and 2110AS tMaint Agree Computer equipment/Main Frame PC/Printers/Imaging/Software 26,000 ' Various Miscellaneous repairs — various equipment/voice mail/ mailing equip/fax 3,000 ' Various Network Maint and Upgrades 3,000 Project Area Recap: State College $18,608 Southeast Industrial Park 8,290 ' Northwest 2,094 Tri City 5,016 Uptown 871 South Valle 321 . ' Low—Moderate 8,800 Total Line 6018 44,000 ' — 31 — ' Line 6020 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES TEMPORARY HELP - BUDGET LINE 6020 ' Project Area Division Description Amount Admin All Divisions Interns to work on general/special All Proj projects / temporary clerical and professional assistance $30,000 1 ' Project Area Recap: State College $12,687 Southeast Industrial Park 5,652 Northwest 1,428 Tri City 3,420 Uptown 594 South Valle 219 Low-Moderate 6,000 Total Line 6020 30,000 1 1 1 ' - 32 ' Line 6021 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES AGENCY OFFICE BUILDING MAINTENANCE/OPERATIONS - BtJDGET LINE 6021 ' Project Area Description Amount ' Admin. Refuse services $2,500 All Proj ' Water Services 3,500 Electric Service 47,000 Window Cleaning 800 Elevator Maintenance 700 ' Air Conditioning Maintenance 7,000 ' Janitorial Services 11,000 City Security Services (moved to Line 6701) ' Fire Alarm Service 200 Pest Control Service 200 Miscellaneous Services/Maintenance 7,400 Project Area Recap: ' State College $33,959 Southeast Industrial Park 15,129 Northwest 3,822 ' Tri City 9,154 Uptown 1,590 South Valle 586 Low-Moderate 16.060 ' Total Line 6021 80.300 ' - 33 - ' Line 6103 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES MARKETING/PROMOTIONAL - BUDGET LINE 6103 ' Project Area Company Description Amount ' All Proj Various Advertising: General Promo/Trade Shows ' Services/Reports: Business Report Video Update Marketing Brochure Business Development/Recruitment: ' -Recruitment/Promotional/Advert -International Trade ' Image/PR Campaign: -Public Relations, Collateral Mat, Direct Mail, Trade Sh Disp -Advertising ' -Communications Total All Marketing 53.000 Project Area Recap: State College $24,163 Southeast Industrial Park 11,750 . Northwest 4,288 Tri City 7,833 Uptown 2,814 South Valle 2,152 Total Line 6103 53.000 ' - 34 - ' Line 6104 Page 1 of 1 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES MARKETING SPECIAL EVENTS - BUDGET LINE 6104 ' Project Area Company Description Amount All Proj Various Special Events/Court Street Square: $111,000 Advertising, Security, Entertainment, ' Fees/Licenses, Janitorial/Maintenance/, Utilities, Cost of Sales Project Area Recap: State College $23,250 Southeast Industrial Park 11,307 ' Northwest 4,126 Tri City 7,538 Uptown 20708 South Valle 2,071 Central City Projects 60,000 Total Line 6104 111.000 ' - 35 - ' Line 6301- Line 6306 Page 1 of 2 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES BOND EXPENDITURES - BUDGET LINES 6301-6306 Line 6301 Line 6306 Project Principal/ Trustee/ Area Bond Issue Interest Other Exp State Tax Increment Issue 1995 College Series A and B $3,436,834 $21,000 Taxable CMO Issue of 1989A 1,435,000 80,000 ' $34,034,745 CMO Issue of 1989B 250,000 5,000 $3,080,000 ' Total State College 5,121,834 106,000 ' CC North Tax Increment Issue of 1995 608,540 5,500 Series A and B Parking Facilities Lease Issue of 1977 $1,950,000 (moved to Line 6701) ' Total Central City North 608.540 5,500 ' Southeast Tax Increment Issue of 1995 2,464,886 21,000 Ind Park Series A and B ' Total Southeast .Ind Park 2:464,886 21,000 ' Northwest Tax Increment Issue of 1995 429,106 4,500 Series A and B Total Northwest 429,106 4,500 Tri City Tax Increment Issue of 1995 923,038 4,500 ' Series A and B Total Tri City 923,038 4,500 (Continued Next Page) ' - 36 - ' Line 6301- Line 6306 Page 2 of 2 ' EXPENDITURE DETAIL - NONPERSONNEL SERVICES BOND EXPENDITURES - BUDGET LINES 6301-6306 ' Line 6301 Line 6306 Project Principal/ Trustee/ Area Bond Issue Interest Other Exo Uptown Tax Increment Issue of 1995 $264,037 $4,500 ' Series A and B Total Uptown 264,037 4,500 ' South Valle Tax Increment Issue of 1995 373,608 4,500 Series A and B ' South Valle Certificates 283,843 4,500 of Participation Issue of 1987 $3,280,000 Total South Valle 657,451 9,000 CCProjects Public Facilities Lease 940,000 6,500 JPA Refunding Pass-through to Trustee Tax Increment Issue of 1998 2,123,408 20,000 Series A and B Total Central City Projects 3,063,408 26,500 Project Area Recap: Line 6301 Line 6306 State College $5,121,834 $106,000 Central City North 608,540 5,500 ' Southeast Industrial Park 2,464,886 21,000 Northwest 429,106 4,500 Tri City 923,038 4,500 ' Uptown 264,037 4,500 South Valle 657,451 9,000 Central City Projects 3,063,408 26,500 Total Lines 13,532,300 181,500 ' - 37 - ' Line 6401 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES ' TAX INCREMENT COUNTY ASSESSOR - BUDGET LINE 6401 ' Project Area Taxing Agency Description Amount ' State County of San Admin charges on tax increment $16,000 College Bernardino and assessment rolls ' CCNorth County of San Admin charges on tax increment 4,000 Bernardino and assessment rolls ' CCWest County of San Admin charges on tax increment 200 Bernardino and assessment rolls Southeast County of San Admin charges on tax increment 10,000 Ind Park Bernardino and assessment rolls Northwest County of San Admin charges on tax increment 5,000 Bernardino and assessment rolls Tri City County of San Admin charges on tax increment Bernardino and assessment rolls 4,000 ' Uptown County of San Admin charges on tax increment 3,000 Bernardino and assessment rolls ' South County of San Admin charges on tax increment 3,000 Valle Bernardino and assessment rolls CCProjects County of San Admin charges on tax increment 7,000 Bernardino and assessment rolls Mt Vernon County of San Admin charges on tax increment 1,000 Bernardino and assessment rolls ' Project Area Recap: State College $16,000 Central City North 4,000 Central City West 200 Southeast Industrial Park 10,000 Northwest 5y000 Ti City 4,000 Uptown 3,000 South Valle 3,000 Central City Projects 7,000 Mt Vernon 11000 Total Line 6401 53,200 ' - 38 ' Line 6402 Page 1 of 1 EXPENDITURE DETAIL - NON PERSONNEL SERVICES TAX INCREMENT PASS THROUGH AGREEMENTS - BUDGET LINE 6402 ' Project Area Taxing Agency Description Amount Northwest County/Flood Dist Pass through agreement $350,000 ' South Valle San Bernardino Lawsuit settlement - Valley Municipal per year until Water District plan expiration. 14,508 Tri City Colton Joint Uni Taxing agreement School District 722 Redlands Unified Taxing agreement School District 453 San Bernardino Lawsuit settlement - Valley Municipal per year until Water District plan expiration 29,016 1 Mt Vernon Various Taxing Agreements - Pass 60,000 ' through agreements Project Area Recap: Northwest $350,000 Tri City 30,191 South Valle 14,508 Mt Vernon 60,000 ' Total Line 6402 454,699 1 1 ' - 39 - ' Line 6500 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES LEGAL SERVICES - BUDGET LINE 6500 ' Project Area Description Amount ' All Sabo and Green General/Project Legal/Litigation $370,000 ' City Attorney's Office Retainer (Moved to Line 6701) ' Outside Special Legal/Litigation 30.000 Total Legal 400,000 ' Project Area Recap: State College $131,299 Central City North 20,000 Southeast Industrial Park 63,850 Northwest 23,299 Tri City 42,566 Uptown 15,293 South Valle 11,693 Central City Projects 20,000 Mt Vernon 2,000 Low-Moderate 40,000 CDBG 30.000 Total Line 6500 400.000 1 ' - 40. - Line 6600 Page l of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES CONSULTING SERVICES - BUDGET LINE 6600 1 Project ' Area Description of Services Amount All Proj Various-General Financial/Real Estate Consulting Service $30,000 Simon and Co Federal Grants 8,000 ' CDBG National Development Council 50,000 ' Project Area Recap: State College $13,224 Southeast Industrial Park 8,868 Tri City 5,908 ' Low-Moderate 10,000 CDBG 50,000 Total Line 6600 88.000 ' - 41 - ' Line 6701 Page 1 of 1 ' EXPENDITURE DETAIL — NONPERSONNEL SERVICES PROFESSIONAL SERVICES MASTER SERVICE AGREEMENTS — BUDGET LINE 6701 ' Project Area Description of Services Amount ' All Proj 1. Council Office Assistant $60,000 2. Council Office 32,000 ' 3. Planning Services 203,600 4. Code Enforcement Services 142,000 5. Traffic Modelar 26,000 6. Affirmative Action 8,000 7. Safety Officer 5,000 8. City Clerk 7,000 9. Chairperson's Office General 20,000 ' 10. Chairperson's Office Additional 34,000 11. 5 Level Parking Maint (Moved From Line 7302) 60,000 12. CVB TOT Commitment (Moved From Line 6702) 250,000 ' 13. Carousel Mall Security (Moved From Line 7403) —Salaries/Taxes $425,000 —Sergeant 79,500 —Operating Costs 8,025 512,525 ' 14. Radisson TOT Commit (Moved From Line 7302) 125,000 15. 201 Security/Custodial (Moved From Line 6701) 19,600 16. Parking Facilities Lease Bond/Maintenance ' Issue 1977 (Moved From Line 6301) 158,100 17. City Attorney Legal (Moved From Line 6500) 136,400 ' Total Before 1999-2000 Reduction 1,799,225 Committed Reduction (600,000) Balance Budget 1999-2000 1,199,225 ' Project Area Recap: State College $566,394 ' Southeast Industrial Park 379,795 Tri City 253,036 Total Line 6701 1,199,225 — 42 — ' Line 6702 Page 1 of 1 I EXPENDITURE DETAIL - NONPERSONNEL SERVICES PROFESSIONAL SERVICES CONVENTION AND VISITORS BUREAU - BUDGET LINE 6702 ' Project Area Description of Services Amount All Convention/Visitors Bureau - TOT (Moved to Line 6701) Project Area Recap: Total Line 6702 -0- ' - 43 - 1 Line 6703 Page 1 of 1 1 EXPENDITURES DETAIL - NONPERSONNEL SERVICES PROFESSIONAL SERVICES AUDITS - BUDGET LINE 6703 1 Project Area Description of Services Amount 1 All Proj Financial and Compliance Audit/Accounting Services -estimate $40,000 1 1 Project Area Recap: State College $11,807 1 Southeast Industrial Park 7,918 Tri City 5,275 Low-Moderate 5,000 1 CDBG 10.000 Total Line 6703 40,000 1 1 1 i 1 1 1 1 - 44 1 ' Line 6704 Line 6705 ' Line 6706 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES ' PROFESSIONAL SERVICES MOBILEHOME - BUDGET LINES 6704-6706 Project Area Description of Services Amount BUDGET LINE 6704 MOBILEHOME PROGRAMS ' Low-Mod Mobilehome Prozrams: Mobilehome Handyworker Inspection Program $33,000 Mobilehome Handyworker Grant Program NHS 100,000 t BUDGET LINE 6706 MOBILEHOME CONVERSION Low-Mod Mobilehome Conversion: Notes Payable London Group 312,500 ' Project Area Recap: Line 6704 Line 6706 Low-Moderate $133,000 $312,500 ' Total Budget Lines 133.000 312.500 ' - 45 - Line 6801 Page 1 of 1 EXPENDITURE DETAIL - NONPERSONNEL SERVICES PAC/CAC - BUDGET LINE 6801 Project Area CAC/PAC Description Amount Northwest Northwest Administration and PAC meeting expenses $25,000 1 Project Area Recap: ' Northwest $25,000 Total Line 6801 25.000 I - 46 - ' Line 7001- Line 7005 Page 1 of 1 EXPENDITURE DETAIL - CAPITAL EXPENSES ' ADMINISTRATIVE/EQUIPMENT - BUDGET LINE 7001-7005 BUDGET LINE 7001 FIXED ASSETS PROPOSED: Project ' Area Description Justification Amount Admin Personal Computers/ Additional computer terminals All Proj and Software/Network printers/software, etc. Various Vendors $20,000 BUDGET LINE 7002 CURRENT LEASED EQUIPMENT/COMPUTER APPROVED IN PRIOR YEARS: Project ' Area Description Justification Amount Admin. Integrated Image Imaging system - Lease ' All Proj purchase for 5 years (9-1-99) $170,000 - $2,833.30 mo 8,500 Computer Software Ongoing licensing agreement 13,200 ' ICCS Corp for main frame computer data processing/accounting software/maintenance/upgrades ' BUDGET LINE 7003 CURRENT LEASED EQUIPMENT COPIER APPROVED IN PRIOR YEARS: ' Project Area Description Justification Amount Admin Kodak Copier Lease Kodak Ektaprint 90AS . copier- 60 month lease at $157.58 month (6-2001) 2,000 Xerox Copier 60 mos lease $303.18 per mo (8-2001) 3,640 ' Project Area Recap: Line 7001 Line 7002 Line 7003 State College $8,458 $9,178 $2,385 Southeast Ind Park 3,768 4,088 1,063 Northwest 952 11032 268 Tri City 2,280 2,474 643 Uptown 396 430 112 South Valle 146 158 41 Low-Moderate 4.000 4.340 1.128 Total Budget Lines 20.000 21.700 5,640 1 ' - 47 - ' Line 7102- Line 7106 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES PROPERTY ACQUISITION - BUDGET LINES 7102-7106 Project Area Description of Development Amount BUDGET LINE 7102 PROPERTY APPRAISALS ' All Various/General Real Estate Appraisals $10,000 BUDGET LINE 7103 TITLE REPORTS All Various/General Title Reports 2,000 BUDGET LINE 7105 REAL ESTATE ADVERTISING ' All Various/General Prop Advertising 2,000 BUDGET LINE 7106 SURVEY AND MAPS All Various/General Survey and Maps 2,000 Project Area Recap: Line 7102 Line 7103 Line 7105 Line 7106 State College $1,000 $200. $200 Central City North 1,000 200 200 200 Southeast Ind Park 1,000 200 200 200 Northwest 1,000 200 200 200 Tri City 1,000 200 200 200 Uptown 1,000 200 200 200 South Valle 1,000 200 200 200 Central City Projects 1,000 200 200 200 ' Mt Vernon 1,000 200 200 200 Low-Moderate 1,000 200 200 200 Total Line 10,000 2,000 2,000 2,000 1 ' - 48 - ' Line .7201 Page 1 of 1 EXPENDITURE DETAIL - CAPITAL EXPENSES DEVELOPMENT CAPITAL OUTLAY HOUSING - BUDGET LINE 7201 t Project Area Description of Development Amount Low-Mod Housing Development Opportunities ' -Home Improvement Loan Program (S/F) $200,000 -Exterior Beautification Grant Program (S/F) 200,000 -Neighborhood Cluster Assoc Improve Prog 25,000 -Mortage Assistance Program (MAP-ARR) 500,000 -Other Housing programs (rental, exterior grants, infrastructure improve) 80,811 -New Pine First Time Homebuyers Carry Over 98,929 ' -Community Reinvestment Loan Payment 7,800 -Casa Ramona/High Lutheran Debt Sery 160,000 -Housing Element General Plan 50,000 ' -Assessment Bond Payment Estimate 445,000 -Williams Settlement Carry Over 73,050 ' HOME Grant for FY 1999-2000 1,613,000 -Acquisition, Rehab, Resale -Mortgage Assistance Program -CHDO Project -CHDO Operations ' Prior Years Carry Over 1,600,000 ESGP Grant for FY 1999-2000 138,000 ' -Emergency Shelter Grant Program -Shelter Rehabilitation -Essential Services ' -Shelter Operations -Homeless Prevention Shelter.Admin Reserve Prior Years Carry Over 30,000 Project Area Recap: Low-Moderate $1,840,590 HOME 3,213,000 ESGP 168.000 Total Line 7201 5,221,590 ' - 49 - S ' Line 7302 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES PROJECT IMPROVEMENTS/CONSTRUCTION AGREEMENTS - BUDGET LINE 7302 ' Project ' Area Budget Line 7302 Agreements Amount St College -Stater Brothers OPA June 2005 $170,000 -Line of Credit Wells Fargo 90,000 ' CCNorth -Cinema Project Hud 108 Loan Carry Over 3,000,000 -Cinema Carry Over Off Sites Sumitomo 600,000 -Repay Line of Credit Sumitomo 500,000 -INS 500,000 SEIP -Center Chevrolet Sales Tax Reimburse 30,000 ' -Postal Encoding June 2000 108,000 -Costco Est Reimbursement 78,000 ' Northwest -Line of Credit Repay Sumitomo West Plaza 150,000 -New Frontier West Plaza Sec 108 Pass-through 40,619 ' Tri City -Haagen Development Agreement July 2000 160,000 -Best Buys Aug 2000 20,000 South Valle -Sumitomo Line of Credit Repay Port Neal 150,000 ' CC Projects -Radisson Bed Tax OPA (Move to Line 6701) -Maint 5 Level Park Struct (Move to Line 6701) ' -Central City Co J Building Agreement 35,000 -Central City Co Andreson Agreement 17,000 -City Maintenance Woolworth Parking 19,200 -Maint Three Level Park Structure Andreson 10,280 ' -Note Payable City - Carousel Nov 2002 180,000 -Chaparral Cycle May 2000 50,000 -Harris Sec 108 pass-through 683,554 Project Area Recap: State College $260,000 Central City North 4,600,000 Southeast Industrial Park 216,000 Northwest 190,619 Tri City 180,000 ' South Valle 150,000 Central City Projects 995,034 Total Line 7302 6,591,653 ' - 50 - t ' ' Line 7303 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES PROJECT IMPROVEMENTS/CONSTRUCTION/PUBLIC SERVICES - BUDGET LINE 7303 ' Project Area Budget Line 7303 Public Improvements/Services Amount Mt Vernon -Metro Link Security $60,000 ' -Metro Link Maintenance 6,000 CDBG Grant for FY 1999-2000 3,186,000 -Capital Improvement Projects -Public Services ' Prior Years Carry Over 5,500,000 Loan Repayment Community Reinv Fund 350,000 ' Project Area Recap: Mt Vernon $66,000 CDBG 9.036,000 ' Total Line 7303 9.102,000 ' - 51 - ' Line 7305 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES PROJECT IMPROVEMENTS/CONSTRUCTION REAL ESTATE ECONOMIST - BUDGET LINE 7305 Project ' Area Budget Line 7305 Real Estate Economist Amount All Various/General Estate Economist $5,000 ' Project Area Recap: State College $2,361 ' Southeast Industrial Park 1,584 Tri City 1.055 Total Line 7305 5.000 1 1 ' - 52 - 1 ' Line 7306 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES PROJECT IMPROVEMENTS/CONSTRUCTION CIVIL ENGINEERING - BUDGET LINE 7306 Project ' Area Budget Line 7306 Civil Engineering Amount ' All Various/Misc Engineering Cost for Projects $5,000 Project Area Recap: ' State College $2,361 Southeast Industrial Park 1,584 Tri City 1.055 ' Total Line 7306 5.000 1 ' - 53 - ' Line 7402 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES OTHER DEVELOPMENT COSTS LAND DISPOSITION - BUDGET LINES 7402 Project Area Budget Line 7402 Land Disposition Amount ' All Various expenses related to land disposition: appraisals, advertising, etc. $20,000 Project Area Recap: ' State College $4,000 Central City North 2,000 Southeast Industrial Park 2,000 Northwest 2,000 Tri City 2,000 Uptown 2,000 South Valle 2,000 ' Central City Projects 2,000 Low-Moderate 2.000 Total Line 7402 20.000 1 ' - 54 - ' Line 7403 Page 1 of 2 EXPENDITURE DETAIL - CAPITAL EXPENSES OTHER DEVELOPMENT COSTS OPERATION ACQUIRED PROPERTY - BUDGET LINE 7403 Project Area Budget Line 7403 Operation Acquired Property Amount ' St College -Weed abatement $2,000 -Water maintenance Golf Course 40,000 -Maintenance Hallmark Building 20,000 ' CCNorth -Weed abatement 2,000 -Cal Theater Operations 140,000 -Maintenance Mexican Consulate 25,000 -Street Cleaning/Ct Street Parking Lot/ Lawns/Amphitheater For Route 66 10,000 CCWest -Weed abatement 2,000 ' -Maintenance CCWest Shopping Plaza 5,000 ' SEIP -Weed abatement 2,000 ' Northwest -Weed abatement 4,000 -Maintenance and Repairs PEC Building 120,000 ' Tri City -Weed abatement 5,000 CCProjects -Weed abatement 3,000 -Carousel Mall Security (Moved to Line 6701): Salaries/Taxes ' Sergeant Operating Costs ' -Maint/Operating Costs 201 N E First Floor 80,000 -Maint/Operating Costs 201 N E Second Floor 80,000 ' (Continued Next Page) ' - 55 - Line 7403 Page 2 of 2 ' EXPENDITURE DETAIL - CAPITAL EXPENSES OTHER DEVELOPMENT COSTS OPERATION ACQUIRED PROPERTY - BUDGET LINE 7403 ' Project Area Budget Line 7403 Operation Acquired Property Amount Mt Vernon -Weed abatement $2,000 ' LM -Weed Abatement 2,000 Project Area Recap: State College $62,000 ' Central City North 177,000 Central City West 7,000 Southeast Industrial Park 2,000 Northwest 124,000 ' Tri City 5,000 Central City Projects 163,000 Mt Vernon 2,000 ' Low-Moderate 2,000 Total Line 7403 544,000 - 56 - Line 7404 Page 1 of 1 ' EXPENDITURE DETAIL - CAPITAL EXPENSES OTHER DEVELOPMENT COSTS RELOCATION/RENT ASSISTANCE - BUDGET LINE 7404 ' Project Area Budget Line 7404 Relocation Amount Low-Mod Code Rent Assistance - City Attorney's Office $80,000 Project Area Recap: Low-Moderate $80.000 Total Line 7404 80.000 1 ' - 57 - Line 8002 Page 1 of 1 ' EXPENDITURE DETAIL - TRANSFERS OUT TRANSFERS OUT REDEVELOPMENT PROJECT AREAS - BUDGET LINE 8002 ' Project Area Funding Required Funding Source Uptown $56,297 Transfer out tax increment ' CCWest 22,000 Transfer out tax increment Mt Vernon 75,400 Transfer out tax increment ' Project Area Recap: Uptown $56,297 Central City West 22,000 Mt. Vernon 75.400 Total Line 8002 153,697 1 ' - 58 - ' Line 8003 Page 1 of 2 ' EXPENDITURE DETAIL - TRANSFERS TRANSFERS LOW-MODERATE HOUSING FUND - BUDGET LINE 8003 w ' Project Area Funding Requirement Funding Source Justification ' SC $1,046,000 State College Transfer of the Tax Increment anticipated 20% to ' the Low Mod Housing Fund. CCN 130,400 Central City North Transfer of the Tax Increment anticipated 20% to the Low Mod Housing Fund. ' CCW 2,800 Central City West Transfer of the Tax Increment anticipated 20% to ' the Low Mod Housing Fund. SEIP 647,000 Southeast Industrial Transfer of the Park Tax Increment anticipated 20% to the Low Mod Housing Fund. ' NW 101,607 Northwest Transfer of the Tax Increment anticipated 20% to the Low Mod Housing Fund. TC. 125,654 Tri .City Transfer of the Tax Increment anticipated 20% to the Low Mod Housing Fund. ' Up 18,410 Uptown Transfer of the Tax Increment anticipated 20% to the Low Mod Housing ' Fund. SV 46,800 South Valle Transfer of the ' Tax Increment anticipated 20% to the Low Mod Housing Fund. (Continued Next Page) ' - 59 - ' Line 8003 Page 2 of 2 EXPENDITURE DETAIL - TRANSFERS TRANSFERS LOW-MODERATE HOUSING FUND- BUDGET LINE 8003 Project Area Funding Required Funding Source Justification CCP $495,600 Central City Proj Transfer of the ' Tax Increment anticipated 20% to the Low Mod Housing Fund. ' Mt Vernon 52,000 Mt. Vernon Corridor Transfer of the Tax Increment anticipated 20% to the Low Mod Housing Fund. ' Project Area Recap: State College $1,046,000 ' Central City North 130,400 Central City West 2,800 Southeast Industrial Park 647,000 ' Northwest 101,607 Tri City 125,654 Uptown 18,410 South Valle 46,800 Central City Projects 495,600 Mt Vernon 52.000 Total Line 8003 2,666.271, S ' - 60 - 2249A ECONOMIC DEVELOPMENT AGENCY OF THE CITY OF SAN BERNARDINO FROM: Gary Van Osdel, SUBJECT: ECONOMIC DEVELOPMENT Executive Director AGENCY FISCAL YEAR 1999-2000 BUDGET DATE: June 9, 1999 Synopsis of Previous Commission/Council/Committee Action(s): FE G None J iV 1� Z! Recommended Motion(s): (Community Development Commission) MOTION: That the Community Development Commission adopt the Economic Development Agency's Fiscal Year 1999-2000 Budget. Contact Person(s): Gary Van Osdell Barbara Lindseth Phone: 5081 Project Area(s) All Ward(s): All Supporting Data Attached: ❑O Staff Report❑ Resolution(s) ❑ Agreement(s)/Contract(s) ❑ Map(s) ❑ Letter/Memo FUNDING REQUIREMENTS Amount: S 43,030,420 Source: All Budget Authority: Requested i SIGNATURE: - Gary VA Osdel, Executive D' ector Tara Lindseth, Director Ecop4mic Development A ncy Administrative Services Commission/Council Notes: -------------------------------------------------------------------------------------------------------------------------------------------- GVO:BJL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: _�_ ECONOMIC DEVELOPMENT AGENCY STAFF REPORT --------------------------------------------------------------------------------------------------------------------- Economic Development Agency Fiscal Year 1999-2000 Budget The Economic Development Agency's proposed budget for fiscal year 1999-2000 is based upon projected revenues totaling $43,030,420. Of this total, $ 25,316,781 is anticipated project area tax increment, $2,934,871 is anticipated project area 20% set-aside (low-mod housing fund), $9,734,000 is Community Development Block Grant funds, $3,373,000 is HOME funds, $168,000 is Emergency Shelter grant hinds and $1,503,768 will come from Agency reserves. Ninety-one percent (91%) of the proposed budget encompasses required expenditures based on previous actions of the City Council and /or Community Development Commission concerning Agency bond payments, contracts, agreements, projects and programs. Thus, only nine percent (9 %) of the Agency's proposed budget or $3,860,870 is discretionary and therefore available for Agency staffing, administration/operations and City budget requirements. The $3,860,870 discretionary budget amount referenced above includes $1,891,785 for Agency staffing and direct administration/operations costs, $769,860 in Agency costs associated with legal and consultant services, property maintenance/management and marketing, and $1,199,225 for City master service agreements/obligations. The $1,891,785 for Agency staffing et al, represents a $420,000 cut (18%) from the current fiscal year and is a result of the elimination from the budget of a Typist Clerk III, a Senior Account Clerk and a Development Specialist, plus reductions in travel, training, office supplies, printing, postage, telephone, liability insurance, utilities and equipment. In addition, reductions of $140,000 in marketing and legal are also proposed and the amount for City master service agreements/obligations reflects a $600,000 decrease. At a budget workshop on February 18, 1999, Agency staff presented to the Commission a tax increment/bond proceeds cash flow analysis wherein the estimated deficit for fiscal year 1999- 2000 was projected at $2,940,845. However, pursuant to the "compromise agreement" reached with the City and the resultant $600,000 reduction in City master service agreements/operations, together with Agency cost reductions totaling $837,077 the projected deficit has been reduced to $1,503,768. If the provisions of this same compromise agreement are carried out again next year and the year thereafter, the Agency can anticipate a deficit of less than $740,000 for fiscal year 2000-2001 and positive tax increment cash flow for fiscal year 2001-2002. Based upon the foregoing, it is recommended that the Community Development Commission adopt the Agency's fiscal year 1999-2000 budget. Resolutions will be forthcoming for adoption at a fugo Commi on meeting to reflect the changes in Agency staffing and to update the Ag s job de 'ptions ry Vin Osdel, Executive Director ---------------------------------------------------------------------------------------------------------------------------------------- ---- GVO:BIL: COMMISSION MEETING AGENDA Meeting Date: 06/16/1999 Agenda Item Number: