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HomeMy WebLinkAbout05-29-2019 SM Agenda BackupCITY OF SAN BERNARDINO AGENDA FOR THE SPECIAL MEETING OF THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO WEDNESDAY, MAY 29, 2019 OPEN SESSION 5:30 PM COUNCIL CHAMBER 201 NORTH “E” STREET • SAN BERNARDINO, CA 92401 • WWW.SBCITY.ORG Theodore Sanchez John Valdivia James Mulvihill COUNCIL MEMBER, W ARD 1 MAYOR COUNCIL MEMBER, WARD 7 Sandra Ibarra Teri Ledoux COUNCIL MEMBER, W ARD 2 ACTING CITY MANAGER Juan Figueroa Gary D. Saenz COUNCIL MEMBER, W ARD 3 CITY ATTORNEY Fred Shorett Georgeann “Gigi” Hanna COUNCIL MEMBER, W ARD 4 CITY CLERK Henry Nickel David Kennedy COUNCIL MEMBER, W ARD 5 CITY TREASURER Bessine L. Richard COUNCIL MEMBER, W ARD 6 Welcome to a meeting of the Mayor and City Council of the City of San Bernardino. o Anyone who wishes to speak during public comment or on a particular item will be required to fill out a speaker slip. Speaker slips must be turned in to the City Clerk. You may email your request to speak to publiccomments@sbcity.org prior to 5:30 p.m. Each request will cover one speaker. Those who wish to speak must submit their own request to be called on by the Mayor. o There is a 3-minute-per-person time limit for all comments, including public or quasi-judicial hearings. o Written comment on any item may also be submitted to the City Clerk to be included in the meeting record. It will not be read aloud by the City Clerk. o All who wish to speak, including Council members and staff, need to be recognized by the Mayor or Mayor Pro Tempore before speaking. o Please contact the City Clerk’s Office (384-5002) two working days prior to the meeting for any requests for reasonable accommodation to include interpreters. o All documents for public review are on file with the City Clerk’s Office or may be accessed online by going to www.sbcity.org. o Please turn off or mute your cell phone while the meeting is in session. Special Meeting Agenda May 29, 2019 Mayor and City Council of the City of San Bernardino Page 2 Printed 05/24/2019 5:30 P.M. OPEN SESSION Call to Order Attendee Name Present Absent Late Arrived Council Member, Ward 1 Theodore Sanchez    Council Member, Ward 2 Sandra Ibarra    Council Member, Ward 3 Juan Figueroa    Council Member, Ward 4 Fred Shorett    Council Member, Ward 5 Henry Nickel    Council Member, Ward 6 Bessine L. Richard    Council Member, Ward 7 James Mulvihill    Mayor John Valdivia    City Clerk Georgeann "Gigi" Hanna    City Attorney Gary D. Saenz    Acting City Manager Teri Ledoux    PLEDGE OF ALLEGIANCE STAFF REPORTS 1. Certified Election Results Recommendation: Adopt Resolution No. 2019-85 of the Mayor and City Council of the City of San Bernardino, California, reciting the facts of the Special Municipal Election held in said City on the 7th day of May 2019, declaring the results thereof, and setting forth such other matters as are provided by law. 2. Relocation of City Council Meetings to Feldheym Library Recommendation: Adopt Resolution No. 2019-150, of the Mayor and City Council of the City of San Bernardino, California, authorizing the relocation of Regular and Special City Council meetings to the Bing S. Wong Lecture Hall located at Feldheym Library (555 W 6th Street, San Bernardino, CA 92410) beginning on Wednesday, August 7, 2019. 3. Presentation of FY 2019/20 Proposed Budget Recommendation: Receive a presentation of the FY 2019/20 Proposed Budget and provide staff direction. Special Meeting Agenda May 29, 2019 Mayor and City Council of the City of San Bernardino Page 3 Printed 05/24/2019 CLOSED SESSION A. CONFERENCE WITH LEGAL COUNSEL – ANTICIPATED LITIGATION Significant exposure to litigation (Pursuant to Government Code Section 54956.9(d)(4)): One case B. PUBLIC EMPLOYEE EVALUATION (Pursuant to Government Code Section 54957(b)(1)): City Manager C. PUBLIC EMPLOYEE DISMISSAL (Pursuant to Government Code Section 54957(b)(1)): City Manager ADJOURNMENT The next joint regular meeting of the Mayor and City Council and the Mayor and City Council Acting as the Successor Agency to the Redevelopment Agency will be h eld on June 5, 2019 in the Council Chamber located at 201 North “E” Street, San Bernardino, California 92401. Closed Session will begin at 5:30 p.m. and Open Session will begin at 7:00 p.m. CERTIFICATION OF POSTING AGENDA I, Georgeann “Gigi” Hanna, MMC, City Clerk for the City of San Bernardino, California, hereby certify that the agenda for the May 29, 2019 Special Meeting of the Mayor and City Council was posted on the City’s bulletin board located at 201 N. “E” Street, San Bernardino, California, at the San Bernardino Public Library, and on the City’s website www.ci.san-bernardino.ca.us on Friday, May 24, 2019. I declare under the penalty of perjury that the foregoing is true and correct. ______________________________ Georgeann “Gigi” Hanna, MMC, City Clerk NOTICE OF A SPECIAL MEETING OF THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO DATE: May 24, 2019 SUBJECT: Special Meeting on May 29, 2019 NOTICE IS HEREBY GIVEN that the Mayor of the City of San Bernardino has called a Special Meeting to be held at 5:30 p.m., Wednesday, May 29, 2019 in the Council Chamber at 201 N. “E” Street, San Bernardino, California 92401 . Said meeting shall be for the purpose of considering the following: OPEN SESSION 1. Certified Election Results Recommendation: Adopt Resolution No. 2019-85 of the Mayor and City Council of the City of San Bernardino, California, reciting the facts of the Special Municipal Election held in said City on the 7th day of May 2019, declaring the results thereof, and setting forth such other matters as are provided by law. 2. Relocation of City Council Meetings to Feldheym Library Recommendation: Adopt Resolution No. 2019-150, of the Mayor and City Council of the City of San Bernardino, California, authorizing the relocation of Regular and Special City Council meetings to the Bing S. Wong Lecture Hall located at Feldheym Library (555 W 6th Street, San Bernardino, CA 92410) beginning on Wednesday, August 7, 2019. 3. Presentation of FY 2019/20 Proposed Budget Recommendation: Receive a presentation of the FY 2019/20 Proposed Budget and provide staff direction. CLOSED SESSION A. CONFERENCE WITH LEGAL COUNSEL – ANTICIPATED LITIGATION Significant exposure to litigation (Pursuant to Government Code Section 54956.9(d)(4)): One case B. PUBLIC EMPLOYEE EVALUATION (Pursuant to Government Code Section 54957(b)(1)): City Manager C. PUBLIC EMPLOYEE DISMISSAL (Pursuant to Government Code Section 54957(b)(1)): City Manager ADJOURNMENT The next joint regular meeting of the Mayor and City Council and the Mayor and City Council Acting as the Successor Agency to the Redevelopment Agency will be held on June 5, 2019 in the Council Chamber located at 201 North “E” Street, San Bernardino, California 92401. Closed Session will begin at 5:30 p.m. and Open Session will begin at 7:00 p.m. Staff Report City of San Bernardino Request for Council Action Date: May 29, 2019 To: Honorable Mayor and City Council Members From: Teri Ledoux, Acting City Manager By: Gigi Hanna, City Clerk Subject: Certified Election Results Recommendation Accept the City Clerk’s certification of the May 7, 2019 Special Municipal Election and adopt Resolution No. 2019-85 of the Mayor and City Council of the City of San Bernardino, California, reciting the facts of the Special Municipal Election held in said City on the 7th day of May 2019, declaring the results thereof, and setting forth such other matters as are provided by law. Background The City of San Bernardino held a Special Mail Ballot Election on May 7th, 2019 to fill the Ward 3 vacancy created when the Ward 3 Council Member was elected Mayor. The San Bernardino Special Municipal Election was conducted May 7, 2019 by the San Bernardino County Registrar of Voters and the results were certified by the Registrar on May 21, 2019. Attached are a Resolution accepting the City Clerk’s certification of the election and the statement of votes cast for the race. Attachments Attachment 1 Resolution; Exhibit A: Statement of Votes Cast Motion Accept the City Clerk’s certification of the May 7, 2019 Special Municipal Election and adopt Resolution No. 2019-85 of the Mayor and City Council of the City of San Bernardino, California, reciting the facts of the Special Municipal Election held in said City on the 7th day of May 2019, declaring the results thereof, and setting forth such other matters as are provided by law. 1.a Packet Pg. 6 Resolution No. 2019-85 RESOLUTION NO. 2019-85 RESOLUTION OF THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO, CALIFORNIA, RECITING THE FACTS OF THE SPECIAL MUNICIPAL ELECTION HELD IN SAID CITY ON THE 7TH DAY OF MAY 2019, DECLARING THE RESULTS THEREOF, AND SETTING FORTH SUCH OTHER MATTERS AS ARE PROVIDED BY LAW WHEREAS, a Special Municipal Election was held and conducted in the City of San Bernardino on the 7th day of May 2019 to fill a vacancy in the Ward 3 Council seat; WHEREAS, notice of said election was duly and regularly given in the time, form, and manner as provided by law; election officers were appointed and in all respects said election was held and the returns made and declared in the time, form, and manner as required by the provisions of the Charter of the City of San Bernardino and the Elections Code of the State of California for the holding of public elections in the City of San Bernardino; WHEREAS, on May 7, 2019, there were 11,263 registered voters in Ward 3 of the City of San Bernardino residing in 38 voting precincts eligible to vote in the mail ballot election; WHEREAS, a total of 1,445 votes were cast for a voter turnout of 12.83 percent; and WHEREAS, the Registrar of Voters of the County of San Bernardino canvassed the returns of the said election and has certified the results to this City Council and said results are received, attached, and made a part hereof as Exhibit “A.” BE IT RESOLVED BY THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: SECTION 1. The above recitals are true and correct and are incorporated herein by this reference. SECTION 2. That the City Clerk shall enter on the records of the City Council of said City a statement of the results of the Special Municipal Election held on the 7th day of May 2019 including all information required by Elections Code section 10264. SECTION 3. That the Mayor and City Council hereby recite the fact of the Special Municipal Election and declare the results of said election as certified by the County Registrar of Voters, as stated in Exhibit “A” attached hereto, as official. SECTION 4. That the City Council finds this Resolution is not subject to the California Environmental Quality Act (CEQA) in that the activity is covered by the general rule that CEQA applies only to projects which have the potential for causing a significant effect on the environment. Where it can be seen with certainty, as in this case, that there is no possibility that 1.b Packet Pg. 7 Resolution No. 2019-85 the activity in question may have a significant effect on the environment, the activity is not subject to CEQA. SECTION 5. Severability. If any provision of this Resolution or the application thereof to any person or circumstance is held invalid, such invalidity shall not affect other provisions or applications, and to this end the provisions of this Resolution are declared to be severable. SECTION 6. Effective Date. This Resolution shall become effective immediately. APPROVED and ADOPTED by the City Council and signed by the Mayor and attested by the City Clerk this 29th day of May 2019. John Valdivia, Mayor City of San Bernardino Attest: Georgeann Hanna, MMC, City Clerk Approved as to form: Gary D. Saenz, City Attorney 1.b Packet Pg. 8 Resolution No. 2019-85 CERTIFICATION STATE OF CALIFORNIA ) COUNTY OF SAN BERNARDINO) ss CITY OF SAN BERNARDINO ) I, Georgeann Hanna, MMC, City Clerk, hereby certify that the attached is a true copy of Resolution No. 2019-85, adopted at a regular meeting held on the 29th day of May 2019 by the following vote: Council Members: AYES NAYS ABSTAIN ABSENT SANCHEZ IBARRA FIGUEROA SHORETT NICKEL RICHARD MULVIHILL WITNESS my hand and official seal of the City of San Bernardino this 29th day of May 2019. Georgeann Hanna, MMC, City Clerk 1.b Packet Pg. 9 5/21/19 1:58 PM 100002 RegistrationBallots CastTurnout (%)JUAN FIGUEROAANTHONY R. AGUIRRETREASURE ORTIZCITY OF SAN BERNARDINO, CITY COUNCIL, WARD 3 SAN BERNARDINO COUNTY Statement of Vote SAN BERNARDINO WARD 3 SPECIAL ELECTIONMay 7,2019 1 of 1 SB30914 914 933 125 13.40 63 4 52 SB30940 940 0 0 0.00 000 SB30941 941 5 1 20.00 000*********** Insufficient Turnout to Protect Voter Privacy ********* SB30942 942 7 1 14.29 100*********** Insufficient Turnout to Protect Voter Privacy ********* SB30943 943 389 48 12.34 28 0 19 SB30944 944 0 0 0.00 000 SB30945 945 7 0 0.00 000 SB30946 946 0 0 0.00 000 SB30947 947 4 0 0.00 000 SB31655 1655 0 0 0.00 000 SB31656 1656 0 0 0.00 000 SB30981 981 1702 198 11.63 146 4 43 SB30982 982 1077 152 14.11 106 4 37 SB30983 983 852 79 9.27 57 2 18 SB30984 984 516 34 6.59 24 1 8 SB30985 985 565 75 13.27 48 0 27 SB31008 1008 1375 160 11.64 119 5 32 SB31009 1009 9 1 11.11 000*********** Insufficient Turnout to Protect Voter Privacy ********* SB31010 1010 862 163 18.91 92 31 32 SB31011 1011 0 0 0.00 000 SB31012 1012 0 0 0.00 000 SB31013 1013 141 11 7.80 425 SB31014 1014 134 13 9.70 615 SB31094 1094 594 85 14.31 46 7 29 SB31207 1207 0 0 0.00 000 SB31208 1208 0 0 0.00 000 SB31213 1213 0 0 0.00 000 SB31214 1214 1934 293 15.15 207 3 70 SB31659 1659 0 0 0.00 000 SB31660 1660 0 0 0.00 000 SB31661 1661 0 0 0.00 000 SB11217 1217 0 0 0.00 000 SB31658 1658 0 0 0.00 000 SB31716 1716 0 0 0.00 000 SB31717 1717 0 0 0.00 000 SB31718 1718 157 6 3.82 501 SB31719 1719 0 0 0.00 000 SB31721 1721 0 0 0.00 000 Precinct Totals 11263 1445 12.83 952 64 378 Grand Totals 11263 1445 12.83 952 64 378 California 11263 1445 12.83 952 64 378 San Bernardino County 11263 1445 12.83 952 64 378 State Bd of Equal 4 11263 1445 12.83 952 64 378 U. S. Representative District 31 11263 1445 12.83 952 64 378 Senatorial District 20 8578 1061 12.37 694 54 278 Senatorial District 23 2685 384 14.30 258 10 100 State Assembly District 40 2685 384 14.30 258 10 100 State Assembly District 47 8578 1061 12.37 694 54 278 Supervisorial District 3 1527 210 13.75 109 11 81 Supervisorial District 5 9736 1235 12.68 843 53 297 City of San Bernardino 11263 1445 12.83 952 64 378 1.c Packet Pg. 10 2.a Packet Pg. 11 2.a Packet Pg. 12 Resolution No. 2019-150 RESOLUTION NO. 2019-150 RESOLUTION OF THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO, CALIFORNIA, AUTHORIZING THE RELOCATION OF REGULAR AND SPECIAL CITY COUNCIL MEETINGS TO THE BING S. WONG LECTURE HALL LOCATED AT FELDHEYM LIBRARY (555 W 6TH STREET, SAN BERNARDINO, CA 92410) BEGINNING ON WEDNESDAY, AUGUST 7, 2019 WHEREAS, Chapter 2.58.010 of the City of San Bernardino’s Municipal Code states that Regular meetings of the Mayor and City Council of the City of San Bernardino shall be held on the first and third Wednesdays of each month commencing at five-thirty p.m. (5:30 p.m.) for Closed Session and at seven p.m. (7 p.m.) for Open Session at the City Council Chambers, City Hall, 300 North “D” Street, San Bernardino, California, or such other location within the City as may be properly noticed; and WHEREAS, the City Council has determined that there is a need to hold Regular and Special City Council meetings in a location that can provide additional space and improved access for the public; and WHEREAS, the Feldheym Library is a City owned facility and has adequate space to accommodate Regular and Special meetings of the Mayor and City Council with closed session taking place in the Mary Belle Kellogg room and open session taking place in the Bing W. Wong Lecture Hall. BE IT RESOLVED BY THE MAYOR AND CITY COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: SECTION 1. The above recitals are true and correct and are incorporated herein by this reference. SECTION 2. The City Council authorizes the relocation of Special and Regular meetings of the Mayor and City Council to the Feldheym Library at 555 W 6th Street, San Bernardino, CA 92410. SECTION 3. That the City Council finds this Resolution is not subject to the California Environmental Quality Act (CEQA) in that the activity is covered by the general rule that CEQA applies only to projects which have the potential for causing a significant effect on the environment. Where it can be seen with certainty, as in this case, that there is no possibility that the activity in question may have a significant effect on the environment, the activity is not subject to CEQA. SECTION 4. Severability. If any provision of this Resolution or the application thereof to any person or circumstance is held invalid, such invalidity shall not affect other provisions or applications, and to this end the provisions of this Resolution are declared to be severable. 2.b Packet Pg. 13 Resolution No. 2019-150 SECTION 5. Effective Date. This Resolution shall become effective on Wednesday, August 7, 2019. APPROVED and ADOPTED by the City Council and signed by the Mayor and attested by the City Clerk this ___ day of __________, 2019. John Valdivia, Mayor City of San Bernardino Attest: __________________________________ Georgeann Hanna, MMC, City Clerk Approved as to form: __________________________________ Gary D. Saenz, City Attorney 2.b Packet Pg. 14 Resolution No. 2019-150 CERTIFICATION STATE OF CALIFORNIA) COUNTY OF SAN BERNARDINO) ss CITY OF SAN BERNARDINO ) I, Georgeann Hanna, MMC, City Clerk, hereby certify that the attached is a true copy of Resolution No. ______, adopted at a regular meeting held at the ___ day of ____, 2019 by the following vote: AYES NAYS ABSTAIN ABSENT _____ _____ _______ _______ _____ _____ _______ _______ _____ _____ _______ _______ _____ _____ _______ _______ _____ _____ _______ _______ _____ _____ _______ _______ Council Members: SANCHEZ IBARRA FIGUEROA SHORETT NICKEL RICHARD MULVIHILL _____ _____ _______ _______ WITNESS my hand and official seal of the City of San Bernardino this ___ day of ____________ 2019. ______________________________ Georgeann Hanna, MMC, City Clerk 2.b Packet Pg. 15 Location Map Not to Scale 2.c Packet Pg. 16 Feldheym Library Room: Bing S. Wong Lecture Hall Entry 2.d Packet Pg. 17 1 Staff Report City of San Bernardino Request for Council Action Date: May 29, 2019 To: Honorable Mayor and City Council Members From: Teri Ledoux, Acting City Manager By: Rita Conrad, Interim Director of Finance Subject: Presentation of FY 2019/20 Proposed Budget Recommendation That the Mayor and City Council receive a presentation of the FY 2019/20 Proposed Budget and provide staff direction. Background The City is required to adopt an operating budget every year before the start of the new fiscal year. Staff has been working on the development of the FY 2019/20 Proposed Budget since January of 2019. Direction was provided to City Departments relative t o the development of their respective budgets. Meetings with Departments, the Finance Department, and the City Manager’s Office to review departmental submittals have been on-going since that time. The purpose of this study session is to discuss the proposed budget and provide direction to staff. The Proposed FY 2019/20 Budget document (Attachment 1) provides two important benchmarks to assist you in prioritizing the City's responsibilities and goals. First, the document presents to you the cost of providing services and programs to the community. Second, the document provides you with estimated funding resources available, taking into account the current economic outlook, legal restrictions, and availability of state and federal funding sources. This budget continues to focus a vast majority of the City's limited general fund resources on the high priority of public safety. Discussion The FY 2019-20 Proposed Budget presented to you today is generally a “status quo” budget meaning no additional services or programs. As presented, the General Fund budget reflects a structural operating deficit of just under $11.2 million. Total General Fund revenues, estimated at $127.4 million, are flat compared to the current year’s estimate with growth of less than .5% ($398,200 increase). Expenditures however, are estimated at $138.6 million, which is an increase of just under 10%, or $12.4 million. 3.a Packet Pg. 18 2 The estimated beginning General Fund balance (not including non -spendable assets) is conservatively estimated at $25 million - down $13.9 million from an almost $39 million fund balance at June 30, 2018. Although a number of cost saving measures in the bankruptcy-related Plan of Adjustment have been implemented (including outsourcing legal services, outsourcing/franchising refuse services, and annexing into the Fire County District for fire protection services), the City continues to weather a difficult budget situation where increasing costs and demands for basic levels of services continue to outpace revenue growth. As a result, the City has faced yearly rounds of staffing reductions, employee concessions, and program reductions/eliminations. More recently, last May, 2018 during the preparation of the FY 2018/19 budget, twenty-five (25) positions were deleted to close a budget gap of over $5 million. While the bankruptcy allowed the City to restructure and/or eliminate approximately $76 million in long-term obligations, it did not resolve the City’s structural annual operating deficit. Both the 20-year projection included with the City’s Plan of Adjustment, and the most recent 10-year projection presented to the Mayor and Council in November of 2018 illustrated increasing deficits over time, even with suggested cost saving measures fully implemented. The accelerated rate of deficit growth has increased due to a number of factors (these items are discussed in further detail in the Budget Narrative/Overview section of the Proposed Budget document):  Overall General Fund revenues are flat. Utility User’s Tax has not experienced the growth factored into previous projections. For the upcoming year, this is an approximate $1.5 million reduction. Due to restrictions related to Proposition 218 (law governing costs paid by utility ratepayers), reimbursement from the Water Department to the City for costs incurred has been severely reduced. This equates to about a $2 million revenue reduction. Other areas of revenue growth have managed to offset the reduction in UUT and Water Department revenue:  VLF $1,000,000  Franchise fee $575,000  Special Events related to cannabis -$450,000  Measure Z - $421,000  Licenses and Permits - $528,100  Property Transfer Tax - $300,000  In attempting to address serious issues with employee attraction and retention (especially within the Police Department), and after years of employee concessions or no increases, the City implemented a number of salary and benefit increases. The combined estimated increase for FY 2019/20 related to salary and benefit costs is just under $2.6 million. 3.a Packet Pg. 19 3  Increases to CalPERS unfunded liability, while factored into the Plan of Adjustment projection, have increased at a faster pace due to changes in CalPERS discount rate assumptions. The estimated increase to the General Fund is approximately $3.7 million.  Public Works costs previously funded with Gas Tax monies have been shifted to the General Fund as the Gas Tax fund balance has been steadily depleted by expenditures related to severely needed street improvements. Public Works was able to offset most of this cost (approximately $850,000) with reductions in line items for equipment replacement.  In the prior year’s budget, it was estimated that Public Works staff would charge approximately $1 million of staff time to Capital Improvement Program (CIP) funds. However, with limited CIP funds available and reduced staffing, this number is unrealistic and has been reduced by $658,000 to more a ccurately reflect staff time related to CIP projects.  Bankruptcy related costs, while declining by to $2.7 million from FY 2018/19 estimate of $4.2 million, is still anticipated to be approximately $1.5 million.  The Police Department COPS grant that partially funds eleven (11) patrol officers ends in September of 2019, equating to a los s in grant revenue of $781,200. However, this has been partially offset by the annual COPS “Enhancing Law Enforcement Activity Sub-Account (ELEAS) in the amount of $400,000 which the City has received for a number of years but had not been previously budgeted in the General Fund.  Increased debt service payments of $688,300. The restructured Pension Obligation Bond debt schedule periodically steps up the required annua l payments. The total annual Debt Service payments are $4,168,300 and are detailed under the debt service tab. Of this total, $1,337,500 is related to POBs.  Internal Service Fund charges to the General Fund (Workers Comp, Liability, Fleet Services and Information Technology) have increased by a combined total of $1.4 million. Of this, over $400,000 is attributed to increases in Worker’s Compensation, Liability, and Property Insurance premiums. Fleet Services were impacted due to the loss of a $300,000 federal fuel credit that is no longer available. The remainder of increases are due to primarily to changes in personnel costs (COLA’s, merit increases, PERS, etc.).  Because twenty-five vacant positions were deleted in FY 2018/19 and more positions are expected to be deleted in FY 2019/20, the Budgeted Expenditure Savings credit of $3 million was reduced to just under $2 million. 3.a Packet Pg. 20 4  At the time the budget document was printed, the proposed contract for Animal Services with Riverside County had not been declined by Riverside County. This document reflects that Animal Services will be contracted out. This will be discussed in more detail during the budget workshops with the Mayor and Council. Framing the projected FY 2019/20 deficit in the context of a projected reduction in General Fund reserves of approximately $13.9 million in the current year, it is recommended that the deficit be addressed with across -the-board expenditure reductions. The City continues to explore revenue enhancement opportunities including: a fee study to be completed in the summer of 2019, possible revenue ballot measures for November of 2020, and cannabis revenue. These are longer range strategies and will not immediately address the City’s financial challenges in the upcoming fiscal year. General Fund Reserves If the deficit is not eliminated, General Fund reserves would be reduced by $11.2 million to $14.7 million. It is important to note that General Fund Reserves are already anticipated to be reduced by $13.9 million in the current fiscal year due to bankruptcy costs, shifted costs from the Gas Tax fund, and use of reserves for CIP projects. Additionally, presently the City is not reaching is reserve goals of a 10% Economic Contingency reserve. The following chart provides an analysis of General Fund Reserves: 3.a Packet Pg. 21 5 Proposed Strategies to Eliminate Deficit To address the $11,156,200 deficit, the City Manager directed Departments to develop strategies to reduce their departmental budgets by 7% to 8%. The City Manager proposes a 12% reduction to City Manager’s department budget and Public Works developed reductions of 9%. Reductions were not requested of the City Attorney’s Office as their budget was reduced by $497,900 (deletion of five positions) when the FY 2018/19 budget was adopted. Their proposed FY 2019/20 budget reflects an additional reduction of $719,300 compared to the FY 2018/19 Adopted Budget. The chart below outlines the departmental expenditure budgets included in the FY 2019/20 Proposed Budget document and also provides the reduction amount submitted by each department. Details regarding each Department’s proposal are in Attachment 2 “Budget Deficit Reduction Strategies.” Analysis of Reserve Policy Targets FY 2018/19 Adopted Budget Updated FY 2018/19 Projection Proposed FY 2019/20 Projection Estimated Revenues: 126,990,500 126,968,000 127,388,700 Estimated Expenditures: (126,191,900) (140,922,500) (138,544,900) Operating Surplus/(Deficit): 798,600 (13,954,500) (11,156,200) Beginning Fund Balance July 1: 38,995,700 39,794,300 25,839,800 Operating Surplus/(Deficit) 798,600 (13,954,500) (11,156,200) Projected Ending Fund Balace June 30: 39,794,300 25,839,800 14,683,600 Reserves by Category: FY 2018/19 Adopted Budget Updated FY 2018/19 Projection Proposed FY 2019/20 Projection Operating Reserve: Emergency Reserve - 15% of adopted budget 18,900,000$ 18,900,000$ 14,683,600$ Economic Contingency Reserve -10% of adopted budget 12,600,000 6,439,800 Special Reserves:- Risk Management Reserve 1,983,200 - Reserve for Continuing Appropriations/Carryovers 1,512,500 - City Facilities/CIP Reserve 4,000,000 500,000 Unassigned 798,600 0 0 Combined Reserves:39,794,300$ 25,839,800$ 14,683,600$ 3.a Packet Pg. 22 6 Plan of Adjustment Update As part of the City’s exit from bankruptcy, the City adopted a Plan of Adjustment (“Plan”) to submit to the court to serve as the roadmap for treatment of obligations, as well as to serve as a roadmap for a solvent future. In order to remain solvent and have the ability to provide a better level of service to the community, the City needs to continue streamlining its governance and operations by modernizing service delivery and it must find ways to increase revenue. Several elements of the plan have been implemented such as: outsourcing refuse to Burrtec; annexing into the Fire District for County Fire protection; outsourcing Attorney services; modernizing the City Charter; and completing studies for several other elements of the plan. However, there are still many elements that need to be accomplished, with the major one being the need to increase revenues. In the short - term, staff will be bringing forward recommended fee increases (study has been completed), other opportunities to outsource, and other opportunities for immediate savings and revenue increases. Looking longer term, in March of this year, the City Council authorized staff to issue Requests for Proposals for professional Public Opinion Research and Strategic Communications and Education Services to assist with a potential tax measure for the November 2020 General Election. Staff will be bringing these agreements to the City 3.a Packet Pg. 23 7 Council on June 5th for approval. The Public Opinion Research Company will poll the community to gauge their propensity to increase or add certain taxes including: the renewal/increase of Measure Z sales tax, transient occupancy tax, Utility User’s Tax, real property transfer tax, and business registration tax. On June 15th, staf f will bring forward an update on progress that has been made to implement the Plan that will include goals for implementing the remaining elements. 2018/19 Goals and Objectives The budget development and review process aligns with Goal No. 6: – Operate in a Fiscally Responsible and Business-Like Manner. The information included herein is useful to the Mayor and City Cou ncil as they make decisions about the allocation of City resources to meet its goals and objectives. Fiscal Impact There is no fiscal impact from the presentation of the FY 2019/20 Proposed Budget. The annual budget process helps ensure that the City’s limited resources are being directed toward those projects and function that the Mayor and City Council believe best support their approved list of Goals and Objectives and vision for the community. Conclusion After reviewing this report and attachments, and at the conclusion of the FY 2019/20 Proposed Budget presentation, staff requests that the Mayor and Council provide further direction. The next steps in the budget development and adoption process are: June 3 Presentation of Five-Year CIP to Mayor and City Council June 5 Further budget review with Mayor and City Council June 19 Public Hearing and Adoption of FY 2019/20 Operating Budget and CIP Attachments Attachment 1 – FY 2019/20 Proposed Budget Attachment 2 – Budget Deficit Reduction Strategies Ward: Citywide Synopsis of Previous Council Actions: FY 2018/19 Mid-Year Budget Update March 6, 2019 3.a Packet Pg. 24 3.b Packet Pg. 25 3.b Packet Pg. 26 3.b Packet Pg. 27 3.b Packet Pg. 28 3.b Packet Pg. 29 3.b Packet Pg. 30 3.b Packet Pg. 31 3.b Packet Pg. 32 3.b Packet Pg. 33 3.b Packet Pg. 34 3.b Packet Pg. 35 3.b Packet Pg. 36 3.b Packet Pg. 37 3.b Packet Pg. 38 3.b Packet Pg. 39 3.b Packet Pg. 40 3.b Packet Pg. 41 3.b Packet Pg. 42 3.b Packet Pg. 43 3.b Packet Pg. 44 3.b Packet Pg. 45 3.b Packet Pg. 46 3.b Packet Pg. 47 3.b Packet Pg. 48 3.b Packet Pg. 49 3.b Packet Pg. 50 3.b Packet Pg. 51 3.b Packet Pg. 52 3.b Packet 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Cut City Attorney 2,409,000 2,409,000 0% City Clerk 947,400 64,800 882,600 7% City Manager 3,556,600 415,700 3,140,900 12% Community & Economic Development 4,281,600 307,900 3,973,700 7% Economic & Housing Development - - Finance 4,032,500 288,700 3,743,800 7% General Government 6,112,300 6,112,300 0% Human Resource 1,143,200 82,200 1,061,000 7% Legislative - Mayor & City Council 1,843,700 103,600 1,740,100 7%* Library 1,943,500 139,600 1,803,900 7% Parks Recreation & Community 4,663,200 324,500 4,338,700 7% Police 90,473,800 7,140,800 83,333,000 8% Public Works 17,138,100 1,935,400 15,202,700 9% Grand Total 138,544,900 10,803,200 127,741,700 Information Technology 4,829,200 353,000 4,476,200 Adjusted Reductions Total 11,156,200 127,388,700 * Elected Officals' cost not included in cut calculation. FY 2019/20 Recommended Cuts by Department Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 471 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department City Clerk 59,600 Division Administration 5,200 Budget Reduction:64,800 Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s) Vacant FTE Filled FTE $ Amount (Salary & Benefits) 1,100 1 58,500 59,600 Non-Personnel Reductions: Account Description Amount 1,000 Education and Training 3,000 Equipment Maintenance 1,200 5,200 Revenue Increases/(Decreases) Account Description Amount 0Total Account Number Total The elimination of the vacant full-time Senior Customer Service Representative position will impact service levels within the City Clerk's Office. The reduction in the equipment maintenance budget will not impact the ability to digitize the City's subpoenas, summons, and claims. Currently there are three scanners capable of digitizing records, however the large scanner requires special maintenance. Funding for materials, supplies, education and training will be reduced along with reductions in part-time staffing and overtime in an effort to meet the City's operating budget reduction goals. Elimination of a Senior Customer Service Representative and various operational line items. Net Personnel Reductions Other Non-Personnel Reductions Overtime ($1,500 to 400) Net Increase/(Decrease) Revenues Net Savings Senior Customer Service Rep. Account Number Materials and Supplies Total 001-030-0001-5111 001-030-0001-5133 001-030-0001-5172 Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 472 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department City Manager (56,800) 472,500 - 415,700 Budget Reduction: Impact and how the Department plans to achieve the reduction: Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Reduction of Mileage, Education & Training, Meetings & Conferences, Postage, and Professional Contractual. Reduction to Printing Charges and Professional Contractual Services. Reduction to Overtime and Salaries Temporay Parttime. Reduction to Salaries Temporary Part-time, Advertising, Education & Training, and Professional Contractual Services. Reduction of Materials and Supplies, Meetings and Conferences, Other Operating Expenses, and Professional Contractual Services. The proposed budget for Administration within the Office of the City Manager has been reduced by $176,700. This reduction is a result of the elimination of professional contractual services funding for strategic planning and organizational development as well as staff training and development. The proposed budget for the Communications Division has been reduced by $117,500. This reduction is a result of the elimination of professional contractual services funding for marketing and communications services including the production of the City's annual report. In order to provide a baseline of communications services, the proposed budget calls for the transfer of the Community Engagement Specialist from the Police Department to the City Manager's Office to support communications services for the City as a whole including the Police Department. Funding has been included in the proposed budget to provide for tax measure public opinion polling, strategic communication and public education services. The proposed budget for the Customer & Neighborhood Services Division has been reduced by $13,500 including a reduction in funding allocated for part-time staff within the SB Direct information center. While this reduction will not reduce current service levels, the Division will not be able to add staffing to address call volume/counter service levels during peak times. The proposed budget includes funding the Neighborhood Resources Center approved by the City Council April 3, 2019. The proposed Administrative Services Division budget has been reduced by $101,300. This reduction will result in the elimination of the City's State Legislative Advocacy contract. The Division has also reduced part-time administrative support hours designated to assist with recruitment, administrative and special projects. The proposed budget for the Violence Intervention Division has been reduced by $78,650. The core program will be able to continue with the proposed budget. The reduced funding will result in a reduction in Professional and Contractual services to provide technical support and training for City Outreach Workers and Police Officers. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 473 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department City Manager (56,800) 472,500 - 415,700 Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Personnel Reductions: Position Title(s)Division Vacant FTE Filled FTE $ Amount (Salary & Benefits) Communications 1 -$72,000 0.5 $15,200 1.5 -$56,800 Non-Personnel Reductions: Account Description Division Amount Administration $300 Administration $4,500 Administration $1,500 Administration $400 Administration $170,000 Communications $17,500 Communications $100,000 Customer & Neighborhood Services $13,000 Customer & Neighborhood Services $500 VIP $900 VIP $300 VIP $2,500 VIP $75,000 Administrative Services $1,000 Administrative Services $1,100 Administrative Services $84,000 $472,500 Revenue Increases/(Decreases) Account Description Amount $0 Apprentice Community Engagement Specialist (PD) Total Account Number Mileage 001-100-0001-5131 Meetings and Conferences 001-100-0001-5132 Education and Training 001-100-0001-5133 Postage 001-100-0001-5175 Professional Contractual Services 001-100-0001-5502 Printing Charges 001-100-0013-5174 Professional Contractual Services 001-100-0013-5502 Salaries Temporary Part-time 001-100-0067-5014 Overtime 001-100-0067-5015 Materials and Supplies 001-100-0150-5111 Meetings and Conferences 001-100-0150-5132 Other Operating Expense 001-100-0150-5181 Professional Contractual Services 001-100-0150-5502 Advertising 001-100-0149-5121 Education and Training 001-100-0149-5133 Professional Contractual Services 001-100-0149-5502 Total Account Number Total Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 474 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2029 Department 277,900.00$ 30,000$ 307,900$ Budget Reduction: Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s) Vacant FTE Filled FTE $ Amount (Salary & Benefits) Administration 46,600$ Building & Safety 1 130,000$ Planning 1 101,300$ 277,900$ Non-Personnel Reductions: Account Description Amount Economic Development 30,000$ 30,000$ Revenue Increases/(Decreases) Account Description Amount $ 0Total Account Number Total Department Director will charge 20% of his time to Admin ROPS reducing the amount charged to the General Fund. The Building Official position will be eliminated in the FY 2019/20 budget pending further assessment of department operations and staffing needs. The Building and Safety Division needs a strong manager to oversee the technical staff to improve efficiency and reduce the processing time for major projects. A classification and compensation study will need to be completed to make the classification marketable, ensuring that the City is able to attract and retain a qualified Building Official. Until this assessment can be completed the City will continue to use contract personnel. While the Department is in need of a planner with advanced planning experience to assist with the comprehensive update to the General Plan this position will be eliminated in FY2019/20 in order to meet the necessary budget reductions . In addition to the elimination of the two vacant positions, reductions will be made in the resources allocated to outside counsel, transferring economic development legal work to BB&K. Elimination of two vacant positions as well as reducing a legal service contract. Net Personnel Reductions Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Senior Planner Charge Directors time to admin ROPS Chief Building Official Community & Economic Development Account Number Total 001-180-0144-5503Reduce Outside legal services Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 475 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Finance $215,900 $72,800 $288,700 Budget Reduction: Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s) Vacant FTE Filled FTE $ Amount (Salary & Benefits) 1 $154,900 1 $61,000 $215,900 Non-Personnel Reductions: Account Description Davison Amount Administration $50,000 Administration $2,000 Business Registration $3,500 Business Registration $2,000 Treasurer's Office $3,200 Accounting $200 Accounting $1,000 Payroll $100 Payroll $1,300 Purchasing $3,000 Purchasing $4,000 Budget $500 Budget $2,000 $72,800 001-120-0039-5122 001-120-0039-5132 001-120-0017-5502 001-120-0042-5132 Professional Contractual Meetings and Conferences Small Tools and Equipment Meetings and Conferences Professional Contractual Dues and Subscriptions Meetings and Conferences Dues and Subscriptions 001-120-0001-5132 001-120-0012-5112 001-120-0012-5132 Meetings and Conferences Total 001-120-0043-5133 001-120-0040-5122 001-120-0040-5132 001-120-0042-5133 001-120-0043-5132 Meetings and Conferences Education and Training Meetings and Conferences Education and Training Procurement/Contract Support Services Division Manager Accounting Assistant Total Account Number 001-120-0001-5502 Elimination of the Procurement/Contract Support Services Division Manager and an Accounting Assistant will require the department to redistribute certain responsibilities to existing employees. This reduction will not require the termination of any filled positions. The existing Deputy Director, in addition to overseeing Treasury and Business Administration, will also over see Procurement. The Budget/Resource Management Division will assume additional responsibilities and handle and special projects. Now that positions are being filled, contractual services can be reduced. Should the department experience vacancies again, staff will request to use salary savings to bridge the gap until vacancies can be filled. The professional contractual in the Treasurer's Office is to reduce cash pick up from 4 days to 2 days per week. Reduction in travel accounts across all divisions will limit the trainings and conferences that staff will be allowed to attend Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Elimination of the Procurement/Contract Support Services Division Manager and an Accounting Assistant. Elimination of various travel accounts and professional contractual services deemed non-essential. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 476 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/24/2019 Department Human Resources -$ 82,200$ -$ 82,200$ Budget Reduction: Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s)Division Vacant FTE Filled FTE $ Amount (Salary & Benefits) 0 Non-Personnel Reductions: Account Description Division Amount Administration 16,000 Administration 4,000 Administration 26,000 Administration 1,100 Administration 200 Administration 2,400 Administration 10,000 Administration 21,000 Workers Comp 500 Workers Comp 1,000 82,200$ Professional & Contractual Materials & Supplies Total $26,000 is reduced from Employee Recognition and will have an impact City-wide as the Annual Employee Appreciation Breakfast and the other employee related events will cease. Remaining funds will allow the Human Resources Department to continue to organize small meet and greets for newly hired/promoted employees and continue issuing service pins and plaques. Reduction in overtime will impact the HR/Finance payroll conversion. Remaining funds will cover one PT individual that may be able to cross-train and assist in multiple areas of the department. HR identified $21,000 within the professional contractual account by verifying and renegotiating contract amounts, as well as removing Executive Backgrounds which are typically facilitated by the Recruiting Firm selected to perform the Executive Search. $10,000 was reduced from the education and training account, of which, $8,000 was budgeted for City-wide customer service training. Reductions in Part Time salaries, the Employee Recognition events and other various accounts. Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Account Number Total 001-110-0001-5014 678-110-0057-5111 001-110-0001-5015 001-110-0001-5105 001-110-0001-5111 001-110-0001-5502 001-110-0001-5122 001-110-0001-5132 001-110-0001-5133 678-110-0057-5122Dues & Subscriptions Meetings & Conferences Education & Training Salaries Temporary Part Time Overtime Employee Recognition Materials & Supplies Dues & Subscriptions Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 477 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Information Technology 142,799 210,200 352,999 Budget Reduction: Impact and how the Department plans to achieve the reductions: Personnel Reductions: Position Title(s) Vacant FTE Filled FTE $ Amount (Salary & Benefits) 1 142,799 142,799 Non-Personnel Reductions: Account Description Division Amount Administration 6,000 Business Systems 10,000 Network Services 12,400 Network Services 8,000 Network Services 12,800 Client Services 50,000 Client Services 60,000 Client Services 17,000 Public Safety Systems 15,000 Public Safety Systems 4,000 Public Safety Systems 15,000 210,200 Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Software Maintenance Education and Training Equipment Maintenance 679-250-0062-5172 679-250-0062-5133 679-250-0062-5102 Education and Training Computer Equipment-Non Capital Net Personnel Reductions GIS System Administrator Total 679-250-0001-5133 679-250-0058-5181 679-250-0060-5102 Education and Training Other Operating Expenses Computer Equipment-Non Capital Equipment Maintenance 679-250-0061-5102 679-250-0061-5167 679-250-0061-5133 Computer Equipment-Non Capital Net Savings 679-250-0060-5172 679-250-0060-5702 Total Account Number Computer Equipment The elimination of a senior GIS position will reduce GIS capabilities as the City is trying to grow its use. Other tasks such as Office support, cell phones, PRA requests, email and user support will move to other IT staff. Administation The deferral of Office 365 and reduction of workstations will have City users on Office and Windows software that is stable but no longer supported. Business Systems Other Operating Expenses: A Cloud Computing storage project will be deferred to future years. Network Services: Reduce equipment requests and buffers for contingency on equipment replacements. Client Services: Reduction in Workstation Replacement from $100,000 annually to $50,000 annually. Postponing Office 365 will cause employees to continue to use Office 2010. Eliminate education for 2019/20 - no training on Office or new technologies. Public Safety Systems: Reduce equipment requests and buffers for contingency on equipment replacements, Eliminate training which limits development of applications. Reduction of GIS System Administrator and various Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 478 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Legislative 77,700 $25,900 $103,600 Budget Reduction: Mayor & City Council Total Budgets Elected's S&B Less Elected S&B 7% Cut 1,843,700 363,400 1,480,300 103,600.00 Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s) Vacant FTE Filled FTE $ Amount (Salary & Benefits) 1 77,700 77,700 Non-Personnel Reductions: Account Description Amount Adminstration $12,900 Adminstration $5,000 Adminstration $2,000 Adminstration $2,000 Adminstration $1,000 Adminstration $3,000 $25,900 Other Funding Source Account Description Amount $20,000 $20,000Total Move to Cultural Development FundState of the City Event Total The Executive Staff Assistant to City Council (U) is to be eliminated. The full cost of this position is $125,000 but due to the need for staff in the Council Office, it is proposed that a portion of the funding be retained in order for existing positions to be upgraded or for part-time staff to be hired if needed. The Council- adopted additional part-time staff members allowed a $20,000 shift of previously budgeted part-time funds to program increases that would have allowed the Office to refocus its effort toward bolstering communication and outreach to the community through newsletters and media campaigns, as well as allocate funds for refreshments at the Mayor and Council meetings, and funds to facilitate the Mayor's open-door policy and pursuit of economic opportunities for the City. Additional deductions will impact the annual State of the City, which is generally the largest expense during any given fiscal year and any trainings staff may have been sent on during the fiscal year. It is recommended by staff to budget $20,000 of Cultural Development Funds for the Annual State of the City Event. The cut for the Legislative Offices was calculated by totaling the Mayor and City Council department's budgets, then subtracting the salaries and benefits assigned to each elected official, and finally multiplying by 7%. Net Personnel Reductions Other Non-Personnel Reductions Executive Staff Assistant to City Council (U) Net Increase/(Decrease) Revenues Net Savings Account Number Total 001-010-0001-5502 001-010-0001-5133Education/Training Copy Machine Charges Civic and Promotional Professional/Contractual 001-010-0001-5186 001-010-0001-5132 001-010-0001-5174 001-010-0001-5176 Meetings & Conferences Printing Charges Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 479 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Library 139,600 Budget Reduction: Impact and how the Department plans to achieve the reduction: Non-Personnel Reductions: Account Description Division Amount Branches 101,300 Branches 30,800 Branches 7,000 Branches 5,700 Branches 800 145,600 Revenue Increases/(Decreases) Account Description Amount (6,000) (6,000) Estimated Decline in Fine Revenue The Library Director provided some options which are detailed below. The decision as to what will be cut is the Library Board's to make, however, the allocation of funds to the Library Department is at the descretion of the City Council. Staff recommends cutting the standard 7%, or $139,600, from the Library as all other departments are taking cuts. Not cutting from the Library will force another City department to cut this amount in order for the budget to balance. An alternative option would be to use Cultural Development Funds in the amount of $139,600 to save the General Fund money. Please keep in mind that the Cultural Development Fund is a finite amount of money and using these funds for operational purposes is not and cannot be a sustainable solution. Another issue to be aware of is that part of the Police Department's Proposed Cut includes funding for the Security Services provided at the Libraries ($90k for all 4 branches). Council may also vote to use Cultural Development Funds for Security Services at the Library in order to ensure coverage. OPTION 1 Account Number The Library Board did not provide a recommendation as to how they will make their cut. Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Part-time Staffing Elimination Annual Rent for Inghram Branch Equipment Maintenance Total Magazine Subscriptions Fleet Charges Fuel Total Account Number 3.c Packet Pg. 480 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Library 139,600 Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Non-Personnel Reductions: Account Description Division Amount Central 40,000 Central 23,000 Central 24,000 Central 25,000 Central 20,000 Central 15,000 147,000 Revenue Increases/(Decreases) Account Description Amount (7,400) (7,400) Total Account Number Total Account Number Fine & Room Rental Revenue Loss Magazine Subscription Elimination Book Budget Elimination Closing Feldheym on Saturdays Reducing Branch Weekly Hours to 15 Closing Feldheym Computer Lab Anticipated Cenic Internet Savings OPTION 2 Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 481 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department PRCS 169,000 155,500 324,500 Impact and how the Department plans to achieve the reduction: Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues The proposed reductions to the Administration Division budget will result in under-staffing of the customer service counter on Fridays and reduce the department's ability to adequately staff the service counter during daily operations. The proposed reductions to the Aquatics Division staff will result in full closure of Mill Pool for FY 2019-2020. Aquatics programs will be available to the community at Rudy Hernandez Community Center which is located approximately 1.5 miles from Mill Pool. Reductions in the non-personnel accounts will have no significant impact on service delivery. Net Savings The proposed reductions to the Sports Division staff, Advertising, Printing, Professional Contractual Services and Materials and Supplies budgets will impact the department's ability to expand upon existing sports program offerings for youth and adults in the community. Registration and participation in sports programs for both youth and adults have recorded significant growth from 2017 to 2018. The proposed reduction in part-time staff hours at the Center for Individual Development will be dispersed among existing employees. The proposed reduction in staff hours will be addressed through creative scheduling, likely resulting in inconsistent staff schedules creating staff retention challenges. Reductions in the printing and postage budgets have been made to more accurately reflect prior years expenditures. The proposed reduction would result in cancellation of all Citywide Events and city support of collaberative events in FY-2019/20. Citywide events include Winter Wonderland, Veternas Day Parade and Salute, SB Artfest, Cinco de Mayo Celebration and Movies in the Park. Community events which are supported and held in collaboration with local organizations include SBD Fest Airshow, Rendezvous Back to Route 66, Black History Expo and The Ho Ho Parade. Replacement funding in the amount of $81,800 to support future citywide events could be allocated from the Cultural Development Fee Fund with council approval. The proposed reductions to the Recreation and Community Program staff will result in a higher participant to staff ratio than what currently exists. Increased participant to staff ratios will negatively impact the quality of current programs as staff oversight and individual guidance/instruction will be significantly reduced. The proposed reductions to the Materials and Supplies budget will eliminate the purchase of replacement game tables at community centers and arts and craft supplies for planned programs. Replacement funding in the amount of $10,000 for arts and craft supplies to support ongoing art related programs could be allocated from the Cultural Development Construction Fee Fund with council approval. The proposed budget reduction in the materials and supplies budget will eliminate planned replacement of dining room tables and chairs at the 5th St. Senior Center as well as reduce funding for food and decorations at scheduled dances and senior events. Proposed reductions in Advertising and printing will have minimal impacts. The proposed reduction in the Outdoor Facilities program in the materials and supplies budget will result in a reduced ability to perform minor repairs and maintenance at city facilities, this will negatively impact staff's ability to urgently correct maintenance or repair issues that arise during program activities. The proposed reduction of $3,600 in the Professional Contractual Services budget will eliminate the inspection and repair of existing fitness equipment at Norton Gym, this service was planned in an effort to re-open the fitness room at Norton Gym as it has been closed for several years. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 482 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department 169,000 155,500 324,500 Impact and how the Department plans to achieve the reduction: Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues The proposed reductions to the Administration Division budget will result in under-staffing of the customer service counter on Fridays and reduce the department's ability to adequately staff the service counter during daily operations. The proposed reductions to the Aquatics Division staff will result in full closure of Mill Pool for FY 2019-2020. Aquatics programs will be available to the community at Rudy Hernandez Community Center which is located approximately 1.5 miles from Mill Pool. Reductions in the non-personnel accounts will have no significant impact on service delivery. Net Savings Parks, Recreation, and Community Services The proposed reductions to the Sports Division staff, Advertising, Printing, Professional Contractual Services and Materials and Supplies budgets will impact the department's ability to expand upon existing sports program offerings for youth and adults in the community. Registration and participation in sports programs for both youth and adults have recorded significant growth from 2017 to 2018. The proposed reduction in part-time staff hours at the Center for Individual Development will be dispersed among existing employees. The proposed reduction in staff hours will be addressed through creative scheduling, likely resulting in inconsistent staff schedules creating staff retention challenges. Reductions in the printing and postage budgets have been made to more accurately reflect prior years expenditures. The proposed reduction would result in cancellation of all Citywide Events and city support of collaberative events in FY-2019/20. Citywide events include Winter Wonderland, Veternas Day Parade and Salute, SB Artfest, Cinco de Mayo Celebration and Movies in the Park. Community events which are supported and held in collaboration with local organizations include SBD Fest Airshow, Rendezvous Back to Route 66, Black History Expo and The Ho Ho Parade. Replacement funding in the amount of $81,800 to support future citywide events could be allocated from the Cultural Development Fee Fund with council approval. The proposed reductions to the Recreation and Community Program staff will result in a higher participant to staff ratio than what currently exists. Increased participant to staff ratios will negatively impact the quality of current programs as staff oversight and individual guidance/instruction will be significantly reduced. The proposed reductions to the Materials and Supplies budget will eliminate the purchase of replacement game tables at community centers and arts and craft supplies for planned programs. Replacement funding in the amount of $10,000 for arts and craft supplies to support ongoing art related programs could be allocated from the Cultural Development Construction Fee Fund with council approval. The proposed budget reduction in the materials and supplies budget will eliminate planned replacement of dining room tables and chairs at the 5th St. Senior Center as well as reduce funding for food and decorations at scheduled dances and senior events. Proposed reductions in Advertising and printing will have minimal impacts. The proposed reduction in the Outdoor Facilities program in the materials and supplies budget will result in a reduced ability to perform minor repairs and maintenance at city facilities, this will negatively impact staff's ability to urgently correct maintenance or repair issues that arise during program activities. The proposed reduction of $3,600 in the Professional Contractual Services budget will eliminate the inspection and repair of existing fitness equipment at Norton Gym, this service was planned in an effort to re-open the fitness room at Norton Gym as it has been closed for several years. 3.c Packet Pg. 483 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department 169,000 155,500 324,500 Impact and how the Department plans to achieve the reduction: Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Parks, Recreation, and Community Services Personnel Reductions: Position Title(s)Divison Vacant P/T Filled P/T $ Amount (Salary & Benefits) Administration 1 17,600 Aquatics 6 21,300 Sports 1 23,600 Sports 1 5,100 CID 0.3 7,000 Citywide Activites 1 15,000 Community Programming 1 1.5 60,800 Community Programming 1 18,600 169,000 Non-Personnel Reductions: Division Amount Administration 2,000 Administration 5,500 Aquatics 5,100 Aquatics 1,200 Sports 2,000 Sports 800 Sports 1,800 Sports 3,000 CID 200 CID 1,000 CID 2,000 Citywide Activites 35,400 Citywide Activites 6,000 Citywide Activites 9,900 Citywide Activites 2,500 Citywide Activites 1,500 Citywide Activites 1,500 Citywide Activites 10,000 Community Programming 19,400 Community Programming 2,000 Community Programming 2,000 Senior Services 25,800 Equipment Maintenance 001-380-0074-5172 Other Operating Expenses 001-380-0074-5181 Materials and Supplies 001-380-0075-5111 Other Operating Expenses 001-380-0073-5181 Professional Contractual Services 001-380-0073-5502 Material and Supplies 001-380-0074-5111 Rentals 001-380-0073-5171 Printing 001-380-0073-5174 Postage 001-380-0073-5175 Postage 001-380-0071-5175 Materials and Supplies 001-380-0073-5111 Advertising 001-380-0073-5121 Materials and Supplies 001-380-0070-5111 Meetings and Conferences 001-380-0071-5132 Printing 001-380-0071-5174 Advertising 001-380-0070-5121 Printing Charges 001-380-0070-5174 Professional Contractual Services 001-380-0070-5502 Other Professional Services 001-380-0001-5505 Materials and Supplies 001-380-0069-5111 Advertising 001-380-0069-5121 Recreation Aide Total Account Description Account Number Materials and Supplies 001-380-0001-5111 Recreation Specialist Recreation Specialist Lifeguard Recreation Specialist Senior Recreation Leader Recreation Specialist Recreation Specialist Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 484 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/14/2019 Department Police $4,391,500 Division $1,516,800 $1,232,500 $7,140,800 Impact and how the Department plans to achieve the reduction: Personnel Reductions: Position Title(s) Division Vacant FTE Filled FTE $ Amount (Salary & Benefits) Enforcement/Beautification 1.5 $83,300 Enforcement/Beautification 1 $32,100 Enforcement/Beautification 2 $123,000 Enforcement/Beautification 1 $64,700 Investigations 9 $701,000 Patrol Field Services 6 $295,800 Investigations 2 $110,100 Crime Analysis/Intel 1 $52,700 Investigations 3 $168,700 Investigations 1 $53,200 Administration 1 $50,500 Crime Analysis/Intel 1 $127,400 Property/ID 1 $62,600 Property/ID 1 $68,500 Traffic 1 $54,900 Dispatch 7 $422,700 Patrol Field Services 10 $1,124,200 Property/ID 1 $62,700 Records 1 3 $185,900 Records 4 $201,600 Administration 0.5 $131,400 Patrol Field Services 1 $189,600 Crime Analysis/Intel 1 $109,400 Crime Analysis/Intel -$84,500 41.5 19.5 $4,391,500 Captain (to be phased out mid-year) Sergeant IT Anlayst II Crime Analyst (add) Total Police Dispatcher I Police Officer Police Evidence Technician Police Records Technician Records Transcription Community Service Officer II Crime Analyst Support Assistant Criminal Investigations Officer Customer Service Representative Departmental Accounting Technician Emergency Operations Manager Forensic Specialist I Forensic Specialist II Parking Enforcement Officer Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Other Funding Sources The reductions in the Police budget affect every division in the department. An emphasis has been placed on maintaining sworn officer positions but keeping in mind the need for support staff. Due to the depth of the reductions the delivery of police services will be negatively impacted. Despite the reductions the department will strive to deliver the best possible service to the community. See attached PD Budget Reduction Impacts for more detail. Part-time Code Enforcement Officer (3) Part-time Parking Enforcement Officer (2) Community Engagement Specialist Community Engagement Specialist (to CM) Community Policing Specialist Community Service Officer I Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 485 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/14/2019 Department Police $4,391,500 Division $1,516,800 $1,232,500 $7,140,800 Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Other Funding Sources Non-Personnel Reductions: Account Description Amount Personnel/Training $1,000 Personnel/Training $339,000 Administration $7,000 Administration $2,500 Investigations $10,000 Administration $9,000 Administration $30,000 Enforcement/Beautification $200,000 Personnel/Training $50,000 Personnel/Training $25,000 Personnel/Training $25,000 Investigations $20,000 Enforcement/Beautification $20,000 Downtown & City Hall $690,000 Personnel/Training $18,000 Personnel/Training $37,500 Administration $10,000 Investigations $10,000 Special Enforcement Teams $3,000 Special Enforcement Teams $5,000 Public Safety Systems $4,800 $1,516,800 Other Funding Source Account Description Account Number Amount 001-210-0081*5112 $10,000 001-210-4911*5015 $500,000 001-210-0078*5015 $487,000 001-210-0078*5015 $159,700 001-210-0084*5111 $15,000 001-210-0086*5111 $50,000 001-210-0078*5505 $10,800 $1,232,500 SET supplies SWAT ammunition Tip Line alert subscription (TipSoft) POST training Non-POST education & training Property room audit Reserve Unit Security Guard services Taser batteries Replacement Tasers & Glock 9mm Wellness program supplies Extradition costs Annual 10-48 Body Worn Camera/Taser contract Cal Police Chief's Conference Chief's travel Crime scene clean up Move to - Account Number Traffic Safety 128-210-0087*5112 Police K9 Trust 772-2327.212 Account Number Total 001-210-0086*5111 001-210-0033*5502 001-210-0086*5111 001-210-0145*5111 001-210-0145*5111 001-210-0062*5181 Crossing Guard services - Redlands USD EOM - Disaster food & water On-call board up services Outside background investigators Total Crash Date Reader System Overtime Overtime Overtime K9 training supplies & vet care AB109 123-210-0972*5015 Asset Forfeiture 108-210-0082*5015 AB109 123-210-0972*5015 Dispatch chairs Replacement ballistic vests Asset Forfeiture 108-210-0082*5111 Asset Forfeiture 108-210-0082*5111 001-210-0086*5112 001-210-0001*5111 001-210-0082*5181 001-210-0086*5502 001-210-0001*5132 001-210-0001*5132 001-210-0082*5505 001-210-0001*5502 001-210-0001*5111 001-210-0021*5502 001-210-0086*5502 001-210-0086*5134 001-210-0086*5133 001-210-0082*5505 001-210-0021*5187 Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 486 Anticipated Impacts of Proposed Police Budget Reductions FY 2019-2020 Personnel Reductions Part-time Code Enforcement Officer The reduction of 1.5 part-time code enforcement officers will reduce the volume of cases handled by the Code Enforcement Unit. Part-time Parking Control Officer The reduction of two (2) part-time officers will reduce the level of parking enforcement along with corresponding potential revenue in the amount of $118,000. Community Engagement Specialist (CES) The community outreach performed by the staff in these three (3) positions will shift to the Sergeant responsible for volunteer forces as well as district staff through implementation of the COPPS program. Additionally, funding for one (1) CES position will shift to the City Manager’s Office budget. This remaining CES staff member will handle communications responsibilities for the City as a whole including the Police Department. Community Policing Specialist (CPS) These nine (9) positions are duplicative of the Code Enforcement Officer I and II positions. These CPS positions will be eliminated altogether and the remaining five (5) Code Enforcement Officers will be reassigned to the Community and Economic Development Department (CEDD) as part of a mid-year realignment. Although workload capacity is expected to diminish, communication and work efficiency is expected to improve due to the fact this function more closely aligns with the mission of the CEDD. At mid-year, funding for one (1) Police Sergeant will be transferred to the CEDD to provide for the supervisory personnel needed to manage daily operations of the Code Enforcement Division. Community Service Officer I The reduction of six (6) positions will prevent the Department from improving non- emergency call response times through use of these personnel. Community Service Officer II Currently, two (2) positions are vacant. The reduction of these positions will prevent the Department from improving the volume of criminal case investigations. Crime Analyst Support Assistant Currently, one (1) position is vacant. The reduction of this position will prevent the Department from improving the volume of crime and investigative data entered int o its records management system. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 487 Criminal Investigations Officer Currently, three (3) positions are vacant. The reduction of these positions will prevent the Department from improving the volume of criminal case investigations. Customer Service Representative Currently, one (1) position is vacant. The reduction of this position will correspond with reductions to the community policing specialist personnel and is therefore not anticipated to have an impact. Department Accounting Technician (DAT) Currently, one (1) position is vacant. The reduction of this position will require that the remaining DAT and Sr. Management Analyst share the payroll workload associated with the position. This will slow the rate at which purchase order and other financial processes occur. Emergency Operations Manager This position is currently filled. Once eliminated, the City will enter agreement with the County for Emergency Management Support. In exchange for relinquishing its Emergency Management Performance Grant allotment, the County will provide services to maintain the City’s compliance with Cal-OES and FEMA guidelines and the Police Department’s Special Events Sergeant will reassume the day to day role of emergency manager for the City. This arrangement will have no impact to the general fund and should accommodate reasonable emergency management capabilities. Responsibility for community education on the topic will be shared among the Special Events/Emergency Management Sergeant, remaining community affairs staff and newly formed district staff. Forensic Specialist I Currently, one (1) position is vacant. The reduction of this position will require patrol officers to maintain greater responsibility for crime scene processing. Forensic Specialist II Currently, one (1) position is vacant. The reduction of this position will require patrol officers to maintain greater responsibility for crime scene processing. IT Analyst II The Department will eliminate one (1) IT Analyst II position and add one (1) Crime Analyst position in its place. Due the fact the Department’s current IT Analyst II position is used largely for crime analyst functions, the change is expected to have minimal operational impact. Parking Enforcement Officer Currently, one (1) position is vacant. The reduction of this position will prevent the Department from expanding its parking enforcement and associated revenues. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 488 Police Dispatcher I Currently, seven (7) positions are vacant. The reduction of these positions will prevent the Department from improving call wait times from existing levels through the addition of staff. Police Officer Currently, eleven (11) positions are vacant and several additional vacancies are anticipated due to pending separations. The reduction of ten (10) vacant Police Officer positions will prevent the Department from reducing crime through added strength. However, due to recent emphasis on recruitment and the filling of existing vacancies, the Department will not experience significant changes in the number of officers actually deployed. Police Evidence Technician Currently, one (1) position is vacant. The reduction of this position will prevent the Department from improving evidence disposition backlogs and service to the public. Police Records Technician The reduction of four (4) positions will prevent the Department from improving records management and public service to optimum levels. However, recent reorganization of the Bureau has improved its efficiency making this reduction less impactful. Records Transcription The Department is currently in the process of acquiring Dragon Speak hardware and software for its officers. Based on this new capability, the reduction of (4) Records Transcriptionists should not have a major operational impact on the Department. Sergeant The reduction of (1) position will coincide with the reduction of sworn officers. At mid- year a second sergeant position will be eliminated and corresponding funding transferred to the Community and Economic Development Department as part of the Code Enforcement Division realignment. Captain Prior to budget reductions incurred in FY 2008/09, the Department operated with four captain/division commanders. Subsequent to FY 2008/09, the Department has assumed Animal Control, Parking Control and Code Enforcement services. In FY 2017/18, the Department restored the fourth captain position. The Department is currently utilizing its captains to not only maintain on-going service and operations, but to address several internal service failures which have gone unchecked over the past several years. If the Code Enforcement Division is transferred back to the Community and Economic Development Department, the Police Department will be able to complete its service restoration initiatives and consolidate two captain positions by mid - year. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 489 Non-Personnel Reductions Annual 10-48 This event serves as a reunion for retired personnel. Its elimination will have no operation impact. Body Worn Camera (BWC) and Tasers Contract Annual Axon contract costs total $339,000. Due to a growing volume of public records and discovery requests for BWC footage, the indirect costs of the program are growing at an exponential pace. This results from the Department having to reallocate thousands of staff hours to downloading, reviewing, cataloging, and copying BWC footage. At present, the personnel costs associated with these tasks are approximately $427,838.00. Given that new legislative requirements will soon expand public access to BWC footage, it is anticipated that total program costs will soon exceed $1 million dollars annually. This will force the Department to either reassign personnel from existing responsibilities or request funding for additional positions. Should the Department eliminate this contract, it will return to its prior audio recording protocol to support the auditing officer performance. In addition to BWC costs, the AXON contract also requires the Department to purchase unneeded conductive energy device (CED) or taser devices despite already having a surplus. California Police Chief’s Conference Elimination of this item will have no operational impact. Chief’s Travel Elimination of this item will have no operational impact. Crime Scene Clean Up This item was first added to the budget in FY2018/19. Based on current usage of the service, staff believes this reduction can be accommodated with no operational impact. Crossing Guard Services – Redlands Unified School District Currently, the Department subsidizes crossing guard service costs for Victoria Elementary School which is part of the Redlands Unified School District. Eliminating this item will require Redlands Unified to either assume the costs or eliminate the service. Office of Emergency Management (OEM) – Disaster Food & Water This item was newly added to the budget as part of the Department’s expansion of OEM capabilities. Its elimination will maintain the status quo wherein the City relies on the County for emergency supplies. On-Call Board Up Services This reduction coincides with a reduction in code enforcement staff and need for service. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 490 Outside Background Investigators This reduction coincides with an anticipated reduction in hiring volume. POST & Non-POST Education and Training. This reduction coincides with an anticipated reduction hiring volume and academy costs. Non-POST education & training This reduction coincides with an anticipated reduction in staff as well as an anticipated reduction in turnover among staff in specialty assignments. Property Room audit Elimination of this item will have no operational impact. Reserve Unit Elimination of this item will have no operational impact. Security Guard services Private security service provided for libraries, parks, and other City facilities will be reduced. Some of the impact will be offset by community policing staff in the five policing districts. Taser batteries Elimination of this item will have no operational impact. Replacement Taser & Glock 9mm This reduction coincides with an anticipated reduction hiring volume. Wellness program supplies Elimination of this item will have no operational impact. Extradition costs This reduction coincides with historic expenditures for the past two years and is not expected to have an operational impact. SET supplies Elimination of this item will have no operational impact. SWAT ammunition This reduction will result in modification of the SWAT Unit’s training regimen but will not have an operational impact. Tip Soft This crime tip platform will be replaced by a department’s in -house anonymous tip line. Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 491 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Public Works 532,100 1,403,300 1,935,400 Budget Reduction: Impact and how the Department plans to achieve the reduction: Personnel reductions include the deletion of one (1) full-time Engineering Associate position. Given the contraint of available Gas Tax funding for CIP, the project workload for the Engineering Associate position has been decreased and reassigned to existing staff. Due to bugetary constraints and prioritization, reductions for non-essential contracts include funding for the digitization of City documents (Docu- trust), consultants utilized for Traffic Engineering projects, and funding for City-wide Non-CIP related striping (Cal-Striping) has been reduced by more that half. The Operations and Maintenance Division has the largest budget in the department and therefore the largest level of reductions. Given the budgetary contraints projected in FY 2019/20, reductions have been made to the non-essential/limited functionity positions to protect critically needed day-to-day field staff with the broad flexibility. Hazmat duties have currently been re-assigned to the Safety Training Officer as their duties closely parellel. With the transfer of the Sewer Divsion to the Water Department, Heavy Equipment operational activities have been significantly reduced - furthermore, the existing Maintenance Worker III position is authorized to perform heavy equipment duties needed at the intermediate level. Currently activities and duties related to the existing vacant Lead Maintenance Worker position have been re-assigned to the Traffic and Lighting Supervisor. The deletion of the Landscape Inspector I and part-time Parks Maintenance Worker II will scale back the staff available for the Quality of Life program by 25%. This allows for the elimination of redundant work assignments and better focus efforts of both teams. This will shift all right of way response to the O&M Division and all private property and homeless enforment to the Code Enforcement Division. Funding for contracts are proposed to be reduced to levels consistent with the 17-18 fiscal year; these levels are more sustainable with the City's budgetary contraints. The reduction in funding available for park related maintenance/repairs/cleanups will be suplemented by the CEO contract, the relamping of ball-fields will be done in-house by part-time staff at a reduced cost, and rodent control services will be adjusted to funding availability. It is anticipated that the service level reduction will be minimal. The Concrete contract reflects a 50% reduction for minor concrete repairs (sidewalk panels, etc), however in-house crews will supplement this reduction by performining minor panel repairs as requested by citizens. The reduction in the Street Light Maintenance Quality Electric contract reflects 25% reduction in service levels, although this will be dependent on the amount of emergency requests recieved throughout the year. Funding for Traffic Signal loops and knockdown repairs has been reduced, but should be supplemented through a CIP funding and grants. The contract for Guard Rail Replacement contract had been increased to reflect the recent increase in guard rail damage, however funding has been returned to prior levels without an increase to capability. A more reasonable source for cold mix asphalt materials has been sourced - the reduction in funding will not impact current service levels. This reorganization also requests one (1) full-time Environmental Project Inspector I. The City has long been out of compliance with its National Pollutant Discharge Elimination System (NPDES) Permit. The addition of an inspector would allow the City to begin building a compliance level for business inspections. The Executive Assistant to the Director position has been on loan for the last 9 months to the Operations and Maintenance Division due to a lack of workload required in the Director's office. This position has been identified as a non-essential position for the department. Funding for contractual Grant writing services is proposed to be removed due to the engagement of a city-wide Grant Writing Consultant. Deletion of one (1) full-time Executive Assistant to the Director position, and reduction of funding for contractual Grant Writing services. Deletion of one (1) full-time Engineering Associate, and the reduction of funding for three (3) contracts. Deletion of five (5) full-time positions and one (1) part-time position and the reduction of funding for eight (8) various contracts/materials. Addition of one (1) full-time Environmental Project Inspector I (new classification). Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 492 Proposed Departmental Reductions FY 2019-2020 Date Proposed:5/29/2019 Department Public Works 532,100 1,403,300 1,935,400 Budget Reduction: Net Personnel Reductions Other Non-Personnel Reductions Net Increase/(Decrease) Revenues Net Savings Personnel Reductions: Position Title(s)Division Vacant FTE Filled FTE $ Amount (Salary & Benefits) Administration 0 1 82,100 Engineering 1 0 104,000 O & M 0 1 47,000 O & M 0 1 72,200 O & M 0 2 146,300 O & M 1 0 60,300 O & M 1 0 68,200 O & M PT 0 22,000 Environmental 0 0 (70,000) 3 5 532,100 Non-Personnel Reductions: Account Description Division Amount Administration 20,000 Engineering 20,000 Engineering 12,500 Engineering 300,000 O & M 95,800 O & M 50,000 O & M 350,000 O & M 300,000 O & M 130,000 O & M 50,000 O & M 25,000 O & M 50,000 1,403,300 Professional Contractual Services - Traffic Signal Maint. Professional Contractual Services - Guard Rail Materials and supplies - Craftco Materials 001-400-0072-5502 001-400-0072-5506 126-400-0091-5502 Other Professional Services - Various Park Maint. Professional Contractual Services - Rodent/relamp Landscape Contracts Professional Contractual Services - Concrete Professional Contractual Services - Street Light Maint. PT Parks Maintenance Worker II Total Environmental Project Inspector I Office Assistant Hazmat Technician Heavy Equipment Operator Lead Maintenance Worker Landscape Inspector I Executive Assistant to the Director Engineering Associate Account Number Total 001-400-0001-5502 126-400-0152-5502 Professional Contractual Services - Docu-trust Professional Contractual - Grant Writing Professional Contractual Services - Traffic Consultant Professional Contractual Services - Cal Striping 001-400-0031-5502 001-400-0026-5502 001-400-0072-5505 126-400-0092-5502 126-400-0093-5502 126-400-0152-5502 126-400-0088-5111 Attachment 2 Budget Deficit Reduction Strategies 3.c Packet Pg. 493