HomeMy WebLinkAboutItem No. 10 - Budget Presentation 6.16.21 FinalFiscal Year 2021/22 Proposed Budget
Presentation
Barbara Whitehorn, Finance Director
June 16, 2021
FY 2021-22 Proposed Budget
Presentation Overview
➢Budget Calendar
➢Measure S Committee Recommendations
➢June 2 Budget and Fund Balance
➢Cost Considerations, Unknowns, Other Items
➢Review of Investments included in FY 2021/22 Budget
➢Discussion of Amendments
➢Use of Fund Balance
➢Next Steps
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FY 2021/22 Budget Calendar
Group Type of Meeting Purpose
Thursday, April 8 City Council Special Meeting Budget Workshop 1
Monday, April 19 Measure S Committee Budget Workshop 1
Thursday, May 13 City Council Special Meeting Budget Workshop 2-Presentation of
Operation and CIP Recommendations
Monday, May 17 Measure S Committee Budget Workshop 2-Presentation of
Recommendations
Wednesday, May 19 City Council Regular Meeting Budget Update
Wednesday, June 2 City Council Regular Meeting Budget Discussion
Thursday, June 3 Measure S Committee Budget Workshop 3-Review of Council
Recommendations
Wednesday, June 16 City Council Regular Meeting Budget Hearing and Adoption
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Measure S Committee Recommendations
➢The Committee voiced their support for the FY 2021/22 Proposed Budget as voted on by
Council on June 2, 2021.
➢The Committee wished to reemphasize the Formal Recommendation made to Council on
August 19, 2020:
Measure S funds should be spent in keeping with the City’s priorities including a balanced
distribution of resources to support:
➢Public safety, emergency response and violence intervention services
➢Cleaner and safer neighborhoods
➢Retaining and attracting new businesses
➢Street, park and library maintenance/improvements
➢Youth, senior, and homeless service programs
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Measure S Committee Recommendations
The Committee had the following Formal Recommendations:
1)Capital Improvements Projects funded with Measure S should be equitable across the
City and benefit all residents by being evenly distributed amongst the wards; streets
projects should be prioritized based on the Pavement Management System.
2)The City should develop and provide real time reporting on measurable performance
outcomes for programs supported by Measure S funds to improve accountability.
3)Request for Council to allocate up to $10,000 from Measure S funds for youth sports and
recreational programming and activities. These funds may be used to provide stipends to
cover participation costs and to provide support staff for youth sports and recreational
programs, in place of depending upon volunteers.
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FY 2021/22 General Fund Overview
Year-End
Projections
FY 2020/21
May 13th
Proposed
Budget
June 2nd
Approved
Budget
Beginning General Fund Balance 33,822,411 47,905,880 47,905,880
Revenues 151,610,366 186,413,192 174,416,673
Operating Expenditures (137,526,897) (152,701,673) (153,404,684)
Operating Surplus 14,083,469 33,711,519 21,011,989
CIP Expenditures, Measure S (22,075,000) (25,720,000)
Contribution (Use of) General Fund Reserve 14,083,469 11,636,519 (4,708,011)
Projected General Fund Reserve 47,905,880 59,542,399 43,197,869
Fund Balance Designations
Operating Reserve:
Emergency Reserve - 15% of Adopted Budget 19,601,987 22,905,251 23,010,703
Economic Contingency Reserve - 10% of Adopted Budget 13,067,991 15,270,167 15,340,468
Sub - Total Budgeted Reserves 32,669,978 38,175,418 38,351,171
Measure S Unallocated 8,000,000 16,687,342 4,846,698
Undesignated 7,235,902 4,679,639
Projected Ending General Fund Reserves 47,905,880 59,542,399 43,197,869
June 2 Budget –Fund Balance
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Items without Cost Information that will Impact the Budget
Items with Unknown Impact on FY
2021/22 Budget
➢Negotiations with labor groups are not
complete.
➢Rising costs of construction for capital
projects.
➢Local, State and Federal agencies investing
in capital.
➢Creates competition for resources and is
likely to drive prices up.
➢Estimates include contingencies and
escalators, but costs may exceed even
these depending on competition for scarce
resources.
Council Requested Items Requiring
Further Analysis
➢Trash Can Pilot Program
➢Street Sweeping Pilot Program
➢Right of Way Maintenance Program
➢Clean-up San Bernardino
Campaign/Partnership
➢Funding a Liability Reserve
➢City Council meeting translation services
➢Additional Council requested capital
projects that have not been costed out
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INVESTMENTS IN SAN BERNARDINO
FY 2021/22 Budget
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Code Enforcement
➢3 additional
CEOs for a
total of 12.
➢More than
double
current
staffing level.
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Also Included in FY 2021/22 Budget
➢Additions to Police Dispatch and Records
Management
➢Animal Services Dispatch and Customer
Service
➢Significant Investment in Libraries
➢Capital Improvements throughout the City
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Council Requests
Council Request Cost Alternate Cost
Code-11 Additional positions $1,553,040 Code-2 Additional positions $298,000
Police-20 additional Patrol Officers, required supervisory staff
and 7 additional civilian staff
$6,435,990 7 additional civilian staff and $500,000 for vehicles $1,387,120
3 mobile camera trailers $84,000 --
Reopen Jail and Contract for Transportation $1,240,000 --
California Theatre Funding $75,000 --
Diversity Inclusion Officer $156,500 Diversity Inclusion Officer $156,500
Liability Reserve $1,250,000 --
Assistant City Manager $261,400 Assistant City Manager 261,400
Community Intervention Program $250,000 Community Intervention Program $150,000
2 Pool Maintenance Coordinators $140,000 --
Public Works-Equipment Replacement $600,000 Public Works-Equipment Replacement $600,000
Additional Parks Security $150,000 Additional Parks Security $150,000
TOTAL $12,195,930 TOTAL $3,003,020
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Fund Balance
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May 13
Proposed*
June 2
Budget
With Council
Additions
With
Alternative
Additions
Total Estimated Revenue 174,416,673 174,416,673 174,416,673 174,416,673
Total Estimated Expenditures 152,701,673 153,404,684 165,600,614 156,407,704
Operating Surplus 21,715,000 21,011,989 8,816,059 18,008,969
Proposed CIP Expenditures 22,075,000 25,720,000 25,720,000 25,720,000
Deficit- Use of Fund Balance (360,000)(4,708,011)(16,903,941)(7,711,031)
Ending Fund Balance 47,545,880 43,197,869 31,001,939 40,194,849
Emergency Reserves, 15%22,905,251 23,010,703 24,840,092 23,461,156
Economic Contingency Reserves, 10%15,270,167 15,340,468 6,161,847 15,640,770
Measure S Unallocated/Reserves 9,370,462 4,846,698 - 1,092,923
*This column reflects the original proposed expenditures presented on May 13 with updated
revenue projections.
Potential Amendment Discussion
➢Operating amendments should consider:
➢Unknown costs that will impact the Budget and
additional items to be costed out and brought
back to Council.
➢The importance of maintaining adequate
reserves.
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➢American Rescue Plan Fund Allocation Plan (July/August)
➢Quarterly Updates on FY 2021/22 Budget and Economic
Conditions
➢Additional CIP Requests at Q1 FY 2021/22 Update
➢5-Year Capital Improvement Program
➢Mid-Year FY 2021/22 Update
➢2-Year Budget: FY 2022/23 and 2023/24
Next Steps
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