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HomeMy WebLinkAbout3.31.22 Budget Workshop PresentationFY 2022/23 and FY 2023/24 Budget Workshop Barbara Whitehorn, Finance Director Tanya Williams, Budget Division Manager March 31, 2022 FY 2021-22 Budget Workshop Presentation Overview o Budgeting Basics Review o Developing the Biennial Budget o Changes to expect o Financial Context o Budget Themes & Priorities o Review Budget Calendar & Timeline Governmental Budgeting Review What is the City Budget? 1)Authorizes organizational spending 2)Provides guidelines to control spending Best Practice: 1)Allocates resources to achieve/establish vision, mission and strategic objectives 2)Provides transparent accountability to the public through specific measurable goals which are reported consistently year-over-year 3)Reflects the values of the community Budget Process Budget Preparations •Calendar, Instructions & Assumptions to departments Budget Requests •Departments submit budgets, CIP requests Proposed Budget •Department Meetings with CM, Forecasts Updated Adopted Budget •Final Budget Changes, Public Hearing Budget Amendments •Quarterly reports & adjustments as needed Fiscal Years 2022/23-2023/24 Budgeted Funds Governmental Funds General Fund Special Revenue Funds Enterprise Funds Storm Drainage Fund Internal Service Funds Information Technology Fund Fleet Services Fund Fund Balance and Fiscal Health FY 2022/24 General Fund Overview Adopted Budget 2021/22 Amended Budget 2021/22 Year-End Projections 2021/22 Proposed Budget FY 22/23 Proposed Budget FY 23/24 Beginning General Fund Balance 33,822,411$ 66,703,835$ 66,703,835$ 72,124,284$ 77,387,099$ Plus: Reserve for Carryovers 2,215,990$ 2,215,990$ -$ -$ Total Available Beginning Fund Balance 7/1/22 33,822,411$ 68,919,825$ 68,919,825$ 72,124,284$ 77,387,099$ Revenues 174,416,673 178,342,465 184,782,944 177,913,197 183,408,947 Expenditures (179,124,684) (187,450,809) (181,578,484) (172,650,382) (178,137,912) Projected General Fund Operating Surplus /(Deficit)(4,708,011) (9,108,344) 3,204,460 5,262,815 5,271,035 Projected General Fund Reserve 29,114,400$ 59,811,481$ 72,124,284$ 77,387,099$ 82,658,134$ Fund Balance Designations Operating Reserve: Emergency Reserve - 15% of Adopted Budget 26,868,703 28,117,621 27,236,773 25,897,557 26,720,687 Economic Contingency Reserve - 10% of Adopted Budget 2,245,698 31,693,859 44,887,512 51,489,542 55,937,447 Sub - Total Budgeted Reserves 29,114,400 59,811,481 72,124,284 77,387,099 82,658,134 - - - Projected General Fund Reserves 6/30/22 29,114,400$ 59,811,481$ 72,124,284$ 77,387,099$ 82,658,134$ General Fund Revenue Projection FY 22 amended FY 22 Forecast FY 23 Projection FY 24 Projection Charges 7,470,300$ 8,046,111$ 7,682,000$ 8,307,250$ Fines 1,478,500$ 751,081$ 1,364,000$ 1,416,000$ Franchise Tax 11,781,000$ 11,597,584$ 11,781,000$ 11,781,000$ Intergovernmental 2,866,947$ 1,686,496$ 1,607,000$ 1,647,000$ Intvestment Income 500,978$ 809,805$ 525,000$ 525,000$ License & Permits 11,858,000$ 12,332,638$ 11,080,000$ 11,343,000$ Miscellaneous 2,778,037$ 409,998$ 3,688,697$ 3,709,697$ Other Taxes 7,493,263$ 7,749,307$ 7,656,000$ 7,816,000$ Property Taxes 19,267,608$ 19,991,785$ 20,000,000$ 23,000,000$ Sales & Use 45,391,210$ 45,266,161$ 45,000,000$ 45,250,000$ Use of Money 779,600$ 779,600$ 529,000$ 554,000$ Utility Users 22,700,000$ 23,517,277$ 21,430,500$ 20,890,000$ Measure S 41,016,456$ 48,730,876$ 42,000,000$ 42,500,000$ Cannabis Revenue 3,080,567$ 5,323,379$ 3,620,000$ 4,620,000$ Total 178,462,466$ 186,992,098$ 177,963,197$ 183,358,947$ Revenue By Source Sales & Use, Measure S (also sales tax) and Utility Users Tax are highest contributors to general fund revenue Revenue Forecasts Impacts on Sales Tax Revenue: •Current economic conditions (i.e. inflation, supply chain, rising costs for materials & labor) •Drivers of sales tax: •Auto Sales •Fuel & Service Stations •Food & Drug (Including Cannabis) •Fulfillment Centers Strong Demand Higher Prices Higher spending Drivers of Sales Tax Building the Budget •Biennial Budget •Departments budgeting for two years •Financial Context & Economic Forecast •Forecasting two years of revenue •Direction to the Departments •OpenGov Online Budget Book •Full budget book available online digital platform Aligning Strategic Goals & The Budget General Fund Focus Areas •Bringing service levels back to support the needs of the community •Diversity, Equity & Inclusion focus •Employee engagement and development ($100,000) •Update and enhance IT systems and hardware ($966,000) •Investment in property evidence tracking ($236,000) •ERP system upgrade ($2 million) General Fund Focus Areas •Funding for special events, recreational events and facilities –both ongoing & new! ($686,000) •Mobile recreation programming ($195,000) •Enhanced services and hours at the Library ($187,000) General Fund Focus Areas •Public Safety commercial enforcement ($1.2 million) •Traffic collision data review technology ($110,000) •Animal Services Control Officers ($565,000) •Street sweeping program •Increase funds for Citywide tree maintenance ($450,000) •Citywide sidewalk cleaning program ($590,000) General Fund Focus Areas •One-Stop for permitting & development ($400,000) •Focus on staffing and customer service for enhanced experience through planning and permitting •Cannabis Cultivation Program ($152,000) •Revisit focus on revitalizing San Bernardino City Hall Measure S-Flexible Revenue in Perpetuity •Measure S •1% Transaction and Use Tax •Voted into effect 2020 •General Tax •No Sunset •Measure Z •.25% Transaction and Use Tax •Voted into effect 2006 •Specific-Use Tax •Governed by accompanying Measure YY •Set to Sunset 3/31/2022 •Replaced by Measure S Capital Improvement Program (CIP) Primary Funding Sources •Measure I •Street Maintenance (transportation improvements) ½ cent sales tax •SB-1 Gas Tax Fund •Measure S, 1% transaction and use tax •Development Impact Fee Funds •CDBG •Highway Safety Improvement Program (HSIP Grant) •Cultural Development Fund •American Rescue Plan Fund (One-Time) Capital Improvement Program (CIP) Capital Improvement Program Focus Critical Streets, Sidewalks and Storm Drainage Infrastructure Parks and Recreation Facilities Traffic Controls and Street Lighting City Buildings Approximately $52 million across all funds 19 Preliminary Budget Discussion (Today) Proposed Budget Review (May 2022) Adopt Budget (June 2022) Biennial Budget Fiscal Year 2022-23 to 2023-24 Timeline Discussion