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HomeMy WebLinkAbout06-City Administrator c o o o C I T Y 0 F SAN B ERN A R DIN 0 INTEROFFICE MEMORANDUM CITY ADMINISTRATOR'S OFFICE DATE: November 21, 1990 TO: The Mayor and Common Council FROM: Shauna Edwins, City Administrator SUBJECT: City Treasurer's Office COPIES: Craig Graves, City Treasurer; Andy Green, Director of Finance At a previous meeting, Council Member Maudsley suggested combining the Treasurer's Office and Finance Department. At the same meeting, Craig Graves publicly announced that he is not running for re-election. Ray Salvador, Special Projects Coordinator, and Fred Wilson, Assistant City Administrator, coordinated with Andy Green and Craig Graves to prepare the attached report on consolidation of the City Treasurer's Office with the Finance Department. In addition, the Mayor suggested that the City Treasurer's Office remain separate, but that the position be reduced to part time. The Mayor, Lorraine and I met with Mike Williams, a CPA who is part time and elected treasurer for the City of Colton. Mr. Williams felt that the Treasurer and Finance Departments should be separate and that the main function of any city treasurer is to focus on the city's investment portfolio. It was my impression that Mr. Williams was doing an excellent job as treasurer for Colton and had been attracted to the position because of the size of the portfolio. If the Mayor and Council want to place a Charter amendment on the March ballot, they must approve the amendment BB days prior to the election (according to the Elections Code). December 7 is the BBth day. Since your December 3 meeting has been changed to the 10th, November 26 is your last scheduled meeting to adopt these changes. ~p1l/~H4I<2) /City Administrator 6 o Cit~f San BernardC)o INTEROFFICE MEMORANDUM 9011-906 o TO: Mayor and Common Council FROM: Fred A. Wilson, Assistant City Administrator SUBJECT: ESTABLISHMENT OF PART-TIME CITY TREASURER POSITION AND CONSOLIDATION OF CITY TREASURER'S OFFICE AND FINANCE DEPARTMENT DATE: November 21, 1990 COPIES: The purpose of this report is to identify the issues relating to the consolidation of the City Treasurer's Office with the Finance Department, eliminating the full-time city Treasurer position and establishing an elected part-time City Treasurer position. This report was prepared with the assistance of Ray Salvador of the Mayor's Office. The position of city Treasurer is established by Charter section 70, which details the duties of the position. Attachment I is a copy of this Charter section. Current staffing in the Treasurer's office includes the positions of City Treasurer, Assistant City Treasurer, Deputy city Treasurer and two Cashier positions. The major responsibilities of the City Treasurer's Office can be grouped into four major categories which includes: I. Overseeing all banking transactions and banking relationships. * Daily deposits * Daily wire transfers * Daily check encoding II. Investment of City funds. * Daily tracking * Monitoring interest payments * Reporting to Mayor and Council * Cash flow analysis * Broker relationships * Market/Investment analysis * Tracking pertinent legislation III. Administration of Bonds. * Ensures fiscal mechanics work & () INTEROFFICE MEMORANDUM:~011-906 C) CONSOLIDATION OF CITY TREASURER'S OFFICE DEPARTMENT November 21, 1990 Page 2 o AND FINANCE * Central contact/approval point during negotiations * Law stipulates administration by Treasurer * Answering reporting requirements IV. Other duties. * Administration of the Collection Center * Weekly accounts payable * Daily account reconciliations * FOllow-up on bad checks * Dog licensing and information * Petty cash disbursements *Signing of payroll and accounts payable checks. The city Treasurer is responsible for supervising and monitoring these major functions. The approximate time spent in each of these areas includes: L 2. 3. 4. Overseeing all banking transactions Investment of city funds Bond administration special Projects (budget committee/ bond proceeds, etc.) 10% 35% 30% 25% 100% The primary responsibilities of Treasurer's Office includes: the other staff in the City Assistant City Treasurer Daily cash count Preparation of deposits for each account Deputy City Treasurer Investment processing Monitoring maturities of investment vehicles Wire transfer FIB Cashiers Service window Petty cash Dog licenses Cash balances Master drawer Check encoding Bad checks The following issues associated Treasurer's Office with the considered and are detailed below: with consolidating Finance Department the were () INTEROFFICE MEMORANDUM:()9011-906 () CONSOLIDATION OF CITY TREASURER'S OFFICE DEPARTMENT November 21, 1990 Page 3 o AND FINANCE 1. Absorption of certain city Treasurer's duties by Finance Director. 2. Absorption of City Treasurer's Office ~uties in the Finance Department. 3. Establishing responsibilities and reporting relationships of part-time City Treasurer position. 4. Transfer of other responsibilities from Treasurer's Office to other departments. 5. Potential cost savings. City 1. AbsorDtion of certain duties of citv Treasurer bv Finance Director: Although the Charter delineates the responsibilities of the City Treasurer as they relate to overseeing and monitoring investments and other types of cash disbursements, the other functions currently performed by the City Treasurer could be assumed by the existing Finance Department's staff. Overseeing all banking transactions consumes approximately 10% of the city Treasurer's time. Much of his time, in addition to maintaining bank relations, is spent over- seeing wire transfers and daily deposits. Through restructuring of responsibilities of other Treasurer staff positions, those duties will be absorbed by existing staff. Investment of City funds will remain a primary responsibility of the city Treasurer. The other issues associated with investing including daily tracking, monitoring interest payments, cash flow analysis and tracking legislative issues, are areas that could be monitored by Finance staff. Bond administration is another area which takes up close to 30% of the city Treasurer's time. Although the subject matter is specialized, existing resources, inCluding bond counsel and the incumbent City Treasurer, could be utilized to educate and assist the Finance Director and Assistant Director in assuming this responsibility. It is recognized that an additional workload on the Finance Director would be created through the absorption of these responsibilities. It is proposed that this 4:) INTEROFFICE MEMORANDUM:4:)9011-906 <:) CONSOLIDATION OF CITY TREASURER'S OFFICE DEPARTMENT November 21, 1990 Page 4 o AND FINANCE workload be absorbed through restructuring existing staffing, in both the Finance and City Treasurer Office, as noted below. 2. Absorotion of citv Treasurer's Office Duties in the Finance DeDartment: The duties and responsibilities of the city Treasurer's Office could be merged through the transfer of the four existing staff positions into the Finance Department under a new division. The day-to-day responsibilities of these individuals in terms of investment processing, cash counting, wire transfers as well as providing front window service would remain unchanged. The Finance Director, however, anticipates internal restructuring of certain job duties in order to more efficiently utilize the available personnel. Reorganization concepts which would be implemented include delegating some of the cash counting and depositing responsibilities from the Assistant Treasurer to the Deputy Treasurer and Cashier positions. This in turn would free up the Assistant Treasurer to perform more investing of city funds with the appropriate oversight of the city Treasurer as well as support of the Finance Director. Due to the importance of closely monitoring investments, the positions of Assistant Treasurer and Deputy Treasurer would report directly to the Director of Finance. The cashiering positions would be slightly restructured and report to the Internal Auditor/Budget Officer. The Assistant Finance Director in turn would become more involved in assisting the Director in administering bond issues such as answering reporting requirements and helping to ensure appropriate administration of bond issues. 3. Establishina Part-time citv Treasurer Position/ RelationshiD to Finance Director: The Charter delineates the responsibilities of the city Treasurer, which are provided in Attachment I. A revised job description has been developed and is provided in Attachment II which reflects the duties of a part-time city Treasurer as well as recognizes the relationship in terms of staff support from the Finance Director. This recognition is noted since under the proposed merger of the two offices, the majority of staff support relating to Treasurer functions would exist in the Finance Department. Many cities have functioned effectively with a part-time elected city Treasurer working closely with the Finance Director. A ~ o INTEROFFICE MEMORANDUMQgOll-906 0 0 CONSOLIDATION OF CITY TREASURER'S OFFICE AND FINANCE DEPARTMENT November 21, 1990 Page 5 survey was performed of those cities and the results of the survey are provided in Attachment III. 4. Transfer of Other ResDonsibi1ities from citv Treasurer Office to Other DeDartments: It has been recognized that the responsibilities of the city Treasurer's Office are varied and the assumption of these additional duties will impact the Finance Department. In order to allow the Finance staff to focus on the key responsibilities of the Treasurer's functions, relating to investments and management of cash, it is proposed to transfer/change the following activities of the city Treasurer's Office: A. Transfer the responsibility of issuing dog licenses to Animal Control. Approximately 2500 licenses are sold through the Treasurer's Office yearly which consumes a fair amount of time of the cashiers in terms of processing. If the cashiers are to be assigned additional duties in the area of cash counting and daily depositing, additional time needs to be made available to perform these duties. Transferring of dog licensing would allow this to occur. Animal Control is willing to assume this duty. This would also allow for better control over the issuance of dog licenses. B. Transfer the responsibility of administration of the Collection Center to the Parks and Recreation Department. The cashier positions in the Finance Department would provide backup and support approximately 3 to 4 days per month during peak work load periods. Vacations and sick leave coverage would have to be covered by the clerical pool. C. Reduce petty cash disbursements from twice per day to once per day. D. Follow-up on bad checks -- A portion of the Treasurer's staff is dedicated to follow-up of bad checks. It is proposed to transfer this responsibility to the City Collector. 5. Potential Cost Savinas: The potential cost savings through the elimination of a full-time city Treasurer is $70,000 per year. Part of the savings would be offset by the salary of a part-time city Treasurer, which is estimated at approximately $10,000 yearly. "'~"- c:> INTEROFFICE MEMORANDUM:~011-906 <:) CONSOLIDATION OF CITY TREASURER'S OFFICE DEPARTMENT November 21, 1990 Page 6 o AND FINANCE Sununarv This report has identified the issues relating to the establishment of a part-time city Treasurer position and consolidating the City Treasurer's Office with the Finance Department. It has attempted to indicate that these changes could be implemented while still retaining the necessary checks/balances of an independent City Treasurer in terms of overseeing investments and cash disbursements. ~ON Assistant city Administrator /dm Attachments o o o o ..; Section 70. Duties. The Treuurer shall receive and payout all moneys belongina to the City, and shall keep an account of all receipts and expenditures, under such rules and regulations as may be prescribed. He shall make a monthly statement to the Mayor and Common Council of the receipts and expenditures of the preceding month, and shall perform all duties required of him by law and the Mayor and the Common Council. He shall not payout any monies belonllinl to the City except on claUns presented, allowed and submitted in the manner provided by this Charter. I- (Section 75 repealed by election held on the 6th day of Feb/'UQ1')l, 1973 and approved by State Legislature.) (Section 80 repealed by election held on the 2nd day of November, 1976.) (Section 81 repealed by election held on the 2nd day of November, 1976.) , " C-23 Ii' .~ ". e-..... .. .~ I ! . .. ' ~ .. -". . . . AT771'-#/?'JE/lIT 'T' o o o o . CITY TREASURER (U) JOB DESCRIPTION Part-time elected position responsible custody, and disbursement of all City perform other related work as required. for the receipt, securities; and to REPRESENTATIVE DUTIES Works with Director of Finance to insure that proper receipting and custody of funds from revenues, fees, claims, and accounts receivable; acts as custodian of monies deposited by other City departments; deposits money in banks; maintains records of receipts deposits, and expenditures; disburses money on properly audited demands and warrants; prepares and submits written reports of receipts, disbursements, and fund balances; supervises the preparation, accounting, correspondence, and records concerning bonds. MINIMUM OUALIFICATIONS As determined by the electors of the City of San Bernardino. GENERAL OUALIFICATIONS Knowledae of: The principles and practices of public finance adminis- tration to include accounting; Laws and other regulations regarding banking and treasury operation; Charter of the City of San Bernardino; Ordinances applying to the Work of the City Treasurer's office; Municipal fiscal practices and deposit and municipal bond procedures; Modern bookkeeping principles and practices; principles of office administration, supervision, training, and public relations; Develop effective financial methods and procedures; Interpret and work with a wide variety of laws and ordinances; Compose correspondence for the Common Council, city departments, and the general public; supervise the work of technical and clearical personnel; Develop and plan a departmental budget and work program; Express ideas clearly and concisely, orally and in writing; Establish and maintain good relations with other- administrative and elected officials. ORGANIZATIONAL RELATIONSHIPS The City Treasurer is the administrative control of the City Administrator for budgetary purposes and under the legislative policy of the Mayor and the Common Council. As an elected official directly responsible to the electorate of h-'7TI!(j-r/;.f E/V7 1/ o the City of San Bernar~o. o o . ~. o TREASURER'S OFFICE SUR~ Part-time Treasurer Position: o o . RIALTO: Elected part-time position with monthly startinq salary of $1010.00. See attached job description. Separate from Finance Dept. BARSTOW: Elected part-time position with monthly salary of $75.00. Job description will be faxed on 11/26. Combined with Finance Dept. COLTON: Elected part-time position with monthly startinq salary of $1389.00. Elected position has no formal jOb description. Combined with Finance Dept. Primarily responsible for city's investment policy. ONTARIO: Elected part-time position with monthly startinq salary of $676.00. Elected position has no formal job description. Position is separate from Finance Dept. Responsible for bankinq transactions and investment policy. Full-time Combined Treasurer/Finance Director Position: LAKEWOOD: Appointed with yearly startinq salary of $29,062. Job description will be faxed on 11/26. APPLE VALLEY: Appointed with yearly startinq salary of $60,000. See attached job description. MONTEREY: Open recruitment with startinq monthly salary of $3518.00. See attached job description. /lrr,'/OIIVBVT ~