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HomeMy WebLinkAbout31- Finance CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION From: BARBARA PACHON, Subject: APPROVING AND ADOPTING THE FINAL DIRECTOR OF FINANCE BUDGET FOR FISCAL YEAR 1996-97. Dept: FINANCE Date: JULY 30, 1996 0 Li U Synopsis of Previous Council action: July 1, 1996 - Council Meeting to discuss FY 1996-97 Budget. July 3, 1996 - Council Meeting to discuss FY 1996-97 Budget. July 15, 1996 - Approving and adopting the final FY 1996-97 Budget was continued to next Council Meeting. Recommended motion: Adopt Resolution / Signature Contact person: BARBARA PACHON, DIRECTOR OF FINANCE Phone: ext. 5242 Supporting data attached: Yes Ward: FUNDING REQUIREMENTS: Amount: Source: (Acct. No.) (Acct. Description) Finance: Council Notes: ���� Yj/Try��°✓ �l% '�''���/ %�� ���_`��. Aaenda Item No. / CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION STAFF REPORT On July 3, 1996, the City Council approved the final adjustments to balance the City's FY 1996-97 budget. The attached Exhibits A-G reflect the approved adjustments. In addition, the attached exhibits include the new Code Compliance Division as approved by the Mayor and Common Council. The Code Compliance Division is reflected in the General Fund and incorporates Code Enforcement, Vehicle Abatement, Weed Abatement, Rental Housing Inspectioq, Landlord Certification Program, and Neighboorhood Revitalization. Code Compliance is a Division of the Mayor's Office. It is recommended the attached resolution is adopted. RESOLUTION NO. RESOLUTION OF THE CITY OF SAN BERNARDINO APPROVING AND I ADOPTING THE FINAL BUDGET OF SAID CITY FOR THE FISCAL YEAR 1996-1997. 2 NOW, THEREFORE, BE IT RESOLVED BY THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: 3 SECTION 1. That certain document entitled "1996-97 Preliminary Annual Budget," as 4 amended and conditioned by orders of the Mayor and Common Council, as attached hereto and 5 incorporated herein as Exhibits A through G, is hereby approved and adopted as the 1996-97 6 Budget of the City of San Bernardino. 7 I HEREBY CERTIFY that the foregoing resolution was duly adopted by the Mayor and 8 Common Council of the City of San Bernardino at a meeting thereof, 9 held on the day of , 1996, by the following vote to wit: 10 COUNCIL MEMBERS AYES NAYS ABSTAIN ABSENT 11 NEGRETE 12 CURLIN 13 ARIAS 14 OBERHELMAN 15 DEVLIN 16 ANDERSON 17 MILLER 18 19 20 CITY CLERK 21 The foregoing resolution is hereby approved this day of , 1996. 22 23 Tom Minor, Mayor City of San Bernardino 24 Approved as to form 25 and legal content: 26 JAMES F. PENMAN City Attorney 27 '' 2 J DAB/js [Finance.Res] 1 July 10, 1996 C) OC) 000000000OCDo0o0000 0 Z C� OOOOOOOOOOOOC� 0o00000 0 000O00 N0000 -Z JLnM000 't NIl-O, 'OO O I�r- C) Ln or M Ntir- MU100 ��t(�LALnO O. CO ." '0 •" 1 M J N 1n N to Ln O 00 d � H 14 m p C _ c0 O 4. O t �O u O• ++ v ti V) \ CA U N \ -+ M N O Q N ti �O L > 0) N 41 01) N C) U C rn N 0) (n U L a.+ 0) C O Q C L L L. (A N •.-> Z Y O C 7.0 L • y O1 0) 0) 0) U-8 L 0) U N N O N N L 0) + U U) U ^ :3 0) t 0 C M 0— Q N • C .- Ci. N S 0 C's > O O L O C > J O 0) 41 �+ U U M L O — C) M 1. 0) - —0 8Q1 C 0 O W 41 V) X O) O.. — C 0) M 0 m C_ a u C O• O () 0) O S 0) V- L t U V- 4) 0) c c OC L O L 4-+ O U L- O-V 0) -.•r- Or O U L a+ W O CO••- L 0) m L C C) O C 41 E 0. 41 Q • CY �• a� � � L-•C O OJ �II C L•- CUi.C.E•- O 0) L \ -• 0) 0) •^ U C1 41 C�N•^4- 2 S N )-- U 0) N L p Z I- • Ol ••- + C a+— 7 p V- N 41 N > W p OJ 4- O O C/. 0 O • 0 t U L • .. 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I Q r N N W OC N N C 7 N W 07 () (7 a+ C 4J L c C] u 0) 0) O t 0) S > c (n L E_ C ppP.� a.•vO- c ti p m C 5 C •C C oL L L. C U y .0 L- LLI pp W : .N O L. O I u .- O V.). Q C t0 L 04- (A -r C a+ L c L L 0) 0) .r 0) 41 c I- a ••- O Or 0 00- 4) 0 -•3 U) CO v > TC4UV-�wv- ar -r� w W O o L 41 4-0 4J LLJ 0) O 0) L C) C) L L O C I C's ce O a+ U OJ O 01 0) O L-_C O 'o Q9J C 4! O C IM va) v- N N 47 L N M a)_ `-J � Z C] U C d 0 0 y c0 C L.2 L a) @ — to •• a W t/) Y () () 4) 00 0) C E R W )- W C- O L L C V- C C O C)•--%4-- W S •^ L O •-. O X J 0) co •^ C +•+ 0) Y C 0) Z u z W o_ 0) a 0] S 0 0 L A 0) 'D N O Q C W -• W \ a_ C W O a+ OJ 0) O v > ►L > cn o 0 m 0 c � r- •^v- O 4) .0 cl W W W W N N 4.0 •• > Cn V) OC D CC F- W D d M 0) M Ol 0) 0) O) O) c0 0) O 0) •.• OC I- Z W. C) 0 m 0 0 O) 0) 0 U 0) u J J J U • W W L C C L- N � L 0 L 7 L 7 Q Q Q .... U Q N CO U U -0 1L N • U r0 O c0 .- /- I- h- p W U M • I 0) C c C t L C m to c c 0) O O O W ••- O w I N -•" U -'• ••-• U U U OC -- U OC --• OC -+ OC I- I- I- O X: O] FJMIBIT B CITY OF SAN BERNARDINO SUMMARY OF REVENUES,EXPENDITURES,AND TRANSFERS FISCAL YEAR 1996-1997 ESTIMATE ADDITIONS TOTAL DEDUCTIONS ESTIMATE BALANCE FOR TOTAL BALANCE FUND/TITLE 7-1-96 REVENUES ITRANSFER1 BUDGET EXPENSES ITRANSFER DEDUCT 6-3"7 001 GENERAL FUND 1,932,600 70,448,700 4,813,500 1 77,194,800 73,926,600 3,238,900 77,165,500 29,300 SPECIAL REVENUE FUNDS: 105 LIBRARY 65,000 182,000 2,564,400 2,811 400 2,745,900 0 2,745,900 65,500 106 CEMETERY 90,400 195,300 0 104,900 260,600 0 260,600 155,700 107 CABLE TELEVISION 70,700 78,800 413,800 563,300 454,300 0 454,300 109 000 108 ASSET FORFEITURE 255,300 35,700 0 291,000 160,200 0 160,200 130,800 109 PARKING 8 BUSINESS IMPR 34,400 145,500 0 179,900 32,700 98,300 131,000 48,900 110 PARKING DISTRICT 65,000 251,100 98,300 414,400 284,700 66,600 351,300 63 100 111 TRANSPORTATION 37,600 191,000 0 228,600 134,500 50,000 184,500 44 100 122 ARTICLE 8-LTF 0 172,800 0 172,800 172,800 0 172 800 0 124 ANIMAL CONTROL 5,000 678,300 212,700 896,000 891,000 0 891,000 5,000 126 SPECIAL GAS TAX 2,035,600 .P232 3,295,000 0 5,330 600 3,085,100 2 205 000 5,290,100 40 500 527 REFUSE 13,661 000 0 16 416,300 15,083,000 1,326 200 16,409,200 7,100 128 TRAFFIC SAFETY 16,100 0 16,100 0 16,100 16,100 0 129 1/2 CENT SALES 8 RD TAX 1 514 000 0 3 746 800 3 428 800 164 000 3,592 800 154 000 130 FISCALINI FIELD 20 000 0 111 900 28,000 0 28,000 139,900 131 SB 300 FUND 75,000 0 562,300 475 000 50,000 525,000 37,300 132 SEWER LINE MAINT 1,400,000 0 3,175100 2 494 600 200,00 2,694,6001 �89020000 133 BASEBALL STADIUM 0 412,000 0 412,000 412,000 0 412,000 TOTAL SPECIAL REVENUES 9,596;800 22,323,600 3;289,200 35,209,600 30,143;200 4;176200 34,319,400 CAPITAL PROJECT FUNDS: 241 PUBLIC PARK EXTENSION 90,600 0 48,000 138,600 118,100 0 118,100 20,500 242 STREET CONSTRUCTION 688,400 7,065 500 0 7,753,900 7,580,300 0 7,580,300 173,600 243 PARK CONSTRUCTION 970,800 260,000 0 1 230,800 1,130,300 0 1,130,300 100,500 244 CEMETERY CONSTR 17,500 5,000 0 22,500 0 0 0 22,500 245 SEWER LINE CONSTR 4,457,900 285,300 0 4,743,200 4,606,300 50,000 4,656,300 86,900 246 INDIAN BINGO 468,100 9,000 0 477,100 223,200 0 223,200 253,900 247 CULTURAL DEVELOPMENT 0 100,000 0 100,000 0 100,000 100,000 0 248 STORM DRAIN CONSTR 1,903 700 370,000 0 2,273,700 2,255,500 100,000 2,355,500 81,800 250 TRAFFIC SYSTEM CONSTR 585,200 200,000 0 785,200 739,200 25,000 764,200 21,000 251 ASSESSMENT DISTR 971 0 140,600 0 140,600 0 140,600 140,600 0 257 CITY WIDE AD 994 931,9001 4,292,8001 0 5,224,700 4,292,800 300,000 4,592,800 631,900 1. TOTAL CAPITAL PROJECTS 10,114100 1 12 728;200 48,000 22,890 300 20 945,700 715,600 21,661,300 1,229'000 INTERNAL SERVICE FUNDS: 621 CENTRAL SERVICES FUND 0 251,100 0 251,100 251,100 0 251,100 0 629 LIABILITY INSURANCE 800,000 2,326,400 0 1,526,400 2,326,400 0 2,326 400 800,000 630 TELEPHONE SUPPORT 47,200 982,200 0 1,029,400 995,700 20,000 1,015,700 13,700 631 UTILITY FUND 0 3,159 400 0 3,159 400 3,159,400 0 3,159,400 0 635 MOTOR POOL 0 4,045,300 0 4,045,300 4,045,300 0 L4,045,300 0 678 WORKER'S COMP 6,038,200 2,542,300 0 3,495900 2,542,000 0 542 000 6,037,900 679 MANAGMT INFO SYSTEM 94,200 2,184,000 0 2,278,200 2,182,900 0 182,900 95,300 TOTAL INTERNAL SERVICE 6,698;800 15,490,700 0 8,793,900 15,502,800 20,000 522,800 6,728;900 TOTAL ALL FUNDS 11 4,946,700 120,991,200 1 8150,700 144,088,600 14tI,51I.,300 8,150,700, 148,669,000 ,4.580,400 CITY OF SAN BERNARDINO EXHIBIT C ESTIMATED REVENUES AND EXPENDITURES FISCAL YEAR 1996-1997 GENERALFUND PROPOSED FY 96-97 ESTIMATED REVENUE Property Taxes $7,030,000 Other Taxes 39,318,400 Licenses& Permits 5,144,100 Fines and Penalties 753,000 Use of Money & Property 2,029,000 Intergovernmental 10,799,500 Charges for Services 2,306,300 Miscellaneous 3,068,400 Total Estimated Revenues $70,448,700 Total Transfers In 4,813,500 TOTAL ESTIMATED FUNDS AVAILABLE $75,262,200 ESTIMATED EXPENDITURES Mayor $614,900 Common Council 353,600 City Clerk 833,400 City Treasurer 20,000 City Attorney 1,985,600 Code Compliance 2,639,500 General Government 1,233,200 City Administrator 550,400 Civil Service 311,200 Personnel 382,100 Finance 1,259,300 Planning & Building Services 1,871,700 Fire 15,076,500 Police 33,341,300 Public Works 2,693,900 Facilities Management 3,259,900 Parks, Recreation, &Comm Service 5,015,400 Public Services 2,484,700 Total Estimated Expendlturess $73,926,600 Total Transfers Out 3,238,900 TOTAL ESTIMATED DEDUCTIONS : $77,165,500 EXCESS(DEFICIENCY) AVAILABLE OVER DEDUCTIONS ($1,903,300) ESTIMATED BEGINNING FUND BALANCE 1,932,600 ESTIMATEDENDING FUND BALANCE $29,300 EXHIBIT D CITY OF SAN BERNARDINO GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-1993 1993-1994 19941995 1995-1996 1996-1997 PROPERTY TAXES 4001 Current Secured 7,133,535 6,003,592 6,156,538 6,250,000 6,325,000 4002 Current Unsecured 460,135 338,003 299,756 325,000 330,000 4006 Supplemental 553,095 147,578 91,041 60,000 65,000 4003 Prior Taxes 151,330 632,291 237,858 200,000 200,000 4005 Other 156,175 112,000 104,137 102,000 110,000 Total Taxes 8,454,270 7,233,464 6,889,330 6,937,000 7,030,000 OTHER TAXES 4221 Sales Tax 18,991,940 19,066,978 19,431,990 19,900,000 20,300,000 4224 Utility User Tax 16,524,672 16,864,498 15,135,857 15,402,000 15,318,000 4201/11 Franchise Tax 1,651,202 1,550,514 1,579,328 1,600,000 1,655,000 4222 Transient Occupancy 1,386,935 1,373,193 1,399,204 1,470,400 1,520,400 4223 Prop. Transfer Tax 149,343 144,418 132,422 130,000 140,000 4225 Sales Tax Public Safety 0 269,101 441,475 370,000 385,000 Total Taxes 38,704,092 39,268,702 38,120,276 38,872,400 39,318,400 LICENSES AND PERMITS 4301 Business Registration 3,681,446 3,557,372 3,703,484 3,796,500 3,937,100 4330 Building Permits 582,668 473,234 337,219 440,000 450,000 4342 EMS Membership 75,900 57,916 23,544 40,000 40,000 4331 Mechanical Permits 225,434 176,078 141,173 150,000 150,000 4362 On Site Permits 128,827 186,569 171,868 160,000 190,000 4363 On Site Plan Check 89,331 126,449 103,146 65,000 80,000 4361 Construction Permits 48,609 73,222 85,835 20,000 80,000 4336-9 Fire Licenses/Permits 50,819 56,229 50,535 55,000 55,000 4351 Street Cut Permits 35,214 25,519 42,829 15,000 16,000 4333 Mobile Home Park Permit 26,270 26,957 26,591 30,000 35,000 4352 Misc Licenses & Permits 1,750 9,399 4,075 35,000 37,000 4304 Misc Planning Permits 13,174 19,386 15,008 15,000 15,000 4303 Misc City Clerk Permits 37,9031 22,6021 30,298 40,000 53,000 4360 Grading Permits 6,7251 5,645 3,825 6,000 6,000 Total License 8 Permit 5,004,0701 4.816,5771 4,739,430 4,867,500 5,144,100 FINES AND PENALTIES 4420 Parking Citations 374,500 388,954 471,239 430,000 471,000 4410 General Fines 31,397 482,009 775,176 160,000 165,000 4450 Fire Citations 0 0 0 0 105,000 4421 Vehicle Abatement Fines 1 131,757 10,3331 7,4381 11,0001 12,000 TotalFines/Penalties 537,6541 881,,2 96 1,253,853 1 601,0001 753,000 USE OF MONEY AND PROPERTY 4520 Land &Building Rental 378,469 320,604 295,257 240,000 260,000 4505 Interest Earnings 833,858 556,296 1,385,724 852,000 700,000 4530 Parking Rental Fee 64,324 68,296 44,781 72,000 60,000 4922-26 Sale of Property 977,466 50,890 225,966 60,000 1,001,000 454041 Misc. Use of Money 4,758 2,025 1,387 8,000 8,000 4924 Damage Claim Recovery 86,408 127,956 0 0 0 Total Money& Property 2,345,283 1,126,067 1,953,115 1,232,000 2,029,000 CITY OF SAN BERNARDINO GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-1993 1993-1994 1994-1995 1995-1996 1996-1997 INTERGOVERNMENTAL 4603 Motor Vehicle In Lieu 6,241,327 6,587,028 6,481,836 6,650,000 6,725,000 4670 EDA Reimbursement 1,151,804 1,894,935 1,793,368 2,401,500 2,811,300 4604 Sewer In Lieu 0 0 0 304,000 504,000 4606 Homeowner's Exemption 250,646 170,030 148,675 175,000 180,000 4626 POST 192,652 122,322 145,449 70,000 89,000 4673 Water Reimbursement 0 0 0 170,000 150,000 4625 State-Mandated Costs 186,389 91,425 78,991 165,000 175,000 4615 State Aid-Civil Defense 40,940 43,018 54,865 46,000 31,700 4646 Highland-Cross Guards 44,597 27,770 20,788 0 0 4645 County Aid-Cross Guards 44,910 2,432 0 0 0 4607 Off-Highway Vehicle Tax 4,860 3,013 1,023 1,000 1,000 4604 Cigarette Tax 25,176 0 0 0 0 4602 Trailer Coach License 25,570 2,879 2,464 2,500 2,500 4608/81 Misc Inter government 13,761 0 0 0 0 4619 STATE AID-DISASTER 0 0 12,836 48,700 30,000 4671 SBIAA Reimbursement 0 42,403 135,197 95,000 100,000 Total Inte ovemmental 8,222,6321 8,987,2551 8,875,4921 10,128,700 1 10,799,500 CHARGES FOR SERVICE 4731 Plan Check Fee 461,866 443,659 344,854 220,000 220,000 4880 EMS User Fee 267,520 298,976 292,499 350,000 360,000 4798 Storm Drain Utility Fee 176,830 249,141 257,520 250,000 260,000 4815 Weed Abatement 233,197 264,047 306,557 275,000 329,900 4733 Building Demolition 300,734 249,333 377,365 450,000 485,000 4747 Alarm System Fee 92,325 103,395 33,042 80,000 80,000 4714 Planning Develp Project 98,924 75,119 83,721 80,000 80,000 4743 Towing Fees 0 0 0 29,000 63,400 4766 Building Permit Review 102,280 44,869 16,559 3,000 3,000 4860 Misc Park& Rec Receipts 28,132 37,195 0 0 0 4720 Planning Plan Review 25,172 30,051 42,139 56,500 55,000 .4782/4 Public Wk Subdivision 33,228 34,469 53,979 30,000 20,000 4785 Non Subdivision Str Imp 18,129 55,776 37,567 15,000 30,000 4711 Planning Subdivision 18,243 11,106 25,195 10,000 20,000 4718 Planning Environmental 14,167 19,188 22,489 11,000 12,000 4866-7 Sturges Rental/Lease 28,383 31,929 30,180 0 0 4863 Class Registration Fee 20,952 22,930 17,747 9,000 13,000 4780 Misc Public Work 28,860 24,432 28,652 50,000 66,000 4862 Park Energy Fee 17,763 22,959 20,983 20,000 20,000 4864 Swimming Pool Fee 17,650 38,623 61,637 70,000 70,000 4861 Progrm/Facility Use Fee 10,923 19,206 76,080 60,000 65,000 4865 Non-Resident Fees 10,021 12,867 5,475 6,000 6,000 4710 Misc Plannin /Bui[ding 17,000 24,376 31,961 17,000 20,000 4790-6 Signal Maint/Energy 34,818 47,081 31,371 8,000 8,000 4802 Str Light Energy Fee 8,542 4,733 22,950 20,000 20,000 4701 Election Filing Fee 21,057 7,199 0 4,800 0 4705 Utility Collection Fee 9,397 8,876 9,418 8,000 0 Total Charges 2,096,113 2,181,535 2,229,9401 2,132,300 2,306,300 CITY OF SAN BERNARDINO GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-1993 1993-1994 1994-1995 1995-1996 1996-1997 MISCELLANEOUS 4906 Water Fund Contr. 1,380,224 1,449,858 1,483,365 1,450,000 1,480,000 4820 Sewer Line Maint. 932,508 965,500 0 0 0 4910 Admin Service Charge 715,216 715,012 896,104 184,200 630,000 4901 Misc. Other Revenue 371,319 305,215 332,220 263,000 300,000 4912 Off Track Betting 249,883 216,887 203,918 190,000 190,000 4741 Sale of Photos 62,871 82,144 66,764 65,000 66,400 4809-10 Misc Public Service 44,265 36,890 12,813 15,000 20,000 4740-5 Police Misc. Receipts 36,262 100,052 45,697 58,600 173,000 4941-Refuse Space Rental 0 41,000 41,100 41,000 41,000 4746 Property Auction 14,663 20,735 5,445 17,500 18,000 4750 Investigation Fee 2,500 3,225 3,980 3,500 12,500 4905 Litigation Settlement 400,742 9,601 6,250 7,000 10,000 4904 Drunk Driver Reimburmt. 0 1,549 9,809 4,400 4,500 4903 Refunds& Rebates 17,777 96,254 62,603 20,000 20,000 4928 Booking Fee Reimburmt. 1,131 3,734 1,225 2,500 102,500 4911 Restitutions 6,882 19,811 3,651 500 500 Total Miscellaneous 4,235;243 4,06714671111 31174,944 1 2;322,200 3,068,400 TQTA GENERALfCII�D.. -=- (9,600,357 __# 8,Sfi2,363 -.1"i7;236,380 67, 93,100 ? 448,700 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS EXHIBIT E FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-93 1993-94 1994-95 1995-96 1996-97 105 LIBRARY FUND 4618 State Aid-Libraries 99,678 94,031 117,742 127,000 130,000 4850 Miscellaneous Receipts 11,426 13,636 11,045 10,000 10,000 4851 Library Fines 37,337 38,906 40,761 42,000 42,000 Total Library Fund 148,441 146,573 169,548 179,000 182,000 106 CEMETERY FUND 4505 Interest on Idle Cash 40,730 32,000 28,000 24,000 24,000 4775 Cemetery Burial Fee 69,925 70,145 71,327 62,000 72,000 4776 Sale of Vases 3,074 2,326 2,570 2,300 2,300 4777 Sale Concrete Boxes 42,211 35,695 38,693 30,000 32,000 4778 Sale Cemetery Plots 65,313 64,463 71,299 50,000 65,000 4901 Misc. Other Revenue 0 01 75,000 0 0 Total Cemetery Fund 221,253 204,629 286,889 168,300 1951300 107 CABLE TV FUND - 4505 Interest on Idle Cash 0 0 317 900 800 4670 Economic Development Reimb. 0 18,000 15,294 18,000 18,000 4905 Misc. Receipts 130,000 0 4,438 0 0 4922 Sale of Equipment 0 0 74,664 58,000 60,000 Total Cabie TV Fund .130,000 18,500 94,713 76,900 - 78,800 108 ASSET FORFEITURE FUND- 4505 Interest on Idle Cash 19,535 17,000 11,000 4,500 700 4672 Asset Forfeiture Federal DOJ 446,463 191,547 268,067 87,800 0 4927 Asset Forfeiture 0 0 99,426 66,200 35,000 4929 Asset Forfeiture-Drug/Gang 0 0 0 9,200 0 Total Asset Forfeiture Fund 465,998 208,547 378,493 167,700 35,700 X09 PARKING/BUSINESS IMPROVMT'FD 4302 Parkin /Business Improvement 159,338 158,488 145,011 145,000 145,000 4505 Interest on Idle Cash 0 1,689 936 500 500 Total Parkin /Business Fund !: 159,338 160,177 145,947 145,500 145,500 110 PARKING DISTRICT FUND 4010 Special Assessment-Land 166,356 189,082 122,144 130,000 154,000 4011 Special Assessment-Phase II 27,834 39,378 26,933 30,000 30,000 4505 Interest on Idle Cash 27,883 21,755 6,148 4,000 4,000 4530 Rental Fee-Parking 15,340 12,245 24,833 20,000 24,000 4670 Economic Development Reimb. 100,000 28,340 0 39,100 39,100 Total Parkin District Fund 337,413 290,800 180,058 223,100 251,11)0 111!TRANSPORTATION FUND 4505 Interest on Idle Cash 0 0 17,000 10,000 5,000 4626 Rideshare Reimbursement 222,533 242,000 202,966 175,000 175,000 4670 Economic Development Agency 6,000 3,000 3,000 3,500 3,000 4916 Van Pool Contributions 0 1,579 3,034 5,400 5,000 4906 Water Department 0 0 6,0001 3,000 1 3,000 Total Transportation'Fund 228,533 246,579 232,000 196;900 191,000 122 ARTICLE 8 -LTF 0 - 01 01 01 172,800 124 ANIMAL CONTROL FUND 4320 Animal License 156,669 150,857 147,292 147,500 192,800 4352 Misc. License& Permits 0 0 675 600 1,000 4410 General Fines 19,956 23,138 20,777 20,000 20,800 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996-1997 ACTUAL ACTUAL F306.858 TUAL ESTIMATED PROPOSED DESCRIPTION 1992-93 1993-94 994-95 1995-96 1996-97 4430 Animal License Pena 11,563 13,182 2,566 12,100 12,200 4756 Animal Adoption Fee 17,007 12,392 2,973 10,500 10,200 4757 Contractee Shelter Fee 35,747 267,321 337,200 344,000 4758 Livestock Fee 275 1,539 776 1,700 300 4759 Apprehension Fee 14,508 21,008 24,614 23,900 24,200 4760 Board Fee 15,947 19,714 19,691 19,200 19,600 4761 Field Service Fee 1,795 3,390 3,670 2,400 2,400 4763 Owner Release Fee 19,116 21,947 20,866 18,000 20,100 4764 Vaccination Fee 12,114 10,282 9,956 8,300 8,300 4765 Microchip Fee 0 1,626 1,689 1,200 1,200 4901 Miscellaneous Receipts 18,770 20,288 19,832 22,200 21,000 4765 Microchip Identification 0 160 126 100 200 Total Animal Control Fund 323,4671 566,844 602,361 624,900 678,300 126 SPECIAL GAS TAX FUND 4505 Interest on Idle Cash 107,309 60,600 51,500 30,000 50,000 4610 State Aid-2106 593,446 645,704 658,700 655,000 645,000 4611 State Aid-2107 1,393,567 1,461,369 1,466,000 1,500,000 1,500,000 4612 State Aid-2107.5 10,000 10,000 10,000 10,000 10,000 4614 Prop 111-Highway Users Tax 834,657 988,274 1,052,000 1,090,000 1,090,000 4945 Reimbursement 0 0 25,000 332,000 0 Total Gas Tax Fund 2,938,979 3,165,947 3,263,200 3,617,000 3,295,000 527 REFUSE FUND 4505 Interest on Idle Cash 120,955 136,935 135,077 80,000 40,000 4830 Commercial Rubbish 257,484 279,209 258,249 260,000 288,000 4831 Commercial Bin Rent 371,616 369,705 342,340 380,000 360,000 4832 Commercial Bin Service 5,119,213 5,002,729 5,035,838 4,976,400 4,976,000 4833 Commercial Special 304,744 323,069 325,099 400,000 309,000 4834 Commercial Municipal 163,552 136,200 0 0 0 4836 Commercial Bin Service-Malls 141,181 115,630 93,748 102,000 102,000 4837 Automated Commercial Rubbish 4,911 4,461 5,472 8,000 8,000 4840 Residential Water Billed 5,863 241 5,865,229 5,598,325 6,048,000 6,048,000 4841 Residential"B"Accounts 392,474 381,858 345,347 382,000 382,500 4843 Dino Bin Service 1,302,303 1,197,070 1,013,781 1,104,000 1,104,000 4849 Sale of Paper/Salvage Material 68,673 0 10,394 7,500 7,500 4901 Miscellaneous Other Revenue 0 905 443,330 36,000 36,000 Total Refuse Fund 13,973,001 13,813,000 13,607,000 13,783,900 13,661,000 128 TRAFFIC SAFETY FUND - - 4440 CVC Fine 162,151 75,471 40,000 15,000 16,100 4505 Interest on Idle Cash 3,596 0 0 0 0 Total Traffic Safety Fund - 165,747 75,471 40,000 15,000 16,100 129 112 CENT SALES/ROAD TAX FUND'. 4505 Interest on Idle Cash 19,088 8,100 30,700 37,000 9,000 4613 1/2 Cent Sales Tax 1,309,833 1,331,000 1,413,900 1,200,000 1,500,000 4627 Measure I Arterial 0 0 554,300 0 0 4945 Construction Reimbursement 2,125,167 80,000 75,400 15,000 5,000 Total 1/2 Cent Sales Tax 3,454,0881 1,419,1001 2,074,3001 1,252,000 1,514;000 130 PRO BASEBALL TEAM FUND 4521 Fiscalini Field Lease Fee 30,6161 34,298 1 27,061 25,000 1 20,000 Total Pro Baseball Team fund 30,6161 34,2981 27,061 25,0001 20,000 131 SB 300 -T-387,0001 42,800 F 01 512,600 75,000 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-93 1993-94 1994-95 1995-96 1996-97 132 SEWER LINE MAINTENANCE 4505 Interest on Idle Cash 0 34,100 34,200 35,000 40,000 4820 Sewer Line Maint 0 65,600 1,280,857 1,347,400 1,360,000 Total Sewer Line Maintenance 0 99,700 1,315,057 1,382,400 1,400,000 133 BASEBALL STADIUM 4520 SB Valley College 0 0 0 0 12,000 4901 Baseball Team Lease Agreement 0 0 0 0 400,000 Total Baseball Stadium 0 0 0 0 412,000 242 STREET CONSTRUCTION FUND 4630 State Aid-Street Constr. 75,239 0 1,964,200 44,400 0 4658 Federal Aid-FAU 1,366,063 2,520,200 2,927,600 1,640,000 5,300,000 4901 Miscellaneous Receipts 248,635 0 29,100 0 0 4945 Construction Reimbursement 449,066 38,100 1,614,100 546,000 1,765,500 Total Street Constr. Fund 2,139,003 2,558,300 1 6,535,0001 2,230,400 1 7,065,500 243 PARK CONSTRUCTION FUNDi'=' 4505 Interest on Idle Cash 30,053 33,200 46,400 18,000 20,000 4620 State Aid-Park Development 0 419,800 0 0 0 4732 Park Development Fee 484,814 206,300 118,900 238,000 240,000 4945 Construction Project Reimb. 80,000 0 0 0 0 Total Park Construction Fund ! 594,867 659,300 165,300 256,000 260,000 244 CEMETERY CONSTRUCTION FUND 4505 Interest on Idle Cash 827 897 300 600 600 4778 Sale Cemetery Plots 8,190 7,074 7,100 4,500 4,400 Total Cemetery Constr. Fund 9,017 7,971 7,400 5,100 5,000 245 SEWER LINE CONSTRUCTION FUND 4505 Interest on Idle Cash 486,895 362,200 274,800 98,800 55,000 4821 Sewer Lateral Fee 285 600 300 10,000 300 4822 Sewer Connection Fee 399,702 290,600 152,000 228,000 230,000 Total Sewer Line Constr. Fund 886,882 653,400 427,100 336,800 285,300 246 INDIAN BINGO SETTLEMENT FUND 4505 Interest on Idle Cash 33,123 28,000 20,000 9,000 9,000 4902 Indian Bingo Contribution 150,000 100,000 0 0 0 Total Indian Bingo Fund 183,123 12-8,000 20,000 9,000 9,000 247 CULTURAL DEVELOP FUND 4335 Cultural Devel. Constr. Fee 111,000 169,047 40,300 335,400 99,800 4505 Interest on Idle Cash 2,628 1,000 400 0 200 Total Cultural Devel Const Fund 113,628 170,047 40;700 335,400 100,000 248 STORM DRAIN CONSTR FUND 4505 Interest on Idle Cash 201,641 158,500 147,200 20,000 20,000 4818 Storm Drain Fee 514,736 423,222 366,400 810,000 350,000 4945 Construction Reimbursement 307 12,851 0 0 0 Total Storm Drain Constr. Fund 716,684 594,573 513,600 830,000 370,000 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-93 1993-94 1994-95 1995-96 1996-97 250 TRAFFIC SYSTEMS CONSTR FUND 4505 Interest on Idle Cash 29,771 29,400 22,700 12,000 0 4803 Traffic System Fees 318,607 416,700 168,200 393,500 200,000 4630 State Aid-Street Construction 142,963 0 436,100 0 0 Total Traffic Systems Fund 491,341 446,100 627,000 405,500 200,000 251 ASSESSMENT DISTRICT 971 4897 Interdepartmental Receipts 0 01 0 1 0 1 140,600 Total Assessment District 971 0 0 0 0 140,600 257 CITY WIDE AD 994 4897 Interdepartmental Receipts 3,040,412 3,101,224 4,304,000 4,416,700 4,202,800 4910 Administrative Service Charges 0 0 0 0 90,000 Total C Wide AD 994 3,040,412 3,101,224 4,304,000 4,416,700 4,292,800 621 CENTRAL SERVICES FUND 4897 Interdepartmental-General Fund 0 0 0 0 150,000 4897 Interdepartmental-NonGen. Fund 0 0 0 0 101,100 Total Central Services Fund 0 0 0 0 251,100 629 LIABILITY INSURANCE FUND 4505 Interest on Idle Cash 0 0 0 25,000 100,000 4670 Economic Development Agency 50,000 105,000 50,572 85,000 85,000 46711VDA/SBIAA 0 0 0 0 10,000 4897 Interdepartmental Receipts 2,284,676 2,275,300 2,316,000 2,049,400 2,049,400 4901 Misc. Receipts 4,015,055 100,631 291,592 0 0 4906 Water Department 0 38,432 61,575 40,000 25,000 4924 Damage Claim Recovery 0 52,937 94,408 10,000 57,000 Total Liability Insurance Fund 6,349,731 2,572,300 2,814147 2,209,400 2,326,400 630 TELEPHONE SUPPORT FUND 4541 Telephone Commission 21,739 18,542 13,635 18,000 18,000 4893 Water Dept. Receipts 0 46,442 111,056 123,500 92,800 4670 Economic Development Agency 0 80,196 96,454 121,700 112,800 4897 Interdepartmental Receipts 766,487 514,307 783,095 738,100 757,600 4903 Refunds and Rebates 4,982 2,027 2,535 2,500 1,000 Total Telephone Support Fund ,793,208 661,514 1,006,775 1,003,800 982,200 631 UTILITY!FD-INTERDEPT RECEIPTS 0 : !3,154,170 3,223,7711 3,026,7331 3,159,400 635 MOTOR POOL FUND 4896 Replacement Contribution 737 0 0 654,000 594,600 4897 Interdepartmental Receipts 3,275,557 3,591,273 3,966,000 3,279,900 3,450,700 4924 Damage Claim Recovery 383,263 7,678 1,000 151,600 0 Total Motor Pool'Fund 3,659,557 3,598,951 3,967,0001 .4,085, 00 4,045,300 678 WORKERS'COMPENSATION FUND' 4505 Interest on Idle Cash 0 0 2,992 1,000 500 4897 Interdepartmental Receipts 1,861,145 1,669,928 1,994,019 2,022,000 2,109,700 4899 Premiums 73,060 17,300 15,909 16,000 16,000 4670 Economic Development Agency 0 11,060 10,000 10,000 11,100 4901 Misc Receipts 0 8,549 0 5,000 25,000 4906 Water Department 0 187,982 556,251 300,000 320,000 4924 Damage Claim Recovery 58,738 16,181 43,922 0 60,000 Total Workers'Compensation Fd 1,992,943 1,911,000 2,623,093 2,354,000 2,542,300 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1 1992-93 1993-94 1994-95 1995-96 1996-97 679 Management Information Services 4505 Interest on Idle Cash 0 0 0 20,000 0 4670 EDA Reimbursement 0 26 4,283 1,000 18,900 4897 Interdepartmental Receipts 958,435 1,023,900 1,117,928 1,968,200 2,165,100 4901 Miscellaneous Receipts 1,731 2,744 155,318 2,000 0 4903 Refunds&Rebates 160 416 01 01 0 Total MIS Fund 1 960,3261 1,027,0861 1,277,5291 1,991,2001 2,184,000 GRAND TOTAL 44,894,596 1 41,736,401 1 49,969,042 1 45,865,733 50,542,500 EXHIBIT F CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - IN TO GENERAL FUND: *From Special Gas Tax For - 2,205,000 Street Maintenance *From Traffic Safety For - 16,100 Police Costs *From 1/2 Cent Sales & Road Tax For - 164,000 Administration *From Cultural Development Fund For- 100,000 Funding Fine Arts and Civic and Promotional Costs *From Traffic Systems Constructions For- 25,000 Administration *From Parking District For- 66,600 Debt Service Payment *From Assessment District 994 Fund For- 300,000 Administration *From SB 300 For - 50,000 Administration *From Storm Drain Construction For- 100,000 Administration *From Telephone Support For- 20,000 Telephone Commission & Rebates *From Refuse Fund For- 1,326,200 Administration *From Sewer Line Construction For- 50,000 Administration *From Sewer Line Maintenance Fund For - 200,000 Administration CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - IN "From AD 971 Fire Station Constr. Distr. For- 140,600 Reimburse Debt Service Payment 'From Transportation Fund For - 50,000 Traffic Engineering Costs TOTAL GENERAL FUND' $4,813,500 TO ANIMAL CONTROL FUND: "From General Fund For- 212,700 Operating Costs TO LIBRARY FUND:' *From General Fund For- 2,564,400 Operating Costs TO TELECOMMUNICATIONS: *From General Fund For - 413,800 Operating Costs TO'PUBLIC PARK EXTENSION: *From General Fund For- 48,000 Park Facilities Improvements TO PARKING DISTRICT: *From Parking & Business Improvement For- 98,300 Administration TOTAL OTHER FUNDS $3,33 ,200 GRAND TOTAL TRANSFERS-77771 W,P15017.00 CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - OUT FROM GENERAL FUND: *To Aniamal Control Fund For- $212,700 Operating Costs *To Library Fund For- 2,564,400 Operating Costs *To Telecommunications For- 413,800 Operating Costs *To Public Park Extension For- 48,000 Park Facilities Improvements TOTAL GENERAL FUND' ,'$3,238,900 FROM TELECOMMUNICAT}ON FD: ' *To General Fund For- 20,000 Telephone Commission & Rebates FROM!SPECIAL GAS TAX: *To General Fund For- 2,205,000 Street Maintenance Costs FROM TRAFFIC SAFETY: *To General Fund For- 16,100 Police Costs FROM !AD 994: *To General Fund For- 300,000 Administration FROM 1/2 CENT SALESLROAfl TAX;' *To General Fund For- 164,000 Administration of Fund FROM PARKING & BUSINESS IMPR *To Parking District For- 98,300 Administration of District CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS -OUT FROM PARKING DISTRICT FUND *To General Fund For- 66,600 Debt Service Payment FROM CULTURAL DEVELOPMENT *To General Fund For- 100,000 Fine Arts & Civic Promotional Costs FROM TRAFFIC SYSTEM CONSTR *To General Fund For- 25,000 Administration of Fund FROM SB.300 *To General Fund For- 50,000 Administration of Fund F.FROM!STORM DRAIN FUND *To General Fund For- 100,000 Administration of Fund FROM REFUSE FUND *To General Fund For- 1,326,200 Administration FROM SEWER LINE CONSTR FD *To General Fund For- 50,000 Administration FROM SEWER LINE MAINT FUND 200,000 *To General Fund For- Administration FROM AD 971 FIRE STATION *To General Fund For- 140,600 Reimburse Debt Service Payment CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - OUT FROM TRANSPORTATION FUND 50,000 *To General Fund For- Traffic Engineering Costs TOTAL OTHER FUNDS 1 $4,911,800 GRAND TOTALTRANSFERS-OUT $8,150,700 CITY OF SAN BERNARDINO EXPENDITURE SUMMARY-PRIMARY FUNDS EXHIBIT G BY DEPARTMENT&FUND FISCAL YEAR 1996-19970 PERSONAL MATERIALS CONTRACT INTERNAL CAPITAL DEBT TOTAL FUND/TITLE SERVICES /OPERATION SERVICE SERVICE OUTLAY SERVICE EXPENSES GENERAL FUND: 010 MAYOR 515,700 43,600 0 55,600 0 0 614,900 020 COMMON COUNCIL 257,000 65,400 0 31,200 0 0 353,600 030 CITY CLERK 706,500 73,100 900 51,900 1,000 0 833,400 040 CITY TREASURER 19,400 600 0 0 0 0 20,000 050 CITY ATTORNEY 1,354,100 315,000 259,000 57,500 0 0 1,985,600 070 CODE COMPLIANCE 1,467,500 208,400 682,100 209,800 71,700 0 2,639,500 090 GENERAL GOVERNMENT 860,000 446,200 150,000 0 0 1,497,000 1,233,200 100 CITY ADMINISTRATOR 479,500 33,500 12,600 24,800 0 0 550,400 108 CIVIL SERVICE 245,000 11,200 42,000 13,000 0 0 311,200 110 PERSONNEL 336,300 12,600 400 32,800 0 0 382,100 120 FINANCE 958,500 41,800 7,000 234,700 17,300 0 1,259,300 170 PLANNING 8 BUILDING 1,469,800 141,400 46,600 213,900 0 0 1,871,700 200 FIRE 13,457,300 456,600 9,600 1,108,000 41,300 3,700 15,076,500 210 POLICE 26,274,000 1,401,000 607,300 3,707,100 84.600 1,267,300 33,341,300 300 PUBLIC WORKS 1,958,300 229,700 101,000 400,200 4,700 0 2,693,900 320 FACILITIES MANAGEMENT 1,585,300 280,700 287 800 1,004,000 102,100 0 3,259 900 380 PARKS 8 RECREATION 3,154 200 366,400 437,100 1,057,700 0 0 5,015,400 400 PUBLIC SERVICES 1,668,600 145,500 62,100 555,000 53,500 0 2,484,700 TOTAL GENERAL FUND 55,047,000 4,272,700 2,705,500 8,757,2001 376,2001 2,768,0001 73,926,600 SPECIAL REVENUE FUNDS:_ 105 LIBRARY FUND 1,382,500 1,134,000 7,500 221,900 0 0 2,745 900 106 CEMETERY FUND 203,800 26,900 0 29,900 0 0 260,600 107 CABLE TELEVISION FUND 377,000 46,400 9 000 21,900 0 0 454,300 108 ASSET FORFEITURE FUND 0 115,100 900 0 44,200 0 160,200 109 PARKING/BUSINESS FUND 0 28,200 3,500 1,000 0 0 32,700 110 PARKING DISTRICT FUND 52,500 38,000 5,800 10,900 0 177,500 284,700 111 TRANSPORTATION 80,600 15,500 10,000 22,200 6,200 0 134,500 122 ARTICLE 8-LTF 0 0 172 800 0 0 0 172,800 124 ANIMAL CONTROL FUND 717,800 64,000 16 800 92,400 0 0 891,000 126 SPECIAL GAS TAX FUND 0 0 3,085,100 0 0 0 3,085,100 527 REFUSE FUND 3,795,400 4,783,900 961,900 2,725,600 787,100 2,029 100 15 083,000 129 1/2 CENT SALES/ROAD TAX 0 0 3,428,800 0 0 0 3,428,800 130 FISCALINI FIELD 0 28,000 0 0 0 0 28,000 131 SB 300 FUND 0 0 475,000 0 0 0 475,000 132 SEWER LINE MAINT 417,400 . 241,200 1 1,456,200 217,200 162,600 0 2,494,600 133 BASEBALL STADIUM 47,900 1 135,0001 26,600 202,500 0 01 412,000 TOTAL SPECIAL REVENUE 7,074,900 6,656,200 9,659,900 1 3,545,500 1,000,100 2,206,600 30,143,200 CAPITAL PROJECT FUNDS: 241 PARK EXTENSION FUND 0 0 118,100 0 0 0 118,100 242 STREET CONSTRUCTION 0 0 7 580 300 0 0 0 7580,300 243 PARK CONSTRUCTION 0 0 1,130,300 0 0 0 11130,300 245 SEWER LINE CONSTR 0 0 4,606,300 0 0 0 4,606,300 246 INDIAN BINGO 0 0 223,200 ol 0 0 223,200 248 STORM DRAIN CONSTR 0 0 2,255,500 0 0 0 2,255,500 250 TRAFFIC CONSTRUCTION 0 0 739,200 0 0 0 739,200 257 CITY AD 994 FUND 1,035,800 691,700 725,300 1,719,400 120,600 0 4,292,800 TOTAL CAPITAL PROJECT 1,035,800 691,700 17,378,200 1,719,400 - 120,600 ! 0 20,945,700 INTERNAL SERVICE FUNDS: 621 CENTRAL SERVS FUND 115,000 108,300 9,100 6,500 12,200 0 251,100 629 LIABILITY FUND 173,400 2,119,100 16,000 17,900 0 0 2,326,400 630 TELEPHONE SUPPORT 102,900 601,900 14,000 8,800 268,100 0 995,700 631 UTILITY FUND 88,800 2,921,500 0 0 0 149,100 3,159,400 635 MOTOR POOL FUND 1,239,600 1,982,300 0 177,700 640,000 5,700 4,045,300 678 WORKERS'COMP FUND 235,000 2,108,800 182,400 15,800 0 go -2,542,000 679 MIS FUND 490,800 704,200 67,600 28,500 58,200 833, Aid TOTAL INTERNAL SERVICE 2,445,500 10,546,100 289,100 255,200 978,500 988, GRAND TOTAL EXPENSES 165,603,200 22,166,700 130,032,700 114,277,300 1 2,475,400 1 5,963,000 1 140,518,300 CITY--OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION From: BARBARA PACHON, Subject: APPROVING AND ADOPTING THE FINAL BUDGET `IRECTOR OF FINANCE FOR FISCAL YEAR 1996-97. Del. INANCE Date: JULY 9, 1996 0CDPw Synopsis of Previous Council action: July 1, 1996 - Council Meeting to discuss FY 1996-97 Budget. July 3, 1996 - Council Meeting to discuss FY 1996-97 Budget. Recommended motion: ADOPT RESOLUTION Signature Contact person: RARRARA PACHON, DTRRCTOR OF FTNANCR Phone:__ F.XT_ 5242 Supporting data attached: YES Ward: FUNDING REQUIREMENTS: Amount: Source: (Acct. No.) (Acct. Description) Finance: 'ou Votes: d/Ut #-D-> 75-0262 Agenda Item CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION STAFF REPORT On July 3 , 1996, the City Council approved the final adjustements to balance the City' s FY 96-97 budget . The attached Exhibits A-G reflect the approved adjustments . It is recommended the attached resolution is adopted. RESOLUTION NO. RESOLUTION OF THE CITY OF SAN BERNA.RDINO APPROVING AND 1 ADOPTING THE FINAL BUDGET OF SAID CITY FOR THE FISCAL YEAR 1996-1997. 2 NOW, THEREFORE, BE IT RESOLVED BY THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: 3 SECTION 1. That certain document entitled "1996-97 Preliminary Annual Budget," as 4 amended and conditioned by orders of the Mayor and Common Council, as attached hereto and incorporated herein as Exhibits A through G, is hereby approved and adopted as the 1996-97 6 Budget of the City of San Bernardino. 7 I HEREBY CERTIFY that the foregoing resolution was duly adopted by the Mayor and 8 Common Council of the City of San Bernardino at a meeting thereof, 9 held on the day of , 1996, by the following vote to wit: 10 COUNCIL MEMBERS AYES NAYS ABSTAIN ABSENT 11 NEGRETE 12 CURLIN 13 ARIAS 14 OBERHELMAN 15 DEVLIN 16 ANDERSON 17 MILLER 18 19 20 CITY CLERK 21 The foregoing resolution is hereby approved this day of , 1996. 22 23 Tom Minor, Mayor City of San Bernardino 24 Approved as to form 25 and legal content: 26 JAMES F. 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Of OI 4! 0J O) 4) O U 41 U J J J U W W ---• L L L C C L U) O L y L O L U T U 'fl cLL. cn O W CX i d c U C Z Z L l0 y.0 07 C C Ql 0 O 00 0 O W •-+ O EXHIBIT B CITY OF SAN BERNARDINO SUMMARY OF REVENUES,EXPENDITURES,AND TRANSFERS FISCAL YEAR 1996-1997 ESTIMATE ADDITIONS TOTAL "DEDUCTIONS ESTIMATE BALANCE FOR TOTAL BALANCE FUND/TITLE 7-1-96 REVENUES TRANSFER BUDGET EXPENSES -LTRAN SFE I DEDUCT 630-97 001,_GENERAL FUND 1,932,600 69,119,800 4,913,500 75,965,900 1 72,697,700 1 3,238,900 1 75,936,600 29,300 SPECIAL REVENUE FUNDS: 105 LIBRARY 65,000 182,000 2,564,400 2,811,400 2,745,900 0 2,745,900 65,500 106 CEMETERY (90,400) 195,300 0 104,900 260,600 0 260,600 (155,700) 107 CABLE TELEVISION 70,700 78,800 413,800 563,300 454,300 0 454,300 109,000 108 ASSET FORFEITURE 255,300 35,700 0 291,000 160,200 0 160,200 130,800 109 PARKING &BUSINESS IMPR 34,400 145,500 0 179,900 32,700 98,300 131,000 48,900 110 PARKING DISTRICT 65,000 188,000 98,300 351,300 284,700 66,600 351,300 0 111 TRANSPORTATION 37,600 191,000 0 228,600 134,500 50,000 184,500 44,100 122 ARTICLE 8-LTF 0 172,800 0 172,800 172,800 0 172,800 0 124 ANIMAL CONTROL 5,000 678,300 212,700 896,000 891,000 0 891,000 5,000 126 SPECIAL GAS TAX 2,035,600 3,295,000 0 5,330,600 3,085,100 2,205,000 5,290,100 40,500 527 REFUSE 2,755,300 13,661,000 0 16,416,300 15,083,000 1,326,200 16,409,200 7,100 128 TRAFFIC SAFETY 0 16,100 0 16,100 0 16,100 16,100 0 129 1/2 CENT SALES&RD TAX 2,232,800 1,514,000 0 3,746,800 3,428,800 164,000 3,592,800 154,000 130 FISCALINI FIELD (131,900) 20,000 0 (111,900) 28,000 0 28,000 (139,900) 131 SB 300 FUND 487,300 75,000 0 562,300 475,000 50,000 525000 37,300 132 SEWER LINE MAINT 1,775,100 1,400,000 0 3,175,100 2,494,600 200,000 2,694,,600 480,500 TOTAL;.SPECIAL,REVENUES 9,596,800 21,848,500 3,289,200 1 34,734,SRL 29,731,200L 4,176,200 33,907,400 1 827,100 CAPITAL PROJECT FUNDS: 241 PUBLIC PARK EXTENSION 90,600 0 48,000 138,600 118,100 0 118,100 20,500 242 STREET CONSTRUCTION 688,400 7,065,500 0 7,753,900 7,580,300 0 7,580,300 173,600 7^3 PARK CONSTRUCTION 970,800 260,000 0 1,230,800 1,130,300 0 1,130,300 100,500 CEMETERY CONSTR 17,500 5,000 0 22,500 0 0 0 22,500 SEWER LINE CONSTR 4,457,900 285,300 0 4,743,200 4,606,300 50,000 4,656,300 86,900 246 INDIAN BINGO 468,100 9,000 0 477,100 223,200 0 223,200 253,900 247 CULTURAL DEVELOPMENT 0 100,000 0 100,000 0 100,000 100,000 0 248 STORM DRAIN CONSTR 1,903,700 370,000 0 2,273,700 2,255,500 100,000 2,355,500 (81,800) 250 TRAFFIC SYSTEM CONSTR 585,200 200,000 0 785,200 739,200 25,000 764,200 21,000 251 ASSESSMENT DISTR 971 1 0 140,600 01 140,600 0 140,600 140,600 0 257 CITY WIDE AD 994 1 931,900 4,292,800 01 5,224,700 4,292,800 300,0001 4,592,800 631,900 TOTAL CAPITAL PROJECTS 10,114,100 12,728,200 48,000 22,890,300 ..20,945,700' 715,600 21,661,300 1,229,000 INTERNAL SERVICE FUNDS: 621 CENTRAL SERVICES FUND 0 251,100 0 251,100 251,100 0 251,100 0 629 LIABILITY INSURANCE (800,000) 2,326,400 0 1,526,400 2,326,400 0 2,326,400 (800,000) 630 TELEPHONE SUPPORT 47,200 969,100 0 1,016,300 982,600 20,000 1,002,600 13,700 631 UTILITY FUND 0 3,159,400 0 3,159,400 3,159,400 0 3,159,400 0 635 MOTOR POOL 0 3,925,300 0 3,925,300 3,925,300 0 3,925,300 0 678 WORKER'S COMP (6,038,200) 2,533,100 1 0 (3,505,100) 2,532,800 0 2,532,800 (6,037,900) 679 MANAGMT INFO SYSTEM 94,2001 2,174,0001 0 2,268,2001 2,172,900 0 2,172,900 95,300 TOTAL'INTERNALSERVICE (6,696,800) 15,338,400 0 8,641;600 :15,350,500' 20,000 .15,370,500 (6,728,900) 772' BOOKING.FEETRUST I Z,385,2001 6974700 - 4,082,900 '3,982,900 .103,000 4082,900 0? CITY OF SAN BERNARDINO =IBIT c ESTIMATED REVENUES AND EXPENDITURES FISCAL YEAR 1996-1997 GENERAL FUND PROPOSED FY-96-97 ESTIMATED REVENUE Property Taxes $7,030,000 Other Taxes 39,318,400 Licenses & Permits 5,144,100 Fines and Penalties 753,000 Use of Money & Property 2,029,000 Intergovernmental 9,570,600 Charges for Services 2,306,300 Miscellaneous 2,968,400 Total Estimated Revenues 69,119,800 Total Transfers In 4,9137500 TOTAL ESTIMATED FUNDS AVAILABLE $74,033,3001 ESTIMATED;EXPENDITURES Mayor $614,900 Common Council 353,600 City Clerk 833,400 City Treasurer 20,000 City Attorney 1,985,600 General Government 1,233,200 City Administrator 550,400 Civil Service 311,200 Personnel 382,100 Finance 1,259,300 Planning & Building Services 2,704,500 Fire 15,076,500 Police 33,341,300 Public Works 2,693,900 Facilities Management 3,427,500 Parks, Recreation, & Comm Service 5,015,400 Public Services 2,894,900 TOW'Estilmated Expend tures'- 72 697 700, Total Transfers Out 3,238;900 TOTAL:,ESTIMATED:DEDUCTIONS 75,936,600 EXCESS:(DEFICIENCY') AVAILABLE OVER :DEDUCTIONS:,. ($1,96 3,300) ESTIMATED BEGINNING.FUND BALANCE . 1 ,932,600 ESTIMAT,ED.:ENDING FUND_BALANCE`_, 29,300 CITY OF SAN BERNARDINO EXHIBIT D GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 ACTUAL ACTUAL ACTUAL ESTIMATED DESCRIPTION 19 2-1993 1993-1994 1994-1995 19951996 PROPOSED 996-11997 'PROPERTY TAXES 4001 Current Secured 7,133,535 6,003,592 6,156,538 6,250,000 6,325,000 4002 Current Unsecured 460,135 338,003 299,756 325,000 330,000 4006 Supplemental 553,095 147,578 91,041 60,000 65,000 4003 Prior Taxes 151,330 632,291 237,858 200,000 200,000 4005 Other 156,175 112,000 104,137 102,000 110,000 Total Taxes 8,454,270 L 7,233,464 6,889,330 6,937,000 7,030,000 OTHER TAXES 4221 Sales Tax 18,991,940 19,066,978 19,431,990 19,900,000 20,300,000 4224 Utility User Tax 16,524,672 16,864,498 15,135,857 15,402,000 15,318,000 4201/11 Franchise Tax 1,651,202 1,550,514 1,579,328 1,600,000 1,655,000 4222 Transient Occupancy 1,386,935 1,373,193 1,399,204 1,470,400 1,520,400 4223 Prop. Transfer Tax 149,343 144,418 132,422 130,000 140,000 4225 Sales Tax Public Safety 0 269,101 441,475 370,000 385,000 Total Taxes 38,704,092 39,268,702 38,120,276 38,872,400 39,318,400 LICENSES AND PERMITS 4301 Business Registration 3,681,446 3,557,372 3,703,484 3,796,500 3,937,100 4330 Building Permits 582,668 473,234 337,219 440,000 450,000 4342 EMS Membership 75,900 57,916 23,544 40,000 40,000 4331 Mechanical Permits 225,434 176,078 141,173 150,000 150,000 4362 On Site Permits 128,827 186,569 171,868 160,000 190,000 4363 On Site Plan Check 89,331 126,449 103,146 65,000 80,000 4361 Construction Permits 48,609 73,222 85,835 20,000 80,000 4336-9 Fire Licenses/Permits 50,819 56,229 50,535 55,000 55,000 4351 Street Cut Permits 35,214 25,519 42,829 15,000 16,000 4333 Mobile Home Park Permit 26,270 26,957 26,591 30,000 35,000 4352 Misc Licenses & Permits 1,750 9,399 4,075 35,000 37,000 4304 Misc Planning Permits 13,174 19,386 15,008 15,000 15,000 4303 Misc City Clerk Permits 37,903 22,602 30,298 40,000 53,000 4360 Grading Permits 6,725 5,645 3,825 6,000 6,000 Total license & Permlz 5,004,070 X1,816,577. 4,739,430. 4,867 500 5,1114,100 FINES AND PENALTIES 4420 Parking Citations 374,500 388,954 471,239 430,000 471,000 4410 General Fines 31,397 482,009 775,176 160,000 165,000 4450 Fire Citations 0 0 0 0 105,000 4421 Vehicle Abatement Fines 131,7571 10,333 7,438 11,000 12,000 Tatal;Fines/Penalties 537,654: .! 881,296 _ 1,253,853° 601;000 753,000 USE,OF MONEY-AND!PROPERTY 4520 Land & Building Rental 378,469 320,604 295,257 240,000 260,000 4505 Interest Earnings 833,858 556,296 1,385,724 852,000 700,000 4530 Parking Rental Fee 64,324 68,296 44,781 72,000 60,000 4922-26 Sale of Property 977,466 50,890 225,966 60,000 1,001,000 4540-41 Misc. Use of Money 4,758 2,025 1,387 8,000 8,000 4924 Damage Claim Recovery 86,408 127,956 0 0 0 Total Money & Property 2,345,283 1;126,067 1,953,115 1,232,0001 2,029,000' CITY OF SAN BERNARDINO GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 DESCRIPTION 19921 93 19 3-1994 1 941 95 19951996 1996-19977 INTERGOVERNMENTAL 4603 Motor Vehicle In Lieu 6,241,327 6,587,028 6,481,836 6,650,000 6,725,000 4670 EDA Reimbursement 1,151,804 1,894,935 1,793,368 2,401,500 1,582,400 4604 Sewer In Lieu 0 0 0 304,000 504,000 4606 Homeowner's Exemption 250,646 170,030 148,675 175,000 180,000 4626 POST 192,652 122,322 145,449 70,000 89,000 4673 Water Reimbursement 0 0 0 170,000 150,000 4625 State-Mandated Costs 186,389 91,425 78,991 165,000 175,000 4615 State Aid-Civil Defense 40,940 43,018 54,865 46,000 31,700 4646 Highland-Cross Guards 44,597 27,770 20,788 0 0 4645 County Aid-Cross Guards 44,910 2,432 0 0 0 4607 Off-Highway Vehicle Tax 4,860 3,013 1,023 1,000 1,000 4604 Cigarette Tax 25,176 0 0 0 0 4602 Trailer Coach License 25,570 2,879 2,464 2,500 2,500 4608/81 Misc Intergovernment 13,761 0 0 0 0 4619 STATE AID-DISASTER 0 0 12,836 48,700 30,000 4671 SBIAA Reimbursement 0 42,4031 135,1971 95,0001 100,000 Total Intergovernmental 1 8,222,6321 8,987,2551 8,875,492 10;128,700 9,570,600 CHARGES FOR SERVICE 4731 Plan Check Fee 461,866 443,659 344,854 220,000 220,000 4880 EMS User Fee 267,520 298,976 292,499 350,000 360,000 4798 Storm Drain Utility Fee 176,830 249,141 257,520 250,000 260,000 4815 Weed Abatement 233,197 264,047 306,557 275,000 329,900 4733 Building Demolition 300,734 249,333 377,365 450,000 485,000 4747 Alarm System Fee 92,325 103,395 33,042 80,000 80,000 4714 Planning Develp Project 98,924 75,119 83,721 80,000 80,000 4743 Towing Fees 0 0 0 29,000 63,400 4766 Building Permit Review 102,280 44,869 16,559 3,000 3,000 4860 Misc Park & Rec Receipts 28,132 37,195 0 0 0 4720 Planning Plan Review 25,172 30,051 42,139 56,500 55,000 4782/4 Public Wk Subdivision 33,228 34,469 53,979 30,000 20,000 4785 Non Subdivision Str Imp 18,129 55,776 37,567 15,000 30,000 4711 Planning Subdivision 18,243 11,106 25,195 10,000 20,000 4718 Planning Environmental 14,167 19,188 22,489 11,000 12,000 4866-7 Sturges Rental/Lease 28,383 31,929 30,180 0 0 4863 Class Registration Fee 20,952 22,930 17,747 9,000 13,000 4780 Misc Public Work 28,860 24,432 28,652 50,000 66,000 4862 Park Energy Fee 17,763 22,959 20,983 20,000 20,000 4864 Swimming Pool Fee 17,650 38,623 61,637 70,000 70,000 4861 Progrm/Facility Use Fee 10,923 19,206 76,080 60,000 65,000 4865 Non-Resident Fees 10,021 12,867 5,475 6,000 6,000 4710 Misc Planning/Building 17,000 24,376 31,961 17,000 20,000 4790-6 Signal Maint/Energy 34,818 47,081 31,371 8,000 8,000 4802 Str Light Energy Fee 8,542 4,733 22,950 20,000 20,000 4701 Election Filing Fee 21,057 7,199 00 0 4,800 0 4705 Utility Collection Fee 9,397 8,876 9,418 8,000 0 Total Charges 2,096,113 2,181,535 2;229,940 2,132,300 2,306,300.' CITY OF SAN BERNARDINO GENERAL FUND REVENUE REPORT FISCAL YEAR 1996-1997 DESCRIPTION 1992-1993F1993-1994 1 941 95_ 1995-1996 PROPOSED 996-1997 MISCELLANEOUS 4906 Water Fund Contr. 1,380,224 1,449,858 1,483,365 1,450,000 1,480,000 4820 Sewer Line Maint. 932,508 965,500 0 0 0 4910 Admin Service Charge 715,216 715,012 896,104 184,200 630,000 4901 MISC. Other Revenue 371,319 305,215 332,220 263,000 300,000 4912 Off Track Betting 249,883 216,887 203,918 190,000 190,000 4741 Sale of Photos 62,871 82,144 66,764 65,000 66,400 4809-10 Misc Public Service 44,265 36,890 12,813 15,000 20,000 4740-5 Police Misc. Receipts 36,262 100,052 45,697 58,600 173,000 4941-Refuse Space Rental 0 41,000 41,100 41,000 41,000 4746 Prto-pertY Auction 14,663 20,735 5,445 17,500 18,000 4750 Investigation Fee 2,500 3,225 3,980 3,500 12,500 4905 Litigation Settlement 400,742 9,601 6,250 7,000 10,000 4904 Drunk Driver Reimburmt. 0 1,549 9,809 4,400 4,500 4903 Refunds & Rebates 17,777 96,254 62,603 20,000 20,000 4928 Booking Fee Reimburmt. 1,131 3,734 1,225 2,500 2,500 4911 Restitutions 6,882 19,811 3,651 500 500 Total;Misceiianeous 4,236,243 4,067,467 3,174,944 2,322,200 2,968,400 fQTA1, ENERALFtJiVI � �; ,. _,, ,, 69s60E3j35? , 6$,5fi'2iS3 �7233I3Q7;Q93 iOQ, CITY OF SAN BERNARDINO EXHIBIT E SPECIAL REVENUE FUNDS FISCAL YEAR 1996 - 1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-M 19219 1994-95 1293--m 1996-97 105 LIBRARY FUND 4618 State Aid-Libraries 99,678 94,031 117,742 127,000 130,000 4850 Miscellaneous Receipts 11,426 13,636 11,045 10,000 10,000 4851 Library Fines 37,337 38,906 40,761 42,000 42,000 Total library Fund 148,4411 146,573 169,548 179,000 182,000 106 CEMETERY FUND 4505 Interest on Idle Cash 40,730 32,000 28,000 24,000 24,000 4775 Cemetery Burial Fee 69,925 70,145 71,327 62,000 72,000 4776 Sale of Vases 3,074 2,326 2,570 2,300 2,300 4777 Sae Concrete Boxes 42,211 35,695 38,693 30,000 32,000 4778 Sale Cemetery Plots 65,313 64,463 71,299 50,000 65,000 4901 Misc. Other Revenue 0 0 75,000 0 0 Total Cemetery Fund 221,2531 204,629 286,889 168,300 195,300 107 CABLE TV FUND 4505 Interest on Idle Cash 0 0 317 900 800 4670 Economic Development Reimb. 0 18,000 15,294 18,000 18,000 4905 Misc. Receipts 130,000 0 4,438 0 0 4922 Sale of Equipment 0 0 74,664 58,000 60,000 Total Cable TV Fund 130,000 18,000 94,713 76,900 78,800 108 ASSET FORFEITURE;FUND 4505 Interest on Idle Cash 19,535 17,000 11,000 4,500 700 4672 Asset Forfeiture Federal DOJ 446,463 191,547 268,067 87,800 0 4927 Asset Forfeiture 0 0 99,426 66,200 35,000 4929 Asset Forfeiture-Drug/Gang 0 01 01 9,2001 0 Total Asset Forfeiture Fund 465;998 208,547 378,493 167,700 35,700 109 PARKING/BUSINESS JMPROVMT FD 4302 Parking/Business Improvement 159,338 158,488 145,011 145,000 145,000 4505 Interest on Idle Cash 0 1,689 936 500 500 Total Parking/Business Fund 159,338 160177 145,947 145,500 145,500 110,PARKING DISTRICT.,FUND' 4010 Special Assessment-Land 166,356 189,082 122,144 130,000 130,000 4011 special Assessment-Phase II 27,834 39,378 26,933 30,000 30,000 4505 Interest on Idle Cash 27,883 21,755 6,148 4,000 4,000 4530 Rental Fee-Parking 15,340 12,245 24,833 20,000 24,000 4670 Economic Development Reimb. 100,000 28,340 0 39,100 0 Total Parking District Fund 337,413 290,800 180,058 223,100 188,000 111 TRANSPORTATION FUND 4505 Interest on Idle Cash 0 0 17,000 10,000 5,000 4626 Rideshare Reimbursement 222,533 242,000 202,966 175,000 175,000 4670 Economic Development Agency 6,000 3,000 3,000 3,500 3,000 4916 Van Pool Contributions 01 1,579 1 3,034 1 5,400 I 5,000 4906 Water Department 01 01 6,0001 3,000 1 3,000 Total-Transportation Fund 228,533 >'.246,579 232,000 1961900 191,000 122,ARTICLE B -LTF` 0 0 0 01, 172,800' 124 ANIMAL CONTROL FUND 4320 Animal License 156,669 150,857 147,292 147,500 192,800 4352 Misc. License &Permits 0 0 675 600 1,000 4410 General Fines 19,956 23,138 20,777 20,000 20,800 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996 - 1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 1992-93 1993-9A IM-M 1995-9fz 1;�Z 4430 Animal License Penalty 11,563 13,182 12,566 12,100 12,200 4756 Animal Adoption Fee 17,007 12,392 12,973 10,500 10,200 4757 Contractee Shelter Fee 35,747 267,321 306,858 337,200 344,000 4758 Livestock Fee 275 1,539 776 1,700 300 4759 Apprehension Fee 14,508 21,008 24,614 23,900 24,200 4760 Board Fee 15,947 19,714 19,691 19,200 19,600 4761 Field Service Fee 11795 3,390 3,670 2,400 21400 4763 Owner Release Fee 19,116 21,947 20,866 18,000 20,100 4764 Vaccination Fee 12,114 10,282 9,956 8,300 8,300 4765 Microchip Fee 0 1,626 1,689 1,200 1,200 4901 Miscellaneous Receipts 18,770 20,288 19,832 22,200 21,000 4765 Microchip Identification 0 160 1261 1001 200 Total Animal Control Fund °323,467 566;844 902,3611 624,9001 678,300 126 SPECIAL GAS TAX FUND 4505 Interest on Idle Cash 107,309 60,600 51,500 30,000 50,000 4610 State Aid-2106 593,446 645,704 658,700 655,000 645,000 4611 State Aid-2107 1,393,567 1,461,369 1,466,000 1,500,000 1,500,000 4612 State Aid-2107.5 10,000 10,000 10,000 10,000 10,000 4614 Prop 111-Highway Users Tax 834,657 988,274 1,052,000 1,090,000 1,090,000 4945 Reimbursement 0 0 25,000 332,000 0 Total Gas Tax Fund 2,938,979 3,165,947 3,263,200 3,617,000 3,295,000 527 REFUSE FUND° 4505 Interest on Idle Cash 120,955 136,935 135,077 80,000 40,000 4830 Commercial Rubbish 257,484 279,209 258,249 260,000 288,000 4831 Commercial Bin Rent 371,616 369,705 342,340 380,000 360,000 4832 Commercial Bin Service 5,119,213 5,002,729 5,035,838 4,976,400 4,976,000 4833 Commercial Special 304,744 323,069 325,099 400,000 309,000 4834 Commercial Municipal 163,552 136,200 0 0 0 4836 Commercial Bin Service-Malls 141,181 115,630 93,748 102,000 102,000 4837 Automated Commercial Rubbish 4,911 4,461 5,472 8,000 8,000 4840 Residential Water Billed 5,863,241 5,865,229 5,598,325 6,048,000 6,048,000 4841 Residential "B"Accounts 392,474 381,858 345,347 382,000 382,500 4843 Dino Bin Service 1,302,303 1,197,070 1,013,781 1,104,000 1,104,000 4849 Sale of Paper/Salvage Material (68,673) 0 10,394 7,500 7,500 4901 Miscellaneous other Revenue 01 9051 4 3,3301 36,000 36,000 Total Refuse Fund 13,973,001 13;813,000 y13;607000 13,783,900° '13,661;000 128 TRAFFIC.SAFETY FUND. 4440 CVC Fine 162,151 75,471 40,000 15,000 16,100 4505 Interest on Idle Cash 3,596 0 0 0 0 ?OtalTraffic Safety.:Fund . :: 165,747 75,471 ;40,000 15,000 16,100 :1.291/2 CENT SALES/ROAD TAX FUND 4505 Interest on Idle Cash 19,088 8,100 30,700 37,000 9,000 46131/2 Cent Sales Tax 1,309,833 1,331,000 1,413,900 1,200,000 1,500,000 4627 Measure I Arterial 0 0 554,300 0 0 4945 Construction Reimbursement 2,125,1671 80,000 75,400 15,0001 5,000 Total 1/2 Cent Sales Tax 3,454,088 °1,419,100 2,074,300. 1;252,000 1,514,000 130'PRO.BASEBALL TEAM FUND 4521 Fiscalini Field Lease Fee 30,616 34,298 27,061 25,000 20,000 .Total ProBaseball Team Fund 30,616 1 , 34,298 27,061 25;000 20,000 131 SB 300" 3$7;000 :42800 .D 512;600 1, 75;000 CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996 - 1997 ACTUAL ACTUAL ACTUAL ESTIMATED1 PROPOSED DESCRIPTION 1992-93 1993-94 1994-95 1225 MU- 7 132 SEWER LINE MAINTENANCE 4505 Interest on Idle Cash 0 34,100 34,200 35,000 40,000 4820 Sewer Line Maint 0 65,600 1,280,857 1,347,400 1,360,000 Total Sewer,Line Maintenance 0 99,700 1,3151057- 1,382,400 1,400,000 242 STREET;CONSTRUCTION FUND 4630 State Aid-Street Constr. 75,239 0 1,964,200 44,400 0 4658 Federal Aid-FAU 1,366,063 2,5201200 2,927,600 1,640,000 5,300,000 4901 Miscellaneous Receipts 248,635 0 29,100 0 0 4945 Construction Reimbursement 449,0661 38,1001 1,614,100 546,000 1,765,500 Total Street Constr.Fund 2,139,003 2,558;300 6,535,000 2,230,4001 7,065,500. 243 T' ARK CONSTRUCTION FUND 4505 Interest on Idle Cash 30,053 33,200 46,400 18,000 20,000 4620 State Aid-Park Development 0 419,800 0 0 0 4732 Park Development Fee 484,814 206,300 118,900 238,000 240,000 4945 Construction Project Reimb. 80,000 01 01 01 0 Total Park Construction;,Fund 594,8671 659,3001 165,3001 256,000 0,0 2600 244 CEMETERY CONSTRUCTION FUND 4505 Interest on Idle Cash 827 897 300 600 600 4778 Sale Cemetery Plots 8,190 7,074 7,100 4,500 4,400 Total Cemetery Constr. Fund 9,017 7,971 7,400 5,100 5,000 245 SEWER LINE CONSTRUCTION I FUND 4505 Interest on Idle Cash 486,895 362,200 274,800 98,800 55,000 4821 Sewer Lateral Fee 285 600 300 10,000 300 4822 Sewer Connection Fee 399,702 290,600 152,000 228,000 230,000 Total Sewer Line Constr. Fund 886,8821 653,4001 4271100 336,800 285,300 246 INDIAN BINGO SETTLEMENT FUND 4505 Interest on Idle Cash 33,123 28,000 20,000 9,000 9,000 4902 Indian Bingo Contribution 150,000 100,000 0 0 0 Total Indian Bingo Fund 183,123 128,000 20;000 9,000 9,000 247 CU L'TURAL'DEVELOP,F.UND 4335 Cultural Devel. Constr. Fee 111,000 169,047 40,300 335,400 99,800 4505 Interest on Idle Cash 2,628 1,000 400 0 200 Total Cultural Devel Const Fund 113,628 170,047 40;700 335,400 100,000 248 STORM DRAIN CONSTR:FUND 4505 Interest on Idle Cash 201,641 158,500 147,200 20,000 20,000 4818 Storm Drain Fee 514,736 423,222 366,400 810,000 350,000 4945 Construction Reimbursement 307 12,851 0 0 0 Total Storm Drain Constr.'Fund 716,684 ° 594,573 - ;513,600, 830,000 370,000 250 TRAFFIC SYSTEMS CONSTR FUND 4505 Interest on Idle Cash 29,771 29,400 22,700 12,000 0 4803 Traffic System Fees 318,607 416,700 168,200 393,500 200,000 4630 State Aid-Street Construction 142,963 0 436,100 0 0 Total Traffic Systems Fund 491,341 '446,100 1 627,0001 405;500 200,000 251 ASSESSMENT,DISTRICT 971 4897 Interdepartmental Receipts 0 011 01 01 140,600 Total Assessment District 971 0 01 01 01 140,600' CITY OF SAN BERNARDINO SPECIAL REVENUE FUNDS FISCAL YEAR 1996 - 1997 ACTUAL ACTUAL ACTUAL ESTIMATED PROPOSED DESCRIPTION 192-93 MIN '1994-95 1995-96 1996-97 257 CITY-WIDE AD 994 4897 Interdepartmental Receipts 3,040,412 3,101,224 4,304,000 4,416,700 4,202,800 4910 Administrative Service Charges 0 0 0 0 90,000 Total Citywide AD 994 3,040,4121 3,101,2241 4,304,0001 4,416,700 if 4,292,800 621 CENTRAL SERVICES FUND 4897 Interdepartmental -General Fund 0 0 0 0 150,000 4897 Interdepartmental-NonGen. Fund 0 0 0 0 101,100 Total Central Services Fund` 0 0 0 0 251,100- 629 LIABILITY INSURANCE FUND' 4505 Interest on Idle Cash 0 0 0 25,000 100,000 4670 Economic Development Agency 50,000 105,000 50,572 85,000 85,000 4671 IVDA/SBIAA 0 0 0 0 10,000 4897 Interdepartmental Receipts 2,284,676 2,275,300 2,316,000 2,049,400 2,049,400 4901 Misc. Receipts 4,015,055 100,631 291,592 0 0 4906 Water Department 0 38,432 61,575 40,000 25,000 4924 Damage Claim Recovery 0 52,937 94,408 10,000 57,000 Total,Liability insurance Fund 6,349,731 2,572,300 2,814,147 2,209,4001 2,326,400 630 TELEPHONE SUPPORT FUND 4541 Telephone Commission 21,739 18,542 13,635 18,000 18,000 4893 Water Dept. Receipts 0 46,442 111,056 123,500 92,800 4670 Economic Development Agency 0 80,196 96,454 121,700 112,800 4897 Interdepartmental Receipts 766,487 514,307 783,095 738,100 744,500 4901 Miscellaneous Receipts 0 425 0 0 0 4903 Refunds and Rebates 4,982 1,602 2,535 2,500 1,000 Total Telephone Support Fund 793,208 661,514 1,006,775 1,003,800 969,100, 631 UTILITY°FD-INTERDEPT RECEIPTS '0 3,154,1701 3,223,7711 3,026,733 1 3,159,400' 635 MOTOR'iPOOL FUND 4896 Replacement Contribution 737 0 0 654,000 508,600 4897 Interdepartmental Receipts 3,275,557 3,591,273 3,966,000 3,279,900 3,416,700 4924 Damage Claim Recovery 383,263 7,678 1,000 151,600 0 Total Motor P001 Fund'' 3,659,557 3,598,951 3,967,000 7,085,500 3,925,300 678.WORKERS'COMPENSATION:FUND 4505 Interest on Idle Cash 0 0 2,992 1,000 500 4897 Interdepartmental Receipts 1,861,145 1,669,928 1,994,019 2,022,000 2,100,500 4899 Premiums 73,060 17,300 15,909 16,000 16,000 4670 Economic Development Agency 0 11,060 10,000 10,000 11,100 4901 Misc Receipts 0 8,549 0 5,000 25,000 4906 Water Department 0 187,982 556,251 300,000 320,000 4924 Damage Claim Recovery 58,738 16,181 43,922 0 60,000 Total Workers',Zompensation'Fd 7 1,992,943 ;1,911,000 2,623,093 1 2;354,000 2;533,100 679 Management,Information Services 4505 Interest on Idle Cash 0 0 0 20,000 0 4670 EDA Reimbursement 0 26 4,283 1,000 18,900 4897 Interdepartmental Receipts 958,435 1,023,900 1,117,928 1,968,200 2,155,100 4901 Miscellaneous Receipts 1,731 2,744 155,318 2,000 1 0 4903 Refunds &Rebates 160 416 0 01 0 Total MIS Fund 960,326 7,027;086 1,277;529 1,991,200 2,174,000 6 . CITY OF SAN BERNARDINO E%HZBIT F DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - IN TO GENERAL FUND: *From Special Gas Tax For - 2,205,000 Street Maintenance *From Traffic Safety For - 16,100 Police Costs *From 1/2 Cent Sales & Road Tax For - 164,000 Administration *From Cultural Development Fund For - 100,000 Funding Fine Arts and Civic and Promotional Costs *From Traffic Systems Constructions For - 25,000 Administration *From Parking District For - 66,600 Debt Service Payment *From Assessment District 994 Fund For - 300,000 Administration *From SB 300 For - 50,000 Administration *From Storm Drain Construction For - 100,000 Administration *From Telephone Support For - 20,000 Telephone Commission & Rebates *From Refuse Fund For - 1,326,200 Administration *From Sewer Line Construction For - 50,000 Administration *From Sewer Line Maintenance Fund For - 200,000 Administration CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - IN *From AD 971 Fire Station Constr. Distr. For - 140,600 Reimburse Debt Service Payment *From Booking Fee Trust For - 100,000 Reduce Booking Fee Reserves *From Transportation Fund For - 50,000 Traffic Engineering Costs TOTAL GENERAL FURW—D----j $4,913,500 TO ANIMAL iCONTROL FUND: *From General Fund For - 212,700 Operating Costs TO LIBRARY FUND: *From General Fund For 2,564,400 Operating Costs TO,TELECOMMUNICATIONS: *From General Fund For - 413,800 Operating Costs TO:PUBLIC:PARK EXTENSION *From General Fund For - 48,000 Park Facilities Improvements TO PARKING DISTRICT *From Parking & Business Improvement For - 98,300 Administration TOTAL OTHER FUNDS $3,337,20 0: E +PM �._ t +W"-0 F' CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - OUT FROM GENERAL FUND: *To Aniamal Control Fund For - $212,700 Operating Costs *To Library Fund For- 2,564,400 Operating Costs *To Telecommunications For - 413,800 Operating Costs *To Public Park Extension For - 48,000 Park Facilities Improvements TOTAL GENERAL FUND $3,238,900 FROM TELECOMMUNICATION FD: *To General Fund For- 20,000 Telephone Commission & Rebates _FROM SPECIAL GASTAX: *To General Fund For- 2,205,000 Street Maintenance Costs 'FROM TRAFFIC SAFETY:, . *To General Fund For - 16,100 Police Costs *To General Fund For- 300,000 Administration .FROM 112 CENT.SALESIROAD:TAX. ri. *To General Fund For 164,000 Administration of Fund FROM PARKING:&.BUSINESS IMPR *To Parking District For- 98,300 Administration of District CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - OUT FROM PARKING DISTRICT FUND *To General Fund For - 66,600 Debt Service Payment FROM CULTURAL DEVELOPMENT *To General Fund For - 100,000 Fine Arts & Civic Promotional Costs FROM TRAFFIC SYSTEM CONSTR *To General Fund For- 25,000 Administration of Fund FROM SB 300 *To General Fund For- 50,000 Administration of Fund FROM STORM ;DRAIN FUND , *To General Fund For- 100,000 Administration of Fund FROM REFUSE FUND *To General Fund For- 1,326,200 Administration FROM SEWER LINE:CONSTR FQ: *To General Fund For - 50,000 Administration FROM SEWER LINE MAINT:fUND 200,000 *To General Fund For- Administration FROM AD_971,FIRE 1STATION *To General Fund For- 140,600 Reimburse Debt Service Payment CITY OF SAN BERNARDINO DETAIL OF INTERFUND TRANSACTIONS FISCAL YEAR 1996-1997 TRANSFERS - OUT FROM BOOKING;FEE TRUST *To General Fund For - 100,000 Reduce Booking Fee Reserves FROM TRANSPORTATION FUND 50,000 *To General Fund For - Traffic Engineering Costs TOTAL OTHER FUNDS - $5,011,800 ► ' ►111[� D A1:TRAI1l$EERS�.t3U ". .. _. g r $�5 .. ..Fx CITY OF SAN BERNARDINO EXHIBIT G EXPENDITURE SUMMARY-PRIMARY FUNDS BY DEPARTMENT & FUND FISCAL YEAR 1996-19970 PERSONAL MATERIALS CONTRACT INTERNAL CAPITAL DEBT TOTAL FUND/TITLE SERVICES /OPERATION SERVICE SERVICE OUTLAY SERVICE EXPENSES GENERAL FUND: 010 MAYOR 515,700 43,600 0 55,600 0 0 614,900 020 COMMON COUNCIL 257,000 65,400 0 31,200 0 0 353,600 030 CITY CLERK 706,500 73,100 900 51,900 1,0001 0 833,400 040 CITY TREASURER 19,400 600 0 0 ol 0 20,000 050 CITY ATTORNEY 1,354,100 315,000 259,000 57,500 0 0 1,985,600 090 GENERAL GOVERNMENT (860,000) 446,200 150,000 0 0 1,497,000 1,233,200 100 CITY ADMINISTRATOR 479,500 33,500 12,600 24,800 0 0 550,400 108 CIVIL SERVICE 245,000 11,200 42,000 13,000 0 0 311,200 110 PERSONNEL 336,300 12,600 400 32,800 0 0 382,100 120 FINANCE 958,500 41,800 7,000 234,700 17,3001 0 1,259,300 170 PLANNING &BUILDING 1,906,700 218,200 306,700 272,900 0 0 2,704,500 200 FIRE 13,457,300 456,600 9,600 1,108,000 41,300 3,700 15,076,500 210 POLICE 26,274,000 1,401,000 607,300 3,707,100 84,600 1,267,300 33,341,300 300 PUBLIC WORKS 1,958,300 229,700 101,000 400,200 4,700 0 2,693,900 320 FACILITIES MANAGEMENT 1,724,300 287,200 295,800 1 1,018,100 102,100 0 3,427,500 380 PARKS &RECREATION 3,154,200 366,400 437,100 1,057,700 0 0 5,015,400 400 PUBLIC SERVICES 1,775,900 156,500 312,100 589,400 61,000 0 2,894,900 TOTAL GENERAL FUND 54,262,700 4,158,600 2,541,500 8,654,900 312,000 2,768,000 72,697,700 SPECIAL[REVENUE FUNDS: 105 LIBRARY FUND 1,382,500 1,134,000 7,500 221,900 0 0 2,745,900 106 CEMETERY FUND 203,800 26,900 0 29,900 0 0 260,600 107 CABLE TELEVISION FUND 377,000 46,400 9,000 21,900 0 0 454,300 108 ASSET FORFEITURE FUND 0 115,100 900 0 44,200 0 160,200 109 PARKING/BUSINESS FUND 0 28,200 3,500 1,000 0 0 32,700 110 PARKING DISTRICT FUND 52,500 38,000 5,800 10,900 0 177,500 284,700 111 TRANSPORTATION 80,600 15,500 10,000 22,200 6,200 0 134,500 122 ARTICLE 8-LTF 0 0 172,800 0 0 0 172,800 124 ANIMAL CONTROL FUND 717,800 64,0_ 92,400 0 0 891,000 126 SPECIAL GAS TAX FUND 0 0 3,085,100 0 0 0 3,085,100 527 REFUSE FUND 3,795,400 4,783,900 961,900 2,725,600 787,100 2,029,100 15,083,000 129 1/2 CENT SALES/ROAD TAX 0 0 3,428,800 0 0 0 3,428,800 130 FISCALINI FIELD 0 28,000 0 0 0 0 28,000 131 SB 300 FUND 0 0 475,000 0 0 0 475,000 132 SEWER LINE MAINT 417,400 241,200 1,456,200 217,200 162,600 0 21494,600 TOTAL SPECIAL REVENUE 7,027,000 6,521,200 1 9;633,300'1 3,343,000 1;000,100 2,206,600 1 29,731,200 CAPITAL PROJECT FUNDS: :d 241 PARK EXTENSION FUND 0 0 118,100 0 0 0 118,100 242 STREET CONSTRUCTION 0 0 7,580,300 0 0 0 7,580,300 243 PARK CONSTRUCTION 0 0 1,130,300 0 0 0 1,130,300 245 SEWER LINE CONSTR 0 0 4,606,300 0 0 0 4,606,300 246 INDIAN BINGO 0 0 223,200 0 0 0 223,200 248 STORM DRAIN CONSTR 0 0 2,255,5001 0 0 0 2,255,500 250 TRAFFIC CONSTRUCTION 0 0 739,200 0 0 0 739,200 257 CITY AD 994 FUND 1,035,800 691,700 725,300 1 1,719,400 120,600 0 4,292,800 TOTAL CAPITAL PROJECT 1,035;800 691,700 17;378,200 1,719.400 120,600 D 20,945,700' INTERNALSERVICE FUNDS: 621 CENTRAL SERVS FUND 115,000 108,300 9,100 6,500 12,200 0 251,100 629 LIABILITY FUND 173,400 2,119,100 16,000 17,900 0 0 2,326,400 630 TELEPHONE SUPPORT 102,900 588,800 14,000 8,800 268,100 0 982,600 631 UTILITY FUND 88,800 2,921,500 0 0 0 149,100 3,159,400 635 MOTOR POOL FUND 1,239,600 1,948,300 0 177,700 554,0001 5,700 3,925,300 678 WORKERS'COMP FUND 235,000 2,099,600 182,400 15,800 0 0 2,532,800 679 MIS FUND 490,800 704,200 67,600 28,500 58,200 823,600 21172,900 TOTAL INTERNAL;SERVICE .2,445,500 10,489,800 1 289,100 ;:255,200 892,500 978,400 15350,500' GRAND TOTAL EXPENSES 64,771,000 21,861,300 129,842,100' 13,972,500 1 2,325,2001 5,953,000 1 138,725,100